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Fixed Income Funds

     Description (show/hide)
The funds listed below represent the fixed income side of the investment world. These are generally thought to be less volatile than the equity indexes but usually offer lower returns over the long haul.

Below you will see the Total Return for these funds over the past year. The default order is by Relative Strength but you can sort on any other column by clicking either the Ascending or Descending arrows. (Asc Desc).


Include:
Short Funds
Leveraged Funds
Volume Filter

Right Column:     
Data Timeliness



Check desired symbols for Comparison Chart or to View Correlations.
 
Viewing Wednesday's Closing data.

NameSymbolRSfRtn-1dRtn-5dRtn-1moRtn-3moRtn-6moRtn-1yr$vol-21
popupDirexion Daily 20+ Yr Trs Bear 3X SharesTMV79.891.92-5.006.6115.35-13.6639.3698m
popupDirexion Daily 10 Yr Trs Bear 3X SharesTYO69.030.54-2.863.209.76-2.3428.88450k
popupProShares UltraShort Lehman 20+ TrsyTBT64.681.43-3.294.7510.94-7.8928.4328m
popupYieldShares High IncomeYYY58.090.172.140.784.2214.2817.155m
popupProShares UltraShort Lehman 7-10 Yr TrsyPST47.550.52-1.961.916.69-0.8319.321m
popupInvesco CEF Income Composite PortfolioPCEF44.37-0.241.91-0.092.3214.0312.943m
popupProShares Ultra High Yield Bond ETFUJB41.79-0.491.550.081.0611.4313.841m
popupProShares Short 20+ Year TreasuryTBF40.670.50-1.822.405.82-2.6217.5611m
popupInvesco Senior Loan Port BKLN35.00-0.090.470.802.655.3510.31293m
popupVanEck Vectors CEF Municipal Income ETFXMPT34.150.352.511.361.3714.104.67983k
popupProShares Short 7-10 Year Treasury TBX34.030.30-0.961.153.900.7212.33783k
popupSPDR Nuveen S&P High Yield Muni Bond ETFHYMB32.820.161.630.912.3510.215.6727m
popupiShares iBoxx $ High Yield Corporate Bond FunHYG31.58-0.230.930.321.307.118.713b
popupSPDR Barclays High Yield BondJNK30.93-0.210.980.361.367.158.30584m
popupInvesco High Yield Corporate Bond PortfolPHB30.33-0.171.070.330.896.508.904m
popupVanEck Vectors High-Yield Muni ETFHYD29.49-0.021.510.772.019.274.5726m
popupInvesco Insured New York Municipal Bond PPZT29.080.201.651.631.4410.283.911m
popupPIMCO 0-5 Year High Yield Corporate Bond Index FunHYS28.160.250.730.381.465.837.1712m
popupSPDR Barclays Capital Convertible BondCWB28.08-0.471.90-1.460.149.139.4837m
popupVanEck Vectors Investment Grade Floating RateFLTR27.430.000.160.451.964.387.0323m
popupVanEck Vectors Long MuniMLN26.710.111.641.361.129.712.723m
popupiShares Floating Rate Note ETFFLOT25.820.000.120.511.773.616.1367m
popupSPDR Barclays Capital Inv Grade Floating RtFLRN25.060.000.160.511.753.565.4617m
popupInvesco Ultra Short BondGSY24.860.000.180.421.313.405.6227m
popupInvesco Insured National Municipal Bond PPZA24.380.081.240.610.178.403.3114m
popupPIMCO Enhcd Short Maturity Active ETFMINT23.810.020.090.421.523.245.13146m
