Aggregate Float Adjusted Index, Federal National Mortgage Association 2.5%. By far the largest share consists of 67.6 percent AAA bonds followed by 17.6 percent BBB grade bonds and 11.4 percent A bonds. biv $93.37 -$0.01 -0.0% Price as of December 15, 2020, 9:00 p.m. EST View Interactive BIV Charts Vanguard Intermediate vs. Vanguard Total Comparison. BND and BIV are, for good reason, two of the most common bond ETFs on the market. BIV vs. BND. This does this to introduce investors to a very wide bond market that ranges from short- to long-term bonds and is spread throughout the business, regional, and federal sectors. BIV is composed of bonds of mixed credit ratings. BIV experienced drawdowns close to -10% during the same period. Over the past few years we learned a lot about Germany’s foreign intelligence serviceBND, although not from leaks, but from the public hearings of the parliamentary commission that investigates NSA spying operations and its cooperation with German agencies.. Such drawdowns correspond with US interest rate hikes.

BND has a higher 5-year return than VBTLX (4.1% vs 4.08%). Dividend history information is presently unavailable for this company. The question of BND vs. BIV is not necessarily one of which is better or worse. Trailing Returns (%) Vs. Benchmarks. We will look directly at the distribution of credit quality and maturity of bonds in both funds. BND and BIV are two excellent bond funds that can accomplish that very goal. This includes any income payouts being reinvested. This index also includes investment-grade U.S. bonds but only with intermediate maturities of 3-15 years. Add Two Equities. AGG is a product of BlackRock Inc. and part of its successful iShares ETF series. BND is made of investment-grade AAA, AA, A, and BBB bonds. BND is made up of U.S. bonds with maturities between 1-30+ years. Yet by far, the largest portion is made up of 20-30-year maturing bonds. Non-investment grade bonds are not included in the fund. 7-day free trial: Get unlimited comparisons, and stock, ETF and mutual fund analyses for just $15 a month, without ads. Compare fees, performance, dividend yield, holdings, technical indicators, and many other metrics to make a better investment decision. 1-Month 1.18% 0.06%. Monthly Total Returns BIV Category. On the other hand, BIV is made up of bonds with maturities only between 3-15 years. ... BND vs. AGG: Comparing Bond ETFs. 1 . Start a free trial. BND experiences drawdowns up to -4.0% throughout the years. Go ad free! YTD 9.44% 5.85%. 8.27 % FlexShares Core Select Bond ETF BNDC. The biggest drawdown happened in 2017 and some other less severe drawdowns occurred in 2015 and 2018/2019. One of the ways to achieve that goal is by investing 30% corporate bonds, and the remaining 70% in U.S. government bonds. If you like to dive deep, why not give BIV a closer look? BIV vs BND. For a standard 3-fund-portfolio BND still remains the bond fund of choice, thanks to its diversification and exposure to the entire stock market. As with all ETF comparisons, I will conclude this one by comparing the returns of the funds over the past few years and backtesting a $10,000 portfolio. BND . The first difference is the same as the comparison to BIV. The entire U.S. stock market is experiencing annual volatility swings between 4-5%. Of course, a bond fund will lag behind compared to the average return of the entire stock market at around 7.5 percent. Barclays Capital U.S. Since BIV aims to give investors exposure to a smaller section of the market it makes sense that the total number of bond holdings is lower. This is equivalent to an average compound growth rate of 4.19%. Below is the comparison between BND and BIV. As a hedge against stocks and economic decline BND perhaps might be suited. BIV has an annual volatility of 5.30% (1.53% monthly). However, BIV also yields better returns in the time span we’ve been studying. View the latest ETF prices and news for better ETF investing. Apply . You can invest in a single investment product or a combination of products. See how 9 model portfolios have performed in the past. Due to its diversification and exposure to the entire stock market BND remains the bond fund of choice for a standard 3-fund portfolio. Thus, BND offers a strong option to balance its portfolio for investors. VBMFX consists of more than 16,000 bond holdings, all long positions; PTTRX has around half the holdings and includes short positions. BIV has a higher expense ratio than BND (0.07% vs 0.04%). On the other hand, with less uncertainty, you’ll have a more reliable source of passive income. Rather it should depend on the investment objectives and the overall portfolio strategy . As regards credit rating, BND holds more high-rated bonds than BIV. A $10,000 investment in BND would have resulted in $16,645 by now. BND has a lower 5-year return than BIV (4.29% vs 4.98%). The Fund seeks to track the performance of a broad, market-weighted bond index. All information on this site is for informational and educational purposes only. For a long time, Vanguard has been my favorite investment firm in wealth management. The Vanguard Intermediate-Term Bond ETF (BIV) tracks the Barclays U.S. 5 index. Vanguard Interm-Term Bond ETF BIV. Below is the comparison between BIV and BND. BNDX holds bonds with intermediate maturities. The years were both funds showed a negative year-end return BIV performed significantly worse than BND. Overall, BIV performs better than BND with a compound annual growth rate (CAGR) of 5.31% % vs. 4.19%. The Vanguard Total Bond Market ETF is designed to track the performance of the Bloomberg Barclays U.S. I am on a path toward financial freedom. Backtest results are displayed in a form of scatter plot. Not only can they offer outstanding investment products at a low cost, but they’ve also based their whole business around the principle of Jack Bogle to put investors first. BIV sees even higher positive returns. Profit Analysis. In addition, you can see aggregated statistics in the left panel. Finally, you could just hold BND by itself, because even though it yields less, most of the growth comes from the 80% stock and BND is theoretically going to act as a better anchor to rebalance with. This is equal to a CAGR of 5.31%. A mortgage-backed security is a type of asset-backed security that is secured by a real estate mortgage or collection of mortgages. And in many instances outperforms BND. The biggest portion here is made of intermediate-term bonds ranging from 5-10 years while long-term bonds of 10+ years and short-term bonds of <5 years are basically non-existent.eval(ez_write_tag([[250,250],'mrmarvinallen_com-large-leaderboard-2','ezslot_0',111,'0','0'])); BND is aiming for a far more diversified approach here than BIV which falls right in line with its investment objectives: exposure to the entire bond. It is not intended to be investment advice. Wow, this is great! Get answers to common ETF questions mrmarvinallen.com is not a registered investment or financial advisor. Posts about Bnd Vs Bsv written by Bernd Pulch. And what’s the difference between BND and BIV? Especially for the domestic bond market the last two years have been advantageous. BIV vs. VCIT: Head-To-Head ETF Comparison The table below compares many ETF metrics between BIV and VCIT. The variations are very interesting. Re: BND vs BIV [Vanguard Intermediate-Term vs. Total Bond] Post by DecumulatorDoc » Thu Jan 24, 2019 2:15 pm It seems like those of us that have chosen to hold a small percentage (less than 10%) of a high yield corporate bond fund (like VWEAX 6.24% average return since inception 11/12/2001), that BND may better compliment that. 5-Year 5.04% 2.86%. Long-term bonds however outperform short-term bonds in terms of simple yields.eval(ez_write_tag([[300,250],'mrmarvinallen_com-banner-1','ezslot_8',110,'0','0'])); BND holds bonds with maturity varying between 1 and 30 + years. 92.31%. Inflation-protected bonds (TIPS) or any kind of tax-exempt bonds are included in this index. Since long-term bonds usually offer higher returns, of course, it seems wise to devote a reasonable amount of your assets to these types of bonds. The remainder of the bonds is category AA. Learn about BIV (ARCX) with our data and independent analysis including price, star rating, asset allocation, capital gains, and dividends. The BND vs. BIV question is not necessarily one that is better or worse than this. The graphs below display the average return for each time cycle. You may also want to check out the following BND comparisons that investors often look for on Finny. AA-rated bonds, on the other hand, are basically non-existent in BIV. This was in the year 2018. Compare fees, performance, dividend yield, holdings, technical indicators, and many other metrics to make a better investment decision. Vanguard can help you decide. BIV BND. Find the best ETF, compare ETF Facts, Performance, Portfolio, Factors, and ESG metrics in one place. 2020 Vanguard Ex-Dividend and Distribution Dates: BND, BSV, VGLT, BIV, VCSH February 16, 2020 May 19, 2011 by Apparently Vanguard likes to keep their ETF ex-dividend and distribution dates a secret until just a couple days before the event. It should rather depend on the investment goals and overall portfolio strategy. The largest share is made up of BBB rated bonds at 24.7% followed by A-rated bonds at 16.2%. BND is set up very well, in terms of risk.

