NAV Price ()
Market value ()
Holdings
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About this fund

Fund objectives

  • The Fund employs a passive management – or indexing – investment approach, through physical acquisition of securities, and seeks to track the performance of the Bloomberg MSCI Global Corporate Float-Adjusted Liquid Bond Screened Index (the “Index”).
  • The Fund invests in a multi-currency portfolio of investment grade corporate fixed-rate bonds from both developed and emerging market issuers that consists of a representative sample of the component securities of the Index.
  • The Index is constructed from the Bloomberg Global Aggregate Float-Adjusted Corporate Index (the “Parent Index”) which represents a similar investment universe which is then screened for certain environmental, social, and governance (i.e. controversy-related) criteria which is independent of Vanguard. Criteria (the “screening criteria") by Bloomberg as the sponsor of the Index, which is independent of Vanguard.
  • Through the screening out of bonds issued by corporate issuers from its portfolio based on the potentially detrimental impact of the relevant corporate issuer’s conduct or products on society and / or the environment, the Fund promotes certain environmental characteristics and social characteristics relating to social norms and standards.
  • The Index methodology excludes the bonds of corporate issuers that MSCI determines (a) to be engaged in activities in or involved in specific parts of the supply chain for, and/or (b) derive revenue (above a threshold specified by the Index provider) from, certain business segments of activities related to the following: (i) adult entertainment, (ii) alcohol, (iii) gambling, (iv) tobacco, (v) nuclear weapons, (vi) controversial weapons, (vii) conventional weapons, (viii) civilian firearms, (ix) nuclear power, or (x) fossil fuels (which includes thermal coal, oil, gas, oil sands, arctic oil or arctic gas). The index provider defines what constitutes “involvement” in each activity. This may be based on percentage of revenue or any connection to a restricted activity regardless of the amount of revenue received, and will relate to specific parts of the supply chain.
  • Company product and conduct involvement is monitored on a yearly basis by the Index provider and as new data is made available to the Index provider.
  • For the full investment strategy please review the prospectus.

Note: This product is based overseas and is not subject to UK sustainable investment labelling and disclosure requirements. For more information about sustainable investment labels, please see the FCA page linked here.

Fund facts

Share class inception
20 May 2021
Listing date
25 May 2021
Investment structure
Irish UCITS
Share Class Assets'
Total Assets
Risk indicator
Strategy
Index
Asset Class
Bond
Domicile
Ireland
Tax status
Austria, Italy, Switzerland and United Kingdom reporting
Investment method
Physical
Index ticker
H35936GB
Dividend schedule
Benchmark
Bloomberg MSCI Global Corporate Float-Adjusted Liquid Bond Screened Index in GBP
Legal entity
Vanguard Funds PLC
Investment manager

Vanguard Asset Management, Ltd.
Europe Bond Index Team

The value of investments, and the income from them, may fall or rise and investors may get back less than they invested.

Performance

Risk and Volatility

As at 31 Oct 2025

Beta
Annualized Tracking Error
1 year
3 years
5 years

Please note Beta and R-squared data will only display for funds with 3 full years of history.

The value of investments, and the income from them, may fall or rise and investors may get back less than they invested.

Portfolio data

Characteristics
FundamentalsFundBenchmarkAs at
Number of bonds 4,848 6,743 30 Sep 2025
4.1% 4.2% 31 Oct 2025
3.9% 3.8% 31 Oct 2025
7.8 Years 7.8 Years 31 Oct 2025
A- A- 31 Oct 2025
5.6 Years 5.6 Years 31 Oct 2025
Cash Investment 0.2% 30 Sep 2025
Market allocation

As at 30 Sep 2025

CountryRegionFundBenchmarkVariance +/-
United States of AmericaNorth America 57.19% 57.01% 0.18%
United KingdomEurope 8.55% 8.52% 0.03%
FranceEurope 7.38% 7.35% 0.03%
GermanyEurope 4.36% 4.50% -0.14%
CanadaNorth America 4.16% 4.31% -0.15%
SpainEurope 3.04% 3.13% -0.09%
JapanPacific 2.66% 2.63% 0.03%
NetherlandsEurope 2.43% 2.55% -0.12%
AustraliaPacific 1.42% 1.49% -0.07%
SwedenEurope 1.40% 1.33% 0.07%
SwitzerlandEurope 1.14% 1.15% -0.01%
ItalyEurope 1.11% 1.27% -0.16%
IrelandEurope 0.82% 0.72% 0.10%
DenmarkEurope 0.70% 0.67% 0.03%
FinlandEurope 0.49% 0.42% 0.07%
Distribution by credit quality (% of funds)

