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Corporate Bond Funds

Corporate bond portfolios concentrate on investment-grade bonds issued by corporations in U.S. dollars, which tend to have more credit risk than government or agency-backed bonds. These portfolios hold more than 65% of their assets in corporate debt, less than 40% of their assets in non-U.S. debt, less than 35% in below-investment-grade debt, and durations that typically range between 75% and 150% of the three-year average of the effective duration of the Morningstar Core Bond Index.

Fund Name
Adjusted Expense Ratio %
12 Month Yield %
Return Rank in Category 3Y %
Return Rank in Category 5Y %
Return Rank in Category 10Y %
0.570%
3.732%
51%
41%
0.000
3.760%
39%
16%
13%
0.560%
3.691%
11%
3%
17%
0.920%
3.788%
42%
41%
61%
0.620%
3.303%
25%
21%
37%
0.570%
3.699%
50%
33%
30%
0.500%
3.235%
62%
56%
39%
0.720%
3.748%
32%
31%
10%
0.400%
3.430%
52%
26%
0.500%
1.438%
5%
30%
92%
0.440%
3.992%
51%
57%
0.730%
4.172%
46%
56%
27%
0.760%
3.123%
65%
68%
65%
0.550%
3.395%
72%
74%
69%
0.150%
3.465%
79%
46%
41%
0.500%
6.171%
32%
0.650%
3.280%
75%
70%
8%
0.740%
3.207%
34%
45%
43%
0.700%
2.871%
17%
41%
31%

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