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Vanguard Total Bond Market Index Fund BND

Total US Bond · Vanguard · NGM · USD
$72.82
+0.12 (+0.17%) day
Day 72.72 — 72.89
Vol 6,141,037 · avg 9,864,570
+71.01% YTD
📊 Investment Snapshot Strong
52-Week Range 17% of range — Near 52W Low
$72.34 $75.23
Performance Returns
1M -0.2%
3M -0.6%
6M +0.1%
YTD +0.3%
3Y +12.6%
5Y -1.3%
Fund Quality
  • Expense Ratio (TER) 0.03% · Excellent — keeps more returns in your pocket
  • AUM (Fund Size) 397.86B · Large — good liquidity & low tracking error
  • Distribution Yield 3.95% · Strong income distribution
  • Long-Term Track Record 3Y avg +3.9%/yr · 5Y avg -0.2%/yr
Risk Assessment
  • Annual Volatility 3.7% · Very Low
  • Worst 1-Year Drawdown -2.7% · Resilient — contained loss periods
  • Risk-Adjusted Return Sharpe 1.12 · Good — earns well per unit of risk

Auto-generated from fund data and price history. Not investment advice — verify with the fund issuer's factsheet before investing.

About This Fund

This index measures the performance of a wide spectrum of public, investment-grade, taxable, fixed income securities in the United States-including government, corporate, and international dollar-denominated bonds, as well as mortgage-backed and asset-backed securities-all with maturities of more than 1 year. 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.

Investment Strategy & Highlights

Curated from issuer disclosures, fund factsheets, and public market data. Figures are illustrative and not investment advice.

Key Facts

Expense Ratio
0.03%
Total Assets (AUM)
397.86 B
NAV
72.66
Yield
3.95%
52W High / Low
75.23 / 72.34
3Y Avg Return
3.85%
5Y Avg Return
-0.16%
Category
Intermediate Core Bond

Performance Returns

1M
-0.24%
3M
-0.58%
6M
+0.07%
YTD
+0.31%
3Y
+12.63%
5Y
-1.30%

Total price return over each window. 3Y/5Y use weekly close history; shorter windows use daily closes.

Risk & Volatility

Volatility (ann.)
3.7%
Max Drawdown (1Y)
-2.7%
Sharpe-like
1.12
Beta
0.98

Volatility = stdev of daily returns × √252. Sharpe-like = annualized mean / annualized vol (rf = 0%). Educational estimates from 1-year price history.

Technical Trend

SMA 20
73.01
SMA 50
72.84
SMA 200
72.78
RSI (14)
37.0

Signal: Mildly bullish (50/200 in uptrend)

Computed from daily close history. SMA-50 above SMA-200 is the classic “golden cross” trend regime. RSI > 70 overbought · RSI < 30 oversold.

PROS

  • Very low expense ratio (0.03%) — cost-efficient core holding.
  • Large AUM (~$397.9B) — deep liquidity and tight spreads.
  • Low volatility (~4% annualized).
  • Attractive risk-adjusted return (Sharpe~1.12).

CONS

No notable concerns flagged.

* The pros and cons are auto-generated from fund metrics.

Price Chart

Robinhood TradingView

🔄 Similar Funds to Compare

This fund is in the Intermediate Core Bond category. Compare with other funds in the same category on the Funds & ETFs page to find the best fit for your strategy.

💡 Pro Tips
  • Compare expense ratios — lower TER saves money
  • Check 1Y/3Y/5Y returns — consistency matters
  • Review AUM — larger funds have better liquidity
  • Look at holdings overlap — avoid duplication
✓ This Fund
Expense Ratio: 0.03%
Category: Intermediate Core Bond
Manager: Vanguard
YTD Return: +71.01%

Top Holdings

Holdings data not available for this fund.

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