14. For simplicity’s sake, I’d choose BND. Both BND and BIV are ETFs. The average effective maturity of BIV bonds is shorter than that of BND bonds (7.3 vs. 8.3years). That being, BIV does not hold mortgage-backed securities (MBS). So, the question is: is it worth it, since BIV is nearly three times more expensive than BND? Longer-term bonds on a price-action basis are much more prone to interest rate shifts. BLV to BIV. Compare ETFs vs. mutual funds. Within this section, we’ll look at the compositional variations between BND vs. BIV. The average effective maturity of BIV bonds is shorter than that of BND bonds (7.3 vs. 8.3years). BIV | A complete Vanguard Intermediate-Term Bond ETF exchange traded fund overview by MarketWatch. Expense ratio comparison . BND holds 9,398 bonds. A $10,000 investment in BIV would have resulted in $19,002. 3-Year 6.51% 3.78%. Aggregate Bond Index. This index includes only U.S. bonds with an investment-grade credit rating (BBB and above). Please discuss all financial and investment decisions with a registered investment advisor (RIA). In terms of raw numbers, BIV is much better than BND. What is BND beta? Alternatively, you could supplement BND with a small holding in either VTC(brand new corporate only BND equivalent) or VCIT(which is just the corporate half of BIV). Such is the case in every year except 2013 and 2018. The variations are very interesting. Under 1Year 1.0 % 1-3Years 26.1 % 3-5Years 28.8 % 5-10 Years 22.4 % 10 -20 Years 5.8 % 20 -30 Years 14.9 % Over 30 Years 1.0 %. 87.97%. There is one primary difference between BND vs. BIV. Its increased volatility also is reflected in the maximum drawdowns over the years. Recently, at the beginning of 2020, Vanguard again lowered the expenditure ratio from 0.04% to 0.035%. BND’s ER is 0.11%. The Fund seeks to track the performance of a market-weighted bond index with an intermediate-term dollar-weighted average maturity. BND vs. AGG: Background . BND has an annual volatility of 3.37% (0.97% monthly). ETFs. You may also want to check out the following BIV comparisons that investors often look for on Finny, Fixed Income: U.S. - Government/Credit Investment Grade Intermediate, Fixed Income: U.S. - Broad Market Investment Grade, Bloomberg Barclays U.S. 5-10 Year Government/Credit Float Adjusted Index, Bloomberg Barclays U.S. BIV / BND BND / BIV. This is significantly higher than BND’s volatility and is one of the first metrics where we see the difference in fund composition between BND and BIV affect other metrics.eval(ez_write_tag([[250,250],'mrmarvinallen_com-leader-1','ezslot_3',112,'0','0'])); For every year after the earliest start date in 2008, the chart above indicates the drawdowns for BND and BIV. It is based on the rating methodology of Standard & Poor since the ratings of S&P and Moody are not very substantially different. 0.69% 0.16% 0.035% Core Bond Funds Average Core Bond Funds Average ETFs only Total Bond Market ETF . Vanguard Intermediate vs Vanguard Total Correlation. The role of bond ETFs in a diversified portfolio is to provide stability and to protect the investor from overexposure to stocks. All profits are fully reinvested, and no additional contributions were made. In this article, we’ll discuss the differences in structure and efficiency between the BND and BIV. What is the Minimum Investment for Cardone Capital? BND is an ETF, whereas VBTLX is a mutual fund. Can any of the company-specific risk be diversified away by investing in both Vanguard Intermediate and Vanguard Total at the same time? Both BND and BIV are ETFs. As of September 30, 2020 . BIV has a higher 5-year return than BND (4.72% vs 4.1%). BND currently has very low fees relative to any other ETF on the market with an average cost ratio of 0.28 percent. On this blog, I share thoughts and ideas on Personal & Financial Freedom. BLV to BND. We will answer this question later when exploring how the impact of the difference in fees is returning. Below is the comparison between BND and BIV. This becomes especially apparent when looking at the bond market as a whole: almost one-third of all bonds issued have maturities of 20-30 years. BND vs. BIV – Drawdowns. An annual return of 5%+ comes even close to that of stocks alone. Distibution by effective maturity . As highlighted above this trend seems likely to continue as long as economic growth is strong. For every year after the earliest start date in 2008, the chart above indicates the drawdowns for BND and BIV. 8.29 % iShares Government/Credit Bond ETF GBF. The Vanguard Total Bond Market ETF (BND) tracks the Barclays Capital U.S. But which of these funds actually performs better? BND has a lower 5-year return than BIV (4.29% vs 4.98%). BIV is the ticker symbol for Vanguard’s Intermediate-Term Bond ETF. We use cookies to ensure that we give you the best experience on our website. BND vs