<?xml version="1.0" encoding="UTF-8"?>
<rss version="2.0" xmlns:atom="http://www.w3.org/2005/Atom">
<channel>
<title>Ishares $ Treasury Bond Ucits Etf Gbp Hedged (dist) — News on 6ix</title>
<link>https://6ix.com/company/ishares-dollar-treasury-bond-ucits-etf-gbp-hedged-dist</link>
<description>Latest news and press releases for Ishares $ Treasury Bond Ucits Etf Gbp Hedged (dist) on 6ix.</description>
<language>en-us</language>
<lastBuildDate>Fri, 27 Mar 2026 07:10:00 GMT</lastBuildDate>
<generator>6ix RSS</generator>
<atom:link href="https://6ix.com/rss/company/ishares-dollar-treasury-bond-ucits-etf-gbp-hedged-dist" rel="self" type="application/rss+xml" />
<item>
<title>Net Asset Value(s)</title>
<link>https://6ix.com/company/ishares-dollar-treasury-bond-ucits-etf-gbp-hedged-dist/news/net-asset-values-248</link>
<guid isPermaLink="true">https://6ix.com/company/ishares-dollar-treasury-bond-ucits-etf-gbp-hedged-dist/news/net-asset-values-248</guid>
<pubDate>Fri, 27 Mar 2026 07:10:00 GMT</pubDate>
<description>Net Asset Value(s).</description>
</item>
<item>
<title>Dividend Declaration</title>
<link>https://6ix.com/company/ishares-dollar-treasury-bond-ucits-etf-gbp-hedged-dist/news/dividend-declaration-233</link>
<guid isPermaLink="true">https://6ix.com/company/ishares-dollar-treasury-bond-ucits-etf-gbp-hedged-dist/news/dividend-declaration-233</guid>
<pubDate>Thu, 04 Sep 2025 06:00:00 GMT</pubDate>
<description>iShares PLC announced an interim distribution for the iShares $ Treasury Bond UCITS ETF GBP Hedged (Dist) fund. The announcement date is September 4, 2025, with an ex-date of September 11, 2025, and a record date of September 12, 2025. The payment date is scheduled for September 24, 2025. The distribution rate for the fund, with ISIN IE00BKTN1T54 and denominated in GBP, is 0.0829.
Disclaimer*</description>
</item>
<item>
<title>Net Asset Value</title>
<link>https://6ix.com/company/ishares-dollar-treasury-bond-ucits-etf-gbp-hedged-dist/news/net-asset-value-26</link>
<guid isPermaLink="true">https://6ix.com/company/ishares-dollar-treasury-bond-ucits-etf-gbp-hedged-dist/news/net-asset-value-26</guid>
<pubDate>Fri, 11 Apr 2025 06:10:00 GMT</pubDate>
<description>Net Asset Value.</description>
</item>
</channel>
</rss>