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BIIBX - BlackRock Intl Bond Inv B

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BlackRock Intl Bond Inv B (BIIBX)
Expense Ratio: 1.97%
Expected Lifetime Fees: $53,096.47


The BlackRock Intl Bond Inv B fund (BIIBX) is a World Bond fund started on 04/19/1996 and has $240.60 million in assets under management. The current manager has been running BlackRock Intl Bond Inv B since 10/7/2011. The fund is rated by Morningstar. In addition to trading fees and broker commissions, this fund has 12b-1 fees of 1.00%

MarketRiders Prefers The Following ETF

SPDR Barclays Capital Intl Treasury Bond (BWX)
Expense Ratio: 0.52%
Expected Lifetime Fees: $16,279.01


The SPDR Barclays Capital Intl Treasury Bond (BWX) is an Exchange Traded Fund. It is a "basket" of securities that index the World Bond investment strategy and is an alternative to a World Bond mutual fund. Fees are very low compared to a comparable mutual fund like BlackRock Intl Bond Inv B because computers automatically manage the stocks.




The Following World Bond Funds Have Lower Fees Than BlackRock Intl Bond Inv B (BIIBX). Why are these metrics important?
Mutual Fund Name Ticker Symbol Turnover Assets (M) Annual Fees
Aberdeen Asia Bond Fund Institutional Class CSABX 71.2% 465 0.70%
Aberdeen Asia Bond Fund Institutional Services Class ABISX 71.2% 465 0.92%
AllianceBern Global Bond A ANAGX 65.0% 3,300 0.94%
AllianceBern Global Bond Adv ANAYX 65.0% 3,300 0.64%
AllianceBern Global Bond B ANABX 65.0% 3,300 1.67%
AllianceBern Global Bond C ANACX 65.0% 3,300 1.64%
AllianceBern Global Bond I ANAIX 65.0% 3,300 0.58%
AllianceBern Global Bond K ANAKX 65.0% 3,300 0.99%
American Century International Bd A AIBDX 44.0% 1,400 1.06%
American Century International Bd Instl AIDIX 44.0% 1,400 0.61%
American Century International Bd Inv BEGBX 44.0% 1,400 0.81%
American Century International Bd R AIBRX 44.0% 1,400 1.31%
American Funds Capital World Bond A CWBFX 95.0% 12,800 0.87%
American Funds Capital World Bond B WBFBX 95.0% 12,800 1.64%
American Funds Capital World Bond C CWBCX 95.0% 12,800 1.66%
American Funds Capital World Bond F-1 WBFFX 95.0% 12,800 0.89%
American Funds Capital World Bond F-2 BFWFX 95.0% 12,800 0.63%
American Funds Capital World Bond R1 RCWAX 95.0% 12,800 1.66%
American Funds Capital World Bond R3 RCWCX 95.0% 12,800 1.21%
American Funds Capital World Bond R4 RCWEX 95.0% 12,800 0.88%
American Funds Capital World Bond R5 RCWFX 95.0% 12,800 0.58%
American Funds Capital World Bond R6 RCWGX 95.0% 12,800 0.53%
BlackRock Fixed Income Value Opps XFIVX 13.0% 329 1.92%
BlackRock Intl Bond BlackRock BIBBX 82.0% 241 0.80%
BlackRock Intl Bond Instl CINSX 82.0% 241 0.91%
BlackRock Intl Bond Inv A BIIAX 82.0% 241 1.21%
BlackRock Intl Bond Inv C BIBCX 82.0% 241 1.96%
BlackRock Intl Bond Svc CIFIX 82.0% 241 1.05%
BlackRock World Income Instl MAWIX 99.0% 128 1.09%
BlackRock World Income Inv A MDWIX 99.0% 128 1.31%
Columbia Global Bond A IGBFX 57.0% 256 1.14%
Columbia Global Bond B IGLOX 57.0% 256 1.89%
Columbia Global Bond C AGBCX 57.0% 256 1.89%
DFA Five-Year Global Fixed-Income I DFGBX 67.0% 5,800 0.28%
DFA Selectively Hedged Global F/I Instl DFSHX 51.0% 796 0.19%
DFA Two-Year Global Fixed-Income I DFGFX 71.0% 4,800 0.18%
