WisdomTree

USFRWisdomTree USD Floating Rate Treasury Bond UCITS ETF - USD

ISIN: IE00BJFN5P63

0.15%

Total expense ratio (TER)

As of 02/07/2026

21 March 2019

Inception Date

US$214,369,138

Fund AUM

As of 02/07/2026

USD

Base currency

Overview

Product Description

The WisdomTree USD Floating Rate Treasury Bond UCITS ETF (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the Bloomberg Barclays U.S. Treasury Floating Rate Bond Index. Learn more about the Index that USFR is designed to track.

Why USFR?

  • Diversified exposure to the newly issued US government floating rate notes (first issuance in January 2014)
  • The yield of FRNs is expected to better reflect the changes in US short term interest rates
  • Reduce corporate credit risk and gain exposure to US government backed coupons
  • Lower duration exposure using US Treasury FRNs
  • Physically replicated, and UCITS compliant

Potential Risks

  • Credit risk: Investment grade government bonds may still be subject to credit difficulties leading to the loss of some or all of the sums invested.
  • The Fund’s coupon payment may decline when US short term interest rates fall.
  • Liquidity risk: It may be difficult for the Fund to buy or sell certain investments in some market conditions.
  • This list does not cover all risks-further risks are disclosed in the KIID and Prospectus.

Fund Overview

Product OverviewAs of 02/07/2026
ISINIE00BJFN5P63
Asset ClassFixed Income
Base CurrencyUSD
Inception Date21 March 2019
Currency HedgedNo
Dividend FrequencyQuarterly
Use of IncomeDistributing
Net Asset ValueAs of 02/07/2026
NAVUS$50.294
Daily Change-US$0.443
Daily return-0.874%
Total AUM of fundUS$214,369,138
Issuer AUMUS$16,793,484,483
Portfolio CharacteristicsAs of 29/06/2026
Weighted Average Coupon3.88%
Average Years to Maturity0.92
Effective Duration0.02
Average Yield to Maturity3.82%
Yield to Worst3.82%

The information in this table may be delayed data. The information contained in this material is derived from proprietary and non-proprietary sources. As such, no warranty of accuracy or reliability is given and no responsibility arising in any other way for errors and omissions is accepted by WisdomTree. Reliance upon information in this material is at the sole discretion of the reader.

Structure

StructureAs of 02/07/2026
Legal FormIrish Collective Asset-management Vehicle (ICAV)
StructureOpen-ended Exchange Traded Fund
Replication MethodPhysical, Fully Replicated
DomicileIreland
IssuerWisdomTree Issuer ICAV
Financial Year End31 December
UCITS CompliantEligible
Further Legal and Tax InformationAs of 02/07/2026
ISAEligible
SIPPEligible
UCITS EligibleYes
UK Reporting StatusNo
PEA EligibleNo

Key Service Providers

Key Service ProvidersAs of 02/07/2026
CustodianThe Bank of New York Mellon SA/NV, Dublin Branch
AdministratorBNY Mellon Fund Services (Ireland) Designated Activity Company
AuditorDeloitte Ireland LLP
Fund ManagerIrish Life Investment Managers
FeesAs of 02/07/2026
Total expense ratio (TER)0.15%

Registered Countries

Austria
Denmark
Finland
France
Germany
Ireland
Italy
Luxembourg
Netherlands
Norway
Spain
Sweden
United Kingdom

Holdings

As of 02/07/2026

NameWeight (%)
Us Treasury Frn 10/31/2027 (BV3PBK5)12.47
Us Treasury Frn 7/31/2027 (BTY0CX5)12.46
Us Treasury Frn 4/30/2027 (BN2RK98)12.46
Us Treasury Frn 1/31/2028 (BWQLSD9)12.45
Us Treasury Frn 10/31/2026 (BSZ7PJ5)12.45
Us Treasury Frn 4/30/2028 (BTWP759)12.45
Us Treasury Frn 7/31/2026 (BRC1720)12.45
Us Treasury Frn 1/31/2027 (BSPRXX5)12.45
CASH W-O0.37
Remaining Portfolio0

*Holdings are subject to change without notice.

Sector Breakdown

As of 01/07/2026

NameWeight (%)
Government
99.63
Other
0.37

*Sectors are subject to change without notice

Country Allocation

CountryWeight (%)
United States99.63%
Unknown0.37%

Listings & Codes

CountryExchangeTrading CurrencyExchange TickerBloomberg TickerRICSEDOLISINWKNListing Date
LSEUSDUSFRUSFR LNUSFR.LBJFN5Q7IE00BJFN5P63A2PHF926/03/2019
BMVMXNUSFR1USFR1N MMUSFR1.MXBM9S376IE00BJFN5P63A2PHF913/12/2023

