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iShares US Mortgage Backed Securities UCITS ETF

iShares · IE00BMWB9419

iShares US Mortgage Backed Securities UCITS ETF is an exchange-traded fund (ETF) from iShares, traded under the ticker IMMXX (ISIN IE00BMWB9419). In a single purchase you get a diversified basket of holdings rather than a stake in just one business. At its core it is a focused, thematic fund: it concentrates on the securitized part of the market, so it…

Equity ?Accumulating ?Physical ?Ireland ?
Mid-range feeReinvests dividendsOwns the shares directlyUnited StatesBroadly spread
Fund size (AUM) ?
€195.9M
1-year return ?
+10.9%
Total return · to 2026-06-30
Yearly fee (TER) ?
0.30%
All-in cost ≈ 0.00%

About this fund

What you own

By holding it, this fund gives you a stake in around 602 companies across United States in a single purchase.

Dividends

The fund automatically reinvests dividends back into itself, so your holding grows without cash payouts.

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Rolling the dividends straight back in means your money compounds automatically, with nothing for you to reinvest by hand. The flip side is there is no cash income; the growth simply shows up as a higher fund value. Note that reinvested dividends can still be taxable in some countries even though you never receive the cash — the rules depend on where you live.

How it works

The fund actually buys every share in the index it tracks (full replication).

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Owning every holding keeps things transparent — what is in the index is what the fund actually owns. It can be a touch costlier to run for indexes with thousands of tiny positions, since the fund has to buy and maintain them all. There is no swap bank involved, so there is no extra “what if the partner fails” question to weigh.

Cost

0.30%Yearly fee (TER)
0.00%All-in cost

The yearly running cost of the fund, shown as a % of your money. Lower is cheaper.

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For example, a 0.20% fee works out at €0.20 a year for every €100 invested — that’s a generic illustration of the mechanic, not this fund’s own fee. It is skimmed quietly from inside the fund a little each day, so you never get a bill — but it drags on your return every year you hold. On a broad index ETF it is usually a small fraction of a percent; the gap between a cheap and a pricey fund looks tiny on day one but compounds over decades, which is why it is worth a glance.

Fund facts

Replication ?
Physical
Full — buys every share
Regulation ?
UCITS
Yes
Launched
Dec 2020
6-year track record

Performance

95.7106116126136202320242026

Growth of MXN100 invested — the line starts at MXN100.

iShares US Mortgage Backed Securities UCITS ETF

End-of-day prices, rebased to a common start so the shapes are comparable. Past performance does not predict future results.

YTD+3.5%
1 year+10.9%

Return, year by year

+7.2
+12.8
+3.5
'24'25'26
3 of 3 up yearsBest: 2025 +12.8%Worst: 2026 +3.5%Calendar-year total returns, in MXN

What's inside

By sector ?

Securitized93.4%
Other6.6%

By country ?

USUnited States93.4%
IEIreland6.5%
European Union0.1%

The 10 biggest holdings make up 8.1% of the fund — the rest is spread across roughly 109 more companies.

Top 10 holdings

#CompanyWeight
2BLK ICS USD LEAF AGENCY DIST7.0%
77GNMA2 30YR 2024 PRODUCTION0.3%
113FGOLD 30YR 3% W2D 20160.2%
160GNMA2 30YR 2021 PRODUCTION0.1%
215FNMA 40YR 4.0% REPERFORMING0.1%
218GNMA2 30YR 2020 PRODUCTION0.1%
229GNMA2 30YR 2019 PRODUCTION0.1%
247EUR CASH0.1%
249UMBS 15YR TBA(REG B)0.1%
253FGOLD 30YR 3% W2D 20140.1%

Where to buy this fund

Where it trades

ExchangeTickerCurrency
IXIMMXXMXN★ Primary
MXN listings
B3IMMXXMXN
E1IMMXXMXNMXN
EBIMMXXMXN
EPIMMXXMXNMXN
EUIMMXXMXNMXN
EZIMMXXMXNMXN
L1IMMXXMXN
L3IMMXXMXN
London Stock ExchangeIMMXXMXN
MFIMMXXNMXN
MMIMMXXNMXN
MUIMMXXNMXN
POIMMXXMXN
X1IMMXXMXNMXN
X2IMMXXMXNMXN
XAIMMXXMXNMXN
XEIMMXXMXNMXN
XFIMMXXMXNMXN
XGIMMXXMXNMXN
XHIMMXXMXNMXN
XJIMMXXMXNMXN
XLIMMXXMXNMXN
XOIMMXXMXNMXN
XQIMMXXMXNMXN
XSIMMXXMXNMXN
XUIMMXXMXNMXN
XVIMMXXMXNMXN
XWIMMXXMXNMXN
XXIMMXXMXNMXN
XZIMMXXMXNMXN
For serious comparison — full data holdings, percentiles, advanced risk, tilt, flows

Full holdings

As of 2026-06-30 · the fund's own published holdings.

