VBTIX·NASDAQ
This fund's primary objective is to offer wide-ranging exposure to the U.S. investment-grade bond market. To achieve this, it strategically allocates its assets across U.S. Treasury bonds and mortgage-backed securities, encompassing the full spectrum of maturities, from short to long-term issues. A key risk, characteristic of most bond funds, is that rising interest rates can lead to a decline in the value of the bonds held within its portfolio, subsequently reducing the fund's net asset value (NAV). Given its broad diversification across various fixed-income segments and maturities, investors may find this fund suitable as a core component of their bond holdings.
This fund's primary objective is to offer wide-ranging exposure to the U.S. investment-grade bond market. To achieve this, it strategically allocates its assets across U.S. Treasury bonds and mortgage-backed securities, encompassing the full spectrum of maturities, from short to long-term issues. A key risk, characteristic of most bond funds, is that rising interest rates can lead to a decline in the value of the bonds held within its portfolio, subsequently reducing the fund's net asset value (NAV). Given its broad diversification across various fixed-income segments and maturities, investors may find this fund suitable as a core component of their bond holdings.