VBLTX : VANGUARD LONG-TERM BOND INDEX INV

 
#2
 
 
 

ZACKS RANK: 2 - BUY

Ticker: VBLTX
Manager: Gregory Davis
Manager Since: 04/08
NAV (06/17/2013): 13.31
Objective: Fixed Income - Dvsfd Bond
Peer: DB XS
Net Assets ($mil): 2904.00
Inception: 02/28/1994
VBLTX : Description

Vanguard Long-Term Bond Index Fund was incepted in March 1994 and is managed by The Vanguard Group. The objective of this fund is to seek a high and sustainable level of interest income. The fund attempts to match the performance of the unmanaged Lehman Brothers Long Government/Corporate Bond Index, which is made up of more than 1,500 bonds with maturities greater than ten years issued by the U.S. Treasury, federal agencies, and corporations. Since it is not cost-effective to own every security in the index, the fund invests in a large sample that matches key characteristics of the index (such as market-sector weightings, coupon interest rates, credit quality, and maturity). The fund (like the index) excludes Government National Mortgage Association and other mortgage-backed securities. The fund declares dividends on a daily basis and distributes on first business day of each month. Capital gains are distributed annu...

VBLTX : Composition - 05/13
Stocks 0.00%
Foreign Stocks 0.00%
Cash 0.46%
Bonds 98.84%
Foreign Bonds 0.00%
Preferred 0.00%
Convertible 0.00%
Other 0.70%
Foreign Hedged 0.00%
Composition Horizontal Bar Chart
VBLTX : Style Analysis - 05/13
Large Growth NA
Large Value NA
Small Growth NA
Small Value NA
Foreign Stock NA
Emerging Market NA
Precious Metals NA
Intermediate Bond NA
High Yield Bond NA
Foreign Bond NA
'Style Analysis Horizontal Bar Chart' is not available due to non availability

VBLTX : Risk Analysis
Beta v. S&P 500 -0.11
Beta v. EAFE -0.04
Beta v. Barclays Agg Bond 2.81
Alpha 3 Yr -5.31
Alpha 5 Yr -5.30
R-Sq 3 Yr 0.73
R-Sq 5 Yr 0.83
Std Dev 3 Yr 9.07
Std Dev 5 Yr 11.43
Sharpe 3 Yr 1.35
Sharpe 5 Yr 0.90
VBLTX : Fees
Expense Ratio 0.20
% Max Load NA
% Min Load NA
% Deferred Load NA
% Redemption NA
% Max 12 B1 Fee 0.00
% Max Mgt Fee 0.19
VBLTX : Purchase Choices:
Min Initial Investment 3000
Min Subsequent Investment 100
VBLTX : Returns Analysis - Annual

Line chart

  2003200420052006200720082009201020112012YTD
NAV ($) 11.5011.8211.8411.5311.6511.9911.5612.0413.9114.2713.31
Total Return (%) 5.508.395.322.666.128.721.6710.2722.046.921.88
Annual Dividend Yield (%) 5.365.214.885.234.835.155.264.683.973.913.84
Relative Performance
Rel Performance-S&P500(%) 13.9740.5728.89-16.61-8.3842.86-42.6337.13141.8226.899.97
Rel Performance-Obj.Ret.(%) -21.0348.2838.01-12.4918.92180.32-155.5526.14184.46-5.312.38
Ret.Quintile vs Obj(1 is best) 31152152132
Turnover, Yields, and Gains
Fund Assets Net($mil) 9511,3091,3091,8982,2772,5182,0492,2502,7272,9042,904
Annual Turnover (%) 76.0062.0059.0055.0062.0067.0069.0054.0045.0041.000.00
Annual Dividend Paid ($) 0.620.610.600.600.560.610.600.590.580.570.18
Annual Capital Gains Paid($) 0.170.000.000.000.000.000.000.100.120.020.00
VBLTX : Returns Analysis - Trailing Total Return
  1 Month 3 Month 6 Month YTD 1 Year 3 Year 5 Year 10 Year 15 Year 20 Year
Total Return (through 05/13) 3.71% 4.38% -0.45% 1.88% 7.97% 11.91% 9.89% 7.41% 7.85% NA
Ret. Percentile vs. Obj. (1 is best) 1 1 94 32 25 2 3 6 1 NA
VBLTX : Stock Portfolio Snapshot - 05/13
Average Price/Earnings NA
Average Price/Book NA
Average EPS Growth NA
Average Market Value NA
VBLTX : Stock Sector Breakout - 05/13
'Stock Sector Breakout' is not available due to non availability

VBLTX : Top Holdings - 05/13
Name Weight Shares
Data not available