The Vanguard Total Bond Market ETF (BND) is a comprehensive fixed-income ETF that tracks the Bloomberg U.S. Aggregate Float Adjusted Index. Launched in 2007, BND provides broad exposure to the U.S. investment-grade bond market, including government, corporate, and securitized bonds. As Vanguard’s flagship bond ETF, it represents one of the most cost-effective ways to access the entire U.S. investment-grade bond market. The fund is designed to serve as a core fixed-income holding, offering broad diversification across the U.S. bond market spectrum while maintaining high credit quality standards. BND is particularly notable for its low expense ratio and tax efficiency, making it a popular choice for both long-term investors and institutional portfolios seeking broad fixed-income exposure.
Basic Information
Parameter
Value
Notes
Launch Date
April 3, 2007
Vanguard
Assets Under Management
~$95 billion
As of 2024
Expense Ratio
0.03%
Among lowest in class
Tracking Index
Bloomberg U.S. Aggregate Float Adjusted Index
Investment grade bonds
Trading Symbol
BND
NYSE Arca
Issuer
Vanguard
Mutual structure
Structure
Open-end fund
Traditional ETF
Distribution Frequency
Monthly
Income focused
Portfolio Composition
Sector
Weight (Approximate)
Characteristics
U.S. Treasuries
~38%
Government securities
MBS
~28%
Agency mortgage-backed
Corporate Bonds
~27%
Investment grade
Agency Bonds
~5%
Government-related
International Bonds
~2%
USD denominated
Credit Quality Distribution
Rating
Percentage
Type
AAA
~69%
Including Treasuries
AA
~4%
High grade
A
~13%
Upper medium grade
BBB
~14%
Lower medium grade
Below BBB
0%
Not included
Key Characteristics
Metric
Value
Notes
Average Maturity
8-9 years
Intermediate term
Duration
6-7 years
Interest rate sensitivity
Yield to Maturity
Variable
Market dependent
Number of Holdings
~10,000+
Broad diversification
Minimum Credit Rating
BBB-
Investment grade
Trading Characteristics
Metric
Value
Context
Average Daily Volume
3-5M shares
Good liquidity
Bid-Ask Spread
~$0.01-0.02
Efficient trading
Premium/Discount
<0.1%
Tight tracking
Market Hours
9:30-16:00 ET
Regular session
Performance Factors
Factor
Impact
Sensitivity
Interest Rates
High
Inverse relationship
Credit Spreads
Medium
Corporate exposure
Economic Growth
Medium
Credit quality impact
Inflation
High
Real yield effect
Fed Policy
Very High
Rate decisions
Usage Applications
Portfolio Strategies:
Core fixed income
Asset allocation
Income generation
Risk management
Investment Objectives:
Capital preservation
Income generation
Portfolio stabilization
Duration management
Trading Applications:
Asset class exposure
Duration hedging
Liquidity management
Tactical allocation
Risk Considerations
Risk Type
Description
Mitigation
Interest Rate Risk
Duration exposure
Term management
Credit Risk
Default potential
Quality focus
Liquidity Risk
Trading costs
Size management
Call Risk
Prepayment exposure
Diversification
Technical Trading Considerations
Market Analysis:
Fed policy
Economic data
Yield curve
Credit spreads
Timing Factors:
FOMC meetings
Economic releases
Treasury auctions
Month-end flows
Implementation:
Order types
Trading hours
Block trades
Creation/redemption
Best Practices
Trading:
Use limit orders
Monitor spreads
Consider liquidity
Watch fixed income markets
Portfolio Management:
Regular rebalancing
Income reinvestment
Duration monitoring
Credit quality review
Risk Management:
Duration targets
Sector limits
Credit constraints
Liquidity assessment
Income Characteristics
Aspect
Description
Frequency
Distribution Yield
Market dependent
Monthly
SEC Yield
30-day standardized
Updated daily
Tax Treatment
Regular income
Annual
Payment Schedule
Monthly
Fixed schedule
Vanguard Specific Features
Feature
Description
Benefit
ETF Share Class
Part of mutual fund
Tax efficiency
Securities Lending
Conservative program
Additional income
Conversion Rights
To mutual fund class
Flexibility
Trading Restrictions
Anti-dilution rules
Shareholder protection
Market Making
Aspect
Description
Impact
Authorized Participants
Multiple firms
Efficient pricing
Creation Unit Size
100,000 shares
Standard size
Primary Market
Fixed income dealers
Underlying liquidity
Secondary Market
Exchange trading
Daily access
Note: Data and statistics are approximate as of early 2024. Market conditions, yields, and exact figures may vary.