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BFCAX vs VICSX

Both BFCAX and VICSX are mutual funds. BFCAX has a higher 5-year return than VICSX (4.88% vs 4.7%). BFCAX has a higher expense ratio than VICSX (0.84% vs 0.07%). Below is the comparison between BFCAX and VICSX.

BFCAX VICSX
Security Type Mutual fund Mutual fund
Segment Taxable Fixed Income: Corporate Bond Taxable Fixed Income: Corporate Bond
Family American Funds Vanguard
Net Assets $1.08B $1.57B
Expense Ratio 0.84% 0.07%
Management Style active passive (index-based)
Dividend Yield 1.49% 2.30%
Minimum Investment $1,000.00 $10,000.00
YTD Return -1.47% -0.38%
1-Year Return 2.62% 2.61%
3-Year Return 7.97% 7.76%
5-Year Return 4.88% 4.70%
10-Year Return N/A 5.11%

BFCAX description

The Fund seeks to provide maximum total return consistent with capital preservation and prudent risk management. The Fund would invest at least 80% of its assets in corporate debt securities. The Fund will also normally invest all of its assets in debt securities with quality ratings of Baa3 or better or BBB- or better.

BFCAX performance & returns

YTD Return -1.47%
1-Month Return 1.63%
3-Month Return 2.62%
1-Year Return 2.62%
3-Year Return 7.97%
5-Year Return 4.88%
10-Year Return N/A
BFCAX expense ratio is 0.84%.

BFCAX holdings

Top 10 Holdings (11.75% of Total Assets)

Name Symbol % Assets
United States Treasury Bonds 1.25% N/A 2.34%
Toyota Motor Credit Corporation 0.5% N/A 1.55%
Bank of America Corporation 1.9% N/A 1.29%
Chevron USA Inc 0.69% N/A 1.26%
United States Treasury Bonds 2.38% N/A 1.24%
Citigroup Inc. 2.57% N/A 0.90%
Chevron USA Inc 1.02% N/A 0.90%
Credit Suisse Group AG 4.19% N/A 0.80%
United States Treasury Notes 0.5% N/A 0.76%
Servicenow Inc 1.4% N/A 0.71%

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VICSX description

The Fund seeks to track the performance of a market-weighted corporate bond index with an intermediate-term dollar-weighted average maturity. The Fund employs a passive management - or indexing - investment approach designed to track the performance of the Barclays Capital U.S. 5-10 Year Corporate Bond Index.

VICSX performance & returns

YTD Return -0.38%
1-Month Return 1.40%
3-Month Return 2.61%
1-Year Return 2.61%
3-Year Return 7.76%
5-Year Return 4.70%
10-Year Return 5.11%
VICSX expense ratio is 0.07%.

VICSX holdings

Top 10 Holdings (3.72% of Total Assets)

Name Symbol % Assets
CVS Health Corp N/A 0.54%
CVS Health Corp 4.3% N/A 0.54%
T-Mobile USA, Inc. 3.88% N/A 0.39%
T-Mobile USA, Inc. N/A 0.39%
Bank of America Corporation 3.42% N/A 0.34%
Bank of America Corporation N/A 0.34%
AbbVie Inc. 3.2% N/A 0.32%
AbbVie Inc. N/A 0.32%
Cigna Corporation N/A 0.27%
Deutsche Telekom International Finance B.V. 8.75% N/A 0.27%

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