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Vanguard Intermediate-Term Bond ETF

BIV
$--
Today’s Change
-- (--)

Snapshot
*

Inception Date
Apr 03 2007
Expense Ratio
0.04%
Type
US Bonds
Fund Owner
Vanguard
Volume (1m avg. daily)
$72,046,220
AUM
$15,340,968,811
Associated Index
Bloomberg U.S. 5 10 Year Government/Credit Float Adjusted Index
Inverse/Leveraged
No
Passive/Active
Passive
Fractionable on Composer
Yes
Prospectus

Top 10 Holdings

n/a
United States Treasury Note/Bond
2.44%
n/a
United States Treasury Note/Bond
2.26%
n/a
United States Treasury Note/Bond
2.20%
n/a
United States Treasury Note/Bond
2.09%
n/a
United States Treasury Note/Bond
2.08%
n/a
United States Treasury Note/Bond
2.05%
n/a
United States Treasury Note/Bond
2.04%
n/a
United States Treasury Note/Bond
2.02%
n/a
United States Treasury Note/Bond
2.02%
n/a
United States Treasury Note/Bond
1.96%
Invest with BIV

What is BIV?

BIV Seeks to track the investment return of the Bloomberg U.S. 5 - 10 Year Government/Credit Float Adjusted Index a market-weighted bond index that covers investment-grade bonds with a dollar-weighted average maturity of 5 to 10 years. Invests in U.S. government high-quality (investment grade) corporate and investment-grade international dollar-denominated bonds. Passively managed using index sampling.

ETFs related toBIV

ETFs correlated to BIV include BND, AVIG, IEF

BIV
Vanguard Group, Inc. - Vanguard Intermediate-Term Bond ETF
BND
Vanguard Group, Inc. - Vanguard Total Bond Market ETF
AVIG
American Century ETF Trust - Avantis Core Fixed Income ETF
IEF
BlackRock Institutional Trust Company N.A. - iShares 7-10 Year Treasury Bond ETF
AGG
BlackRock Institutional Trust Company N.A. - iShares Core U.S. Aggregate Bond ETF
TYD
Direxion Shares ETF Trust - Direxion Daily 7-10 Year Treasury Bull 3X Shares
SCHZ
Schwab Strategic Trust - Schwab US Aggregate Bond ETF
SPAB
SPDR Series Trust - SPDR Portfolio Aggregate Bond ETF
IBTK
iShares Trust - iShares iBonds Dec 2030 Term Treasury ETF
BKAG
BNY Mellon ETF Trust - BNY Mellon Core Bond ETF
UTEN
Rbb Fund Inc - US Treasury 10 Year Note ETF

What is ETF correlation?

Correlation is a measure of the strength of the relationship between two ETFs. It quantifies the degree to which prices of the two ETFs typically move together.

Here, correlation is measured over the past year with the Pearson correlation coefficient (Pearon’s r), which ranges from -1 to 1.

Using ETF correlations in portfolio and strategy construction

ETF correlations can help you create investing strategies and portfolios. Use them to:

  • Build a diversified portfolio from uncorrelated or inversely correlated ETFs with the aim of minimizing portfolio risk.
  • Compare correlated or related ETFs to find one with a lower expense ratio or higher trading volume.
  • Create an investing strategy that hedges an ETF with an uncorrelated or inversely correlated ETF.

Automated Strategies
Related toBIV

#PTC

Pick the Trending Commodity

Category

Living With High Inflation, Ride the Momentum

Risk Rating

Moderate

#DB

Diversification at its Best

Category

Tactical Asset Allocation, Be Risk Aware, Diversification

Risk Rating

Moderate

Create your own algorithmic trading strategy with BIV using Composer

FAQ

BIV is a US Bonds ETF. BIV Seeks to track the investment return of the Bloomberg U.S. 5 - 10 Year Government/Credit Float Adjusted Index a market-weighted bond index that covers investment-grade bonds with a dollar-weighted average maturity of 5 to 10 years. Invests in U.S. government high-quality (investment grade) corporate and investment-grade international dollar-denominated bonds. Passively managed using index sampling.

BIV tracks the Bloomberg U.S. 5 10 Year Government/Credit Float Adjusted Index.

No, BIV is not actively managed. It is passively managed. In an actively managed fund, the fund manager makes decisions about how funds are invested. A passively managed fund typically tries to track or follow a market index.

Yes, BIV is passively managed. A passively managed fund typically tries to track or follow a market index. In an actively managed fund, the fund manager makes decisions about how funds are invested.

The 1-month return on BIV is -0.0133%. This is the percent change in the value of BIV over the most recent 1-month period. The 3-month return on BIV is -0.0326%. This is the percent change in the value of BIV over the most recent 3-month period.

The standard deviation of BIV for the past year is 0.0827%. Standard deviation is the typical amount that the daily returns vary from the mean of the returns over the time period, standardized to a period of a year.

ETFs similar to BIV include GSY, GVI, and BLV.

ETFs correlated to BIV include BND, AVIG, and IEF.

ETFs that are inversely correlated to BIV include PST, TBX, and TTT.

Disclaimers

*

We show information directly obtained from our data provider, Xignite. Data shown here is provided by Xignite, an unaffiliated third party. Composer believes the information shown here is reliable, but has not been verified and there is no guarantee that the information is accurate.

**

We show information based on calculations performed by Composer using data from our provider. Information provided here is based on calculations performed by Composer using data sourced from Xignite, an unaffiliated third party. Composer believes this information is reliable, but has not verified the data and there is no guarantee that the calculations are accurate.