As at 30 Sep 2025

Distribution by credit issuer (% of funds)

As at 30 Sep 2025

Distribution by credit maturity (% of funds)

As at 30 Sep 2025

Holdings details

As at 31 Oct 2025

Holding name% of market valueMarket valueFace amountCoupon/YieldMaturity date
JPMorgan Chase & Co 0.18993% £2,426,619.20 2,419,000 4.32% 26 Apr 2028
Morgan Stanley Bank NA 0.18596% £2,375,825.34 2,355,000 4.95% 14 Jan 2028
Wells Fargo & Co 0.16145% £2,062,748.56 2,000,000 5.15% 23 Apr 2031
PNC Financial Services Group Inc/The 0.13688% £1,748,855.99 1,690,000 5.58% 12 Jun 2029
Amazon.com Inc 0.13599% £1,737,428.79 1,750,000 3.30% 13 Apr 2027
T-Mobile USA Inc 0.12647% £1,615,821.47 1,650,000 3.88% 15 Apr 2030
AbbVie Inc 0.12306% £1,572,234.68 1,629,000 3.20% 21 Nov 2029
General Motors Financial Co Inc 0.11578% £1,479,246.87 1,520,000 2.70% 20 Aug 2027
Bank of America Corp 0.11506% £1,470,002.49 1,445,000 4.98% 24 Jan 2029
Morgan Stanley 0.10808% £1,380,781.77 1,345,000 5.17% 16 Jan 2030

Prices and distribution

Prices

NAV Price (GBP)
£5.09
Change
-£0.01-0.18%
At closure 14 Nov 2025
Market value (GBP)
£5.10
Change
-£0.00-0.01%
At closure 14 Nov 2025
NAV 52-week high
£5.14
At closure 16 Nov 2025
Market value 52-week high
£5.14
At closure 16 Nov 2025
NAV 52-week low
£4.75
At closure 16 Nov 2025
Market value 52-week low
£4.75
At closure 16 Nov 2025
NAV 52-week difference
£0.39
Change
+7.50%
At closure 16 Nov 2025
Market value 52-week difference
£0.39
Change
+7.62%
At closure 16 Nov 2025
Outstanding shares
36,218,067
At closure 31 Oct 2025
Historical Prices

-

Inception date

20 May 2021

Listing date

25 May 2021

Date NAV (GBP) Market price (GBP)
14 Nov 2025 £5.0871 £5.0963
13 Nov 2025 £5.0962 £5.0970
12 Nov 2025 £5.1097 £5.1168
11 Nov 2025 £5.1021 £5.1148
10 Nov 2025 £5.0997 £5.1010
07 Nov 2025 £5.0974 £5.1095
06 Nov 2025 £5.1042 £5.1085
05 Nov 2025 £5.0930 £5.0960
04 Nov 2025 £5.1023 £5.1105
03 Nov 2025 £5.0986 £5.1045

Distribution history

Distribution frequency

Historical performance 31 Oct 2025

4.20%

All dividends are reinvested for the "Accumulation" shares.

Purchase information

Currencies and stock exchanges

Listed currencies: GBP

Base currency: GBP

Exchanges: London Stock Exchange

Fund codes

  • Ticker iNav Bloomberg: IV3GSGBP
  • Bloomberg: V3GS LN
  • Citi: V17M
  • ISIN: IE00BNDS1T77
  • MEX ID: VRAABH
  • Reuters: V3GS.L
  • SEDOL: BMV7ZF3
  • Exchange ticker: V3GS
  • Ticker iNav Bloomberg: IV3GSGBP
  • Bloomberg: V3GS LN
  • ISIN: IE00BNDS1T77
  • Reuters: V3GS.L
  • SEDOL: BMV7ZF3
  • Exchange ticker: V3GS