Vanguard Global Bond Index Fund EUR-H Acc

TER

0.15%

Hist. return*

~2.5%

Overview

Vanguard Global Bond Index Fund EUR-H Acc is an index mutual fund managed by Vanguard that tracks the Bloomberg Global Aggregate Float Adjusted index, giving exposure to fixed income with a 0.15% annual fee (TER). Being accumulating, it automatically reinvests dividends, which maximizes the compounding effect. Its risk indicator is 2/7, domiciled in Irlanda and denominated in EUR.

Full factsheet

ISIN
IE00B18GC888
Ticker
Index
Bloomberg Global Aggregate Float Adjusted
TER
0.15%
Hist. return*
~2.5%
Replication
Physical
Distribution
Accumulating
Currency
EUR
Domicile
Irlanda
Risk
2/7

Catalog last reviewed on 15/07/2026.

Quick X-ray

  • It would take about 30 years and 8 months to double your investment (rule of 72, on its TER-net return).
  • €300/month for 20 years would become about €91,981 (net of TER, constant return).
  • Compared to Amundi US Treasury Bond 7-10Y (TER 0.06%), this higher TER would cost you about €900 less over 20 years, at the same gross return.

Illustrative figures using the fund's constant orientative return, not a prediction or a backtest.

Simulate this investment

Open the calculator with Vanguard Global Bond Index Fund EUR-H Acc's historical return and TER already loaded.

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Frequently asked questions

What is the ISIN of Vanguard Global Bond Index Fund EUR-H Acc?+

The ISIN of Vanguard Global Bond Index Fund EUR-H Acc is IE00B18GC888. You can use it to search for it at your broker or on the official factsheet.

What fee (TER) does Vanguard Global Bond Index Fund EUR-H Acc charge?+

Its TER is 0.15% per year. Over long periods, the gap between a low and a high TER can eat up a very significant share of your final wealth: try it in the "Fees" tab of the calculator.

Does Vanguard Global Bond Index Fund EUR-H Acc pay dividends or reinvest them?+

It's accumulating (Acc): it automatically reinvests the index's dividends with nothing for you to do, and no tax event until you sell.

Is Vanguard Global Bond Index Fund EUR-H Acc a good option for long-term investing?+

It depends on your profile and horizon. It tracks Bloomberg Global Aggregate Float Adjusted with a 2/7 risk level and a 0.15% TER — objective facts, but not personalized advice. Simulate different scenarios in the calculator before deciding.

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* Indicative long-term annualized historical return of the benchmark index, not the fund. Always check the up-to-date TER, risk and data in the official factsheet linked. Past returns do not guarantee future returns.

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