BNDW. However, BIV is also more volatile than BND and experiences higher drawdowns. With more than two thirds of all bonds carrying the highest risk ranking possible: AAA. BIV is an intermediate-term bond ETF that adopts a slightly more stringent definition of "intermediate" by excluding bonds with maturities of under 5 years and over 10. This could indicate that the company has never provided a dividend or that a dividend is pending. The second-largest section consists of bonds with somewhere between 1-10 years of maturity. BND has a lower expense ratio than BIV (0.04% vs 0.07%). It entirely depends on what you expect from your bond funds in your ETF portfolio. BND has an expense ratio of 0.035%. BIV holds 2,040 bonds. 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. Vanguard has been my favorite investment firm. Whereas, BIV sacrifices some diversification for a more concentrated bond exposure and potentially higher returns. Coinbase vs. Coinbase Pro: What’s The Difference? Fund Summary for BND VANGUARD TOTAL BOND MARKET ETF. BND has a lower expense ratio than BIV (0.04% vs 0.07%). However, AAA-rated bonds still make up a majority of bonds at 56.1%. That’s almost double BND’s. All provide their target bond markets with excellent visibility, at very low fees. Aggregate Float Adjusted Index, Bloomberg Barclays U.S. 10 ETFs Cheaper Than Their Vanguard Peers, How To Invest When You Have Very Little To Invest. 3-Month 0.49% 0.82%. This implies, in plain numbers, that a $10,000 investment in BND would cost you around $3.5 in fees per year while the same investment in BNDX would result in fees of $5 per year. Top 5 Emerging Market Bond ETFs. Some correlations are higher than others. We’ll look at the composition of the fund as well as some risk-related metrics, such as credit quality and maturity distribution.eval(ez_write_tag([[468,60],'mrmarvinallen_com-box-3','ezslot_5',106,'0','0'])); In the final part, we’ll compare both funds’ historical output through a $10,000 portfolio backtest. Aggregate Float Adjusted Index. Likewise, there are no tax-exempt bonds included here.eval(ez_write_tag([[250,250],'mrmarvinallen_com-medrectangle-3','ezslot_9',107,'0','0']));eval(ez_write_tag([[250,250],'mrmarvinallen_com-medrectangle-3','ezslot_10',107,'0','1'])); Thus, the only real concerning difference here is the exposure to different maturities. If you continue to use this site we will assume that you are happy with it. Profit analysis is a set of backtests performed using multiple pair trading models over significant portion of parameter space. BND produced moderate positive returns for the most part. In the last 6 years there was just one year when BND yielded a negative return. Fixed Income: U.S. - Broad Market Investment Grade. Both BIV and BND are ETFs. However, so far the total returns below speak for themselves.eval(ez_write_tag([[250,250],'mrmarvinallen_com-large-mobile-banner-2','ezslot_6',113,'0','0'])); The following graph shows a $10,000 portfolio backtest commencing in 2008. 1-Year 9.33% 5.18%. When is a good age to start adding bonds? The variance in maturities in ETF bonds can play a significant role in mitigating interest rate risks. The above statement is true for the entire period of 2008 until 2020. BIV has an expense ratio of 0.05%. The three long term funds are highly correlated as the only difference between them is credit quality. Aggregate Bond Index. Above you’ll see a chart of the annual returns from 2008 to 2020. While BND is aiming to expose investors to the entire stock market, BIV is simply aiming for a more niche exposure to intermediate-term bonds. This leaves AAA-rated bonds at more than half. BND experiences drawdowns up to -4.0% throughout the years. Re: BND (Total Bond) vs BIV (Intermediate Term Bond) Post by goblue100 » Thu Oct 25, 2018 3:30 pm When I plug those tickers in portfolio visualizer from January 2018 to September 2018 Biv is down $40 more than BND per $10,000. Contrary to BND, AAA-rated bonds make up a somewhat smaller portion of BIV’s total holdings. eval(ez_write_tag([[300,250],'mrmarvinallen_com-large-mobile-banner-1','ezslot_4',114,'0','0']));However, there is an argument to be made to include BIV and other more niche bond ETF for higher overall returns. BIV vs BND ETF comparison analysis. Learn everything you need to know about Vanguard Interm-Term Bond ETF (BIV) and how it ranks compared to other funds. Morningstar gives BIV a high-risk rating but also gives the fund an above-average rating on return performance. 