Vanguard Global Credit Bond Fund Investor Shares
Limited financial coverage for VGCIX.
Not enough data to compute a meaningful composite — typical for foreign-listed ADRs, recent IPOs, or thinly-covered small caps. Live quote, chart, and any available stats still render below.
About the company
The Vanguard Global Credit Bond Fund Investor Shares aims to deliver a consistent, moderate income stream by strategically investing in a diverse array of global corporate and non-government debt instruments. This actively managed portfolio primarily allocates capital to investment-grade obligations, specifically excluding those backed by government guarantees. Its holdings span both U.
- IPO
- 2018
- HQ
- Malvern, PA, US
Price Chart
- Market Cap
- $1.01B
- Div Yield
- 4.93%
- 52W High
- $9.85
- 52W Low
- $9.51
- 50D MA
- $9.62
- 200D MA
- $9.70
- Beta
- 0.85
- Avg Volume
- 0
AI snapshot
Six angles, distilled from the data.
The fund is in a soft consolidation regime, trading below its 200-day average of 9.69555 and also under its 50-day average of 9.6162. Price sits near the lower end of its recent range, with the year high at 9.85 and year low at 9.51, suggesting a muted, range-bound setup.
No analyst consensus or target is available, so there is no Street-driven catalyst to anchor expectations. With no recent rating changes or target revisions, the setup is being driven by the fund’s own price action rather than shifting external sentiment.
No earnings date is scheduled and there are no estimates or beat-rate history to frame a near-term print. Shareholders should watch for any change in distribution, portfolio positioning, or credit-market tone rather than a conventional earnings surprise.
No notable insider activity. The transactions list is empty, so there is no discretionary buying or selling signal to interpret.
Profitability, growth, cash flow, and leverage metrics are not reported here, so the operating profile is best read through the fund’s price behavior and asset base. Market cap stands at 990,628,496, and the shares are trading below both key moving averages, which points to a cautious near-term backdrop.
As a global credit bond fund, VGCIX should be judged against peers on income stability and credit exposure rather than equity-style growth. With no valuation or peer-comparison metrics provided, the relative read is neutral and mostly price-driven.
Our VGCIX coverage
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AI analysis · Last refreshed July 12, 2026 · Live quote · Not investment advice