Prices & Performance
 
Mutual fund prices and performance are listed by name and currency (EUR for Euros, and USD for U.S. dollars). Therefore, funds may have multiple listings. Recent performance and average annual total returns are calculated through month-end. All performance figures are net of expenses.
 
Note: It is expected that the final net asset value per share will be issued by 1:00 PM GMT (2:00 PM CET; 8:00 AM EST) on Trade Date + 1. Figures displayed earlier than 1:00 PM GMT are based on preliminary calculations and are subject to review and verification by J. P. Morgan Administration Services (Ireland) Limited, which is responsible for calculation of the net asset value per share. Accordingly, figures accessed before 1:00 PM GMT are subject to change. Net Asset Value pricing is not available on the following dates.
 

Share Class
 
 
  Prices & Performance
Money Market Funds
          Recent Performance Average Annual Total Returns as of 12/2008  
Fund / Currency Price as of 05/01/2009 Price Change Yield Note YTD   as of 12/2008 1 Month as of 12/2008 3 Months as of 12/2008 1 Year 3 Year 5 Year 10 Year Since Inception Inception Date
Prime Liquidity Inst USD 1.0000 0.0000 1.23% C 2.31 % 0.11% 0.37% 2.31% 4.01% 3.24% --- 3.36% 06/05/1999
Bond Funds
          Recent Performance Average Annual Total Returns as of 12/2008  
Fund / Currency Price as of 05/01/2009 Price Change Yield Note YTD   as of 12/2008 1 Month as of 12/2008 3 Months as of 12/2008 1 Year 3 Year 5 Year 10 Year Since Inception Inception Date
Eur Inf-Lk Bd Ix Inst EU 85.4877 + 0.8496 --- --- 2.78 % 4.71% 0.06% 2.78% 0.86% --- --- 1.56% 31/05/2005
UK Inv Gr Bd Idx GBP Ins 48.7572 -0.2653 --- --- -5.29 % 3.18% 1.14% -5.29% --- --- --- -2.29% 20/03/2007
30-40 Yr Dr EU Ix EU Ins 165.0272 -3.3751 --- --- 69.73 % 0.14% 42.02% 69.73% --- --- --- 46.70% 29/08/2007
20+ Yr EUR Tr Ix EUR Ins 112.6421 -0.6489 --- --- 12.60 % 1.83% 11.49% 12.60% --- --- --- 9.40% 29/08/2007
Japan Gov Bd Idx JPY Ins 13761.3250 -25.0704 --- --- 3.34 % 1.73% 2.49% 3.34% --- --- --- 4.10% 11/10/2007
Glb Bd Inx Inst USD Hdg 103.0542 -0.0701 --- --- --- 2.45% 4.49% --- --- --- --- --- 31/03/2008
US Mg Bk Se Bd Ix USDIns 124.7303 + 0.4827 --- --- 8.12 % 1.59% 4.21% 8.12% 6.63% --- --- 5.54% 16/12/2004
US Inv Gr Cr Idx Inst US 106.5960 -0.1339 --- --- -4.42 % 5.65% 1.42% -4.42% 1.63% --- --- 1.75% 16/12/2004
US Gov Bond Ix Inst USD 148.6941 -0.4839 --- --- 11.93 % 3.69% 7.85% 11.93% 7.82% 5.85% --- 6.08% 31/01/2002
Euro Gov Bd Ix Inst EUR 154.5551 -0.2232 --- --- 8.81 % 1.16% 5.99% 8.81% 3.28% 4.47% --- 5.41% 29/09/2000
Euro IG Bond Ix Inst EUR 140.2864 + 0.1881 --- --- 0.55 % 0.74% 1.96% 0.55% 0.53% 2.36% --- 4.17% 29/09/2000
Stock Funds
          Recent Performance Average Annual Total Returns as of 12/2008  
Fund / Currency Price as of 05/01/2009 Price Change Yield Note YTD   as of 12/2008 1 Month as of 12/2008 3 Months as of 12/2008 1 Year 3 Year 5 Year 10 Year Since Inception Inception Date
Pac ex-Japan Stk Inst US 93.8129 + 1.3122 --- --- -49.96 % 5.99% -24.58% -49.96% -4.51% --- --- -2.69% 22/07/2005
Japan Stock Idx Inst EUR 89.4562 + 1.8312 --- --- -25.77 % -1.32% -8.13% -25.77% --- --- --- -17.67% 29/03/2006
US 500 St Ix Inst EUR Hg 6.9575 -0.0275 --- --- -38.56 % 1.06% -24.12% -38.56% --- --- --- -17.89% 31/10/2006
Global Enhanc Eq USD Ins 61.9772 + 0.2396 --- --- -41.23 % 4.07% -21.12% -41.23% --- --- --- -26.03% 18/04/2007
US Opportunities Inst US 156.0203 -0.1925 --- --- -36.91 % 8.22% -21.10% -36.91% -5.10% 0.82% --- 6.36% 08/04/2002
US 500 Stk Ix Inst EUR 6.7389 + 0.1144 --- --- -34.28 % -7.85% -21.33% -34.28% -13.92% -4.84% --- -3.59% 26/09/2002
Global Stk Ix Inst EUR 7.6230 + 0.1570 --- --- -37.73 % -5.80% -20.97% -37.73% -13.18% -2.66% --- -1.38% 10/12/2002
Switzerld Stk Ix Inst CH 165.3543 + 6.5845 --- --- -34.62 % -4.81% -17.75% -34.62% -9.04% --- --- 0.25% 02/02/2004
Japan Stk Ix Inst USD 121.9614 -0.1375 --- --- -29.43 % 8.10% -9.08% -29.43% -10.59% 0.75% --- 0.75% 22/10/2003
Global Stk Hgd Inst EUR 7.7270 + 0.0377 --- --- -39.57 % 0.95% -22.07% -39.57% -10.57% --- --- -3.76% 04/11/2004
US 500 Stk Ix Inst USD 9.1852 -0.0431 --- --- -37.52 % 0.95% -22.16% -37.52% -9.09% -2.98% -2.08% -1.09% 04/11/1998
European Stock Ix Inst U 11.7006 -0.0168 --- --- -46.48 % 5.33% -22.89% -46.48% -6.64% 1.40% 0.22% 1.22% 14/09/1998
Europe Stock Ix Inst EUR 8.5860 + 0.1733 --- --- -43.70 % -3.85% -22.08% -43.70% -11.62% -0.56% --- -5.62% 08/06/2000
Eurozone Stk Ix Inst EUR 92.1722 + 0.9220 --- --- -44.71 % 0.38% -21.14% -44.71% -10.04% 0.52% --- -1.75% 25/10/2001
Global Stock Ix Inst USD 10.4440 -0.0106 --- --- -40.79 % 3.20% -21.79% -40.79% -8.30% -0.76% -0.81% 0.16% 04/08/1998

 
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