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$rIEF

$rIEF

iShares 7-10 Year Treasury Bond ETF Bitget

iShares 7-10 Year Treasury Bond ETF is a baseline fixed-income fund tracking intermediate-term US sovereign debt obligations. Its targeted duration profile provides high price sensitivity to federal interest rate adjustments, acting as a reliable multi-asset equity portfolio volatility dampener and capital flight repository during flight-to-safety macro liquidations.

U.S. Treasury Funds
Non-U.S. Investor

Total Asset Value

$5,914.13

6.03%from 30d ago

Net Asset Value

$92.18

0.69%from 30d ago

Holders

0

iShares 7-10 Year Treasury Bond ETF Bitget Metrics

Key Facts

Name
iShares 7-10 Year Treasury Bond ETF Bitget
Ticker
rIEF
CUSIP
ISIN
Platform
Tokenization Type
Type
Manager
Underlying Assets
Eligible Investors
Inception Date
01/01/2026
Use Of Income
Management Fees
0%
Performance Fees
0%

Market Data

Total Value
$5,914
NAV
$92.18
Price
Token Supply
64.16
Circulating Supply
64.16
7D APY
30D APY
Holders
Trailing 30D Active Addresses
Monthly Transfer Count
3
Monthly Transfer Volume
$0

Tokens

Network
Type
Tokenization Type
Token Standard
Token Supply
Circulating Supply
Bridged Supply
Holders
Trailing 30D Active Addresses
Monthly Transfer Volume
Monthly Transfer Count
Contract Address
Native
ERC-20
64.16

Primary Market

Eligible Investors
Non-U.S. Investor
Base Assets
USDCUSDT
Subscription Time
Instant
Min. Investment
20 USDC
Subscription Fees
0.10%
Subscription Description
Redemption Time
Instant
Minimum Redemption Amount
0 USDC
Redemption Fees
0.10%
Redemption Description
KYC Description

Service Providers

Platform
Manager
Sub-Advisor

Custodian

Legal Identifier

Crypto Custodian
Fund Administrator
Traditional Broker
Crypto Broker
Auditor
Transfer Agent
Paying Agent

Legal & Regulatory

Issuer
BG El Salvador
Issuer LEI
Issuer CIK
Domicile
El Salvador Flag
El Salvador
Regulatory Framework

El Salvador Digital Asset Law (LEAD), U.S. Securities Act Reg. S Exemption

Dispute Resolution Country
Account Segregation
Bankruptcy Remote
Deposit Insurance
Terms

Fees

Management Fees
0%
Performance Fees
0%
Other Fees
Redemption Fees
0.10%
Subscription Fees
0.10%