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 Global Aggregate Corporate – United States Dollar Index (the “Index”).
  • The Fund invests in a representative sample of bonds included in the Index in order to closely match the Index’s capital and income return.
  • The Index measures the performance of a broad spread of US dollar denominated bonds paying a fixed rate of interest which are issued by companies.
  • Bonds in the Index have maturities of greater than one year and generally investment grade.
  • To a lesser extent the Fund may invest in similar types of bonds outside the Index.

Fund facts

Share class inception
25 May 2021
Listing date
27 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
H09913GB
Dividend schedule
Benchmark
Bloomberg Global Aggregate Corporate – United States Dollar Index hedged in GBP
Legal entity
Vanguard Funds PLC
Investment manager

Vanguard Global Advisers, LLC
U.S. 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 30 Sep 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 9,532 30 Sep 2025
4.9% 30 Sep 2025
4.5% 30 Sep 2025
9.8 Years 30 Sep 2025
A- 30 Sep 2025
6.4 Years 30 Sep 2025
Cash Investment 0.1% 30 Sep 2025
Market allocation

As at 30 Sep 2025

CountryRegionFundBenchmarkVariance +/-
United States of AmericaNorth America 76.87% 0.00% 76.87%
United KingdomEurope 4.34% 0.00% 4.34%
CanadaNorth America 2.89% 0.00% 2.89%
JapanPacific 2.17% 0.00% 2.17%
AustraliaPacific 1.61% 0.00% 1.61%
FranceEurope 1.57% 0.00% 1.57%
GermanyEurope 1.52% 0.00% 1.52%
SpainEurope 0.74% 0.00% 0.74%
South KoreaPacific 0.69% 0.00% 0.69%
SwitzerlandEurope 0.69% 0.00% 0.69%
ChinaEmerging Markets 0.68% 0.00% 0.68%
MexicoEmerging Markets 0.64% 0.00% 0.64%
ItalyEurope 0.63% 0.00% 0.63%
IrelandEurope 0.61% 0.00% 0.61%
NetherlandsEurope 0.59% 0.00% 0.59%
Distribution by credit quality (% of funds)

As at 31 Aug 2025

Distribution by credit issuer (% of funds)

As at 31 Aug 2025

Distribution by credit maturity (% of funds)

As at 31 Aug 2025

Holdings details

As at 30 Sep 2025

Holding name% of market valueMarket valueFace amountCoupon/YieldMaturity date
United States Treasury Note/Bond 0.24032% £10,687,858.88 10,761,000 3.38% 15 Sep 2028
Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc 0.10161% £4,518,855.34 4,828,000 4.90% 01 Feb 2046
American Express Co 0.10131% £4,505,561.28 4,446,000 5.10% 16 Feb 2028
Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc 0.08030% £3,571,315.07 3,615,000 4.70% 01 Feb 2036
Bank of America Corp 0.07650% £3,402,416.46 3,457,000 3.42% 20 Dec 2028
CVS Health Corp 0.07617% £3,387,556.65 3,805,000 5.05% 25 Mar 2048
Canadian Imperial Bank of Commerce 0.07377% £3,280,993.25 3,275,000 4.24% 08 Sep 2028
T-Mobile USA Inc 0.07316% £3,253,490.27 3,319,000 3.88% 15 Apr 2030
Bank of Nova Scotia/The 0.07296% £3,244,800.00 3,250,000 4.04% 15 Sep 2028
JPMorgan Chase & Co 0.07059% £3,139,305.96 3,000,000 5.50% 24 Jan 2036

Prices and distribution

Prices

NAV Price (GBP)
£49.80
Change
-£0.24-0.48%
At closure 29 Oct 2025
Market value (GBP)
£50.04
Change
-£0.07-0.14%
At closure 29 Oct 2025
NAV 52-week high
£50.03
At closure 30 Oct 2025
Market value 52-week high
£50.11
At closure 30 Oct 2025
NAV 52-week low
£45.67
At closure 30 Oct 2025
Market value 52-week low
£45.68
At closure 30 Oct 2025
NAV 52-week difference
£4.37
Change
+8.73%
At closure 30 Oct 2025
Market value 52-week difference
£4.44
Change
+8.85%
At closure 30 Oct 2025
Outstanding shares
2,164,457
At closure 30 Sep 2025
Historical Prices

-

Inception date

25 May 2021

Listing date

27 May 2021

Date NAV (GBP) Market price (GBP)
29 Oct 2025 £49.7963 £50.0400
28 Oct 2025 £50.0346 £50.1100
27 Oct 2025 £50.0184 £50.0050
24 Oct 2025 £49.9458 £49.9875
23 Oct 2025 £49.8816 £49.9425
22 Oct 2025 £49.9454 £49.9300
21 Oct 2025 £49.9660 £50.0250
20 Oct 2025 £49.8982 £49.9000
17 Oct 2025 £49.8025 £49.8225
16 Oct 2025 £49.8582 £49.7575

Distribution history

Distribution frequency

Historical performance 30 Sep 2025

4.85%

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: IVGPAGBP
  • Bloomberg: VGPA LN
  • Citi: LJUO
  • ISIN: IE00BGYWFN19
  • MEX ID: VRAAAW
  • Reuters: VGPA.L
  • SEDOL: BN2RJQ8
  • Exchange ticker: VGPA
  • Ticker iNav Bloomberg: IVGPAGBP
  • Bloomberg: VGPA LN
  • ISIN: IE00BGYWFN19
  • Reuters: VGPA.L
  • SEDOL: BN2RJQ8
  • Exchange ticker: VGPA