Vanguard Global Bond Index Fund - Institutional Plus USD Hedged Dist

ISIN
IE00BFXZJ096
Base currency
USD
Currency hedged
Yes
Distributing
Yes
UCITS compliant
No

NAV as of 2022-08-16
$98.77
Annualized return rate
1.25% p.a. since inception
Total NAV (USD)
22.4 million
Total expense ratio
0.1%
Info
Index Bloomberg Global Aggregate Float Adjusted and Scaled Index in USD
Structure
Currency hedged Yes
Inception date 2018-05-31
Distributions/taxes
Use of income Distributing
Distribution frequency Quarterly
Domicile IE

Asset classes

Name %
BOND
92%
None
2%

Sectors

Name %
None
94%

Locations

Name %
None
94%
Holdings
Name Asset class Sector Location Weight
O
Other None
N/A N/A N/A 1.66%
B
Bundesrepublik Deutschland Bundesanleihe DE0001102523
BOND N/A N/A 0.53%
S
Spain Government Bond ES0000012H33
BOND N/A N/A 0.46%
I
Italy Buoni Poliennali Del Tesoro IT0005408502
BOND N/A N/A 0.41%
F
French Republic Government Bond OAT FR0014003513
BOND N/A N/A 0.39%
U
United States Treasury Note/Bond US912828U576
BOND N/A N/A 0.37%
U
United Kingdom Gilt GB00BLPK7110
BOND N/A N/A 0.35%
S
Spain Government Bond ES0000012G91
BOND N/A N/A 0.31%
I
Italy Buoni Poliennali Del Tesoro IT0005454050
BOND N/A N/A 0.3%
F
French Republic Government Bond OAT FR0013341682
BOND N/A N/A 0.3%
Dividends
Ex-date Record date Payment date Dividend per share
2022-06-30 2022-06-29 2022-07-14 $0.40
2022-03-31 2022-03-30 2022-04-14 $0.36
2021-12-31 2021-12-30 2022-01-14 $0.36
2021-09-30 2021-09-29 2021-10-13 $0.36
2021-06-30 2021-06-29 2021-07-14 $0.36
2021-03-31 2021-03-30 2021-04-14 $0.38
2020-12-31 2020-12-30 2021-01-14 $0.41
2020-09-30 2020-09-29 2020-10-14 $0.43
2020-06-30 2020-06-29 2020-07-14 $0.46
2020-03-31 2020-03-30 2020-04-14 $0.48
2019-12-31 2019-12-30 2020-01-15 $0.50
2019-09-30 2019-09-27 2019-10-14 $0.47
2019-06-28 2019-06-27 2019-07-15 $0.55
2019-03-29 2019-03-28 2019-04-15 $0.48
2018-12-31 2018-12-28 2019-01-14 $0.51
2018-09-28 2018-09-27 2018-10-12 $0.48
2018-06-29 2018-06-29 2018-07-13 $0.03
Listings
Ticker MIC Currency