VTIP

TIPS

Vanguard Short-Term Inflation-Protected Securities Index Fund ETF Shares

Vanguard·Tracks Bloomberg US Treasury Inflation-Protected Securities 0-5 Year Index·Inception Oct 12, 2012

Expense ratio
0.030%
3.0 bps
Net assets
$73.17B
TTM yield
4.15%
Last price
$49.64
as of Sep 10, 2026

Composite score

80/ 100
Cost97

Based on a 0.030% expense ratio.

Liquidity100

Based on $73.17B in net assets.

Concentration43

Top-10 holdings represent 49.8% of net assets.

Tax efficiency50

TIPS base · ETF wrapper · 4.15% TTM yield.

The composite is a weighted average of the four core sub-scores above (cost, tax efficiency, liquidity, concentration). Missing sub-scores fall back to the per-category median when the category has at least 50% data coverage, so funds without (e.g.) parsed N-PORT holdings aren't accidentally boosted by renormalization. Tracking quality is shown where computable but isn't currently part of the composite weighting. Seemethodologyfor formulas, thetracking-qualitypartial-coverage rationale, and the dimensions we deliberatelydon't score(methodology v0.5.1).

Use VTIP in our tools

Top holdings

26 total holdings· as of Jun 30, 2026
#HoldingWeight
1United States Treasury Inflation Indexed Bonds5.39%
2United States Treasury Inflation Indexed Bonds5.33%
3United States Treasury Inflation Indexed Bonds5.30%
4United States Treasury Inflation Indexed Bonds5.14%
5United States Treasury Inflation Indexed Bonds4.97%
6United States Treasury Inflation Indexed Bonds4.83%
7United States Treasury Inflation Indexed Bonds4.83%
8United States Treasury Inflation Indexed Bonds4.74%
9United States Treasury Inflation Indexed Bonds4.70%
10United States Treasury Inflation Indexed Bonds4.59%

Compare VTIP with another fund

Or skim the closest-overlap funds below.

Open VTIP at a brokerage

Affiliate links — opening an account through these earns PlainIndex a one-time referral. Scoring is computed before any affiliate consideration; see our methodologyand funding disclosure.

Holdings sourced fromSEC Form N-PORT-P(accession 0000836906-26-000471).