popupiShares Barclays Short Treasury Bond FundSHV22.810.020.100.391.232.635.24293m
popupVanguard Interm-Term Corp Bd Idx ETFVCIT22.57-0.201.15-0.17-0.286.913.87639m
popupInvesco Insured California Municipal BondPWZ22.240.121.020.52-0.178.222.723m
popupVanguard Short-Term Corp Bd Idx ETFVCSH22.12-0.040.590.270.534.204.60312m
popupSPDR Barclays 1-3 Month T-Bill ETFBIL21.920.020.100.411.312.674.88696m
popupiShares S&P New York Municipal Bond FundNYF19.950.060.900.640.156.282.334m
popupInvesco Intl Corp Bond PortPICB19.830.021.30-1.220.425.632.65292k
popupPIMCO Intermediate Muni Bond Strgy ETFMUNI19.75-0.080.730.450.335.812.288m
popupPIMCO Investment Grade Corp Bond Index FundCORP19.55-0.071.18-0.24-0.386.692.678m
popupVanguard Long-Term Corp Bond Idx ETFVCLT18.83-0.371.86-1.36-2.149.822.67156m
popupiShares S&P National Municipal Bond FundMUB18.79-0.070.770.370.095.892.26409m
popupiShares S&P California Municipal Bond FundCMF18.70-0.030.830.520.155.602.3212m
popupInvesco Fundamental Inv Grd Corp BondPFIG18.300.000.75-0.03-0.134.862.99281k
popupSPDR Barclays Capital Intl Corp Bond ETFIBND18.06-0.281.19-1.300.715.102.36433k
popupiShares iBoxx$ Invst Grd Cp BdLQD17.26-0.251.40-0.62-1.067.402.113b
popupiShares Barclays 0-5 Year TIPS Bond STIP17.180.000.320.201.132.792.0549m
popupVanEck Vectors - Intermediate Muni IndexITM17.020.020.680.21-0.005.781.578m
popupPIMCO Short Term Municipal Bond Strategy FundSMMU16.530.130.370.290.562.932.693m
popupPIMCO 1-5 Year U.S. TIPS Index FundSTPZ16.410.000.370.160.902.592.024m
popupColumbia Short Dur Bond ETFSBND16.22-0.220.160.190.563.252.4448k
popupPIMCO Total Return ETFBOND15.97-0.191.22-0.20-0.185.921.1523m
popupSPDR Barclays Municipal Bond ETFTFI15.77-0.071.140.29-0.466.331.1725m
popupVanEck Vectors Short MuniSMB15.570.000.320.410.372.502.552m
popupInvesco VRDO Tax-Free Weekly PortfolioPVI15.410.080.140.590.851.612.73235k
popupVanguard Short-Term Govt Bd Idx ETFVGSH15.16-0.020.310.190.282.252.59142m
popupInvesco Build America BondBAB14.68-0.171.14-0.27-1.366.561.2112m
popupVanguard Short-Term Bond ETFBSV14.52-0.040.500.140.062.792.17147m
popupFlexShares iBoxx 3-Year Target Duration TIPS IndexTDTT14.440.000.470.100.792.750.924m
popupiShares S&P Short Trm National Muni BondSUB14.200.040.340.510.382.302.0647m
popupSchwab Short-Term U.S. Treasury ETFSCHO14.080.020.360.200.292.231.9346m
popupiShares Barclays 1-3 Year Treasury Bond FundSHY14.04-0.020.280.190.242.162.18343m
popupWisdomTree Emerg Mkts Local Debt FundELD13.680.151.60-2.23-0.883.444.38605k
popupiShares Barclays Agency BondAGZ13.64-0.110.500.150.022.801.642m
popupiShares Barclays Intermediate Government/CreditGVI12.99-0.130.64-0.04-0.313.241.0724m
popupSPDR Barclays Short Term Municipal Bond ETFSHM12.710.020.340.11-0.302.351.4414m
popupVanguard Total Bond Market ETFBND12.67-0.240.96-0.38-0.824.520.52529m
