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BIL Bonds — T-Bills ETF (BIL)

Bonds — T-Bills · Benchmark: Bloomberg US Agg Bond Index · Domiciled in US

AUM
$403.7B
Expense ratio
35.00%
Inception
2015-09-15
VMCI-Composite
61/100
5y CAGR
9.2%

VMCI-Composite holdings score

ValueMarkers builds the VMCI-Composite by taking the underlying VMCI score for each of the ETF's top-10 holdings and weighting it by the holding's share of the fund. The number summarizes the fundamentals of the largest positions on the five-pillar framework — Value, Quality, Integrity, Growth, Risk.

BIL Bonds — T-Bills ETF — analysis

BIL fact sheet snapshot: $403.7B AUM, 35 bps expense, 2015-09-15 inception, Bonds — T-Bills mandate, Bloomberg US Agg Bond Index as the comparison index. BIL Bonds — T-Bills ETF is the legal name on the listing.

BIL's VMCI-Composite reads 61/100, derived from the top-10 holdings' individual scores on ValueMarkers' five-pillar framework. Above-average composite quality versus the typical bonds — t-bills ETF in our coverage.

BIL's 5y annualized total return is 9.2%. That is -0.8 pp below the 10.0% benchmark line, with a 3y CAGR of 7.4% on the same series.

On the income line, BIL pays 1.70% and has grown the distribution at 3.2% annualized for five years. The forward question is whether the underlying earnings stream supports continued distribution growth at that pace.

BIL holdings concentration: 31% of the portfolio sits in the top 10 names, anchored by AAPL at 3.72%. Technology is the largest sector at 34% of allocation.

Three comparable ETFs to consider alongside BIL: SPY, VOO, VTI. Each tracks the same broad category (Bonds — T-Bills) but differs on issuer, expense ratio, and methodology, so the practical question is fee plus tracking quality plus distribution shape.

Top 25 holdings

#TickerWeightVMCI
1AAPL3.72%57
2MSFT3.52%85
3NVDA3.52%54
4AMZN3.27%61
5GOOGL3.22%47
6META3.12%48
7BRK-B2.82%69
8TSLA2.63%77
9V2.78%49
10JPM2.43%68
11UNH2.38%74
12XOM2.28%61
13JNJ2.13%53
14PG1.83%72
15MA1.59%45
16HD1.73%53
17MRK1.39%87
18AVGO1.14%60
19PEP1.14%46
20COST0.89%88
21KO0.69%87
22WMT0.69%75
23BAC0.45%55
24CVX0.25%48
25ADBE0.40%67

Performance & income

YTD
16.2%
1y total return
-16.7%
3y CAGR
7.4%
5y CAGR vs benchmark
9.2% / 10.0%
Dividend yield
1.70%
5y distribution CAGR
3.2%

Comparable ETFs

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Data refreshed at request time and cached for 6 hours. As of 2026-05-15.

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