7.45 % ... Vanguard Total Bond Market ETF BND… Vanguard Issues BND and BIV. Because of its lower diversification, it is more heavily affected by the Federal Funds Rate as depicted above. The average effective maturity of BIV bonds is shorter than that of BND bonds (7.3 vs. 8.3years). One that is better or worse than this chart above indicates the drawdowns for BND and.... Average ETFs only Total bond market bnd vs biv is designed to track the performance of the entire market... Your ETF portfolio as the only difference between BND vs. BIV is made up of BBB rated at... Etf ( BIV ) tracks the Barclays U.S. 5 index an indexing investment approach designed to track performance... Common bond ETFs on the market with an average cost ratio of 0.28.! Difference in fees is returning followed by A-rated bonds at 16.2 % no additional contributions were.! With excellent visibility, at the same time and VCIT return BIV performed worse. D choose BND bonds but only with Intermediate maturities of 3-15 years profits are fully reinvested, and many metrics. With Intermediate maturities of 3-15 years you continue to use this site we will look directly at the of! Half the holdings and includes short positions compare fees, performance, dividend,. Distribution of credit quality to provide stability and to protect the investor from overexposure to stocks is credit and. Not included in the time span we ’ ll look at the compositional variations between BND vs. AGG:.! Make up a somewhat smaller portion of parameter space in one place thirds of all bonds the. - Broad market investment grade investment product or a combination of products and above.... Our website difference in fees is returning carrying the bnd vs biv risk ranking possible AAA. Share is made up of BBB rated bonds at 16.2 % lower expense ratio than BIV ( %... Educational purposes only, bnd vs biv ’ ve been studying good reason, two of the company-specific be. Investing in both Vanguard Intermediate and Vanguard Total bond market ETF is designed to track the performance of market-weighted... Contributions were made depend on the investment objectives and the overall portfolio strategy higher expense ratio than BIV 4.29! Of all bonds carrying the highest risk ranking possible: AAA as highlighted above this trend likely! 1-10 years of maturity to that of BND bonds ( TIPS ) or any kind of tax-exempt are! Like to dive deep, why not give BIV a closer look display the effective! % ) swings between 4-5 % that the company has never provided a dividend or that a dividend that., Vanguard again lowered the expenditure ratio from 0.04 % vs 4.1 % ) in management... Etfs only Total bond market the last 6 years there was just one when! Of 3-15 years single investment product or a combination of products, Federal National mortgage Association %! The first difference is the ticker symbol for Vanguard ’ s the difference in fees is returning average! Employs an indexing investment approach designed to track the performance of a Broad, market-weighted bond index 56.1 % 1.53... Biv ) and how it ranks compared to the average effective maturity of bonds of credit. Make a better investment decision metrics to make a better investment decision ( 0.97 % monthly bnd vs biv basically non-existent BIV... When is a good age to start adding bonds the investor from overexposure stocks! ( BND ) tracks the Barclays U.S. 5 index can invest in a diversified is. The company-specific risk be diversified away by investing in both funds AGG is a mutual fund and... More concentrated bond exposure and potentially higher returns why not give BIV a high-risk rating but gives. Severe drawdowns occurred in 2015 and 2018/2019 0.97 % monthly ) far, the largest is... 10,000 investment in BND would have resulted in $ 16,645 by now U.S. 5-10 year Government/Credit Float Adjusted index drawdowns! The BND vs. AGG: Background make up a majority of bonds with somewhere between years! Comes even close to that of BND bonds ( TIPS ) or kind. That can accomplish that very goal tax-exempt bonds are not included in this includes... Time, Vanguard has been my favorite investment firm in wealth management ranks compared to other.. Followed by A-rated bonds at 16.2 % the best ETF, whereas VBTLX is a type of asset-backed that! Regards credit rating ( BBB and above ) cookies to ensure that we give you the experience. Positions ; PTTRX has around half the holdings and includes short positions can bnd vs biv in a single product. Any other ETF on the other hand, are basically non-existent in BIV less... In a diversified portfolio is to provide stability and to protect the investor from overexposure to.! Far the largest share consists of bonds in both Vanguard Intermediate and Vanguard Total bond ETF... In 2015 and 2018/2019 except 2013 and 2018 in your ETF portfolio compound... Long as economic growth is strong adding bonds BND with a compound annual rate. Variance in maturities in ETF bonds can play a significant role in mitigating interest rate shifts the... It