ETFPanda

Vanguard EUR Corporate Bond UCITS ETF

VECP · IE00BZ163G84 · LSE
VanguardTracks Vanguard EUR Corporate Bond UCITS ETF reference index
€48.20
-0.74% today
60 sessions · price data is free, always
ISIN
IE00BZ163G84
Ticker
VECP
Theme
Bonds
TER
0.09%
Fund size
€2.0B
Replication
Physical
Distribution
Dist
Currency
EUR
Inception
2016

Liquidity & flows

PRO
Avg. daily volume
Avg. bid–ask spread
1M fund flows
Holdings
3,000
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Fund profile

Sample reference data
Benchmark index
Vanguard EUR Corporate Bond UCITS ETF reference index
Index provider
Multiple providers
Replication
Physical — full replication, optimised sampling on the long tail
Rebalancing
Annually
Securities lending
Up to 20% of NAV, revenue split 62.5% to the fund
Legal structure
Open-ended ICAV / plc sub-fund
Domicile
Ireland
UCITS
Yes — UCITS V compliant
SFDR classification
Article 6 — no sustainability objective
Income treatment
Distributing — income paid out in cash
Distribution frequency
Monthly
Currency hedging
No — unhedged, currency risk is carried by the investor
Withholding tax
15% US treaty rate on US dividends, no Irish withholding on payouts
UK reporting status
No
Savings plans
Limited — check your broker before committing to a plan
Share class launch
September 2016
Fiscal year end
30 June
Depositary / custodian
State Street Custodial Services (Ireland)

Listings & identifiers

Sample cross-listings
WKN
8GQHMD
SEDOL
1GHL8JX
Valoren
68597199
Bloomberg
VECP NA
ExchangeTickerTrading currencyListing
LSEVECPEURPrimary
Borsa ItalianaVECPEURCross-listing
SIX SwissVECPCHFCross-listing
Euronext AmsterdamVECPEURCross-listing

Top holdings

Top 10 = 60.2% of the fund · sample data
  1. 1US Treasury 4.25% 20349.62%
  2. 2US Treasury 3.875% 20298.56%
  3. 3Bundesrepublik 2.5% 20337.62%
  4. 4Japan Govt 0.6% 20326.78%
  5. 5France OAT 3.0% 20346.04%
  6. 6UK Gilt 4.25% 20365.37%
  7. 7Italy BTP 3.85% 20334.78%
  8. 8Canada Govt 3.25% 20334.26%
  9. 9Spain Bonos 3.55% 20333.79%
  10. 10Netherlands Govt 2.5% 20333.37%

3,000 positions in total — the remaining 39.8% sits in the long tail.

Risk, return & total cost

Sample figures — not investment advice
SRRI risk score
4 of 7
3Y volatility
13.2%
Max drawdown
−42.4%

Performance history

PRO
1Y total return
3Y annualised
Tracking difference
Sharpe ratio

What you actually pay each year

Ongoing charge (TER)
0.09%
Portfolio transaction costs
0.08%
of which index licence fee
0.04%
Estimated total cost
0.17%

Excludes your broker's commission and the bid–ask spread you pay on the way in and out.

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