popupSchwab U.S. Aggregate Bond ETFSCHZ12.03-0.111.03-0.39-0.774.51-0.1331m
popupVanguard Intermediate-Term Bond ETFBIV11.91-0.201.06-0.33-0.964.65-0.1581m
popupiShares Core Total US Bond Mkt ETFAGG11.75-0.211.04-0.37-0.854.56-0.33955m
popupiShares Barclays Government/Credit Bond FundGBF11.50-0.250.91-0.34-1.014.28-0.161m
popupVanguard Mortgage-Backed Sec Idx ETFVMBS11.38-0.161.17-0.33-0.954.68-0.4366m
popupiShares Emerg Mkts Local Currency Bond Fund LEMB11.300.011.42-0.630.043.09-0.042m
popupGoldman Sachs Acs Infl Protd USD Bd ETFGTIP11.26-0.110.80-0.270.072.92-1.21365k
popupiShares Barclays TIPS Bond FundTIP11.22-0.110.79-0.310.042.78-1.03256m
popupiShares Barclays MBS Fixed-Rate Bond FundMBB11.18-0.211.18-0.39-0.804.74-1.02278m
popupSchwab U.S. TIPS ETFSCHP10.94-0.100.78-0.250.092.91-1.2980m
popupFlexShares iBoxx 5-Year Target Duration TIPS IndexTDTF10.82-0.130.69-0.270.032.77-1.387m
popupVanEck Vectors Emerg Mkts Local Currency Bond ETFEMLC10.54-0.211.59-0.82-0.692.400.9528m
popupPIMCO Broad U.S. TIPS Index ETFTIPZ10.38-0.130.78-0.31-0.022.90-1.67690k
popupiShares Barclays 3-7 Year Treasury Bond FundIEI10.26-0.100.78-0.13-0.822.57-0.82210m
popupVanguard Interm-Term Govt Bd Idx ETFVGIT9.90-0.140.86-0.21-1.002.77-1.05104m
popupVanguard Long-Term Bond ETFBLV9.61-0.401.84-1.50-2.687.96-2.7640m
popupSPDR Barclays Capital EM Local Bond ETF EBND9.53-0.201.56-1.28-1.182.81-0.715m
popupSchwab Intermediate-Term U.S. Treas ETFSCHR9.29-0.140.88-0.23-1.032.72-1.8842m
popupSPDR DB Intl Govt Infl-Protected BondWIP8.93-0.691.72-1.17-0.605.04-3.403m
popupiShares S&P/Citi 1-3 Yr Intl Treas BondISHG8.61-0.090.86-1.13-0.721.50-2.11202k
popupiShares S&P/Citi Intl Treasury BondIGOV8.17-0.381.30-1.89-1.623.34-3.453m
popupiShares Barclays 7-10 Year Treasury Bond FundIEF7.92-0.281.09-0.54-1.743.47-4.15777m
popupSPDR Barclays Intl Treasury Bond ETFBWX7.80-0.371.68-1.87-1.592.42-4.005m
popupProShares Short High Yield SJB7.320.17-0.810.120.33-3.56-3.273m
popupSPDR Barclays Cap S/T Intl Treasury BondBWZ7.28-0.380.78-1.46-1.680.42-3.581m
popupiShares Barclays 10-20 Year Treasury Bond FundTLH7.16-0.471.74-1.25-2.666.19-7.1673m
popupVanguard Long-Term Govt Bd Idx ETFVGLT6.76-0.531.81-1.61-3.266.11-8.17104m
popupPIMCO 15+ Year US TIPS Index ETFLTPZ6.40-0.582.03-1.18-2.003.52-9.2613m
popupiShares Barclays 20 Year Treasury Bond FundTLT6.11-0.611.84-1.87-3.715.98-10.014b
popupVanguard Extended Dur Treas IdxEDV5.59-0.902.21-2.73-5.337.99-14.2828m
popupProShares Ultra 7-10 Year TreasuryUST5.51-0.402.14-1.49-4.853.30-13.02328k
popupPIMCO 25+ Yr Zero Cpn U.S. Trsy Idx ETFZROZ4.87-0.842.53-3.22-6.246.66-17.1623m
popupDirexion Daily 10 Yr Trs Bull 3X SharesTYD3.78-0.713.08-2.50-8.083.00-21.61878k
popupProShares Ultra 20+ Year TreasuryUBT3.42-1.393.30-4.55-9.357.28-25.381m
popupDirexion Daily 20+ Yr Trs Bull 3X SharesTMF2.25-1.875.22-6.98-14.736.83-40.33301m
97 symbols listed

