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iShares € Aggregate Bond ESG SRI UCITS ETF

SEAG

Tracks: Bloomberg MSCI Euro Aggregate and Green Bond ESG SRI Index (EUR)

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AUM

EUR 1.54B

large

TER

0.16%

YTD Return

+1.20%

Currency

EUR

Replication

Sampled

Inception

2009-03-06

Dividend

Distributing

Domicile

Ireland

Asset Class

Fixed Income

SRIESG Exclusion

Classification

Asset ClassFixed Income
Management StylePassive (Index)
DistributionDistributing
AUM TierLarge ($1–10B)
IndexBloomberg MSCI Euro Aggregate and Green Bond ESG SRI Index ( )
Currency TreatmentUnhedged
ReplicationPhysical — Optimised Sampling
Legal StructureUCITS
UCITS EligibleYes

Fixed Income Details

SectorAggregate (Blended)
Credit QualityA

The fund aims to achieve a return on your investment, through a combination of capital growth and income on the Fund’s assets, which reflects the return of the Bloomberg MSCI Euro Aggregate and Green Bond ESG SRI Index (EUR), the Fund’s benchmark index.

as of 2026-07-28

2026 (6M)

+1.20%

YTD

+1.20%

30-Day

Monthly Returns

YearJanFebMarAprMayJunJulAugSepOctNovDecAnnual
2026+0.70%+1.17%-2.53%+0.46%+1.03%+0.41%
2025+0.02%+0.67%-1.58%+1.67%+0.17%-0.11%+0.01%-0.24%+0.36%+0.80%-0.10%-0.48%+1.16%
2024-0.34%-1.09%+1.08%-1.27%+0.03%+0.32%+2.03%+0.43%+1.22%-0.75%+1.95%-1.11%+2.46%
2023+2.24%-2.09%+2.03%+0.11%+0.35%-0.33%+0.16%+0.29%-2.11%+0.37%+2.74%+3.27%+7.09%
2022-1.16%-2.20%-2.15%-3.46%-1.55%-2.41%+4.21%-4.85%-3.79%+0.09%+2.41%-3.60%-17.31%
2021-0.49%-1.57%+0.10%-0.73%-0.11%+0.37%+1.55%-0.49%-1.09%-0.64%+1.22%-1.18%-3.06%
2020+1.92%+0.33%-3.42%+1.21%+0.19%+0.96%+1.01%-0.56%+1.00%+0.82%+0.25%+0.14%+3.81%
2019+0.94%-0.09%+1.59%+0.11%+0.80%+1.87%+1.45%+1.90%-0.56%-0.93%-0.64%-0.69%+5.83%
2018-0.47%+0.10%+1.06%-0.28%-0.70%+0.45%-0.22%-0.26%-0.28%-0.04%+0.24%+0.63%+0.21%
2017-1.50%+1.03%-0.49%+0.44%+0.43%-0.54%+0.26%+0.78%-0.40%+0.97%+0.17%-0.63%+0.48%
2016+1.51%+0.83%+0.55%-0.71%+0.79%+1.76%+0.94%-0.13%+0.14%-1.64%-1.38%+0.54%+3.17%
2015+1.71%+0.61%+0.83%-1.05%-1.16%-2.22%+1.81%-0.88%+0.69%+0.97%+0.46%-0.91%+0.79%
2014+1.83%+0.55%+0.69%+0.85%+0.94%+0.89%+0.74%+1.58%+0.12%+0.32%+1.01%+0.83%+10.85%
2013-0.72%+0.57%+0.58%+2.02%-0.95%-1.56%+0.71%-0.48%+0.71%+1.25%+0.28%-0.56%+1.82%
2012+1.93%+1.62%+0.35%-0.04%+1.06%-0.77%+1.80%+0.82%+0.95%+0.79%+1.18%+0.80%+10.97%
2011-0.54%+0.23%-0.51%+0.68%+0.92%-0.35%+0.54%+1.71%+0.37%-0.77%-2.32%+3.14%+3.06%
2010+0.83%+0.99%+0.73%-0.17%+0.80%-0.25%+0.79%+2.41%-0.96%-0.40%-2.03%-0.42%+2.28%
2009+1.03%-0.41%+1.18%+1.98%+0.62%+0.77%+0.22%+0.66%-0.60%