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

You get what you don’t pay for
Vanguard reduces fees across fixed income ETF range
Discover moreNote: 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.
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.
As at 31 Oct 2025
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.
| Fundamentals | Fund | Benchmark | As 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 |
As at 30 Sep 2025
| Country | Region | Fund | Benchmark | Variance +/- |
|---|---|---|---|---|
| United States of America | North America | 57.19% | 57.01% | 0.18% |
| United Kingdom | Europe | 8.55% | 8.52% | 0.03% |
| France | Europe | 7.38% | 7.35% | 0.03% |
| Germany | Europe | 4.36% | 4.50% | -0.14% |
| Canada | North America | 4.16% | 4.31% | -0.15% |
| Spain | Europe | 3.04% | 3.13% | -0.09% |
| Japan | Pacific | 2.66% | 2.63% | 0.03% |
| Netherlands | Europe | 2.43% | 2.55% | -0.12% |
| Australia | Pacific | 1.42% | 1.49% | -0.07% |
| Sweden | Europe | 1.40% | 1.33% | 0.07% |
| Switzerland | Europe | 1.14% | 1.15% | -0.01% |
| Italy | Europe | 1.11% | 1.27% | -0.16% |
| Ireland | Europe | 0.82% | 0.72% | 0.10% |
| Denmark | Europe | 0.70% | 0.67% | 0.03% |
| Finland | Europe | 0.49% | 0.42% | 0.07% |
As at 30 Sep 2025
| Credit Rating | Fund | Benchmark | Variance +/- |
|---|---|---|---|
| AAA | 0.93% | 0.92% | 0.01% |
| AA | 7.98% | 7.64% | 0.34% |
| A | 49.11% | 48.97% | 0.14% |
| BBB | 41.32% | 42.00% | -0.68% |
| Not Rated | 0.66% | 0.47% | 0.19% |
| Total | 100.00% | 100.00% |
As at 30 Sep 2025
| Issuers | Fund | Benchmark | Variance +/- |
|---|---|---|---|
| Corporate-Financial Institutions | 50.57% | 50.97% | -0.40% |
| Corporate-Industrials | 47.45% | 47.53% | -0.08% |
| Corporate-Utilities | 1.41% | 1.46% | -0.05% |
| Treasury/Federal | 0.34% | — | — |
| Cash | 0.19% | — | — |
| Gov-Related-Provincials/Municipals | 0.02% | 0.03% | -0.01% |
| Securitized-Asset Backed Security | 0.01% | — | — |
| Other | 0.00% | 0.01% | -0.00% |
| Total | 100.00% | 100.00% |
As at 30 Sep 2025
| Maturity | Fund | Benchmark | Variance +/- |
|---|---|---|---|
| Under 1 Year | 0.30% | 0.05% | 0.25% |
| 1 - 5 Years | 43.61% | 43.93% | -0.33% |
| 5 - 10 Years | 32.72% | 32.79% | -0.07% |
| 10 - 15 Years | 7.42% | 7.56% | -0.14% |
| 15 - 20 Years | 4.11% | 4.03% | 0.08% |
| 20 - 25 Years | 4.77% | 4.64% | 0.13% |
| Over 25 Years | 7.07% | 6.99% | 0.08% |
| Total | 100.00% | 99.99% |
As at 31 Oct 2025
| Holding name | % of market value | Market value | Face amount | Coupon/Yield | Maturity 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 |
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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 frequency
—
Historical performance 31 Oct 2025
4.20%
All dividends are reinvested for the "Accumulation" shares.
Listed currencies: GBP
Base currency: GBP
Exchanges: London Stock Exchange