Compare ETFs

Official issuer and ESMA-register data, side by side. Up to 4 funds.

Comparing: — you can add 2 more
Vanguard USD Corporate 1-3 Year Bond UCITS ETF (USD) DistributingVUSC · IE00BDD48R20×Vanguard USD Corporate Bond UCITS ETF (USD) AccumulatingVUCE · IE00BGYWFK87×
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Performance over the common period — in euro, dividends reinvested where declared (base 100)

Note — currency risk: some of the funds compared are denominated (or hedged) in currencies other than the euro. For a euro investor, returns also depend on currency moves, up or down. Chart and performance, converted to euro at ECB rates, already include these moves: swings of a class hedged to another currency reflect FX, not strategy.

-4%+4%+12%+19%+27%Mar 2019Jan 2021Nov 2022Sept 2024Jul 2026+20%+16%
VUSC+20.1%VUCE+16.2%hover for values · click = full screentouch the chart for values · ⤢ = full screen
Vanguard USD Corporate 1-3 Year Bond UCITS ETF (USD) Distributing
VUSC · IE00BDD48R20
Vanguard USD Corporate Bond UCITS ETF (USD) Accumulating
VUCE · IE00BGYWFK87
Basics
Declared indexBloomberg Global Aggregate Corporate - United States Dollar IndexBloomberg Global Aggregate Corporate - United States Dollar Index
TER0.09%0.07%
Transaction costs (KID)0.07%0.04%
Fund size3 mld EUR3.9 mld EUR
Launch date22 May 201819 Feb 2019
ReplicationPhysical (sampled)Physical (sampled)
Income policyDistributingAccumulating
CurrencyUSDUSD
Currency hedgingNo no hedging declared in the share classNo no hedging declared in the share class
Italian taxation
Effective capital-gains rate25.93%25.97%
White-list share0.55%0.20%
Performance (in euro)
1 year+6.1%+4.9%
3 years+12%+10.3%
5 years+18.2%+4.5%
10 years
Since launch (available series)+28.7%+16.2%
Risk
Volatility (ann.) · last year1.66%3.77%
Volatility (ann.) · last 3 years1.97%5.01%
Volatility (ann.) · last 5 years2.12%6.07%
Max drawdown · last year-1.82%-2.73%
Max drawdown · last 3 years-1.82%-4.36%
Max drawdown · last 5 years-8.00%-21.39%
Sharpe · last year-2.01-0.12
Sharpe · last 3 years-1.390.39
Sharpe · last 5 years-1.68-0.37
Sortino · last year-2.24-0.17
Sortino · last 3 years-1.650.56
Sortino · last 5 years-2.06-0.51
Tracking difference (3-year avg)-0.07%0.00%
Fixed income
Duration1.90 years · average · short (≤3 years)6.20 years · average · medium (3–7 years)
Investment-grade share99.9%99.9%
Heaviest rating bucketA (48.5%)A (45.0%)
Most represented maturity2–3 years (49.1%)1–5 years (40.2%)
Distributions (distributing classes)
Frequencymonthlyaccumulating class: no distributions
Distributions, last 12 months2.1666 USD per shareaccumulating class: no distributions
Distribution yield (12 months / NAV)4.43%accumulating class: no distributions
Last ex-date20 Aug 2026 · 0.2001 USDaccumulating class: no distributions
Holdings
Securities held2,1318,648
Top-10 weight4.3%3.2%
Documents & exchanges
KID (PDF)DownloadDownload
Listing exchanges99
Borsa Italiana tickerVUSCVUCE
Why some cells show “—”: VUSC series available from Jun 2018 · VUCE series available from Mar 2019windows longer than the series cannot be computed — they will fill in on their own as time passes.
Fixed incomeVUSC: factsheet as of 31 Jul 2026 · VUCE: factsheet as of 31 Jul 2026. BBB−/Baa3 and above, from the declared breakdown.
Performance and chart converted to euro at official daily ECB rates: the comparison a euro investor actually lives. Facts declared by issuers and official registers only; no recommendation. Past performance is not indicative of future results. Metrics follow the site’s public methodology; for distributing funds, performance reinvests dividends where the issuer declares the total-return series.
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