BLV ETF is analyzed across 10 metrics including expense ratio, holdings, sector allocation, dividends, RSI, and MACD.
| Category | Bonds - Broad Market | Asset Type | Bonds | Return% 1Y | 1.93% | Total Holdings | 2969 | Perf Week | -0.52% |
| ETF Type | US Bonds | Active/Passive | Passive | Return% 3Y | 0.46% | AUM | $5.8B | Perf Month | -3.96% |
| Expense | 0.03% | NAV | $66.43 | Return% 5Y | -4.81% | 52W High | -8.09% | Perf Quarter | -3.46% |
| Dividend TTM | $3.28 (4.91%) | Div Gr. 3/5Y | 3.63% 0.56% | Return% 10Y | 0.19% | 52W Low | 0.75% | Perf Half Y | -4.74% |
| Flows% 1M | -0.12% | Flows% YTD | 3.28% | Return% SI | 4.02% | Volatility(W/M) | 0.39% 0.45% | Perf YTD | -3.98% |
| SMA20 | -1.15% | SMA50 | -1.87% | SMA200 | -3.94% | RSI (14) | 36.56 | Beta | 0.56 |
| IPO | 2007/4/10 | Prev Close | $66.44 | Perf Year | -2.64% | Avg Volume | 0.64M | Price | $66.75 |
Vanguard Long-Term Bond ETF (BLV) Investment Analysis
ETF Overview
Vanguard Long-Term Bond ETF · Bonds - Broad Market
The Vanguard Long-Term Bond Index Fund seeks to track the performance of the Bloomberg U.S. Long Government/Credit Float Adjusted Index. This index includes all medium- and large-issue U.S. government bonds, investment-grade corporate bonds, and U.S. dollar-denominated investment-grade international bonds with remaining maturities greater than 10 years. All investments are selected through a sampling process, and at least 80% of the fund's assets are invested in bonds included in the index.
📘 BLV ETF 자세히 알아보기 →- 규모
- $5.8B 약 8조원
- 운용사
- Vanguard
- 운용 방식
- 패시브 (지수 추종)
- 상장일
- 2007년
Cost Efficiency
Annual Expense Ratio · Category Rank · Long-Term Cost Impact
Defaults shown against $100K baseline portfolio. Adjust the slider to update the amount in real time.
Long-Term Performance
1-year · 3-year · 5-year · 10-year returns · vs. benchmark · drawdown defense
Mostly orange (70%+): Income-style — dividends drive most returns (watch out for after-tax drag)
Red + orange: Stagnant or declining price — dividends offset losses (common in covered-call and high-dividend funds)
Risk Profile
Volatility · Beta · Max Drawdown · Sharpe · Drawdown Recovery History
Dividend Analysis
Yield · Dividend history · After-tax income calculator
Overall investment appeal
What this ETF fits best — strengths, weaknesses, and target investor profile
- 💸Top 5% lowest expense ratio in Bonds - Broad Market — 0.03% annually
- 📈Long-term returns are well below peers
- ⚠️Volatility is above average
- 🎯Trails benchmark by -17.7%p annually
Portfolio Composition
What's actually inside — sector weights and top holdings
Category Peers
Category: Bonds - Broad Market
| 티커 | ETF명 | 보수율 | AUM | 보유종목 | 배당률 | YTD | 1년 |
|---|---|---|---|---|---|---|---|
| Vanguard Long-Term Bond ETF | 0.03% | $5.8B | 2969 | 4.91% | -3.98% | -2.64% | |
| Bluemonte Long Term Bond ETF | 0.23% ▼ | $164M ▼ | 4 | 4.38% ▼ | - | -2.12% ▲ |
Leveraged & Covered Call ETFs on the Same Theme
ETFs that approach the same theme with a different strategy
FAQ
What kind of ETF is BLV?
BLV is an ETF in the Bonds - Broad Market category, managed by Vanguard.
How many holdings does BLV have?
BLV holds a total of 2,969 securities, with an AUM of approximately $5.8B.
Does BLV pay dividends (distributions)?
BLV's distribution yield is approximately 4.91%.
What is the 52-week high and low for BLV?
BLV has recorded a 52-week high of $72.62 and a low of $66.25.
면책조항: 본 콘텐츠는 참고 자료이며 투자 권유가 아닙니다. 모든 투자의 책임은 투자자 본인에게 있습니다.