Vanguard Eurozone Government Bonds
European government bonds
Details
ETF description
This ETF invests in government bonds issued by countries in the Eurozone. Government bonds are considered low‑risk investments as they are backed by the credit of the issuing government. The fund provides exposure to a variety of Eurozone countries, offering a diversified approach to bonds with different maturity dates and interest rates.
This ETF may appeal to investors seeking a stable income source through bond investments with relatively low risk. Investors focused on conservative investments with lower volatility may find this fund a suitable option for balancing risk in their portfolio.
Issuer details
Vanguard is the largest provider of mutual funds and the second‑largest provider of ETFs in the world.
Vanguard is a major American investment management company headquartered in Malvern, Pennsylvania. It’s known for being the largest provider of mutual funds in the world and the second‑largest provider of ETFs after BlackRock’s iShares with over $8trn in global assets under management (as at June 2024). Vanguard was founded in 1975 by John C. Bogle and is notable for its unique ownership structure ‑ it is owned by its funds, which in turn are owned by their shareholders. This structure is designed to align Vanguard’s interests with those of its investors, helping to keep costs low.
Index details
The Eurozone Government Bonds index offers investors a focused and diversified exposure to the sovereign debt of Eurozone countries. It includes bonds of varying maturities and credit qualities, providing a comprehensive representation of the region’s government bond market. Funds and ETFs tracking this index are suitable for investors seeking stability, income generation, and geographic diversification within their fixed income portfolios.
Key information
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