76.50 -0.09 -0.12%
08/24/2022 05:51 PM NYA


Asset Allocation Top Instruments

Asset Allocation Top Countries

Asset Allocation Top Holdings

Performance

Name %
Performance Current Year -4.59
Performance since Inception 175.02
High 1 Year 82.36
Maximum Loss 1 Year -5.56
Name %
Alpha 1 Year -0.05
Alpha 10 Years -0.07
Alpha 3 Years -0.05
Alpha 5 Years -0.04
Average Gain 1 Year 0.83
Average Gain 10 Years 0.38
Average Gain 15 Years 0.48
Average Gain 3 Years 0.49
Average Gain 5 Years 0.45
Average Loss 1 Year -0.64
Average Loss 10 Years -0.31
Average Loss 15 Years -0.32
Average Loss 3 Years -0.42
Average Loss 5 Years -0.36
Batting Average 1 Year 33.33
Batting Average 10 Years 41.67
Batting Average 3 Years 36.11
Batting Average 5 Years 41.67
Beta 1 Year 0.99
Beta 10 Years 1.00
Beta 3 Years 0.99
Beta 5 Years 0.99
Capture Ratio Down 1 Year 100.04
Capture Ratio Down 10 Years 101.45
Capture Ratio Down 3 Years 100.38
Capture Ratio Down 5 Years 99.22
Capture Ratio Up 1 Year 99.70
Capture Ratio Up 10 Years 98.20
Capture Ratio Up 3 Years 98.71
Capture Ratio Up 5 Years 98.29
Correlation 1 Year 99.99
Correlation 10 Years 99.82
Correlation 3 Years 99.95
Correlation 5 Years 99.88
High 1 Year 82.36
Information Ratio 1 Year -0.17
Information Ratio 10 Years -0.76
Information Ratio 3 Years -0.69
Information Ratio 5 Years -0.42
Low 1 Year 75.71
Maximum Loss 1 Year -5.56
Maximum Loss 10 Years -5.56
Maximum Loss 15 Years -5.56
Maximum Loss 3 Years -5.56
Maximum Loss 5 Years -5.56
Performance Current Year -4.59
Performance since Inception 175.02
Risk adjusted Return 10 Years 0.46
Risk adjusted Return 3 Years -0.20
Risk adjusted Return 5 Years 0.00
Risk adjusted Return Since Inception 0.19
R-Squared (R²) 1 Year 99.98
R-Squared (R²) 10 Years 99.64
R-Squared (R²) 3 Years 99.90
R-Squared (R²) 5 Years 99.76
Sortino Ratio 1 Year -1.93
Sortino Ratio 10 Years 0.46
Sortino Ratio 15 Years 1.52
Sortino Ratio 3 Years -0.08
Sortino Ratio 5 Years 0.04
Tracking Error 1 Year 0.04
Tracking Error 10 Years 0.09
Tracking Error 3 Years 0.07
Tracking Error 5 Years 0.09
Trailing Performance 1 Month -0.61
Trailing Performance 1 Week -0.53
Trailing Performance 1 Year -5.44
Trailing Performance 10 Years 11.10
Trailing Performance 2 Years -5.21
Trailing Performance 3 Months -0.65
Trailing Performance 3 Years -0.59
Trailing Performance 4 Years 4.97
Trailing Performance 5 Years 4.66
Trailing Performance 6 Months -2.83
Trailing Return 1 Month 0.97
Trailing Return 1 Year -4.65
Trailing Return 10 Years 1.16
Trailing Return 15 Years 2.28
Trailing Return 2 Months 0.12
Trailing Return 2 Years -2.16
Trailing Return 3 Months 0.82
Trailing Return 3 Years 0.42
Trailing Return 4 Years 1.60
Trailing Return 5 Years 1.16
Trailing Return 6 Months -2.64
Trailing Return 6 Years 1.01
Trailing Return 7 Years 1.21
Trailing Return 8 Years 1.26
Trailing Return 9 Months -3.83
Trailing Return 9 Years 1.25
Trailing Return Since Inception 2.32
Trailing Return YTD - Year to Date -3.61
Treynor Ratio 1 Year -5.28
Treynor Ratio 10 Years 0.49
Treynor Ratio 3 Years -0.16
Treynor Ratio 5 Years 0.03

Loading..
Date Open Close Daily High Daily Low
Price change over selected period: 0% 0

Sustainability Rating

Morningstar Sustainability Rating
Average
Rating vs. Category
Fixed Income
Category

Fossil-Fuel Involvement

0
2.86
100
2.52
Low High

NAV

76.53
Nav
08/15/2022
Last Update

Ratings

Morningstar Rating
Sustainability Rating

Key Data

Vanguard
Issuer
Bloomberg US 1-5Y Govt/Credit Fl Adj
Benchmark
39.22 B
Net Asset
USD
Currency
04/03/2007
Inception
Yes
Distributing
Short-Term Bond
Type
United States
Applied In
J. P. Morgan Chase Bank
Custodian
US9219378273
ISIN
BSV
Symbol

Investment Policy

The investment seeks to track the performance of the Bloomberg U.S. 1-5 Year Government/Credit Float Adjusted Index. This index includes all medium and larger issues of U.S. government, investment-grade corporate, and investment-grade international dollar-denominated bonds that have maturities between 1 and 5 years and are publicly issued. All of the fund's investments will be selected through the sampling process, and at least 80% of its assets will be invested in bonds held in the index.

Initial minimum savings amount
Savings Plan No
Distribution Distributing

Name Vanguard
Address Vanguard
Zip Code 19355
Website http://www.vanguard.com