ETF Library/Bonds/LYTG

Amundi Core UK Government Bond UCITS ETF Dist

ISIN: LU1407892592·distributing·GBP
LYTG
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TER
0.05%
AUM
€1.8B
1Y Return
+3.1%
5Y Return
-22.6%
Sharpe 1Y
-0.24
Volatility 1Y
6.90%
Domicile
LU
Inception
2010-11
# Identification
1ISIN
LU1407892592
2Ticker
LYTG
3Currency
GBP
4Domicile
LU
5Replication
sampling
Characteristics
6TER
0.05%
7AUM
€1.8B
8Dividends
distributing
9Asset class
Bonds
10Benchmark
11Inception
2010-11-10
Similar ETFs
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Historical Returns (total return, dividends reinvested)
Period6M1Y3Y5Y10YMax
Total Return+0.58%+3.13%+8.05%-22.55%
CAGR+1.16%+3.13%+2.61%-4.98%N/DN/D
Volatility6.90%7.75%N/DN/DN/D
Sharpe ratio-0.24-0.05N/DN/DN/D
Max Drawdown-4.43%N/DN/DN/D-31.94%
Calendar Year Returns (total return)
2021
+1.0%
2022
-27.9%
2023
+5.8%
2024
+1.3%
2025
-0.2%
# Style Box

Style box available for equity ETFs only.

Risk Metrics
Volatility 1Y
6.90%
annualized
Volatility 3Y
7.75%
annualized
Sharpe 1Y
-0.24
risk-adjusted
Sharpe 3Y
-0.05
risk-adjusted
Max Drawdown
-31.94%
all-time
Drawdown 1Y
-4.43%
past 12 months
Dividend Payouts
TTM Dividends
3.1700 GBP
trailing 12 months
Latest payout
3.1700 GBP
Dec 25
0.9351.8702.8053.741Jul 16Dec 16Jul 17Dec 17Jul 18Dec 18Jul 19Dec 19Jul 20Dec 20Jul 21Dec 21Jul 22Dec 22Dec 23Dec 24Dec 25
Annual totals
2019
3.550
2020
3.090
2021
2.620
2022
2.520
2023
2.180
2024
2.660
2025
3.170

Source: Yahoo Finance · Ex-date basis

If you invest in LYTG monthly
Monthly investment200
€50€5k
Time horizon10 years
1y40y
After 10 years · 1.0% price growth/yr (5Y CAGR)
€25.2k
+€1.2k in capital gains  ·  5% on contributions
Contributed: €24.0kCapital gains: €1.2k
5y
€12.3k
200/mo
10y
€25.2k
200/mo
20y
€53.1k
200/mo

Projection uses 5Y CAGR (1.0%/yr) compounded monthly. Not financial advice. Past performance does not guarantee future results.

What if you had invested in LYTG?
% allocated to this ETF10%
1%50%100%
Loading…
Forward projection
Monthly contribution€500
€50€5k
Time horizon20 yrs
1y40y
Expected return/yr-5.0%
1%5Y CAGR: -5.0%20%
Inflation/yr2.5%
0%10%
Contributed
€120.0k
€500/mo × 20y
Portfolio in 20y
€120.0k
+€0 gains · €121.2k real
Time bought
€0€30.0k€60.0k€90.0k€120.0k0y10y20y
Contributions only
Historical avg (-5.0%/yr)
Expected (-5.0%/yr)
Assumes -5.0% annual return · 2.5% inflation · compounded monthly

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