Vanguard Investment Series PLC - Global Bond Index Fund vs Vanguard Investment Series PLC - US Government Bond Index Fund

FairSheets side-by-side comparison.

Vanguard Investment Series PLC - Global Bond Index Fund B1 · FairHorizon Blue Vanguard Investment Series PLC - US Government Bond Index Fund B5 · FairHorizon Blue
ISIN IE00B18GCB14 IE00BFPM9Z33
Asset class Global Bonds US Government Bonds
Strategy Index-Based Index-Based
Provider Vanguard Vanguard
Sustainability (SFDR)
Share class USD H ACC INST PLUS USD ACC
Currency USD USD
TER (p.a.) 0.15% 0.06%
Inception 2008-03-31 2013-12-06
Return — 1 year 2.66% 2.50%
Return — 3 years p.a. 3.82% 2.69%
Return — 5 years p.a. 0.20% -0.30%
Return — 10 years p.a. 1.73% 1.00%
Volatility — 5y stddev p.a. 5.49% 5.57%
Max. recommended portfolio share 100% 100%

How they differ

Vanguard Investment Series PLC - Global Bond Index Fund is classified by Das Family Office as FairHorizon Blue (Global Bonds, index-based). Global investment grade diversified bonds. Passive tracker on Bloomberg Global Aggregate Float Adjusted and Scaled Index.

Vanguard Investment Series PLC - US Government Bond Index Fund is classified as FairHorizon Blue (US Government Bonds, index-based). US broad maturity government bonds. Passive tracker on Bloomberg US Government Float Adjusted Bond Index.

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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