BND vs BIV

Both BND and BIV are ETFs. BND has a lower 5-year return than BIV (4.35% vs 5.02%). BND has a lower expense ratio than BIV (0.04% vs 0.07%). Below is the comparison between BND and BIV.

BIV BND
Segment Fixed Income: U.S. - Government/Credit Investment Grade Intermediate Fixed Income: U.S. - Broad Market Investment Grade
Issuer Vanguard Vanguard
Net Assets $12.15B $52.06B
Expense Ratio 0.07% 0.04%
Management Style passive (index-based) passive (index-based)
Dividend Yield 2.61% 2.57%
Underlying Index Bloomberg Barclays U.S. 5-10 Year Government/Credit Float Adjusted Index Bloomberg Barclays U.S. Aggregate Float Adjusted Index
YTD Return 9.36% 7.40%
1-Year Return 9.21% 7.32%
3-Year Return 6.33% 5.35%
5-Year Return 5.02% 4.35%
10-Year Return 4.53% 3.68%

BND description

The Fund seeks to track the performance of a broad, market-weighted bond index.

BND performance & returns

YTD Return 7.40%
1-Month Return 0.55%
3-Month Return 0.79%
1-Year Return 7.32%
3-Year Return 5.35%
5-Year Return 4.35%
10-Year Return 3.68%
BND expense ratio is 0.04%.

BND holdings

Top 10 Holdings (2.28% of Total Assets)

Name Symbol % Assets
Federal National Mortgage Association N/A 0.74%
Federal National Mortgage Association 2.5% N/A 0.68%
United States Treasury Bonds N/A 0.45%
United States Treasury Notes N/A 0.41%

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BIV description

The Fund seeks to track the performance of a market-weighted bond index with an intermediate-term dollar-weighted average maturity. The Fund employs an indexing investment approach designed to track the performance of the Barclays U.S. 5-10 Year Government/Credit Float Adjusted Index.

BIV performance & returns

YTD Return 9.36%
1-Month Return 0.49%
3-Month Return 0.74%
1-Year Return 9.21%
3-Year Return 6.33%
5-Year Return 5.02%
10-Year Return 4.53%
BIV expense ratio is 0.07%.

BIV holdings

Top 10 Holdings (1.75% of Total Assets)

Name Symbol % Assets
United States Treasury Notes N/A 1.75%

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