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BIL
Description

BIL was created on 2007-05-25 by SPDR. The fund's investment portfolio concentrates primarily on investment grade fixed income. The ETF currently has 42683.18m in AUM and 28 holdings. BIL tracks a market-weighted index of all publicly issued zero-coupon US Treasury bills with a maturity of at least 1 month, but less than 3 months.

NYSE/NASDAQ

ETF - A bundle of shares

Performance
$91.51

USD

▲ $0.14 (0.15%)

14th February 2026, 12:59 a.m.

1M
1Y
10Y
GRAPH
TABLE
GRAPH
TABLE

* US price history does not take into account stock splits

If I had invested $1,000 in BIL 10 years ago, today I would have...

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Quick facts
N/A Growth

5 year average annual growth

▲ 1.40% Dividends

5 year average dividend yield

$15 AUD minimum investment

Due to minimum AUD to USD conversion

$2,744.60 USD median portfolio

Median amount held by the community

Distributions

Annual dividend yield

1.18%

Average franked amount

0%

5 year avg. dividend yield (p.a.)

1.40%

Dividend reinvestment

Learn more

Highest franked amount

N/A

Payout dates

See dividend history

Estimate how much you could earn in dividends

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Costs

PURCHASE FEE

$6.50 AUD (or $5.50 with Pearler Prepay)

MANAGEMENT FEE

0.14% p.a.
Advanced information

Leveraged

No

P/E ratio

0.00

Inverse

No

P/B ratio

0.00

Expense ratio

0.1356

Inception date

2007-05-25
Community insights
General statistics
2 investors hold BIL
35 weeks average time between investments
$10,366 average holding per investor
156 days since last community investment
Demographics
Income of investors

100k - 150k

67%

Less than 50k

33%

50k - 100k

0%

150k - 200k

0%

More than 200k

0%
Age of investors

26-34 years old

50%

35-90 years old

50%

18-25 years old

0%
Legal gender of investors
50% male
50% female
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Pricing data reflects the most recent end-of-day traded price. Live pricing is shown at the time of buy/sell and may differ from what's displayed here. Other data is provided by our data partner, last updated on 11 February 2026, and may have changed since.

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