#CompanyWeight
2BLK ICS USD LEAF AGENCY DIST7.0%
77GNMA2 30YR 2024 PRODUCTION0.3%
113FGOLD 30YR 3% W2D 20160.2%
160GNMA2 30YR 2021 PRODUCTION0.1%
215FNMA 40YR 4.0% REPERFORMING0.1%
218GNMA2 30YR 2020 PRODUCTION0.1%
229GNMA2 30YR 2019 PRODUCTION0.1%
247EUR CASH0.1%
249UMBS 15YR TBA(REG B)0.1%
253FGOLD 30YR 3% W2D 20140.1%
260FGOLD 15YR 2017 PRODUCTION0.1%
265GNMA2 30YR 2026 PRODUCTION0.1%
280GNMA2 30YR 2025 PRODUCTION0.1%
290GNMA2 30YR TBA(REG C)0.1%
304FGOLD 30YR 3.5% 100% NY 20170.0%
305FGOLD 30YR 4% LB175K 20160.0%
319FGOLD 30YR 2009 PRODUCTION0.0%
321GNMA2 30YR 2015 PRODUCTION0.0%
335FGOLD 30YR 4% LB150K 20130.0%
336GNMA2 30YR 2023 PRODUCTION0.0%
339GNMA2 30YR 2014 PRODUCTION0.0%
344FGOLD 30YR 3.5% LB200K 20160.0%
360FGOLD 30YR 4.5% LB110K 20140.0%
361FGOLD 30YR 4.5% LB150K 20180.0%
363FGOLD 30YR 3.5% LB200K 20140.0%
367FGOLD 30YR 3.5% LB150K 20170.0%
377GNMA2 30YR 2011 PRODUCTION0.0%
385FGOLD 20YR 3.5% W2D 20180.0%
386UMBS 30YR TBA(REG A)0.0%
392FGOLD 30YR 4% LB85K 20180.0%
393FGOLD 30YR 3% LB175K 20160.0%
396FHLMC 15YR UMBS0.0%
397GNMA2 30YR 2022 PRODUCTION0.0%
399FGOLD 30YR 3.5% FICO < 700 20160.0%
405FGOLD 30YR 3.5% LTV > 95 20160.0%
409FGOLD 30YR 5% LB110K 20180.0%
422FGOLD 30YR 3.5% LB110K 20170.0%
423GNMA2 30YR 2018 PRODUCTION0.0%
430GNMA 30YR 4% FICO <660 20170.0%
431FGOLD 15YR 3% LB150K 20160.0%
433FGOLD 20YR 3.5% W2D 20170.0%
436FGOLD 15YR 2.5% LB175K 20170.0%
438FGOLD 15YR 2.5% LB200K 20160.0%
440FGOLD 30YR 3% LB175K 20150.0%
441GNMA2 30YR 2013 PRODUCTION0.0%
444GNMA 30YR 2012 PRODUCTION0.0%
445FGOLD 30YR 5.5% LB150K 20090.0%
457FGOLD 30YR 4.5% LB150K 20140.0%
460FGOLD 30YR 2.5% W2D 20160.0%
465FGOLD 30YR 3.5% LB150K 20150.0%
467FGOLD 15YR 3% LB150K 20150.0%
468FGOLD 15YR 3% LB125K 20150.0%
472FHLMC 30YR UMBS MIRROR0.0%
473FGOLD 30YR 4% W2D PRE-20040.0%
479FGOLD 15YR 3% LB125K 20160.0%
480FNMA 20YR0.0%
481FNMA 30YR UMBS SUPER0.0%
486FNMA 40YR MODIFIED STEP RATE0.0%
489FGOLD 30YR 4.5% LTV > 95 20170.0%
495FGOLD 30YR 4.5% W2D 20150.0%
496FGOLD 15YR 3% LB175K 20170.0%
499FNMA CONV LONG TERM 30YR - JUMBO-C0.0%
500FGOLD 30YR 2010 PRODUCTION0.0%
501FGOLD 15YR 2013 PRODUCTION0.0%
505FGOLD 15YR 3% LB110K 20160.0%
508FGOLD 20YR 4% W2D 20170.0%
509FGOLD 30YR 4% LB175K 20170.0%
510FGOLD 30YR 4.5% LB150K 20150.0%
511GNMA2 30YR 2016 PRODUCTION0.0%
516FGOLD 30YR 2015 PRODUCTION0.0%
518FNMA 30YR UMBS0.0%
521FGOLD 30YR 3% 100% NY 20160.0%
522FGOLD 15YR 2.5% LB150K 20160.0%
527GNMA 30YR 2010 PRODUCTION0.0%
533FGOLD 15YR 2.5% LB175K 20160.0%
534FGOLD 30YR 3% LB200K 20160.0%
535FHLMC 30YR UMBS0.0%
536FGOLD 15YR 4% W2D 20170.0%
538FGOLD 15YR 3.5% W2D 20130.0%
540FGOLD 30YR 5% LB150K 20090.0%
541FGOLD 30YR 4.5% FICO < 700 20110.0%
542FGOLD 15YR 3.5% W2D 20160.0%
549FGOLD 30YR 4.5% W2D 20130.0%
550GNMA2 30YR 2012 PRODUCTION0.0%
551FGOLD 15YR 2.5% LB110K 20170.0%
552FHLMC 15YR UMBS SUPER0.0%
557FNMA 15YR UMBS0.0%
558GNMA2 30YR0.0%
559FGOLD 15YR 4% LB85K 20180.0%
560FGOLD 30YR 2013 PRODUCTION0.0%
561FHLMC 30YR UMBS SUPER0.0%
564FGOLD 30YR 5% W2D 20110.0%
565GBP CASH0.0%
569FNMA 30YR0.0%
570FGOLD 30YR 2016 PRODUCTION0.0%
572FGOLD 30YR 2014 PRODUCTION0.0%
573FGOLD 15YR 3% LB85K 20150.0%
574FGOLD 30YR 2017 PRODUCTION0.0%
575GNMA 30YR 2015 PRODUCTION0.0%
577FGOLD 30YR 4.5% FICO < 700 20130.0%
581GNMA2 30YR PLATINUM0.0%
582FGOLD 30YR 4% LTV > 95 20120.0%
583FGOLD 15YR 2012 PRODUCTION0.0%
584FGOLD 30YR 4.5% FICO < 700 20170.0%
585FGOLD 15YR 2016 PRODUCTION0.0%
586FGOLD 30YR 2018 PRODUCTION0.0%
587FGOLD 30YR 3.5% LTV > 95 20170.0%
589GNMA2 30YR 2017 PRODUCTION0.0%
590FGOLD 15YR 2011 PRODUCTION0.0%
591FGOLD 15YR 2018 PRODUCTION0.0%
592FGOLD 30YR 3.5% FICO < 700 20170.0%
593FGOLD 30YR 2012 PRODUCTION0.0%
596MXN CASH0.0%
597FNMA 15YR0.0%
598FHLMC 15YR UMBS MIRROR0.0%
599FNMA 15YR UMBS SUPER0.0%
600CASH COLLATERAL USD JPM0.0%
601CASH COLLATERAL USD BAS0.0%
602USD CASH-6.6%

