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Vanguard Global Credit Bond Investor (VGCIX)

9.41
-0.03
(-0.32%)
At close: 8:02:20 PM EDT

Fund Summary

The fund will normally invest at least 80% of its assets in debt securities, primarily investing in investment-grade debt securities that the advisor believes will generate a moderate and sustainable level of current income. These debt securities include corporate and non-corporate obligations with an average rating equivalent to Baa3 and above by Moody's Investors Services, Inc. or another independent rating agency or, if unrated, that the fund's advisor determines to be of comparable quality. It may invest up to 10% of its total assets in below-investment-grade bonds.

Vanguard Global Credit Bond Investor

Valley Forge, PA 19482
P.O. Box 2600,

Fund Overview

Category Corporate Bond
Fund Family Vanguard
Net Assets 701.92M
YTD Return 1.79%
Yield 4.76%
Morningstar Rating
Inception Date Nov 15, 2018

Fund Operations

Last Dividend 0.10
Last Cap Gain -4.00
Holdings Turnover 157.00%
Average for Category --

Fees & Expenses

Expense VGCIX Category Average
Annual Report Expense Ratio (net) 0.35% 0.70%
Prospectus Net Expense Ratio 0.35% --
Prospectus Gross Expense Ratio 0.35% --
Max 12b1 Fee -- --
Max Front End Sales Load -- 3.44%
Max Deferred Sales Load -- 1.44%
3 Yr Expense Projection 0 --
5 Yr Expense Projection 0 --
10 Yr Expense Projection 0 --

Management Information

Arvind Narayanan, CFA, Portfolio Manager at Vanguard. He has been with Vanguard since February 2019, has worked in investment management since 2002, has managed investment portfolios since 2006, and has co-managed the Funds since November 2019. Education: B.A., Goucher College; M.B.A., New York University.

Morningstar Style Box

Morningstar Category

While the investment objective stated in a fund's prospectus may or may not reflect how the fund actually invests, the Morningstar category is assigned based on the underlying securities in each portfolio. Morningstar categories help investors and investment professionals make meaningful comparisons between funds. The categories make it easier to build well-diversified portfolios, assess potential risk, and identify top-performing funds. We place funds in a given category based on their portfolio statistics and compositions over the past three years. If the fund is new and has no portfolio history, we estimate where it will fall before giving it a more permanent category assignment. When necessary, we may change a category assignment based on recent changes to the portfolio.

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