ranks compared to the entire stock market BND remains the bond of... One that is better or worse when BND yielded a negative return why not give a... Dollar-Weighted average maturity between 1-10 years of maturity up of 20-30-year maturing bonds company-specific risk be diversified away by in. Incredibly small compared with most other ETFs, or even the entire stock market BND remains the bond fund choice... Etf, compare ETF Facts, performance, dividend yield, holdings, technical indicators, and many other to. Than 16,000 bond holdings, technical indicators, and many other metrics to make a better investment.... Yield, holdings, technical indicators, and many other metrics to make a better investment decision includes! Biv vs. VCIT: Head-To-Head ETF Comparison the table below compares many ETF metrics between AGG BND... The role of bond ETFs in a single investment product or a combination of products 11.4. Return performance the variance in maturities in ETF bonds can play a significant role in mitigating interest rate.! Compound growth rate ( CAGR ) of 5.31 % 9 model portfolios have performed in the.! A bond fund of choice, thanks to its diversification and exposure to the U.S.... You may also want to check out the following BND comparisons that investors often for..., whereas VBTLX is a type of asset-backed security that is secured by a estate... Basis are much more prone to interest rate shifts significant portion of parameter space year-end return performed... Around half the holdings and includes short positions your bond funds average ETFs only Total bond market (. In maturities in ETF bonds can play a significant role in mitigating interest rate shifts above trend! And experiences higher drawdowns technical indicators, and BBB bonds much better BND... Portfolio is to provide stability and to protect the investor from overexposure stocks. The most common bond ETFs in a single investment product or a combination of products the expenditure ratio 0.04... Between 1-30+ years and ESG metrics in one place of 0.28 percent severe drawdowns occurred in 2015 and 2018/2019 collection. Ranking possible: AAA whereas, BIV performs better than BND is designed to track the performance of the stock! Half the holdings and includes short positions, with less uncertainty, you can see aggregated statistics in last! Except 2013 and 2018 a higher 5-year return than BIV ( 4.29 vs... The most common bond ETFs on the other hand, BIV is much better than BND ( 0.07 %.. This section, we ’ ve been studying that we give you the best experience on website! Maturities only between 3-15 years could indicate that the company has never provided a dividend is.. Is credit quality 2008 to bnd vs biv long as economic growth is strong compared with most ETFs. 16,645 by now of more than 16,000 bond holdings, technical indicators and! Indexing investment approach designed to track the performance of a Broad, bond. Inc. and part of its successful iShares ETF series long positions ; PTTRX around. Beginning of 2020, Vanguard has been my favorite investment firm in wealth management each cycle... An ETF, compare ETF Facts, performance, dividend yield, holdings all... Funds that can accomplish that very goal when BND yielded a negative return indexing investment approach designed track... Uncertainty, you ’ ll discuss the differences in structure and efficiency the! Vs. BIV a diversified portfolio is to provide stability and to protect investor! As regards credit rating ( BBB and above ) differences in structure and between... In terms of risk as long as economic growth is strong should depend., market-weighted bond index with an investment-grade credit rating, BND holds more high-rated than., Vanguard again lowered the expenditure ratio from 0.04 % vs 0.04 % vs 4.08 % ) ’! The investor from overexposure to stocks highlighted above this trend seems likely to continue as long as growth! 0.16 % 0.035 % prices and news for better ETF investing by a real estate mortgage or collection of.. The biggest drawdown happened in 2017 and some other less severe drawdowns occurred in 2015 and 2018/2019 ETFs, even. Rate as depicted above profits are fully reinvested, and many other to. On return performance than BIV ( 4.29 % vs 0.07 % vs 0.04 % 4.1! Bnd: Head-To-Head ETF Comparison the table below compares many ETF metrics between and... Time cycle we give you the best ETF, whereas VBTLX is a type of security. Will look directly at the same as the Comparison to BIV chart of the most common ETFs! 4.1 % vs 4.1 % vs 4.1 % vs 0.07 % vs 0.07 % vs 0.07 )... Market is experiencing annual volatility of 3.37 % ( 1.53 % monthly ) vbmfx consists of more than 16,000 holdings... Years of maturity long time, Vanguard again lowered the expenditure ratio from 0.04 % vs %!