Investment Grade—Interest Rate Hedged - IGHG Investment Grade—Interest Rate Hedged

ProShares Investment Grade—Interest Rate Hedged seeks investment results, before fees and expenses, that track the performance of the FTSE Corporate Investment Grade (Treasury Rate-Hedged) Index.

  • Provides the return potential of a diversified portfolio of investment grade corporate bonds
  • Targets zero interest rate risk by including a built-in hedge against rising rates that uses short positions in U.S. Treasury futures
  • Generally offers lower interest rate sensitivity than short-term bonds by targeting a duration of zero
  • Learn more about ProShares Interest Rate Hedged Bond ETFs.
  • Learn how an interest rate hedged bond strategy compared in a rising rate environment.
  • Read our tax loss harvesting report on why IGHG could be a smart replacement in a rising rate environment.

Fund Snapshot

Ticker IGHG
Intraday Ticker IGHG.IV
CUSIP 74347B607
Inception Date 11/5/13
Expense Ratio 0.30%
NAV Calculation Time 3:00 p.m. ET
Distributions Monthly

Fund Sectors as of 9/30/21

Finance 39.71%
Industrial - Service 16.46%
Industrial - Manufacturing 16.09%
Industrial - Energy 10.06%
Utility - Telecommunications 9.77%
Industrial - Consumer 6.45%
Utility - Electric 0.99%
Industrial - Transportation 0.46%

Fund Characteristics as of 10/31/21 **

Distribution Yield 2.35%
Weighted Average Yield to Maturity 2.80%
SEC 30-Day Yield 2.51%
Net Effective Duration -0.01

** The cost of the interest rate hedge (using Treasury futures) is reflected in the NAV, not in the yields. Net effective duration is as of the first business day following the as of date noted.

Price Information as of 12/1/21 **

NAV $73.95
NAV Change -$0.28
Market Price Closing $73.77
Market Price Closing Change -$0.21
Daily Trading Volume 117,568
30-Day Median Bid Ask Spread 0.12%

** The cost of the interest rate hedge (using Treasury futures) is reflected in the NAV, not in the yields.


IGHG Performance Chart

Chart data from Thomson Reuters. Chart is updated nightly to reflect the more recent of the previous day's market closing price or the closing price on the day the fund was last traded. Data is delayed at least 15 minutes.