Dreyfus International Bond A DIBAX 213.5% 1,600 1.01%
Dreyfus International Bond I DIBRX 213.5% 1,600 0.75%
Dreyfus/Standish Global Fixed Income A DHGAX 267.1% 227 1.00%
Dreyfus/Standish Global Fixed Income I SDGIX 267.1% 227 0.67%
Dreyfus/Standish International Fxd-Inc I SDIFX 218.7% 100 0.76%
DWS Enhanced Global Bond A SZGAX 197.0% 154 1.12%
DWS Enhanced Global Bond B SZGBX 197.0% 154 1.89%
DWS Enhanced Global Bond C SZGCX 197.0% 154 1.86%
DWS Enhanced Global Bond S SST1Z 197.0% 154 0.84%
DWS Enhanced Global Bond S SSTGX 197.0% 154 0.84%
Federated Prudent DollarBear A PSAFX 192.0% 263 1.32%
Federated Prudent DollarBear Instl FPGIX 192.0% 263 1.07%
Goldman Sachs Global Income A GSGIX 333.0% 752 1.03%
Goldman Sachs Global Income B GSLBX 333.0% 752 1.78%
Goldman Sachs Global Income C GSLCX 333.0% 752 1.78%
Goldman Sachs Global Income Instl GSGLX 333.0% 752 0.69%
Hartford World Bond Fund Class A HWDAX 50.0% 303 0.95%
Hartford World Bond Fund Class I HWDIX 50.0% 303 0.70%
ING Global Bond A INGBX 440.0% 681 0.90%
ING Global Bond I IGBIX 440.0% 681 0.61%
ING Global Bond W IGBWX 440.0% 681 0.65%
Ivy Global Bond I IVSIX 26.0% 238 0.74%
Ivy Global Bond Y IVSYX 26.0% 238 0.99%
Laudus Mondrian Intl Fixed Income LIFNX 68.0% 920 0.70%
Legg Mason BW Global Opportunities Bond Fund Class I GOBIX 63.0% 1,500 0.64%
Legg Mason BW Global Opps Bd A GOBAX 63.0% 1,500 0.94%
Legg Mason BW Global Opps Bd FI GOBFX 63.0% 1,500 1.00%
Legg Mason BW Global Opps Bd IS GOBSX 63.0% 1,500 0.64%
Loomis Sayles Global Bond Instl LGB1Z 84.0% 2,300 0.67%
Loomis Sayles Global Bond Instl LSGBX 84.0% 2,300 0.67%
Loomis Sayles Global Bond Retail LSGLX 84.0% 2,300 0.97%
Oppenheimer International Bond A OIB1Z 80.0% 12,300 0.98%
Oppenheimer International Bond A OIBAX 80.0% 12,300 0.98%
Oppenheimer International Bond B OIBBX 80.0% 12,300 1.84%
Oppenheimer International Bond C OIBCX 80.0% 12,300 1.68%
Oppenheimer International Bond N OIBNX 80.0% 12,300 1.38%
Oppenheimer International Bond Y OIBYX 80.0% 12,300 0.73%
PIMCO Foreign Bond (Unhedged) A PFUAX 486.0% 5,000 0.90%
PIMCO Foreign Bond (Unhedged) A PFUTZ 486.0% 5,000 0.90%
PIMCO Foreign Bond (Unhedged) Adm PFUUX 486.0% 5,000 0.75%
PIMCO Foreign Bond (Unhedged) C PFRCX 486.0% 5,000 1.65%
PIMCO Foreign Bond (Unhedged) D PFBDX 486.0% 5,000 0.90%
PIMCO Foreign Bond (Unhedged) I PFUIX 486.0% 5,000 0.50%
PIMCO Foreign Bond (Unhedged) P PFUPX 486.0% 5,000 0.60%
PIMCO Foreign Bond (USD-Hedged) A PFOAX 355.0% 5,100 0.90%
PIMCO Foreign Bond (USD-Hedged) Adm PFRAX 355.0% 5,100 0.75%
PIMCO Foreign Bond (USD-Hedged) B PFOBX 355.0% 5,100 1.65%
PIMCO Foreign Bond (USD-Hedged) C PFOCX 355.0% 5,100 1.65%
PIMCO Foreign Bond (USD-Hedged) D PFODX 355.0% 5,100 0.90%
PIMCO Foreign Bond (USD-Hedged) I PFORX 355.0% 5,100 0.50%
PIMCO Foreign Bond (USD-Hedged) P PFBPX 355.0% 5,100 0.60%
PIMCO Foreign Bond (USD-Hedged) R PFRRX 355.0% 5,100 1.15%
PIMCO Global Advantage Strategy Bd A PGSTZ 415.0% 4,500 1.10%
PIMCO Global Advantage Strategy Bd D PGSDX 415.0% 4,500 1.10%
PIMCO Global Advantage Strategy Bd Instl PSAIX 415.0% 4,500 0.70%
PIMCO Global Bond (Unhedged) D PGBDX 267.0% 1,200 0.95%
PIMCO Global Bond (Unhedged) Instl PIGLX 267.0% 1,200 0.55%
PIMCO Global Bond (USD-Hedged) A PAIIX 348.0% 343 0.90%
