FairHorizon Blue
B4-A

Vanguard Global Credit Bond Fund

Global investment grade diversified bonds. Active strategy with high corporate bonds exposure.

About the Fund

Data as of

The Vanguard Group is a US-based private investment firm founded in 1975 by John Bogle, and is best known for offering low cost, uncomplicated mutual fund and ETF solutions. It manages over US$12tn worth of assets.

The Vanguard Global Credit Bond Fund is an actively managed, global diversified investment grade fixed income bonds of mainly corporate bonds (~70%) and to a lesser extent sovereign bonds from both developed and emerging countries, using top-down macro outlook combined with bottom-up credit selection. The fund aims to outperform the Bloomberg Global Aggregate Credit Index and uses the index as a benchmark reference but is not constrained by it. The fund has >1700 holdings vs index of >20000 holdings.

Performance

Price Performance – Maximum Period

The FairHorizon Context

Investment-Time-Horizon in years

0 - 22 - 44 - 7 7 - 1010 - 1515+
Expected long-term return
2 - 4% p.a.
Expected volatility
3 - 5% p.a.

Building Block Returns

Vanguard Global Credit Bond Fund

Ann. return (3-year):
5.99%
Ann. return (5-year):
1.51%
Ann. return (10-year):
Ann. Standard Deviation (5-year):
6.49%

This fund represents an active approach for high quality diversified bond exposures with a higher allocation to corporate bonds vs sovereign bonds. This appeals to investors looking for a global bond solution with low sovereign exposures.

Benchmark Returns

SPDR Bloomberg Global Aggregate Bond UCITS ETF

Ann. return (3-year):
3.84%
Ann. return (5-year):
0.66%
Ann. return (10-year):
Ann. Standard Deviation (5-year):
4.81%
Link to the Funds FairSheet

FairHorizon Benchmark Returns

Dimensional Funds PLC - World Allocation 20/80 Fund

Ann. return (3-year):
7.18%
Ann. return (5-year):
3.55%
Ann. return (10-year):
Ann. Standard Deviation (5-year):
4.10%
Link to the Funds FairSheet

The Dimensional World Allocation 20/80 Fund is our FAIRHORIZON Blue reference benchmark solution that has 20% global developed equities and 80% global investment grade short-to-medium maturity bonds for global high quality bonds-like returns and volatility.

SHARING OUR PASSION FOR INVESTMENTS FAIRSHEET  Vanguard Global Credit Bond Fund  Page 1/2

Why we prefer this fund

Relevance of strategy

This fund represents an active approach for high quality diversified bond exposures with a higher allocation to corporate bonds vs sovereign bonds. This appeals to investors looking for a global bond solution with low sovereign exposures.

Performance

The fund has generated consistent outperformance vs the benchmark index since inception and in both up- and down-market years.

Historical maximum drawdown & recovery time

Max drawdown (since inception)
-18.96%
Recovery Period
957 Days

Diversification

Credit Rating

  • Aaa1.38%
  • Aa10.22%
  • A26.12%
  • Baa37.88%
  • Ba7.33%
  • B0.87%
  • Caa0.16%
  • Others16.03%

Sectors

  • Corporate74.29%
  • Government-Related17.01%
  • Treasury7.65%
  • Securitized0.87%
  • Others0.18%

Geography

  • U.S.A.45.91%
  • Australia7.88%
  • United Kingdom5.94%
  • Germany5.02%
  • Netherlands3.46%
  • France2.33%
  • Italy2.29%
  • Hungary1.71%
  • Austria1.69%
  • Mexico1.59%
  • Japan1.56%
  • Others20.62%

Frequently asked questions

What is the Vanguard Global Credit Bond Fund?
The Vanguard Global Credit Bond Fund is a actively managed fund in the Global Bonds asset class, managed by Vanguard. Global investment grade diversified bonds. Active strategy with high corporate bonds exposure.
What is the Vanguard Global Credit Bond Fund's FairHorizon classification?
Das Family Office classifies this fund as FairHorizon Blue, meaning it is suitable for investors with a 2–4 years investment horizon. conservative bond-heavy allocation
What is the total expense ratio (TER) of the Vanguard Global Credit Bond Fund?
The Vanguard Global Credit Bond Fund has a total expense ratio of 0.35% per annum. The maximum recommended portfolio share is 100%.
What is the ISIN of the Vanguard Global Credit Bond Fund?
The ISIN of the Vanguard Global Credit Bond Fund share class tracked by Das Family Office is IE00BYV1RD15.
What are the historical returns of the Vanguard Global Credit Bond Fund?
As of the most recent month-end, the Vanguard Global Credit Bond Fund has delivered 3-year annualised total return of 5.99%, 5-year annualised total return of 1.51%. Past performance is not indicative of future results.
Is the Vanguard Global Credit Bond Fund accumulating or distributing?
The tracked share class (INV USD HEDGED ACC) is Accumulating — income is automatically reinvested into the fund.
When was the Vanguard Global Credit Bond Fund launched?
The Vanguard Global Credit Bond Fund was incepted on 2017-09-14.