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VAGE - Vanguard Global Aggregate Bond UCITS ETF Dist Hdg (EUR) (IE00BG47KB92)

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(%)
IE00BG47KB92
VAGE ISIN
Fundusze notowane na giełdzie (ETF)
Rodzaj funduszu
Vanguard
Usługodawca
20,16 EUR
Wartość aktywów netto na akcję | 2026-08-27
2019-06-18
Data uruchomienia
12 raz(y) w roku
Wypłata dywidendy
CEOIBS
CFI
VAGE
Symbol giełdowy
Formed
Status
Fixed Income
Obiekt inwestowania
Investment Grade
Sektor
Global
Zakres geograficzny
Bloomberg Global Aggregate Float Adjusted and Scaled (EUR Hedged)
Benchmark
0.08 %
Współczynnik całkowitych wydatków
6.344,1 mln USD
Łączna wartość aktywów funduszu | 2026-07-31
Tak
UCITS

Rentowność na 2026-08-27, XETRA

  • YTD
    -1,3 %
  • 1M
    -1,08 %
  • 3M
    -2,31 %
  • 6M
    -1,65 %
  • 1Y
    0,38 %
  • 3Y
    -
  • 5Y
    -
  • 10Y
    -
Według ceny na giełdzie z uwzględnieniem wypłat dochodu

Ostatnie dane na
Dodaj do porównania

Notowania (VAGE)

Poznaj najbardziej kompletną bazę danych

1 000 000

obligacje

100 000

akcje

175 910

ETF & Funds

100 000

indeksów

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  • Skaner obligacji
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Zmiana dynamiki cen

VAGE profile

The Vanguard Global Aggregate Bond UCITS ETF Dist Hdg (EUR) is a(n) Fixed Income Exchange Traded Funds (ETF) seeks to invest in Investment Grade sector located in Global. The Vanguard fund’s base currency is USD and the share class was registered 18.06.2019 with unique ISIN - IE00BG47KB92. Main exchange is XETRA and ticker symbol is VAGE. The total expense ratio is 0.08%. The Vanguard Global Aggregate Bond UCITS ETF Dist Hdg (EUR) pays dividends 12 time(s) per year.

