ETFRank
Vanguard

Vanguard Intermediate-Term Bond ETF

Ticker BIV · Bonds · NYSE Arca
ETFBloomberg US Government/Credit Float Adjusted 5-10 Year Index
+ PortafoglioConfronta
TER p.a.
0.03%
Distribution
Distributing
Replication
Physical
Fund size
$29B
Inception
April 2007
Holdings
2305
OverviewChartBasicsHoldingsReturnsRisk

Quote

$76.05
-0.39 | -0.51%
day
$75.67$79.03
52-week range
EOD close · USD

Description

Bonds ETF from Vanguard, tracking the Bloomberg US Government/Credit Float Adjusted 5-10 Year Index index.

Bloomberg US Government/Credit Float Adjusted 5-10 Year IndexBonds2305 holdings

Chart

Performance (1A): -13.84%

Basics

IndexBloomberg US Government/Credit Float Adjusted 5-10 Year Index
Investment focusBonds
Fund size$29B
Expense ratio (TER)0.03% p.a.
ReplicationPhysical (full replication)
Legal structureETF
CurrencyUSD
1-year volatility4.22%
InceptionApril 2007
Distribution policyDistributing
Dividend yield4.23%
IssuerVanguard

Other ETFs with a similar objective to BIV.

Holdings

Holdings of Vanguard Intermediate-Term Bond ETF.

Top 10 holdings
U.S. Treasury 4% 2034-02-152.29%
U.S. Treasury 1.25% 2031-08-152.20%
U.S. Treasury 4.5% 2033-11-152.19%
U.S. Treasury 4.375% 2034-05-152.18%
U.S. Treasury 4.625% 2035-02-152.06%
U.S. Treasury 3.875% 2034-08-152.06%
U.S. Treasury 4.25% 2034-11-152.03%
U.S. Treasury 4.25% 2035-05-152.02%
U.S. Treasury 4.25% 2035-08-151.99%
U.S. Treasury 4% 2035-11-151.95%
Countries
United States89.60%
Other4.90%
Canada1.60%
United Kingdom1.20%
Japan0.90%
Mexico0.60%

Returns

Returns overview
YTD-2.35%
1 month-0.83%
3 months-2.52%
6 months-2.66%
1 year-0.42%
3 years+0.07%
5 years-14.98%
Since inception (MAX)-13.84%
2026-2.3%
2025+4.2%
2024-2.2%
2023+2.8%
2022-15.2%
Monthly returns (heatmap)
JanFebMarAprMayJunJulAugSepOctNovDec
20260.01.5-2.3-0.2-0.2-1.0
20250.61.90.00.6-0.81.2-0.61.20.40.20.6-1.1
20240.0-1.90.6-2.81.50.72.31.21.1-3.20.8-2.3
20233.4-3.23.20.5-1.5-1.0-0.3-0.8-2.8-1.84.43.1
2022-2.1-1.0-3.5-4.10.7-1.82.9-3.7-4.5-0.93.4-1.3
20210.40.61.3-0.4-1.4-0.70.2-1.5

Risk

Returns include dividends (if any).

1-year volatility4.22%
3-year volatility5.65%
5-year volatility6.46%
1-year Sharpe-1.12
Max drawdown 1-year-4.18%
Max drawdown 3-year-7.29%
Max drawdown since inception-22.81%

Holdings from SEC filings. End-of-day (EOD) closing prices. Information on this page is not investment advice. Past performance is no guarantee of future results.