NAV Price ()
Market value ()
Holdings

About this fund

Fund objectives

  • The Fund employs a passive management – or indexing – investment approach, through physical acquisition of securities, and seeks to track the performance of the Bloomberg Global Aggregate US Treasury Float Adjusted Index (the “Index”).
  • The Fund invests in a representative sample of bonds included in the Index in order to closely match the Index’s capital and income return.
  • The Index measures the performance of a broad spread of US dollar denominated bonds paying a fixed rate of interest issued by the US government.
  • Bonds in the Index have maturities of greater than one year and are generally investment grade.
  • To a lesser extent the Fund may invest in similar types of government bonds outside the Index.

Fund facts

Share class inception
08 lut 2022
Listing date
10 lut 2022
Investment structure
Irish UCITS
Share Class Assets'
Total Assets
Risk indicator
Strategy
Index
Asset Class
Bond
Domicile
Ireland
Investment method
Physical
Index ticker
H21140GB
Dividend schedule
Monthly
Benchmark
Bloomberg Global Aggregate U.S. Treasury Float Adjusted Index in GBP
Legal entity
Vanguard Funds PLC
Register countries
Wielka Brytania, Francja, Włochy, Liechtenstein, Austria, Dania, Irlandia, Wyspa Man, Belgia, Finlandia, Guernsey, C.I., Holandia, Norwegia, Niemcy, Jersey, C.I., Szwecja, Szwajcaria, Luksemburg, Portugalia and Hiszpania

The value of investments, and the income from them, may fall or rise and investors may get back less than they invested.

Performance

Risk and Volatility

As at 31 paź 2025

Beta
Annualized Tracking Error
1 year
3 years
5 years

Please note Beta and R-squared data will only display for funds with 3 full years of history.

The value of investments, and the income from them, may fall or rise and investors may get back less than they invested.

Portfolio data

Characteristics
FundamentalsFundBenchmarkAs at
Number of bonds 292 294 30 wrz 2025
3,9% 3,9% 31 paź 2025
3,3% 3,2% 31 paź 2025
7,8 Years 7,8 Years 31 paź 2025
AA+ AA+ 31 paź 2025
5,8 Years 5,8 Years 31 paź 2025
Cash Investment 0,3% 30 wrz 2025
Market allocation

As at 31 paź 2025

CountryRegionFundBenchmarkVariance +/-
Stany ZjednoczoneAmeryka Północna 99,75% 100,00% -0,25%
Inne 0,25% 0,00% 0,25%
Distribution by credit quality (% of funds)

As at 30 wrz 2025

Distribution by credit issuer (% of funds)

As at 30 wrz 2025

Distribution by credit maturity (% of funds)

As at 30 wrz 2025

Holdings details

As at 31 paź 2025

Holding name% of market valueMarket valueFace amountCoupon/YieldMaturity date
United States Treasury Note/Bond 0,91479% 26 238 523,44 GBP 25 150 000 4,63% 15 lut 2035
United States Treasury Note/Bond 0,89841% 25 768 631,25 GBP 25 380 000 4,25% 15 lis 2034
United States Treasury Note/Bond 0,89448% 25 655 850,00 GBP 24 992 000 4,38% 15 maj 2034
United States Treasury Note/Bond 0,88558% 25 400 659,38 GBP 25 060 000 4,25% 15 maj 2035
United States Treasury Note/Bond 0,88240% 25 309 462,50 GBP 24 997 000 4,25% 15 sie 2035
United States Treasury Note/Bond 0,87504% 25 098 418,13 GBP 25 388 000 3,88% 15 sie 2034
United States Treasury Note/Bond 0,86382% 24 776 641,64 GBP 24 757 300 4,00% 15 lut 2034
United States Treasury Note/Bond 0,83499% 23 949 758,20 GBP 23 101 500 4,50% 15 lis 2033
United States Treasury Note/Bond 0,80895% 23 202 622,84 GBP 22 909 100 4,00% 28 lut 2030
United States Treasury Note/Bond 0,75916% 21 774 750,16 GBP 21 877 300 3,88% 15 sie 2033

Prices and distribution

Prices

NAV Price (GBP)
21,37 GBP
Change
-0,04 GBP-0,17%
At closure 14 lis 2025
Market value (GBP)
21,40 GBP
Change
-0,04 GBP-0,17%
At closure 14 lis 2025
NAV 52-week high
21,57 GBP
At closure 17 lis 2025
Market value 52-week high
21,65 GBP
At closure 17 lis 2025
NAV 52-week low
20,76 GBP
At closure 17 lis 2025
Market value 52-week low
20,77 GBP
At closure 17 lis 2025
NAV 52-week difference
0,81 GBP
Change
+3,74%
At closure 17 lis 2025
Market value 52-week difference
0,89 GBP
Change
+4,10%
At closure 17 lis 2025
Outstanding shares
19 638
At closure 31 paź 2025
Historical Prices

-

Inception date

08 lut 2022

Listing date

10 lut 2022

Date NAV (GBP) Market price (GBP)
14 lis 2025 21,3706 GBP 21,4000 GBP
13 lis 2025 21,4061 GBP 21,4375 GBP
12 lis 2025 21,4590 GBP 21,4650 GBP
11 lis 2025 21,4043 GBP 21,4575 GBP
10 lis 2025 21,4024 GBP 21,4100 GBP
07 lis 2025 21,4186 GBP 21,4500 GBP
06 lis 2025 21,4217 GBP 21,4250 GBP
05 lis 2025 21,3370 GBP 21,3450 GBP
04 lis 2025 21,4213 GBP 21,4325 GBP
03 lis 2025 21,3993 GBP 21,3850 GBP

Distribution history

Distribution frequency

Monthly

Historical performance 31 paź 2025

4,10%

TypeDistribution amount (per unit)Ex-dividend dateRegistration datePayable date
Income 0,0836 GBP 20 lis 2025 21 lis 2025 03 gru 2025
Income 0,0620 GBP 16 paź 2025 17 paź 2025 29 paź 2025
Income 0,0741 GBP 18 wrz 2025 19 wrz 2025 01 paź 2025
Income 0,0761 GBP 21 sie 2025 22 sie 2025 03 wrz 2025
Income 0,0829 GBP 17 lip 2025 18 lip 2025 30 lip 2025
Income 0,0657 GBP 19 cze 2025 20 cze 2025 02 lip 2025
Income 0,0782 GBP 22 maj 2025 23 maj 2025 04 cze 2025
Income 0,0687 GBP 17 kwi 2025 22 kwi 2025 02 maj 2025
Income 0,0870 GBP 20 mar 2025 21 mar 2025 02 kwi 2025
Income 0,0656 GBP 13 lut 2025 14 lut 2025 26 lut 2025

Purchase information

Currencies and stock exchanges

Listed currencies: GBP

Base currency: GBP

Exchanges: London Stock Exchange

Fund codes

  • Citi: L05W
  • ISIN: IE000S0PSP47
  • MEX ID: VIAAKP
  • Ticker iNav Bloomberg: IVDTSGBP
  • Bloomberg: VDTS LN
  • ISIN: IE000S0PSP47
  • Reuters: VDTS.L
  • SEDOL: BP0PQG7
  • Exchange ticker: VDTS