PIMCO Global Bond (USD-Hedged) Adm PGDAX 348.0% 343 0.80%
PIMCO Global Bond (USD-Hedged) B PBIIX 348.0% 343 1.65%
PIMCO Global Bond (USD-Hedged) C PCIIX 348.0% 343 1.65%
PIMCO Global Bond (USD-Hedged) I PGBIX 348.0% 343 0.55%
Prudential Global Total Return A GTRAX 203.0% 262 1.39%
Prudential Global Total Return Z PZTRX 203.0% 262 1.14%
Putnam Global Income A PGGIX 116.0% 358 1.13%
Putnam Global Income B PGLBX 116.0% 358 1.88%
Putnam Global Income C PGGLX 116.0% 358 1.88%
Putnam Global Income M PGGMX 116.0% 358 1.38%
Putnam Global Income Y PGGYX 116.0% 358 0.88%
RBB Free Market Fixed Income Fund Institutional Class FMFIX 0.0% 909 0.85%
SA Global Fixed Income SAXIX 15.0% 567 0.80%
SEI Instl Intl Tr Intl Fixed-Income A SEFIX 119.0% 492 1.02%
T. Rowe Price Instl Intl Bond RPIIX 49.5% 143 0.55%
T. Rowe Price International Bond RPIBX 35.7% 5,000 0.83%
T. Rowe Price International Bond Adv PAIBX 35.7% 5,000 1.16%
Templeton Global Bond A TPICZ 26.4% 57,500 0.89%
Templeton Global Bond A TPINX 26.4% 57,500 0.89%
Templeton Global Bond Adv TGBAX 26.4% 57,500 0.64%
Templeton Global Bond C TEGBX 26.4% 57,500 1.29%
Templeton Global Bond R FGBRX 26.4% 57,500 1.14%
Templeton Global Total Return A TGTRX 15.8% 3,600 1.05%
Templeton Global Total Return Adv TTRZX 15.8% 3,600 0.80%
Templeton Global Total Return C TTR1Z 15.8% 3,600 1.45%
Templeton Global Total Return R TGTTZ 15.8% 3,600 1.30%
Templeton International Bond A TBOSZ 16.9% 297 1.06%
Templeton International Bond Adv FIBZX 16.9% 297 0.76%
Waddell & Reed Global Bond A UNHHX 30.0% 846 1.20%
Wells Fargo Advantage Intl Bd Admin ESIDX 88.0% 1,700 0.85%
Wells Fargo Advantage Intl Bond A ESIYX 88.0% 1,700 1.02%
Wells Fargo Advantage Intl Bond C ESIVX 88.0% 1,700 1.77%
Wells Fargo Advantage Intl Bond Instl ESICX 88.0% 1,700 0.69%
Western Asset Non-U.S. Opp Bond I WAFIX 132.0% 103 0.65%



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Why Are These Metrics Important?


Turnover
Turnover represents how much of a mutual fund's holdings are changed over the course of a year through buying and selling. Active mutual funds have an average turnover rate of about 85%, meaning that funds are turning over nearly all of their holdings every year. A high turnover means you could make lower returns because: 1) buying and selling stocks costs money through commissions and spreads and 2) the fund will distribute yearly capital gains which increases your taxes. Look for funds with turnover rates below 50%. For comparison, ETF turnover rates average around 10% or lower.

Assets
Generally, smaller funds do better than larger ones. The more assets in a mutual fund, the lower the chance that it will beat its index. Managers outperform an index by choosing stocks that are undervalued. In order to find these undervalued stocks, the manager has to know more than his competitors to develop an "edge." There are only a finite number of stocks a mutual fund manager can reasonably analyze and actively track to gain such a competitive edge. When the fund has more assets, the manager must analyze large companies because he needs to take larger positions. Large companies are more efficiently priced in the market and it becomes increasingly difficult to get an edge.