VCIT vs BIV

Both VCIT and BIV are ETFs. VCIT has a higher 5-year return than BIV (4.54% vs 3.62%). VCIT and BIV have the same expense ratio (0.07%). Below is the comparison between VCIT and BIV.

BIV VCIT
Segment Fixed Income: U.S. - Government/Credit Investment Grade Intermediate Fixed Income: U.S. - Corporate Investment Grade Intermediate
Issuer Vanguard Vanguard
Net Assets $13.12B $25.15B
Expense Ratio 0.07% 0.07%
Management Style passive (index-based) passive (index-based)
Dividend Yield 2.74% 3.40%
Underlying Index Bloomberg Barclays U.S. 5-10 Year Government/Credit Float Adjusted Index Bloomberg Barclays U.S. 5-10 Year Corporate Bond Index
YTD Return 10.17% 12.95%
1-Year Return 12.75% 14.34%
3-Year Return 3.40% 4.50%
5-Year Return 3.62% 4.54%
10-Year Return 4.68% 0.00%

VCIT 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.

VCIT returns

YTD Return 12.95%
1-Month Return 0.18%
3-Month Return 2.27%
1-Year Return 14.34%
3-Year Return 4.50%
5-Year Return 4.54%
10-Year Return 0.00%
VCIT expense ratio is 0.07%.

VCIT holdings

Top 10 Holdings (3.75% of Total Assets)

Name Symbol % Assets
United States Treasury Notes 2.38% N/A 0.63%
CVS Health Corp 4.3% N/A 0.57%
Bank of America Corporation 3.42% N/A 0.37%
Anheuser-Busch InBev Worldwide Inc. 4.75% N/A 0.35%
Broadcom Corporation/Broadcom Cayman Finance Ltd 3.88% N/A 0.33%
Verizon Communications Inc. 4.33% N/A 0.31%
Dell International L.L.C. and EMC Corporation 6.02% N/A 0.31%
CVS Health Corp 4.1% N/A 0.3%
Anheuser-Busch Companies LLC / Anheuser-Busch InBev Worldwide Inc 3.65% N/A 0.29%
Comcast Corporation 4.15% N/A 0.29%

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 returns

YTD Return 10.17%
1-Month Return -0.15%
3-Month Return 2.28%
1-Year Return 12.75%
3-Year Return 3.40%
5-Year Return 3.62%
10-Year Return 4.68%
BIV expense ratio is 0.07%.

BIV holdings

Top 10 Holdings (0.00% of Total Assets)

Name Symbol % Assets
Follow Us