Vanguard Short Term Investment Grade Fund (VFSUX)

NASDAQ · Mutual Fund · Delayed Price · Currency is USD
10.49
-0.01 (-0.10%)
Aug 15, 2025, 8:09 AM EDT
1.06%
Fund Assets 52.75B
Expense Ratio 0.10%
Min. Investment $50,000
Turnover 75.00%
Dividend (ttm) 0.47
Dividend Yield 4.44%
Dividend Growth 19.49%
Payout Frequency Monthly
Ex-Dividend Date Jul 31, 2025
Previous Close 10.50
YTD Return 2.50%
1-Year Return 3.66%
5-Year Return 8.10%
52-Week Low 10.26
52-Week High 10.50
Beta (5Y) 0.45
Holdings 2097
Inception Date Feb 12, 2001

About VFSUX

The fund invests in a variety of high-quality and, to a lesser extent, medium-quality fixed income securities, at least 80% of which will be short- and intermediate-term investment-grade securities. High-quality fixed income securities are those rated the equivalent of A3 or better; medium-quality fixed income securities are those rated the equivalent of Baa1, Baa2, or Baa3.

Fund Family Vanguard
Category Short-Term Bond
Stock Exchange NASDAQ
Ticker Symbol VFSUX
Share Class Admiral Shares
Index Bloomberg 1-5 Y Credit TR

Performance

VFSUX had a total return of 3.66% in the past year, including dividends. Since the fund's inception, the average annual return has been 2.99%.

Other Share Classes

These are alternative share classes of the same fund, from the same provider.

Symbol Share Class Expense Ratio
VFSIX Institutional Shares 0.07%
VFSTX Investor Shares 0.20%

Top 10 Holdings

6.50% of assets
Name Symbol Weight
United States Treasury Notes T.3.75 08.31.26 1.12%
United States Treasury Notes T.4.25 01.31.30 0.72%
The Boeing Company BA.2.196 02.04.26 0.67%
AbbVie Inc. ABBV.4.8 03.15.29 0.65%
United States Treasury Notes T.4.375 07.31.26 0.62%
Pfizer Investment Enterprises Pte Ltd. PFE.4.45 05.19.28 0.59%
AbbVie Inc. ABBV.4.8 03.15.27 0.58%
United States Treasury Notes T.4.375 12.31.29 0.53%
United States Treasury Notes T.4.625 04.30.29 0.52%
United States Treasury Notes T.4.125 03.31.29 0.50%
View More Holdings

Dividend History

Ex-Dividend Amount Pay Date
Jul 31, 2025 $0.0413 Aug 1, 2025
Jun 30, 2025 $0.04107 Jul 1, 2025
May 30, 2025 $0.04067 Jun 2, 2025
Apr 30, 2025 $0.04025 May 1, 2025
Mar 31, 2025 $0.03906 Apr 1, 2025
Feb 28, 2025 $0.03812 Mar 3, 2025
Full Dividend History