Intermediate-Term Bond Index Fund Signal Shares (VIBSX)



Closing price as of 04/17/2014


The market value of a mutual fund's total assets, minus liabilities, divided by the number of shares outstanding. The value of a single share is called its share value or share price.

– $0.06 negative change   – 0.53%
SEC yield

A non-money market fund's SEC yield is based on a formula mandated by the Securities and Exchange Commission (SEC) that calculates a fund's hypothetical annualized income, as a percentage of its assets. A security's income, for the purposes of this calculation, is based on the current market yield to maturity (in the case of bonds) or projected dividend yield (for stocks) of the fund's holdings over a trailing 30 day period. This hypothetical income will differ (at times, significantly) from the fund's actual experience; as a result, income distributions from the fund may be higher or lower than implied by the SEC yield.

The SEC yield for a money market fund is calculated by annualizing its daily income distributions for the previous seven days.

2.67% A


52-week high

05/02/2013 - $12.02
05/01/2013 - $12.02

52-week low   09/05/2013 $11.02
52-week difference $1.00 9.07%

Historical prices

Get up to 24 months of prices for this fund. You can also export all prices of this fund since the inception date.

Start date  
End date  
Date NAV
04/17/2014 $11.29
04/16/2014 $11.35
04/15/2014 $11.37
04/14/2014 $11.36
04/11/2014 $11.38
04/10/2014 $11.37
04/09/2014 $11.33
04/08/2014 $11.33
04/07/2014 $11.31
04/04/2014 $11.29

Price analysis

April 17, 2014
Name NAV

Realized/Unrealized gains as of 02/28/2014

Realized gain $0.03 0.26%
Unrealized gains of NAV $0.23 2.03%
Distribution schedule Monthly
Fiscal year-end date 12/31/2014


View up to 10 years of distributions for this fund.

Start date  
End date  
Type $/Share Payable date

The date when dividends or capital gains are paid to shareholders. For Vanguard mutual funds, the payable date is usually within two to four days of the record date. The payable date also refers to the date on which a declared stock dividend or bond interest payment is scheduled to be paid.

Record date

The date established by the issuer of a security for the purpose of determining the holders who are entitled to receive that security's next distribution of dividends or capital gains.

Reinvest date

The date on which an investment's dividend or capital gains income is reinvested, if requested by the shareholder, to purchase additional shares.

Reinvest price

The price at which an investment's dividend or capital gains distribution is reinvested, if requested by the shareholder, to purchase additional shares.

Distribution yield

The fund's current monthly income dividend per share, annualized (by dividing by the number of days in the month and multiplying by 365) as a percentage of the fund's average NAV during the month.

Distribution yield 'as of'
Income $0.02841 04/01/2014 03/31/2014 03/31/2014 $11.28 2.96% 03/31/2014
Long-Term Capital Gain $0.00500 04/01/2014 03/28/2014 03/31/2014 $11.28 2.96% 03/31/2014
Income $0.02560 03/03/2014 02/28/2014 02/28/2014 $11.35 2.95% 02/28/2014
Income $0.02904 02/03/2014 01/31/2014 01/31/2014 $11.31 3.05% 01/31/2014
Income $0.02926 01/02/2014 12/31/2013 12/31/2013 $11.09 3.07% 12/31/2013
Long-Term Capital Gain $0.08000 12/24/2013 12/20/2013 12/23/2013 $11.14 3.07% 12/23/2013
Income $0.02824 12/02/2013 11/29/2013 11/29/2013 $11.34 3.03% 11/29/2013
Income $0.02892 11/01/2013 10/31/2013 10/31/2013 $11.41 3.00% 10/31/2013
Income $0.02769 10/01/2013 09/30/2013 09/30/2013 $11.32 3.01% 09/30/2013
Income $0.02843 09/03/2013 08/30/2013 08/30/2013 $11.17 2.98% 08/30/2013

The performance data shown represents past performance, which is not a guarantee of future results. Investment returns and principal value will fluctuate, so that investors' shares, when sold, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data cited. See performance data current to the most recent month end.

View historical returns  


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