VCIT vs BIV

Both VCIT and BIV are ETFs. VCIT has a higher 5-year return than BIV (4.47% vs 4.3%). VCIT has a lower expense ratio than BIV (0.05% vs 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 $12.15B $27.72B
Expense Ratio 0.07% 0.05%
Management Style passive (index-based) passive (index-based)
Dividend Yield 2.61% 3.32%
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 5.58% 0.98%
1-Year Return 11.28% 8.23%
3-Year Return 5.65% 5.11%
5-Year Return 4.30% 4.47%
10-Year Return 4.86% 5.42%

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 performance & returns

YTD Return 0.98%
1-Month Return 0.44%
3-Month Return -1.07%
1-Year Return 8.23%
3-Year Return 5.11%
5-Year Return 4.47%
10-Year Return 5.42%
VCIT expense ratio is 0.05%.

VCIT holdings

Top 10 Holdings (4.44% of Total Assets)

Name Symbol % Assets
United States Treasury Notes 1.5% N/A 1.44%
CVS Health Corp 4.3% N/A 0.57%
Bank of America Corporation 3.42% N/A 0.34%
AbbVie Inc. 3.2% N/A 0.33%
Verizon Communications Inc. 4.33% N/A 0.31%
Verizon Communications Inc. 4.02% N/A 0.3%
Wells Fargo & Company 2.88% N/A 0.3%
Dell International L.L.C. and EMC Corporation 6.02% N/A 0.29%
Anheuser-Busch InBev Worldwide Inc. 4.75% N/A 0.28%
Goldman Sachs Group, Inc. 3.81% N/A 0.28%

Other relevant VCIT comparisons

You may also want to check out the following VCIT comparisons that investors often look for on Finny

Or use Finny Compare Wizard to create a comparison you’d like to see.

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 5.58%
1-Month Return 0.23%
3-Month Return 3.28%
1-Year Return 11.28%
3-Year Return 5.65%
5-Year Return 4.30%
10-Year Return 4.86%
BIV expense ratio is 0.07%.

BIV holdings

Top 10 Holdings (14.90% of Total Assets)

Name Symbol % Assets
United States Treasury Notes 3.12% N/A 2.71%
United States Treasury Notes 2.62% N/A 2.2%
United States Treasury Notes 1.5% N/A 2.19%
United States Treasury Notes 1.62% N/A 2.06%
United States Treasury Notes 2.88% N/A 1.93%
United States Treasury Notes 2.25% N/A 1.91%
United States Treasury Notes 2.38% N/A 1.9%

Other relevant BIV comparisons

You may also want to check out the following BIV comparisons that investors often look for on Finny

Or use Finny Compare Wizard to create a comparison you’d like to see.

You can check out all comparisons Finny users have looked for here. Feel free to the browse the list and view the comparisons that are of an interest to you.
Follow Us