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BLV

Vanguard Long-Term Bond ETF

Long-term investment-grade bonds. Very high duration (~15 years) — extremely sensitive to rate changes. Higher yields than intermediate funds.

Fixed IncomeTER 0.04%Dist.
TER
0.04%
AUM
$6B
CAGR
4.2%
Volatility
11.1%
Sharpe
0.10
Max Drawdown
-37.4%
Data Range
2007-04 → 2026-04

Performance Analysis

Maximum Drawdown History

How far the ETF has fallen from its all-time high at each point. Deeper = more painful.

Current DD-22.9%
Worst DD-37.4%
Worst date2023-10

Rolling Returns

Annualized returns over rolling windows. Shows the range of outcomes depending on when you invested.

Avg return4.4%
Best17.5%
Worst-12.7%
% positive80%
193 periods

Key Facts

ISIN
US9219378273
Issuer
Vanguard
Benchmark
Bloomberg US Long Govt/Credit Float Adjusted Index
Total Expense Ratio (TER)
0.04%
Assets Under Management
$6B approx.
Inception Date
2007-04-03
Domicile
United States
Legal Structure
Open-End Fund
Dividend Policy
Distributing (pays dividends)
Replication Method
Physical (Optimized Sampling)
UCITS Status
✗ Not UCITS
Fund Currency
USD
Primary Exchange
NYSE Arca
Number of Holdings
~3,000

Top 10 Holdings

Top 10 represent 5.4% of the fund.

1
UST-30Y-AUS Treasury 4.25% 2054
1.20%
2
UST-20Y-AUS Treasury 4.5% 2044
1.00%
3
CORP-AApple Inc. 4.65% 2046
0.50%
4
CORP-BMicrosoft 4.0% 2055
0.50%
5
CORP-CAmazon 3.875% 2050
0.40%
6
UST-30Y-BUS Treasury 3.625% 2053
0.40%
7
CORP-DJPMorgan 4.95% 2045
0.40%
8
CORP-EAT&T 4.35% 2045
0.40%
9
CORP-FVerizon 4.5% 2048
0.30%
10
UST-20Y-BUS Treasury 4.0% 2042
0.30%

Sector Breakdown

Corporate
55%
Government
35%
Mortgage-Backed
5%
Other
5%

Source: Official issuer data · Last updated: 2026-05-12

Backtest this ETFOfficial Fund Page

Who Is This ETF For?

Portfolio stabilizer and income generator. Reduces overall portfolio volatility when paired with equities.

Key Risks to Consider

Interest rate risk: bond prices fall when rates rise.

Non-UCITS: may have unfavorable tax treatment for non-US investors (US estate tax, withholding tax).

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Data & Methodology

Metadata sourced from official issuer documentation. Price data from Yahoo Finance (monthly adjusted close, includes reinvested dividends and splits). AUM figures are approximate and updated quarterly.

Data source: Yahoo Finance (adjusted close), Vanguard (metadata)Last verified: 2026-04-17

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💬 Frequently Asked Questions

Long-term investment-grade bonds. Very high duration (~15 years) — extremely sensitive to rate changes. Higher yields than intermediate funds.
BLV has a total expense ratio (TER) of 0.04%, which means you pay $4 per year for every $10,000 invested.
Yes, BLV is a distributing ETF that pays dividends to shareholders. The frequency depends on the fund's schedule.
BLV is a US-domiciled ETF (not UCITS). Non-US investors should consider the US estate tax implications (40% on US assets above $60,000) and the 30% dividend withholding tax (reduced by treaty in some countries).
BLV uses optimized sampling, holding a representative subset of the Bloomberg US Long Govt/Credit Float Adjusted Index index to minimize costs while closely tracking performance.