⭳ Download full holdings (CSV)

How it ranks vs peers

🪙 Cheaper than 17% of similar ETFs📈 Higher 1-yr return than 0%📊 Behind its category by 33.1% (1-yr) (category average +43.9%)

Versus the Equity (stocks) · MXN ETFs we track.

Advanced risk

MXN 6,705.50
52-week high ?
MXN 6,390.00
52-week low ?

Concentration depth

~52 ?
Effective number of holdings

Roughly 602 companies are held, but the largest names carry most of the weight — so it behaves like ~52 equal-sized positions.

Tilt vs a world tracker

Securitized+99.4
Technology-29.2
United States+27.3
Financials-16.3
Industrials-11.6
Health Care-9.3

Percentage points over / under a broad world-equity tracker (not a licensed benchmark).

Similar funds

We found 6 funds that do much the same job as this one. To pick them we matched this fund's asset class and region, then show how close each match is below.

Matched on🌍 United States stocks
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Why it's similarThis is the fund on this page.
StocksPhysicalCheaper fee
StocksPhysicalCheaper fee
StocksAccumulatingPhysicalCheaper fee
StocksPhysicalCheaper fee
StocksAccumulatingPhysicalCheaper fee
StocksPhysicalCheaper fee
Index trackedS&P 500 IndexS&P 500S&P 500S&P 500 IndexS&P 500
Yearly fee (TER)0.30%0.09%0.10%0.10%0.02%0.07%0.06%
All-in cost0.00%0.00%0.10%0.00%0.00%0.07%0.00%
Fund size€195.9M€686.6B€180.5B€154.3B€139.3B€134B€88.2B
DomicileIrelandUnited StatesIrelandIrelandUnited StatesIrelandUnited States
ReplicationPhysical (full)Physical (full)Physical (full)Physical (full)Physical (full)Physical (full)Physical (full)
3-yr return p.a.+18.3%+17.4%+18.3%+19.4%+10.2%
5-yr return p.a.+11.5%+10.4%+11.5%+12.8%+5.5%
# holdings602505511511508511103

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Data as of 2026-06-30 · Source: issuer data, compiled by Finance Hamster

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