The dynamics of Relative Strength are illustraded below for the past quarter. From this you can visualize which funds are improving on a relative basis and which are deteriorating.

5-day Intervals 21-day Intervals
Viewing Wednesday's Closing data.

Symbol 05/0805/0104/2404/1704/1004/0303/2603/1903/1203/0502/2702/2002/12
TMV 79.995.695.294.890.482.470.889.626.210.011.615.912.6
TYO 69.089.684.686.676.854.251.662.922.020.724.633.022.0
TBT 64.790.688.388.877.668.057.576.327.213.317.822.917.1
YYY 58.164.157.956.453.256.358.157.754.155.250.756.152.9
PST 47.574.967.274.159.841.641.748.119.620.921.426.719.3
PCEF 44.451.045.046.747.151.357.151.651.551.950.852.656.2
UJB 41.851.046.444.640.544.149.253.954.657.960.068.761.5
TBF 40.766.364.170.653.446.042.253.426.120.422.327.121.5
BKLN 35.040.438.342.534.232.834.036.732.240.236.036.234.1
XMPT 34.232.134.136.428.428.735.234.634.643.937.641.541.9
TBX 34.048.444.253.840.233.032.036.419.222.521.224.620.5
HYMB 32.830.533.041.328.530.031.834.132.238.737.038.337.0
HYG 31.636.734.936.832.733.135.537.235.540.439.242.941.3
JNK 30.935.233.534.731.532.034.636.534.539.538.142.440.5
PHB 30.334.933.235.532.133.235.936.534.240.339.544.342.3
HYD 29.527.631.534.825.825.928.927.927.834.431.934.328.8
PZT 29.123.428.826.320.119.425.328.929.137.032.839.337.6
HYS 28.233.430.430.529.728.530.333.629.834.731.234.034.3
CWB 28.125.528.326.134.432.437.332.637.738.942.146.451.6
FLTR 27.433.231.940.831.829.529.831.624.931.425.628.225.4
MLN 26.723.826.124.215.315.924.425.325.635.532.933.935.3
FLOT 25.831.129.436.629.626.827.029.021.026.421.923.722.7
FLRN 25.129.128.433.528.025.025.326.819.124.420.722.221.0
GSY 24.929.028.834.127.826.326.027.221.627.323.625.424.2
PZA 24.422.924.327.817.617.022.325.928.036.634.937.533.8
MINT 23.828.228.133.426.924.724.025.818.323.618.921.119.7
SHV 22.827.127.432.426.223.723.825.018.623.921.123.222.6
VCIT 22.620.920.624.121.525.224.525.628.934.131.335.835.8
PWZ 22.222.322.925.918.617.825.827.126.335.033.337.336.7
VCSH 22.123.924.028.223.525.024.626.623.928.725.928.928.3
BIL 21.925.725.831.025.321.822.123.417.222.019.321.420.2
NYF 20.020.121.323.317.415.119.722.220.727.627.928.728.4
PICB 19.816.917.522.924.728.425.328.433.035.232.132.530.8
MUNI 19.821.221.524.517.716.419.422.419.527.725.826.326.0
CORP 19.517.322.420.419.219.219.719.524.630.326.730.730.0
VCLT 18.813.512.415.214.517.418.815.528.836.334.541.240.7
MUB 18.820.620.122.316.515.817.620.219.926.425.427.726.5
CMF 18.719.020.623.416.414.718.921.921.028.927.028.726.5
PFIG 18.320.119.723.620.719.720.722.124.026.724.628.929.1
IBND 18.115.615.719.822.626.320.926.431.132.429.227.323.5
LQD 17.314.414.116.915.417.317.817.225.229.927.532.133.4
STIP 17.220.320.525.220.517.516.817.514.819.115.717.215.4
ITM 17.018.719.621.814.414.116.419.819.828.426.925.824.5
SMMU 16.519.720.425.118.616.516.419.215.319.818.018.919.1
STPZ 16.419.420.325.020.417.617.217.415.719.916.818.216.8
SBND 16.220.317.021.019.218.816.519.017.720.417.019.219.7
BOND 16.015.016.018.916.016.918.216.619.324.319.622.624.3
