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V3GS ETF · Vanguard ESG Global Corporate Bond UCITS ETF

The V3GS Exchange Traded Fund (ETF) is provided by Vanguard. It is built to track an index: MSCI Global Corporate Float-Adjusted Liquid Bond Screened Index. The V3GS ETF provides physical exposure, so by buying it you actually own parts of all the 5,117 underlying holdings. The dividend policy is capitalization.
Share class
Acc
GBP
Hedged
Last update Yesterday at 8:00 AM UTC
LIVE
CLOSED
This fund is part ofInternational Corp IG Bonds1M perf.-1.85%
Last price
£5.08
1M perf.
-1.53%
1M flows
-€5.1M
AuM
€216M
E/R
0.1503%
Rating
ESG Consensus®
esg grade icon
V3GS
£5.08

Performance & flows

Segment for quartile rank
December 12, 2025 → March 12, 2026
00.000.501.001.502.00%JANFEBMAR
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V3GS
£5.09
-0.05%
International Corp IG Bonds
+0.14%

Historic performance and flows

1M3M1Y3Y5YMTDQTDYTD
Perf.
-1.53%
icon
-0.05%
icon
+4.95%
icon
+16.36%
icon
N/A
-1.88%
-0.46%
-0.46%
icon
Flows

Key fund info

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Main characteristics
Issuer
ISIN
IE00BNDS1T77
AuM
€216M
icon
E/R
0.1503%
icon
Replication rating
icon
ESG Consensus®
esg grade icon
More details
NAV
3/12/2026
£5.09
1D NAV change
-0.38%
Dividend policy
Replication method
Direct (Physical)
Replication model
Optimized sampling
No. of holdings
5117
Inception date
5/25/2021
Jurisdiction
Ireland
Distribution
Netherlands
Liechtenstein
Italy (Qualified Investor)
France
United Kingdom
Legal structure
Open-end Investment Company
Base currency
GBP
Share class info
GBP capitalizing hedged
Total AuM of fund
€1.38B
Decimalisation of shares
No
Investment strategy
This Fund seeks to track the performance of the Index. In seeking to achieve its investment objective, the Fund aims to provide a return (comprising both income and capital appreciation) which, before application of fees and expenses, is similar to the return of the Index. The Fund employs a “passive management” – or indexing – investment approach, through physical acquisition of securities, designed to track the performance of the Index. In tracking the performance of the Index, the Fund will invest in a multi-currency portfolio of investment grade corporate fixed-rate bonds from both developed and emerging markets issuers that so far as possible and practicable consists of a representative sample of the component securities of the Index. See the “The Funds” section of the Prospectus for further information, in particular in relation to optimisation and sampling techniques used in tracking the performance of the Index. The Fund promotes environmental and social characteristics by excluding fixed income securities from its portfolio based on the impact of the issuer’s conduct or products on society and / or the environment. This is met by tracking the Index
Tax optimisation
PEA
France
UK Reporting Status
United Kingdom
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Risk profile

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Historical risk/return profile

3M1Y3Y5Y
Returns
-0.05%
icon
+4.95%
icon
+16.36%
icon
N/A
Volatility
Perf./Volatility
Max drawdown
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Synthetic Risk and Reward Indicator (SRRI)
UCITS
1
2
3
4
5
6
7
PRIIPS
1
2
3
4
5
6
7
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Exposure