Recent Distributions

Ex-Dividend DateRecord DatePayable DateOrdinary IncomeShort Term Capital GainsLong Term Capital GainsReturn of CapitalTotal Distribution
02/07/202603/07/202617/07/2026US$0.45150US$0.00000US$0.00000US$0.00000US$0.45150
02/04/202607/04/202620/04/2026US$0.47470US$0.00000US$0.00000US$0.00000US$0.47470
02/01/202605/01/202616/01/2026US$0.46870US$0.00000US$0.00000US$0.00000US$0.46870
02/10/202503/10/202517/10/2025US$0.53870US$0.00000US$0.00000US$0.00000US$0.53870

Index Details

Bloomberg US Treasury Floating Rate Bond Index

The Index is rules-based, market value weighted, and designed to measure the performance of floating rate U.S. Treasury bonds (“FRNs”). Unlike fixed-coupon-rate U.S. Treasury bonds, the coupon rates of the FRNs are expected to reset weekly based on the results of the most recent 13- week U.S. Treasury bill auction. The inception date of the Index is 1st February 2014, which coincides with the first FRN issued by U.S. government under the floating rate program.

Index Details
Index NameBloomberg US Treasury Floating Rate Bond Index
CurrencyUSD
Index ProviderBloomberg
Bloomberg TickerBTFLTRUU

Responsible Investing

SFDR Disclosure

The EU Sustainable Finance Disclosures Regulation (SFDR) took effect on 10 March 2021 as part of the EU Action Plan on Sustainable Finance. The SFDR lays down harmonised sustainability related disclosure rules for EU financial market participants and advisors and requires certain sustainability disclosures to be made for financial products which promote environmental or social characteristics (Article 8 SFDR) and funds which have a sustainable investment objective (Article 9 SFDR).

There are different SFDR product categorisations for these sustainability disclosure requirements:

+ Article 6 products: require disclosures relating to the manner in which sustainability risks are integrated into the decision-making process.
+ Article 8 products: promote, among other characteristics, environmental or social characteristics or a combination of those characteristics, provided that the companies in which the investments are made follow good governance practices.
+ Article 9 products: have sustainable investment as their objective

Please refer to EU regulation guidelines for more details: https://www.esma.europa.eu/sections/sustainable-finance

SFDR categorisations

SFDR Disclosure

Article 6

ESG Characteristics

Historical Data

Choose a date range and export historical NAV and AUM data as XLSX.

From Date
To Date

DISCLAIMERS

The products discussed in this document are issued by WisdomTree Issuer ICAV (“WT Issuer”). WT Issuer is an umbrella investment company with variable capital having segregated liability between its funds organised under the laws of Ireland as an Irish Collective Asset-management Vehicle and authorised by the Central Bank of Ireland (“CBI”). WT Issuer is organised as an Undertaking for Collective Investment in Transferable Securities (“UCITS”) under the laws of Ireland and shall issue a separate class of shares ("Shares”) representing each fund.

The Fund is described in a Key Information Document (KID) or Key Investor Information Document (KIID) for UK investors, and the prospectus of WT Issuer (“WT Prospectus”). A copy of the WT Prospectus and the KID / KIID is available, for EEA/UK only, in English at www.wisdomtree.com . Where required under national rules, the KID will also be available in the local language of the relevant EEA Member State. Investors should read the WT Prospectus before investing and should refer to the section of the WT Prospectus entitled ‘Risk Factors’ for further details of risks associated with an investment in the Shares.

The summary of investor rights associated with an investment in the fund is available in English on WisdomTree Europe’s website. WisdomTree Management Limited may decide to terminate the arrangements made for the marketing of its collective investment undertakings. In such circumstances, shareholders in the affected EEA Member State will be notified of this decision and will be provided with the opportunity to redeem their shareholding in the fund free of any charges or deductions for at least 30 working days from the date of such notification.

“BLOOMBERG®” and the Bloomberg indices listed as index components therein (the “Bloomberg Indices”) are service marks of Bloomberg Finance L.P. and its affiliates, including Bloomberg Index Services Limited (“BISL”), the administrator of the Bloomberg Indices (collectively, “Bloomberg”) and have been licensed for use for certain purposes by WisdomTree Issuer ICAV as the umbrella Irish collective asset-management vehicle of the Fund (the “Licensee”). Bloomberg is not affiliated with Licensee, and Bloomberg does not approve, endorse, review, or recommend the Fund. Bloomberg does not guarantee the timeliness, accuracy, or completeness of any data or information relating to the Fund.

This product is based overseas and is not subject to UK sustainable investment labelling and disclosure requirements. Please refer to the FCA website which details further information in relation to sustainability disclosure requirements.

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Important Risk Information

Jurisdictions in the European Economic Area (“EEA”): This website and its content has been provided by WisdomTree Ireland Limited, which is authorised and regulated by the Central Bank of Ireland.


Jurisdictions outside of the EEA: This website and its content has been provided by WisdomTree UK Limited, which is authorised and regulated by the United Kingdom Financial Conduct Authority.

The price of any Shares or the value of an investment in ETPs may go up or down and an investor may not get back the amount invested. Past performance is not a reliable indicator of future performance. This material is not intended to be relied upon as a forecast, research or investment advice, and is not a recommendation, offer or solicitation to buy or sell any financial instrument or product or to adopt any investment strategy.

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