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The Best Ultrashort Bond ETFs

The table below compares the performance and other essential indicators like dividend yield and expense ratio of Ultrashort Bond ETFs.

Ultrashort Bond ETFs and funds invest in fixed-income securities with very short maturities, usually under one year. With minimal interest-rate sensitivity, they aim to offer higher yields than money market funds while keeping principal volatility low, making them a common choice for parking cash or managing short-term liquidity needs.

Number of ETFs
74
Avg. Expense Ratio
0.23%
Avg. Dividend Yield
3.67%
Avg. 1 Year Return
4.15%
Median Risk/Return Score
99 / 100
The Best Ultrashort Bond ETFs

29 results

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21–29 of 29

Best Ultrashort Bond ETFs by Risk/Return Score

The top Ultrashort Bond ETFs by PortfoliosLab Risk/Return Score are SGOV (100) and BIL (100). The score measures risk-adjusted performance over the past year, accounting for volatility, drawdown, and return consistency.

Best-Performing Ultrashort Bond ETFs Over 5 Years

The top Ultrashort Bond ETFs is FLTR (4.61%). Across the lineup, Ultrashort Bond ETFs show an average 1-year return of 4.15% and an average 5-year return of 3.64%, providing a clearer view of performance across different investment horizons.

Lowest-Cost Ultrashort Bond ETFs

The top Ultrashort Bond ETFs is XONE (0.03%). With an average expense ratio of 0.23%, Ultrashort Bond ETFs remain a low-cost option for investors seeking broad market exposure, sector allocations, and diversified portfolio building blocks.

Highest-Yield Ultrashort Bond ETFs

The top Ultrashort Bond ETFs is BUCK (7.30%). Across the lineup, Ultrashort Bond ETFs show an average dividend yield of 3.67%, offering investors a steady stream of income through regular dividend payments, making them attractive for income-seeking portfolios.

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Top ETFs Comparisons

Compare the top ETFs symbols based on PortfoliosLab usage data.

Risk vs. Return Scatterplot

The Risk vs. Return Scatterplot allows you to quickly compare funds, stocks, and ETFs in one view. It displays the yearly return of an instrument on one axis and the risk (volatility) on the other.

0%Annualized Volatility0%Annualized Return

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