ETF Library/Bonds/SPP5

State Street SPDR Bloomberg 1-5 Year U.S. Corporate Bond UCITS ETF USD Unhedged (Acc)

ISIN: IE0002H3JQ66·accumulating·USD
SPP5
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TER
0.08%
AUM
€5.0B
1Y Return
5Y Return
Sharpe 1Y
0.51
Volatility 1Y
5.01%
Domicile
IE
Inception
2025-08
# Identification
1ISIN
IE0002H3JQ66
2Ticker
SPP5
3Currency
USD
4Domicile
IE
5Replication
sampling
Characteristics
6TER
0.08%
7AUM
€5.0B
8Dividends
accumulating
9Asset class
Bonds
10Benchmark
11Inception
2025-08-14
Similar ETFs
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Historical Returns
Period6M1Y3Y5Y10YMax
Total Return+3.66%
CAGR+7.46%N/DN/D
Volatility5.01%5.01%N/DN/D5.01%
Sharpe ratio0.510.51N/DN/DN/D
Max Drawdown-3.30%N/DN/DN/D-3.30%
Calendar Year Returns
# Style Box

Style box available for equity ETFs only.

Risk Metrics
Volatility 1Y
5.01%
annualized
Volatility 3Y
5.01%
annualized
Sharpe 1Y
0.51
risk-adjusted
Sharpe 3Y
0.51
risk-adjusted
Max Drawdown
-3.30%
all-time
Drawdown 1Y
-3.30%
past 12 months
If you invest in SPP5 monthly
Monthly investment200
€50€5k
Time horizon10 years
1y40y
After 10 years · 7.3% price growth/yr (est.)
€35.2k
+€11.2k in capital gains  ·  47% on contributions
Contributed: €24.0kCapital gains: €11.2k
5y
€14.4k
200/mo
10y
€35.2k
200/mo
20y
€108.4k
200/mo

Projection uses est. (7.3%/yr) compounded monthly. Not financial advice. Past performance does not guarantee future results.

What if you had invested in SPP5?
% allocated to this ETF10%
1%50%100%
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Forward projection
Monthly contribution€500
€50€5k
Time horizon20 yrs
1y40y
Expected return/yr7.0%
1%5Y CAGR: 20%
Inflation/yr2.5%
0%10%
Contributed
€120.0k
€500/mo × 20y
Portfolio in 20y
€260.5k
+€140.5k gains · €194.1k real
Time bought
€0€67.7k€135.4k€203.2k€270.9k0y10y20y
Contributions only
Historical avg (7.3%/yr · 1Y only)
Expected (7.0%/yr)
Assumes 7.0% annual return · 2.5% inflation · compounded monthly

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