Fixed Income

TIP

iShares TIPS Bond ETF

Overview

Loading

Performance

Performance

Growth of Hypothetical $10,000

View full chart

Distributions

View full table

Premium/Discount

  1y 3y 5y 10y Incept.
5.71 2.17 1.39 2.51 3.54
Market Price (%) 5.65 2.15 1.38 2.52 3.54
Benchmark (%) 5.88 2.33 1.60 2.67 3.70
After Tax Pre-Liq. (%) 4.64 0.82 -0.08 1.39 2.36
After Tax Post-Liq. (%) 3.36 1.07 0.44 1.44 2.29
  YTD 1m 3m 6m 1y 3y 5y 10y Incept.
4.62 0.97 0.42 4.62 5.71 6.66 7.15 28.10 112.03
Market Price (%) 4.71 0.94 0.43 4.71 5.65 6.60 7.11 28.27 111.98
Benchmark (%) 4.71 0.99 0.45 4.71 5.88 7.16 8.27 30.15 119.06
After Tax Pre-Liq. (%) 4.04 0.87 -0.14 4.04 4.64 2.47 -0.42 14.75 65.39
After Tax Post-Liq. (%) 2.73 0.57 0.25 2.73 3.36 3.25 2.21 15.41 63.02
  2020 2021 2022 2023 2024
Total Return (%) 10.91 5.52 -12.13 3.68 1.89
Market Price (%) 10.89 5.67 -12.25 3.81 1.65
Benchmark (%) 10.99 5.96 -11.85 3.60 2.06
The performance quoted represents past performance and does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than the original cost. Current performance may be lower or higher than the performance quoted.

Key Facts

Key Facts

Net Assets of Fund
as of Jul 11, 2025
$13,696,942,916
Exchange
NYSE Arca
Benchmark Index
ICE US Treasury Inflation Linked Bond Index (USD)
Shares Outstanding
as of Jul 11, 2025
125,400,000
Premium/Discount
as of Jul 11, 2025
0.10%
Closing Price
as of Jul 11, 2025
109.33
30 Day Median Bid/Ask Spread
as of Jul 11, 2025
0.01%
Fund Launch Date
Dec 04, 2003
Asset Class
Fixed Income
Bloomberg Index Ticker
ICETIP
Distribution Frequency
Monthly
CUSIP
464287176
30 Day Avg. Volume
as of Jul 11, 2025
2,588,236.00
Daily Volume
as of Jul 11, 2025
2,269,774.00

Portfolio Characteristics

Portfolio Characteristics

Number of Holdings
as of Jul 11, 2025
51
30 Day SEC Yield
as of Jul 11, 2025
4.99%
Standard Deviation (3y)
as of Jun 30, 2025
6.80%
Weighted Avg YTM
as of Jul 11, 2025
4.16%
Weighted Avg Maturity
as of Jul 11, 2025
7.02 yrs
Convexity
as of Jul 11, 2025
0.77
Equity Beta (3y)
as of Jun 30, 2025
0.32
12m Trailing Yield
as of Jul 11, 2025
2.44%
Real Yield
as of Jul 11, 2025
1.65%
Weighted Avg Coupon
as of Jul 11, 2025
1.09
Effective Duration
as of Jul 11, 2025
6.30 yrs
Option Adjusted Spread
as of Jul 11, 2025
-3.73 bps
This information must be preceded or accompanied by a current prospectus. For standardized performance, please see the Performance section above.

Fees

Fees

as of current prospectus
Management Fee 0.18%
Acquired Fund Fees and Expenses 0.00%
Other Expenses 0.00%
Expense Ratio 0.18%

The amounts shown above are as of the current prospectus, but may not include extraordinary expenses incurred by the Fund over the past fiscal year. Amounts are rounded to the nearest basis point, which in some cases may be "0.00".

