Data as of: Nov 20, 2024

BLV: Vanguard Long-Term Gov't+Credit (12+yr)

  • Last Price
  • Dividend *
  • Yield *
  • Dividend Payments *
  • 70.32
  • $3.17
  • 4.51 %
  • 12
  • Volatility *
  • S&P 500 Volatility *
  • S&P 500 Correlation *
  • 12.2 %
  • 12.2 %
  • +0.22
  • Net Assets (Million)
  • First Data
  • More info
* Last Twelve Completed Months
  Q1 Q2 Q3 Q4 Annual
2024 -2.32 % -1.69 % +8.14 % -5.77 % -2.15 %
2023 +6.46 % -1.25 % -9.54 % +12.89 % +7.36 %
2022 -10.48 % -12.20 % -8.93 % +2.04 % -26.96 %
2021 -10.06 % +6.10 % +0.02 % +1.73 % -2.90 %
2020 +6.90 % +5.74 % +0.88 % +1.57 % +15.81 %
2019 +5.98 % +6.32 % +6.69 % -1.02 % +18.99 %
2018 -3.81 % -1.38 % -0.38 % +1.41 % -4.17 %
2017 +1.65 % +4.44 % +1.62 % +2.65 % +10.74 %
2016 +7.88 % +6.38 % +1.50 % -8.29 % +6.83 %
2015 +2.79 % -8.06 % +2.97 % -1.36 % -4.00 %
2014 +6.97 % +4.76 % +1.38 % +5.87 % +20.27 %
2013 -1.72 % -5.94 % -1.39 % -0.10 % -8.94 %
2012 -2.73 % +8.09 % +2.81 % -0.15 % +7.93 %
2011 -0.29 % +3.49 % +16.15 % +2.57 % +22.93 %
2010 +1.86 % +8.86 % +5.18 % -5.67 % +10.01 %
2009 -6.67 % +2.16 % +8.30 % -3.09 % +0.06 %
2008 +1.24 % -1.71 % -3.22 % +14.51 % +10.28 %
  Q1 Q2 Q3 Q4 Annual
2024 $0.52 $0.81 $0.80 $0.53 $2.66
2023 $0.47 $0.76 $0.77 $1.03 $3.03
2022 $0.47 $0.84 $0.73 $0.98 $3.02
2021 $0.49 $1.05 $0.74 $1.18 $3.47
2020 $0.54 $1.14 $0.80 $3.92 $6.40
2019 $0.58 $0.86 $0.86 $1.29 $3.58
2018 $0.55 $1.02 $0.87 $1.12 $3.56
2017 $0.56 $0.87 $0.87 $1.16 $3.46
2016 $0.58 $0.88 $0.92 $1.33 $3.71
2015 $0.59 $1.01 $0.86 $1.33 $3.80
2014 $0.60 $0.94 $0.89 $1.22 $3.66
2013 $0.60 $1.12 $0.96 $1.29 $3.96
2012 $0.61 $1.10 $0.95 $2.65 $5.31
2011 $0.64 $0.99 $1.00 $2.08 $4.70
2010 $0.65 $1.00 $0.98 $2.01 $4.63
2009 $0.69 $1.01 $1.00 $1.31 $4.01
2008 $0.66 $1.03 $1.00 $1.31 $4.00

Monthly Total Returns (including all dividends): Nov-22 - Nov-24

BLV monthly returns chart

Notes:

Though most ETFs have never paid a capital gains distribution, investors should monitor for non-recurring payments when considering yield.

Volatility is the annualized standard deviation of daily returns