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- NAV as of 29/Sept/2026USD 9.53
- 1 Day NAV Change as of 29/Sept/2026USD -0.02(-0.17%)
- Morningstar Rating
Performance
- DISTRIBUTIONS
This chart has been left intentionally blank as there is less than one year's performance data.
The figures shown relate to past performance. Past performance is not a reliable indicator of future performance. Markets could develop very differently in the future. It can help you to assess how the fund has been managed in the past
Performance is shown on a Net Asset Value (NAV) basis, with gross income reinvested where applicable. The return of your investment may increase or decrease as a result of currency fluctuations if your investment is made in a currency other than that used in the past performance calculation. Source: Blackrock
Key Risks
Credit risk, changes to interest rates and/or issuer defaults will have a significant impact on the performance of fixed income securities. Potential or actual credit rating downgrades may increase the level of risk.Counterparty Risk: The insolvency of any institutions providing services such as safekeeping of assets or acting as counterparty to derivatives or other instruments, may expose the Fund to financial loss.Credit Risk: The issuer of a financial asset held within the Fund may not pay income or repay capital to the Fund when due.Liquidity Risk: Lower liquidity means there are insufficient buyers or sellers to allow the Fund to sell or buy investments readily.Currency hedging may not completely eliminate currency risk in the Fund, and may affect the performance of the Fund.
Key Facts
Net Assets as of 29/Sept/2026 | USD 8,441,672 |
|---|---|
Inception Date | 13/Nov/2025 |
Share Class Currency | USD |
Asset Class | Fixed Income |
Index Ticker | BCIW1A |
Initial Charge | - |
Management Fee | 0.09% |
Performance Fee | - |
Minimum Subsequent Investment | USD 5,000.00 |
Domicile | Ireland |
Management Company | BlackRock Asset Management Ireland Limited |
Dealing Settlement | Trade Date + 3 days |
Bloomberg Ticker | IGNLBDU |
Net Assets of Fund as of 29/Sept/2026 | USD 2,364,026,799 |
|---|---|
Fund Launch Date | 11/Apr/2008 |
Base Currency | USD |
Benchmark Index | BBG World Government Inflation-Linked Bond Index (USD) |
SFDR Classification | Other |
Ongoing Charges Figures | 0.12% |
ISIN | IE0009MUJ3F4 |
Minimum Initial Investment | USD 100,000.00 |
Use of Income | Distributing |
Regulatory Structure | UCITS |
Morningstar Category | Global Inflation-Linked Bond - USD Hedged |
Dealing Frequency | Daily, forward pricing basis |
SEDOL | BT7JQJ3 |
Portfolio Characteristics
Number of Holdings as of 29/Sept/2026 | 2697 |
|---|---|
Standard Deviation (3y) as of - | - |
Yield to Maturity as of 29/Sept/2026 | 4.89 |
Weighted Average YTM as of 29/Sept/2026 | 2.39% |
Weighted Avg Maturity as of 29/Sept/2026 | 8.88 |
12 Month Trailing Dividend Distribution Yield as of 31/Aug/2026 | - |
|---|---|
3y Beta as of - | - |
Modified Duration as of 29/Sept/2026 | 7.95 |
Effective Duration as of 29/Sept/2026 | 7.96 |
WAL to Worst as of 29/Sept/2026 | 8.88 |
Risk Indicator
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Typically low rewardsTypically high rewards
Ratings
Holdings
Holdings subject to change
Exposure Breakdowns
% of Market Value as of
29/Sept/2026
Negative weightings may result from specific circumstances (including timing differences between trade and settle dates of securities purchased by the funds) and/or the use of certain financial instruments, including derivatives, which may be used to gain or reduce market exposure and/or risk management. Allocations are subject to change.
Pricing & Exchange
| Class D | USD | 10.81 | -0.03 | -0.29 | 29/Sept/2026 | 11.41 | 10.81 | IE000ZSEF059 |
| Class D Acc Hedged | SGD | 9.88 | -0.02 | -0.18 | 29/Sept/2026 | 10.40 | 9.88 | IE0009YAQF71 |
| Class D Acc Hedged | SEK | 9.92 | -0.02 | -0.19 | 29/Sept/2026 | 10.42 | 9.92 | IE000T2H0069 |
| Class D Acc Hedged | GBP | 8.73 | -0.02 | -0.18 | 29/Sept/2026 | 9.06 | 8.73 | IE000H4Z3PW7 |
| Class D Hedged | USD | 9.53 | -0.02 | -0.17 | 29/Sept/2026 | 10.19 | 9.53 | IE0009MUJ3F4 |
| Class Flex Hedged | EUR | 9.84 | -0.02 | -0.18 | 29/Sept/2026 | 10.30 | 9.84 | IE000DSA11G0 |
| Class Flexible | USD | 7.39 | -0.02 | -0.28 | 29/Sept/2026 | 8.03 | 7.39 | IE0004XHE738 |
| Class Flexible Acc | EUR | 8.66 | -0.01 | -0.07 | 29/Sept/2026 | 8.91 | 8.52 | IE000KD5RQM5 |
| Class Flexible Acc | USD | 9.95 | -0.03 | -0.29 | 29/Sept/2026 | 10.49 | 9.95 | IE000RXYXZR7 |
| Class Flexible Acc H | GBP | 10.66 | -0.02 | -0.18 | 29/Sept/2026 | 11.05 | 10.66 | IE00075MQFI5 |
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Portfolio Managers

Francis Rayner
Literature
- iShares Global Inflation-Linked Bond Index Fund (IE) Class D Hedged U.S. Dollar FactsheetPDF, opens in a new tab
- BlackRock Fixed Income Dublin Funds Plc - Prospectus (English)PDF, opens in a new tab
- BlackRock Fixed Income Dublin Funds Plc - Prospectus - Country Supplement (English - United Kingdom)PDF, opens in a new tab
- iShares Global Inflation-Linked Bond Index Fund (IE) D Dist USD Hedged - KIIDPDF, opens in a new tab
- BlackRock Fixed Income Dublin Funds Plc - Annual Report (English)PDF, opens in a new tab