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VDST - Vanguard U.S. Treasury 0-1 Year Bond UCITS ETF Accumulating (USD) (IE00BLRPPV00)

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(%)
IE00BLRPPV00
VDST ISIN
Exchange Traded Funds (ETF)
Tipologia di fondo
Vanguard
Provider
-
NAV per azione
02/09/2020
Data di inizio
No
Pagamento dei dividendi
CEOGBS
CFI
VDST
Ticker
Formed
Status
Fixed Income
Oggetto d'investimento
Government bonds
Settore
USA
Geografia
Bloomberg Barclays Short Treasury Index
Benchmark
0.05 %
Rapporto costo totale
7.130,75 ml USD
Totale attivo del fondo | 31/05/2026
2.335,01 ml USD
Attività della classe azionaria | 31/05/2026
Si
UCITS

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Redditività su 18/05/2026, London S.E. (USD)

  • YTD
    1,25 %
  • 1M
    0,26 %
  • 3M
    0,85 %
  • 6M
    1,79 %
  • 1Y
    3,96 %
  • 3Y
    14,75 %
  • 5Y
    -
  • 10Y
    -
Al prezzo di scambio, tenendo conto dei pagamenti di reddito

Ultimi dati di
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Quote (VDST)

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1 000 000

obbligazioni

80 234

azioni

167 970

ETF & Funds

80 000

indici

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Dinamica dei prezzi

VDST profilo

The Vanguard U.S. Treasury 0-1 Year Bond UCITS ETF Accumulating (USD) is a(n) Fixed Income Exchange Traded Funds (ETF) seeks to invest in Government bonds sector located in USA. The Vanguard fund’s base currency is USD and the share class was registered 02.09.2020 with unique ISIN - IE00BLRPPV00. Main exchange is London S.E. (USD) and ticker symbol is VDST. The total expense ratio is 0.05%. The Vanguard U.S. Treasury 0-1 Year Bond UCITS ETF Accumulating (USD) pays dividends 0 time(s) per year.

