The Barclays 1-3 Month T-Bill fund is an exchange traded fund (ETF) within the SPDR family.
Within the SPDR family of funds, the most positively correlated other funds are S&P Emerging Markets Dividend, Barclays International High Yield Bond, MSCI Australia Quality Mix, MSCI Canada Quality Mix, S&P Russia.
Outside of the SPDR family, the most positively correlated other funds are iShares - Short Treasury Bond ETF, iShares - Commodity Optimized Trust, iShares - MSCI Brazil Small-Cap ETF, PowerShares - Multi-Strategy Alternative Portfolio, iShares - MSCI Colombia Capped ETF.
|96.0%||SHV||iShares||Short Treasury Bond ETF|
|94.2%||CMDT||iShares||Commodity Optimized Trust|
|93.2%||EWZS||iShares||MSCI Brazil Small-Cap ETF|
|92.9%||LALT||PowerShares||Multi-Strategy Alternative Portfolio|
|91.4%||ICOL||iShares||MSCI Colombia Capped ETF|
|KBWP||PowerShares||KBW Property & Casualty Insurance Portfolio||-96.8%|
|IWY||iShares||Russell Top 200 Growth ETF||-96.4%|
|PSCH||PowerShares||S&P SmallCap Health Care Portfolio||-96.2%|
|SPLV||PowerShares||S&P 500 Low Volatility Portfolio||-95.5%|
|USMV||iShares||MSCI USA Minimum Volatility ETF||-95.5%|
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