The Barclays Short Term International Treasury Bond fund is an exchange traded fund (ETF) within the SPDR family.

Within the SPDR family of funds, the most positively correlated other funds are Barclays International High Yield Bond, S&P Emerging Markets Dividend, SSGA Multi-Asset Real Return, S&P Emerging Europe, S&P Emerging Latin America.

Outside of the SPDR family, the most positively correlated other funds are iShares - MSCI Colombia Capped ETF, iShares - Commodity Optimized Trust, PowerShares - DB Commodity Index Tracking Fund, iShares - 1-3 Year International Treasury Bond ETF, PowerShares - DB US Dollar Index Bearish Fund.

Similar Funds

We don't track any funds with an extremely high correlation (over 99%) to Barclays Short Term International Treasury Bond, but here are the most similar funds we track:
95.5% ICOL iShares MSCI Colombia Capped ETF
94.3% CMDT iShares Commodity Optimized Trust
94.2% DBC PowerShares DB Commodity Index Tracking Fund
94.2% ISHG iShares 1-3 Year International Treasury Bond ETF
93.5% UDN PowerShares DB US Dollar Index Bearish Fund

Performance for the previous 2 years


Positively Correlated SPDR ETFs
IJNK SPDR Barclays International High Yield Bond 92.4%
EDIV SPDR S&P Emerging Markets Dividend 88.4%
RLY SPDR SSGA Multi-Asset Real Return 86.3%
GUR SPDR S&P Emerging Europe 85.3%
GML SPDR S&P Emerging Latin America 85.3%
Negatively Correlated SPDR funds
SYG SPDR MFS Systematic Growth Equity -89.8%
XHE SPDR S&P Health Care Equipment -86.9%
SYE SPDR MFS Systematic Core Equity -84.1%
XHS SPDR S&P Health Care Services -82.9%
SST SPDR Barclays Short Term Treasury -82.7%

Positively Correlated Non-SPDR funds
ICOL iShares MSCI Colombia Capped ETF 95.5%
CMDT iShares Commodity Optimized Trust 94.3%
DBC PowerShares DB Commodity Index Tracking Fund 94.2%
ISHG iShares 1-3 Year International Treasury Bond ETF 94.2%
UDN PowerShares DB US Dollar Index Bearish Fund 93.5%
Negatively Correlated Non-SPDR funds
UUP PowerShares DB US Dollar Index Bullish Fund -95.7%
VMVFX Vanguard Mutual Funds Global Minimum Volatility -89.9%
VMNVX Vanguard Mutual Funds Global Minimum Volatility Admiral Shares -89.9%
KBWP PowerShares KBW Property & Casualty Insurance Portfolio -86.6%
SCHH Schwab Real Estate -85.9%

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