Inflation-Linked Government Bonds
Vanguard Eurozone Inflation-Linked Bond Index Fund
ISIN: IE00B04GQR24
An ISIN code is a unique identification number that is assigned to every share, bond, ETF, investment fund or other security.
Risk score: 3/7
The higher the score, the higher the investment risk.
AuM: €1.43 billion
How much capital the fund manages.
SFDR: Article 6
The extent to which a financial product takes sustainability factors into account and invests according to environmental, social and good governance criteria, according to the SFDR classification. The SFDR classification is not readily applicable to government bond funds because the sustainability impact of governments is difficult to measure.
MSCI ESG rating: A
The score indicating the extent to which the fund takes into account people, the environment and society according to the MSCI ESG classification.
About this fund.
This investment fund closely tracks the “Bloomberg Global Inflation-Linked: Eurozone - Euro CPI Index”. The fund invests in government bonds from countries in the Eurozone. These bonds are linked to inflation and have a maturity of more than 1 year. All bonds in the fund have at least a good credit rating (investment grade).
An inflation-linked bond is a loan where the interest rate fluctuates with inflation. This ensures that investors are better protected against price increases and loss of purchasing power.
The fund generally has a low to medium risk and is suitable for investors who want to invest in the medium term. The fund is used in portfolios to reduce risk when approaching retirement age and to protect against inflation.
Want to know more about this fund?
Read the factsheet here.

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