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Ticker
XUTD.F

Price
169.80
Stock movement up
+0.56 (0.33%)
Company name
Xtrackers II US Treasuries UCITS ETF 1D
Exchange
(F
,
Currency
EUR
)
Market cap
-
Ent value
-
Price/Sales
-
Price/Book
-
Div yield
-
Div growth
-
Growth years
-
FCF payout
-
Trailing P/E
-
Forward P/E
-
PEG
-
EPS growth
-
1 year return
-5.91%
3 year return
-
5 year return
-
10 year return
-
Last updated: 2025-11-24

DIVIDENDS

XUTD.F does not pay dividends or no data was received

VALUATION

Valuation Ratios

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Valuation Ratios data
Trailing P/E-
Price to OCF-
Price to FCF-
Price to EBITDA-
EV to EBITDA-

Valuation (Sales/Book Value)

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Valuation (Sales/Book Value) data
Price to Sales-
Price to Book-
EV to Sales-

FINANCIALS

STOCK INFORMATION

Stock chart

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Stock price data
Open168.91
Daily high170.48
Daily low168.91
Daily Volume0K
All-time high227.30
1y analyst estimate-
Beta-
EPS (TTM)-
Dividend per share0.00
Ex-div date-
Next earnings date-

Downside potential

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Downside potential data
XUTD.FS&P500
Current price drop from All-time high-25.30%-4.13%
Highest price drop-27.93%-19.00%
Date of highest drop24 Jul 20258 Apr 2025
Avg drop from high-23.64%-2.73%
Avg time to new high-6 days
Max time to new high285 days89 days
COMPANY DETAILS
XUTD.F (Xtrackers II US Treasuries UCITS ETF 1D) company logo
Marketcap
-
Marketcap category
Description
The aim is for the investment to reflect the performance of the IBOXX $ TREASURIES { {®}} index (Index). The Index reflects the performance of tradable debt (bonds) denominated in US Dollars issued by the US government. The composition of the Index is rebalanced according to a pre-set methodology. For bonds to be included in the Index they must have a minimum maturity of 18 months when they are issued, and, on the relevant rebalancing date, have a remaining time to maturity of at least one year. The bonds must have at least $1 billion outstanding. The Index is calculated on a total return basis, which means that amounts equivalent to interest payments on the bonds are reinvested in the Index. To achieve the aim, the Fund will attempt to replicate the Index by buying a substantial number of the bonds in the Index in the same proportion as the Index as determined by the Sub-Portfolio Manager of the Fund which is Deutsche Asset Management (UK) Limited.
Employees
Website
Investor relations
-
CEO
Country
Germany
City
Stock type
-
CCC status
-
Dividend Frequency
-
EVENTS AND PRESENTATIONS
EventsPresentations
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UNDERSTAND THE BUSINESS
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COMPANY NEWS
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