Struttura VDST su 30/04/2026

Documento Valore
United States Treasury Bill 2026-06-11 0 4,32%
United States Treasury Bill 2026-06-04 0 3,55%
United States Treasury Bill 2026-07-09 0 3,33%
United States Treasury Bill 2026-07-16 0 2,56%
United States Treasury Bill 2026-07-02 0 2,54%
United States Treasury Bill 2026-07-23 0 2,53%
United States Treasury Bill 2026-06-25 0 2,52%
United States Treasury Bill 2026-07-30 0 2,51%
United States Treasury Bill 2026-06-18 0 2,5%
United States Treasury Bill 2026-06-02 0 2,11%
United States Treasury Bill 2026-06-23 0 2,1%
United States Treasury Bill 2026-06-16 0 2,05%
United States Treasury Bill 2026-06-09 0 2,05%
United States Treasury Bill 2026-09-03 0 1,93%
United States Treasury Bill 2026-08-06 0 1,92%
United States Treasury Bill 2026-10-01 0 1,87%
United States Treasury Bill 2026-10-29 0 1,83%
United States Treasury Bill 2026-10-08 0 1,18%
United States Treasury Bill 2026-09-17 0 1,18%
United States Treasury Bill 2026-10-22 0 1,18%
United States Treasury Bill 2026-10-15 0 1,17%
United States Treasury Bill 2026-08-13 0 1,17%
United States Treasury Bill 2026-09-24 0 1,16%
United States Treasury Note/Bond 2027-01-31 1.5 1,16%
United States Treasury Bill 2026-08-27 0 1,15%
United States Treasury Bill 2026-09-10 0 1,15%
United States Treasury Bill 2026-08-20 0 1,09%
United States Treasury Note/Bond 2026-09-30 3.5 1,08%
United States Treasury Note/Bond 2027-03-31 3.875 1,07%
United States Treasury Note/Bond 2027-04-30 3.75 1,07%
United States Treasury Note/Bond 2027-02-28 4.125 1,07%
United States Treasury Bill 2026-08-11 0 1,06%
United States Treasury Note/Bond 2026-12-31 4.25 1,06%
United States Treasury Bill 2026-08-25 0 1,06%
United States Treasury Note/Bond 2026-06-30 4.625 1,04%
United States Treasury Note/Bond 2026-10-31 4.125 1,02%
United States Treasury Bill 2026-07-07 0 1%
United States Treasury Note/Bond 2026-07-31 4.375 0,99%
United States Treasury Note/Bond 2027-01-31 4.125 0,98%
United States Treasury Bill 2026-07-14 0 0,95%
United States Treasury Note/Bond 2026-08-31 3.75 0,95%
United States Treasury Bill 2026-07-28 0 0,95%
United States Treasury Bill 2026-08-18 0 0,94%
United States Treasury Bill 2026-08-04 0 0,94%
United States Treasury Bill 2026-07-21 0 0,94%
United States Treasury Note/Bond 2026-11-30 4.25 0,94%
United States Treasury Note/Bond 2027-04-15 4.5 0,91%
United States Treasury Bill 2026-06-30 0 0,91%
United States Treasury Note/Bond 2026-09-30 0.875 0,89%
United States Treasury Note/Bond 2026-10-31 1.125 0,88%
United States Treasury Note/Bond 2026-11-30 1.25 0,87%
United States Treasury Note/Bond 2026-12-31 1.25 0,86%
United States Treasury Note/Bond 2027-03-15 4.25 0,86%
United States Treasury Note/Bond 2026-08-15 1.5 0,83%
United States Treasury Note/Bond 2026-07-31 0.625 0,82%
United States Treasury Note/Bond 2026-08-31 0.75 0,8%
United States Treasury Note/Bond 2026-06-30 0.875 0,8%
United States Treasury Note/Bond 2027-01-15 4 0,79%
United States Treasury Note/Bond 2027-02-15 4.125 0,79%
United States Treasury Note/Bond 2027-03-31 2.5 0,78%
United States Treasury Note/Bond 2026-12-15 4.375 0,78%
United States Treasury Bill 2027-04-15 0 0,75%
United States Treasury Bill 2027-01-21 0 0,74%
United States Treasury Note/Bond 2027-04-30 2.75 0,74%
United States Treasury Note/Bond 2026-11-15 4.625 0,73%
United States Treasury Bill 2027-03-18 0 0,72%
United States Treasury Note/Bond 2026-11-15 2 0,71%
United States Treasury Note/Bond 2027-02-28 1.875 0,71%
United States Treasury Bill 2026-12-24 0 0,71%
United States Treasury Bill 2027-02-18 0 0,68%
United States Treasury Note/Bond 2026-10-15 4.625 0,67%
United States Treasury Note/Bond 2026-09-15 4.625 0,67%
United States Treasury Bill 2026-11-27 0 0,63%
United States Treasury Note/Bond 2027-02-15 2.25 0,62%
United States Treasury Note/Bond 2026-08-15 4.375 0,62%
United States Treasury Note/Bond 2026-07-15 4.5 0,57%
United States Treasury Note/Bond 2026-06-15 4.125 0,56%
United States Treasury Note/Bond 2027-04-30 0.5 0,47%
United States Treasury Note/Bond 2026-06-30 1.875 0,36%
United States Treasury Note/Bond 2026-10-31 1.625 0,36%
United States Treasury Note/Bond 2026-12-31 1.75 0,35%
United States Treasury Note/Bond 2027-03-31 0.625 0,34%
United States Treasury Note/Bond 2026-07-31 1.875 0,33%
United States Treasury Note/Bond 2026-08-31 1.375 0,33%
United States Treasury Note/Bond 2026-11-30 1.625 0,31%
United States Treasury Note/Bond 2026-09-30 1.625 0,27%
United States Treasury Note/Bond 2027-02-28 1.125 0,21%
United States Treasury Note/Bond 2026-11-15 6.5 0,07%
United States Treasury Note/Bond 2026-08-15 6.75 0,05%
United States Treasury Note/Bond 2027-02-15 6.625 0,05%
Altro - %

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