Ratings

Ratings

Morningstar Rating

3 stars
Overall Morningstar Rating for iShares TIPS Bond ETF, as of Jun 30, 2025 rated against 141 Inflation-Protected Bond Funds based on risk adjusted total return.

Morningstar Medalist Rating

Morningstar Medalist Rating - BRONZE
Morningstar has awarded the Fund a Bronze medal. (Effective Nov 01, 2024)
Analyst-Driven % as of Nov 01, 2024
100.00
Data Coverage % as of Nov 01, 2024
100.00

Holdings

Holdings

as of Jul 11, 2025
Issuer Weight (%)
UNITED STATES TREASURY 99.90
Holdings are subject to change.


The values shown for “market value,” “weight,” and “notional value” (the “calculated values”) are based off of a price provided by a third-party pricing vendor for the portfolio holding and do not reflect the impact of systematic fair valuation (“the vendor price”). The vendor price is not necessarily the price at which the Fund values the portfolio holding for the purposes of determining its net asset value (the “valuation price”). Holdings data shown reflects the investment book of record, which may differ from the accounting book of record used for the purposes of determining the Net Assets of the Fund. Notional value represents the portfolio's exposures based on the economic value of investments and options are delta-adjusted. Additionally, where applicable, foreign currency exchange rates with respect to the portfolio holdings denominated in non-U.S. currencies for the valuation price will be generally determined as of the close of business on the New York Stock Exchange, whereas for the vendor price will be generally determined as of 4 p.m. London. The calculated values may have been different if the valuation price were to have been used to calculate such values. The vendor price is as of the most recent date for which a price is available and may not necessarily be as of the date shown above.

Please see the “Determination of Net Asset Value” section of each Fund’s prospectus for additional information on the Fund’s valuation policies and procedures.

Exposure Breakdowns

Exposure Breakdowns

as of Jul 11, 2025

% of Market Value

as of Jul 11, 2025

% of Market Value

The maturity breakdown above is based on Weighted Average Life (WAL). WAL is the average length of time to the repayment of principal for the securities in the fund. This metric considers the likelihood that bonds will be called or prepaid before the scheduled maturity date.

as of Jul 11, 2025

% of Market Value

Credit quality ratings on underlying securities of the fund are received from S&P, Moody’s and Fitch and converted to the equivalent S&P major rating category. This breakdown is provided by BlackRock and takes the median rating of the three agencies when all three agencies rate a security, the lower of the two ratings if only two agencies rate a security, and one rating if that is all that is provided. Unrated securities do not necessarily indicate low quality. Below investment-grade is represented by a rating of BB and below. Ratings and portfolio credit quality may change over time.
Allocations are subject to change.

Estimated Net Acquisition Yield Calculator

Estimated Net Acquisition Yield Calculator

Calculate the Estimated Net Acquisition Yield (ENA Yield) based on the projected market purchase price that you input. This estimate also reflects the deduction of the expense ratio (18 basis points).
The NAV (as of Jul 11, 2025) used in the calculation is $109.23. The value you enter should correspond to your estimated market purchase price as of Jul 11, 2025.
Please note that the results generated by the Estimated Net Acquisition Yield Calculator are for illustrative purposes only and are not representative of any specific investment outcome.
The Average Yield to Maturity shown is the weighted average yield to maturity of the individual bonds. During the final year of the fund's life, the underlying bonds will mature and the proceeds will be held in cash equivalents until the liquidation of the fund. The investor's total realized yield to fund maturity will be influenced by the yield earned on these proceeds during the final year. If the future yield on cash equivalents is lower than the current Average Yield to Maturity for the portfolio’s bonds, the realized yield to fund maturity is also expected to be lower and vice versa.

This fund does not seek to follow a sustainable, impact or ESG investment strategy. For more information regarding the fund's investment strategy, please see the fund's prospectus or, as applicable, shareholder report.

READY TO INVEST?

READY TO INVEST?

There are many ways to access iShares ETFs. Learn how you can add them to your portfolio.