SPDR Bloomberg 10+ Year U.S. Corporate Bond UCITS ETF vs Vanguard Investment Series PLC - Emerging Markets Bond Fund

FairSheets side-by-side comparison.

SPDR Bloomberg 10+ Year U.S. Corporate Bond UCITS ETF G2 · FairHorizon Green Vanguard Investment Series PLC - Emerging Markets Bond Fund G3 · FairHorizon Green
ISIN IE00BZ0G8860 IE00BKLWXM74
Asset class US Corporate Bonds EM Government Bonds Hard Currency
Strategy Index-Based Actively Managed
Provider State Street Investment Management Vanguard
Sustainability (SFDR)
Share class USD INC IH USD ACC
Currency USD USD
TER (p.a.) 0.12% 0.60%
Inception 2015-12-02 2019-12-03
Return — 1 year 5.55% 12.57%
Return — 3 years p.a. 3.12% 11.14%
Return — 5 years p.a. -1.67% 4.23%
Return — 10 years p.a. 2.44%
Volatility — 5y stddev p.a. 12.92% 9.29%
Max. recommended portfolio share 20% 20%

How they differ

SPDR Bloomberg 10+ Year U.S. Corporate Bond UCITS ETF is classified by Das Family Office as FairHorizon Green (US Corporate Bonds, index-based). US medium-long maturity corporate bonds. Passive tracker on Bloomberg US !0+ Year Corporate Bond Index.

Vanguard Investment Series PLC - Emerging Markets Bond Fund is classified as FairHorizon Green (EM Government Bonds Hard Currency, actively managed). EM USD broad government bonds. Active strategy with concentrated portfolio.

Both funds sit in the same FairHorizon bucket, suggesting comparable investment time-horizons. Differences are likely to come from underlying strategy, manager skill, or sub-asset-class tilt.

Need help choosing?

Our research team can talk through the trade-offs in the context of your overall portfolio.

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