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Qatar Index
10,021.90
-1.4%
DFM Index
5,510.99
-0.1%
TASI
11,078.89
-0.1%
Emirates NBD
27.60
-3.2%
Dubai Electricity & Water Authority
2.65
+0.4%
EMAAR
12.10
-0.4%
EMAARDEV
13.75
0.0%
ADNOC GAS
3.24
0.0%
First Abu Dhabi Bank
17.38
-1.0%
Emirates Telecom
18.78
+0.6%
Abu Dhabi Commercial Bank
12.64
+0.8%
ALRAJHI
104.10
-0.2%
SNB
41.70
-1.9%
MAADEN
63.70
-1.2%
SABIC
58.40
-0.9%
Boubyan Bank
0.68
-0.6%
GULF BANK
0.33
+0.6%
Commercial Bank Of Kuwait
0.47
-3.3%
Burgan Bank
0.21
0.0%
QNB
16.68
-1.3%
Industries Qatar
10.66
-1.8%
Qatar Islamic Bank
22.32
-1.2%
Ooredoo
12.19
-3.5%
Qatar Index
10,021.90
-1.4%
DFM Index
5,510.99
-0.1%
TASI
11,078.89
-0.1%
Emirates NBD
27.60
-3.2%
Dubai Electricity & Water Authority
2.65
+0.4%
EMAAR
12.10
-0.4%
EMAARDEV
13.75
0.0%
ADNOC GAS
3.24
0.0%
First Abu Dhabi Bank
17.38
-1.0%
Emirates Telecom
18.78
+0.6%
Abu Dhabi Commercial Bank
12.64
+0.8%
ALRAJHI
104.10
-0.2%
SNB
41.70
-1.9%
MAADEN
63.70
-1.2%
SABIC
58.40
-0.9%
Boubyan Bank
0.68
-0.6%
GULF BANK
0.33
+0.6%
Commercial Bank Of Kuwait
0.47
-3.3%
Burgan Bank
0.21
0.0%
QNB
16.68
-1.3%
Industries Qatar
10.66
-1.8%
Qatar Islamic Bank
22.32
-1.2%
Ooredoo
12.19
-3.5%
Chimera iBoxx US Treasury Bill ETF – Share Class B – Income | premargin
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Chimera iBoxx US Treasury Bill ETF – Share Class B – Income
·
AE
ADX
·
General Disclosure | Announcements
·
March 2, 2026
·
View on exchange
AI Summary
Chimera iBoxx US Treasury Bill ETF (USTBILL) completed its monthly portfolio revision for February 2026.
One US Treasury bill with ISIN US912797TY36 was added to the fund during the period.
Three US Treasury bills reached maturity and were removed from the portfolio: ISINs US912797PM34, US912797SS76, and US912797RU32.
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Attachments
Chimera iBoxx US Treasury Bill ETF – Share Class B – Income
Chimera iBoxx