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iShares 20+ Year Treasury Bond ETF Chart, Factor Exposure & Free Data

iShares 20+ Year Treasury Bond ETF Price, Chart & Factor Exposure Free Data & Analytics Access

iShares 20+ Year Treasury Bond ETF · I.TLT · United States
Use symbol I.TLT in our API & Excel add-in to retrieve this data.
77.28
(+0.22%)
? Live Prices updated every 5-seconds. Momentum Factor ranges from -100 to +100 and is the mean of four timeframe signals (1 Day, 1 Week, 1 Month, 3 Months), where each timeframe is +1 if return is above 0 and -1 otherwise. Trend Factor ranges from -100 to +100 and is the mean of eight signals across 1-month, 3-months, 6-months, and 1-year, using price vs moving average and moving average slope (+1 or -1). A rollover occurs when trend flips sign. Bubble Risk is the z-score of current price vs 1-year price: (Current Price - 250 trading days SMA) / (250 days price standard deviation). Values above +2.5 indicate overbought; below -2.5 oversold. Realized Volatility (20-days) is the standard deviation of daily returns over the past 20 trading days multiplied by sqrt(252).
Momentum 50%
Trend 25%
Bubble Risk LOW
Volatility (20-Day Rolling) 8.86%

iShares 20+ Year Treasury Bond ETF Forecast

iShares 20+ Year Treasury Bond ETF short-term price forecast is aBUY since short-term momentum is 50.00%. iShares 20+ Year Treasury Bond ETF long-term forecast is aBUY since long-term trend is 25.00%. iShares 20+ Year Treasury Bond ETF price based on realized volatility has a forecasted price between 76.72 to 77.84 on a daily basis, 76.05 to 78.51 on a weekly basis, 74.72 to 79.84 on a monthly basis, and 68.42 to 86.14 on an annual basis.

iShares 20+ Year Treasury Bond ETF Price Chart

MacroFinance.ai

iShares 20+ Year Treasury Bond ETF Factors

Factor exposure for iShares 20+ Year Treasury Bond ETF — signals, relative value, risk-model betas and fundamentals, plus factor models published by contributors.

What each factor says now, and what the next week and month paid when it last said the same thing — annualised, against the volatility it came with.

Quantitative Factors

Factor Value Where in its own range Forward 1 week, annualised Forward 1 month, annualised n · hit Reading
in this state
return / vol
all history
return / vol
Sharpe in this state
return / vol
all history
return / vol
Sharpe
Momentum
0.5 signal, −1 to +1 no factor history — no forward return, and no volatility to measure it against Positive
Trend
0.25 signal, −1 to +1 no factor history — no forward return, and no volatility to measure it against Positive
Mean Reversion
0 price vs 250d mean no factor history — no forward return, and no volatility to measure it against Neutral
20DVol
-0.748 annualised no factor history — no forward return, and no volatility to measure it against Low

Country Factors

Factor Value Where in its own range Forward 1 week, annualised Forward 1 month, annualised n · hit Reading
in this state
return / vol
all history
return / vol
Sharpe in this state
return / vol
all history
return / vol
Sharpe
Manufacturing PMI
55.3 no factor history — no forward return, and no volatility to measure it against
S&P 500
7,704.13 no factor history — no forward return, and no volatility to measure it against
United States 10-Year Bond Yield
5.253 no factor history — no forward return, and no volatility to measure it against
US 2-year bond yield
4.904 no factor history — no forward return, and no volatility to measure it against
US Services PMI
50.9 no factor history — no forward return, and no volatility to measure it against

Annualised on trading-day offsets — the 1-week forward return is 5 trading days so ×50.4, the 1-month is 20 so ×12.6, volatility by the square root of the same. Sharpe is return ÷ volatility. No t-statistic: daily sampling overlaps these windows, so the observation count overstates the independent evidence behind them.

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About iShares 20+ Year Treasury Bond ETF (United States)

iShares 20+ Year Treasury Bond ETF (United States) is tracked on MacroFinance with a live and historical price chart, weekly factor-return attribution, statistical analysis (return distribution, drawdowns and seasonality), and free downloadable historical data (the last 10 years as CSV or JSON, no login).

Last updated: October 8, 2026

Frequently asked questions

What is iShares 20+ Year Treasury Bond ETF?
iShares 20+ Year Treasury Bond ETF is a financial market series for United States. This page shows its live price, historical chart, the factors driving its weekly returns, and statistical analysis.
What factors affect iShares 20+ Year Treasury Bond ETF?
The Factor Analysis section attributes iShares 20+ Year Treasury Bond ETF weekly returns to drivers such as interest rates, inflation, the US dollar, oil, earnings, liquidity and volatility, with a contribution ranking for the latest period.
Where can I download free iShares 20+ Year Treasury Bond ETF historical data?
Yes. The last 10 years of iShares 20+ Year Treasury Bond ETF daily data are free to download as CSV or JSON directly from this page, with no login required. A free account unlocks the full history, an Excel export with factors, and API access.
How is iShares 20+ Year Treasury Bond ETF analysed statistically?
The Statistical Analysis section covers the return distribution, drawdowns, monthly seasonality, volatility clustering and tail-risk metrics.
Is the iShares 20+ Year Treasury Bond ETF data updated in real time?
iShares 20+ Year Treasury Bond ETF shows a live/intraday chart plus end-of-day historical data updated daily.

Free iShares 20+ Year Treasury Bond ETF historical data (last 10 years)

Browse or instantly download the last 10 years of iShares 20+ Year Treasury Bond ETF daily price history. A free account unlocks the full history, an Excel export with factors, and API access.

Download CSV (10y)Download JSON (10y)Full history, Excel & API (free account)

DateClose
2026-10-075.600000
2026-10-065.640000
2026-10-055.620000
2026-10-025.760000
2026-10-015.920000
2026-09-305.770000
2026-09-295.810000
2026-09-286.180000
2026-09-256.180000
2026-09-246.200000
Loading last 10 years…

About this stock

Summerset Group Holdings Limited, together with its subsidiaries, develops, owns, and operates integrated retirement villages in New Zealand and Australia. The company provides living options and care services to residents. The company was founded in 1997 and is headquartered in Wellington, New Zealand. Summerset Group Holdings Limited operates as a subsidiary of New Zealand Central Securities Depository Limited.