Skład VAGE na 2026-07-31

Papier Wartość
United Kingdom Gilt 2028-06-07 4.50% 0,35%
French Republic Government Bond OAT 2030-02-25 2.75% 0,3%
United States Treasury Note/Bond 2030-06-30 3.88% 0,26%
French Republic Government Bond OAT 2031-02-25 2.70% 0,25%
Bundesrepublik Deutschland Bundesanleihe 2030-11-15 2.40% 0,25%
Italy Buoni Poliennali Del Tesoro 2028-02-28 2.20% 0,23%
United States Treasury Note/Bond 2028-02-29 3.38% 0,23%
United States Treasury Note/Bond 2032-08-15 2.75% 0,22%
United States Treasury Note/Bond 2034-05-15 4.38% 0,21%
United States Treasury Note/Bond 2035-02-15 4.63% 0,2%
United States Treasury Note/Bond 2034-08-15 3.88% 0,2%
United States Treasury Note/Bond 2029-07-15 4.13% 0,2%
United States Treasury Note/Bond 2031-07-31 4.38% 0,19%
United States Treasury Note/Bond 2029-05-15 3.88% 0,19%
United States Treasury Note/Bond 2028-01-31 3.50% 0,19%
United States Treasury Note/Bond 2035-05-15 4.25% 0,18%
United States Treasury Note/Bond 2035-08-15 4.25% 0,18%
United States Treasury Note/Bond 2034-11-15 4.25% 0,18%
Bundesrepublik Deutschland Bundesanleihe 2035-05-15 0.00% 0,18%
Bundesschatzanweisungen 2028-06-14 2.50% 0,18%
French Republic Government Bond OAT 2038-05-25 1.25% 0,18%
Spain Government Bond 2028-05-31 2.40% 0,18%
Bundesobligation 2027-10-15 1.30% 0,18%
United States Treasury Note/Bond 2030-08-15 0.63% 0,17%
United States Treasury Note/Bond 2030-02-28 4.00% 0,17%
United Kingdom Gilt 2031-03-07 4.13% 0,17%
United States Treasury Note/Bond 2032-02-15 1.88% 0,17%
United States Treasury Note/Bond 2028-05-31 4.00% 0,17%
French Republic Government Bond OAT 2028-05-25 0.75% 0,17%
United States Treasury Note/Bond 2031-08-15 1.25% 0,17%
Bundesrepublik Deutschland Bundesanleihe 2032-08-15 1.70% 0,17%
United States Treasury Note/Bond 2028-08-15 3.63% 0,16%
United States Treasury Note/Bond 2033-11-15 4.50% 0,16%
United States Treasury Note/Bond 2035-11-15 4.00% 0,16%
United States Treasury Note/Bond 2028-04-30 3.75% 0,16%
United States Treasury Note/Bond 2033-08-15 3.88% 0,16%
United States Treasury Note/Bond 2028-10-15 3.50% 0,16%
United States Treasury Note/Bond 2030-11-30 4.38% 0,16%
United States Treasury Note/Bond 2034-02-15 4.00% 0,16%
United States Treasury Note/Bond 2032-07-31 4.00% 0,16%
United States Treasury Note/Bond 2030-11-30 3.50% 0,16%
French Republic Government Bond OAT 2029-11-25 0.00% 0,16%
French Republic Government Bond OAT 2033-05-25 3.00% 0,15%
Bundesrepublik Deutschland Bundesanleihe 2038-05-15 1.00% 0,15%
United Kingdom Gilt 2028-03-07 4.38% 0,15%
United States Treasury Note/Bond 2032-11-15 4.13% 0,15%
United States Treasury Note/Bond 2031-11-15 1.38% 0,15%
United States Treasury Note/Bond 2029-09-30 3.50% 0,15%
United States Treasury Note/Bond 2031-05-15 1.63% 0,15%
United States Treasury Note/Bond 2030-11-15 0.88% 0,14%
French Republic Government Bond OAT 2034-05-25 1.25% 0,14%
United States Treasury Note/Bond 2029-07-31 4.00% 0,14%
Spain Government Bond 2032-10-31 2.55% 0,14%
United States Treasury Note/Bond 2033-05-15 3.38% 0,14%
United States Treasury Note/Bond 2033-02-15 3.50% 0,14%
Spain Government Bond 2028-01-31 0.00% 0,14%
United States Treasury Note/Bond 2036-05-15 4.38% 0,14%
United States Treasury Note/Bond 2028-12-31 1.38% 0,14%
United States Treasury Note/Bond 2030-06-30 3.75% 0,14%
French Republic Government Bond OAT 2035-05-25 3.20% 0,13%
United States Treasury Note/Bond 2032-05-15 2.88% 0,13%
United States Treasury Note/Bond 2027-11-30 3.38% 0,13%
French Republic Government Bond OAT 2029-05-25 0.50% 0,13%
United States Treasury Note/Bond 2027-08-15 3.75% 0,13%
United States Treasury Note/Bond 2036-02-15 4.13% 0,13%
United States Treasury Note/Bond 2027-09-30 3.50% 0,13%
United States Treasury Note/Bond 2029-01-31 1.75% 0,13%
Spain Government Bond 2029-07-30 0.80% 0,13%
Kingdom of Belgium Government Bond 2029-06-22 0.90% 0,13%
United States Treasury Note/Bond 2028-05-15 3.75% 0,13%
United States Treasury Note/Bond 2030-05-15 0.63% 0,13%
United States Treasury Note/Bond 2031-04-30 3.88% 0,13%
United States Treasury Note/Bond 2027-12-15 4.00% 0,13%
United States Treasury Note/Bond 2031-02-15 1.13% 0,13%
French Republic Government Bond OAT 2029-09-24 2.40% 0,12%
United States Treasury Note/Bond 2029-09-30 3.88% 0,12%
United States Treasury Note/Bond 2055-05-15 4.75% 0,12%
United States Treasury Note/Bond 2029-06-15 4.13% 0,12%
Netherlands Government Bond 2036-07-15 2.75% 0,12%
United States Treasury Note/Bond 2027-10-31 3.50% 0,12%
United Kingdom Gilt 2038-01-29 3.75% 0,12%
French Republic Government Bond OAT 2049-06-25 3.00% 0,12%
Italy Buoni Poliennali Del Tesoro 2040-10-01 3.85% 0,12%
Bundesrepublik Deutschland Bundesanleihe 2027-08-15 0.50% 0,12%
United States Treasury Note/Bond 2029-04-30 4.63% 0,12%
French Republic Government Bond OAT 2028-11-25 0.75% 0,12%
United States Treasury Note/Bond 2028-07-31 1.00% 0,12%
United States Treasury Note/Bond 2029-01-15 3.50% 0,11%
United States Treasury Note/Bond 2029-03-31 4.13% 0,11%
United States Treasury Note/Bond 2029-02-15 2.63% 0,11%
United States Treasury Note/Bond 2027-12-31 3.88% 0,11%
United States Treasury Note/Bond 2028-03-31 3.88% 0,11%
United States Treasury Note/Bond 2028-07-31 4.25% 0,11%
United States Treasury Note/Bond 2028-06-15 3.88% 0,11%
United States Treasury Note/Bond 2029-05-15 2.38% 0,11%
United States Treasury Note/Bond 2056-05-15 5.00% 0,11%
United States Treasury Note/Bond 2029-02-15 3.50% 0,11%
Bundesrepublik Deutschland Bundesanleihe 2036-05-15 0.00% 0,11%
United Kingdom Gilt 2041-01-31 5.25% 0,11%
United Kingdom Gilt 2041-10-22 1.25% 0,11%
Inne - %

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