Countries
USA
54.10%
United Kingdom
7.71%
France
7.33%
Canada
4.15%
Germany
3.90%
Spain
2.54%
Netherlands
2.38%
Japan
2.22%
Unavailable
6.40%
Other
9.27%
Sectors
Banks
29.80%
Communication services
6.16%
Pharmaceutical preparation and biotechnology
5.47%
Insurance and reinsurance
4.82%
It services and computer programming
3.18%
Real estate investment and services
2.80%
Financial markets
2.64%
Food and beverage production
2.54%
Unavailable
17.46%
Other
25.15%
Diversification
Total weight of top 15 holdings out of 5117
Top 15 holdings
Data as of January 31, 2026
DE000F2MGDC1
GE HealthCare Technologies, 5.65% 15nov2027, USD
Ford Motor Credit Company, 7.35% 4nov2027, USD
Bank of America Corporation, 5.015% 22jul2033, USD (N)
JP Morgan, 4.323% 26apr2028, USD
Truist Financial, 7.161% 30oct2029, USD (G)
US95000U3W12
Wells Fargo, 4.3% 22jul2027, USD (O)
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CVS Health, 4.3% 25mar2028, USD
Morgan Stanley, 4.21% 20apr2028, USD (I)
Wells Fargo, 5.707% 22apr2028, USD (W)
US91282CPQ86
Bank of America Corporation, 3.419% 20dec2028, USD
DSV A/S, 3.125% 6nov2028, EUR
US37045XFL55
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Sustainability

Integrates ESG criteria
Yes
SDG
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Replication

Trackinsight replication rating:
Replication quality
Calculated over 12m, as of February 27, 2026
Tracking error
Tracking difference
Replication information
Index
MSCI Global Corporate Float-Adjusted Liquid Bond Screened Index - GBP Hedged
Index ticker
H35936GB Index
Index dividend policy
GTR
Replication method
Replication model
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Issuer

Vanguard
Vanguard ID Card
Number of funds
279
Total AuM
€3.79T
Expense ratio range
0.03% - 0.48%
Average expense ratio
0.1363%
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Vanguard Value ETF€144.08B

Frequently asked questions about V3GS

What does Vanguard ESG Global Corporate Bond UCITS ETF, V3GS, invest in?

V3GS is a Passive ETF. This ETF provides exposure to Global Investment Grade Corporate Bonds.

Which benchmark or index does V3GS replicate?

V3GS tracks the MSCI Global Corporate Float-Adjusted Liquid Bond Screened Index - GBP Hedged, through a optimized sampling replication method.

What is the Total Expense ratio (TER) of V3GS?

V3GS carries a total expense ratio (TER) of 0.1503%, indicating the annual cost for holding the fund.

When was V3GS launched?

V3GS was introduced to the market on May 25, 2021. It trades on Netherlands, among other exchanges

Who is the ETF issuer of V3GS?

Vanguard ESG Global Corporate Bond UCITS ETF, V3GS, is provided by Vanguard. Learn more about Vanguard here.

Does V3GS have multiple share classes?

Yes, V3GS is available in multiple share classes, which may differ by distribution policy (e.g., accumulating vs. distributing), currency or hedging. Explore the different share classes .

What is the current assets under management (AUM) of V3GS?

V3GS oversees €216M in assets as of March 12, 2026.

How has V3GS performed lately?

Based on data from March 12, 2026, V3GS returned -1.53% over the past month, -0.05% over the last three months and -0.46% year-to-date.

What are the latest inflows or outflows for V3GS?

As of March 12, 2026, V3GS recorded net flows of -€5.1M over the last month and -€2.9M year-to-date.

Does V3GS distribute dividends?

V3GS follows a capitalizing, meaning it reinvests income within the fund.

What are the main country or region exposures of V3GS?

As of January 31, 2026, V3GS has significant geographic allocations in USA, United Kingdom and France.

In which sector or theme does V3GS invest in?

As of January 31, 2026, V3GS focuses largely on Banks, Communication services and Pharmaceutical preparation and biotechnology.

How many securities does V3GS hold and how diversified is it?

As of January 31, 2026, V3GS holds 5117 positions in its portfolio, with 2.37% of assets concentrated in its top 15 holdings.

What are the main positions in V3GS?

As of January 31, 2026, V3GS top three holdings include DE000F2MGDC1, GE HealthCare Technologies, 5.65% 15nov2027, USD and Ford Motor Credit Company, 7.35% 4nov2027, USD.

What is the base currency of V3GS?

The base currency of V3GS is GBP.

Is V3GS currency-hedged?

V3GS is hedged, meaning it seeks to minimize the impact of currency fluctuations between its base currency and the currency of the underlying assets.

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