TFI 15.815.117.319.613.813.516.920.522.027.927.929.728.1
SMB 15.619.719.322.116.014.515.918.613.618.317.417.917.4
PVI 15.420.218.724.919.115.215.317.111.415.113.814.915.1
VGSH 15.218.919.124.118.517.717.119.215.520.818.520.020.0
BAB 14.714.715.019.216.216.717.016.423.232.523.728.934.1
BSV 14.517.018.022.017.517.417.019.117.121.519.221.221.9
TDTT 14.416.217.722.617.915.515.115.614.017.514.115.614.6
SUB 14.217.817.321.015.112.613.416.312.116.815.417.015.2
SCHO 14.117.718.422.817.816.315.817.914.319.416.017.717.6
SHY 14.018.118.222.517.416.515.917.714.519.216.818.518.7
ELD 13.712.521.219.928.325.725.927.630.833.229.436.234.9
AGZ 13.616.617.622.117.516.218.018.217.522.718.619.419.6
GVI 13.014.515.118.714.715.915.416.716.521.218.419.920.8
SHM 12.715.715.619.014.212.414.116.712.918.017.018.817.4
BND 12.713.113.916.812.614.315.114.918.123.320.722.523.6
SCHZ 12.012.213.416.211.813.313.813.816.021.618.019.921.0
BIV 11.912.112.915.311.814.014.314.718.422.520.322.424.0
AGG 11.711.812.815.711.312.713.613.615.620.817.119.320.9
GBF 11.512.413.215.812.612.413.213.315.621.318.220.522.3
VMBS 11.410.812.414.810.512.313.012.114.818.718.319.822.1
LEMB 11.310.811.012.314.012.511.714.115.915.314.613.815.9
GTIP 11.311.312.715.312.511.311.611.211.917.113.214.313.9
TIP 11.211.612.615.912.311.412.011.512.018.112.914.213.7
MBB 11.210.611.814.010.311.912.612.014.419.015.516.918.4
SCHP 10.911.112.015.211.711.011.811.211.617.012.513.913.4
TDTF 10.812.313.516.512.611.812.311.912.316.312.714.013.5
EMLC 10.510.610.212.015.113.412.014.520.719.319.018.821.7
TIPZ 10.411.011.714.611.410.410.510.411.015.511.712.912.6
IEI 10.311.112.715.611.212.712.713.913.918.615.316.517.7
VGIT 9.910.411.915.010.712.112.513.114.119.116.017.318.5
BLV 9.68.18.710.58.89.410.59.215.224.621.124.827.1
EBND 9.59.09.711.713.413.411.514.119.417.517.719.020.6
SCHR 9.39.811.013.610.010.811.211.812.216.213.214.315.6
WIP 8.97.68.19.39.29.68.79.211.413.810.712.211.6
ISHG 8.69.09.911.910.511.510.614.316.715.214.814.614.4
IGOV 8.27.98.510.89.89.89.511.119.719.718.118.115.7
IEF 7.97.89.011.48.69.510.19.811.215.412.213.114.6
BWX 7.87.08.210.39.29.39.310.414.914.313.013.613.2
SJB 7.38.79.914.79.48.28.38.56.99.38.18.28.0
BWZ 7.37.98.811.89.09.39.410.611.713.311.412.511.9
TLH 7.26.67.38.87.57.78.48.010.015.511.412.313.5
VGLT 6.86.26.88.06.87.28.27.69.414.811.312.213.7
LTPZ 6.45.76.06.96.76.77.56.98.213.09.29.99.5
TLT 6.15.76.27.36.36.67.46.98.313.110.110.711.8
EDV 5.64.95.25.65.65.46.65.47.412.49.710.311.5
UST 5.54.75.76.05.86.57.37.08.511.59.910.011.3
ZROZ 4.94.34.75.04.94.95.44.46.29.88.68.69.3
TYD 3.83.23.94.33.95.25.64.87.09.68.58.29.2
UBT 3.42.93.53.73.44.14.43.65.68.57.37.48.5
TMF 2.31.11.71.82.02.52.61.93.95.95.05.06.3

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Any symbols marked with * are not shown in the data tables because they are either filtered out
by the above settings, not valid symbols, or are low volume ETF's not updated intra-day.

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