Quotes First Trust Low Duration Global Government Bond UCITS ETF - D - EUR

ETF

IE00BKS2X317

Market Closed - BOERSE MUENCHEN 06:30:22 31/07/2026 pm IST 5-day change 1st Jan Change
17.00 EUR -.--% Intraday chart for First Trust Low Duration Global Government Bond UCITS ETF - D - EUR -.--% -0.90%

Quotes 5-day view: First Trust Low Duration Global Government Bond UCITS ETF - D - EUR

Real-time BOERSE MUENCHEN
First Trust Low Duration Global Government Bond UCITS ETF - D - EUR : Historical Chart (5-day)
  27/07/2026 28/07/2026 29/07/2026 30/07/2026 31/07/2026
Last €17.00 €17.00 €17.00 €17.00 €17.00
Change -.--% -.--% -.--% -.--% -.--%

Other stock markets

Markets Price Change Volume
Euronext Amsterdam FSOV
FSOV Real-time 16.99EURETF First Trust Low Duration Global Government Bond UCITS ETF - D - EUR-0.06%0
Deutsche Boerse AG
Delayed quote 16.98EURETF First Trust Low Duration Global Government Bond UCITS ETF - D - EUR-0.15%0
Xetra
Real-time -EURETF First Trust Low Duration Global Government Bond UCITS ETF - D - EUR-.--%0
BOERSE MUENCHEN
Real-time 17.00EURETF First Trust Low Duration Global Government Bond UCITS ETF - D - EUR-.--%0
Börse Stuttgart
Delayed quote 16.97EURETF First Trust Low Duration Global Government Bond UCITS ETF - D - EUR-0.14%0
Xetra
Delayed quote 17.00EURETF First Trust Low Duration Global Government Bond UCITS ETF - D - EUR-0.07%0
London S.E. FGOV
FGOV Delayed quote 1,479.70GBXETF First Trust Low Duration Global Government Bond UCITS ETF - GBP Hedged-0.13%0

Performance

1 month-0.22%
3 months-0.01%
6 months-1.25%
Current year-0.90%
1 year-1.48%

Indicators

Moving average 5 days
17
Moving average 20 days
17
Moving average 50 days
17.05
Moving average 100 days
17.03
Price spread / (MMA5)
-.--%
Price spread / (MMA20)
+0.03%
Price spread / (MMA50)
+0.31%
Price spread / (MMA100)
+0.22%
RSI 9 days
28.29
RSI 14 days
32.83

Historical Quotes: First Trust Low Duration Global Government Bond UCITS ETF - D - EUR

DateOpeningHighLowCloseVolumeChange

Description

IE00BKS2X317
Total Expense Ratio 0.55%
Asset Class Fixed Income
Currency
Provider

Features and characteristics

Dividend Policy Distribution
Jurisdiction
Date of creation
18/11/2019
Credit Rating
Geographical Focus

Distribution

Retail investor

AuM evolution - 27/02/2026

AuM (EUR) 59.38L
AuM 1M 58.81L
AuM 3 months 59.19L
AuM 6 months 62.47L
AuM 12 months 91.58L
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