These diverse, individual building blocks span asset classes and granting timeframes, and can be used to create a more customized charitable investment portfolio.

Index building blocks

Investment fees range from 0.01% to 0.11%

more-info-iconLast updated 07/12/2024

Create the basis of your charitable portfolio

Expense Ratio

more-info-iconLast updated 03/31/2024

0.04%

Risk/granting time horizon

Risk level 1

Returns

more-info-iconLast updated 03/31/2024

Qtr

0.82%

1 Yr

3.17%

5 Yrs

10 Yrs

Benchmark

Bloomberg U.S. 0-5 Year Treasury Inflation Protected Securities Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Seeks to offer protection against inflation with reduced price volatility through exposure to shorter-duration inflation-protected treasury bonds.

Add to compare
1574
Preferred

Expense Ratio

more-info-iconLast updated 03/31/2024

0.01%

Risk/granting time horizon

Risk level 2

Returns

more-info-iconLast updated 03/31/2024

Qtr

-0.73%

1 Yr

1.70%

5 Yrs

0.40%

10 Yrs

1.53%

Benchmark

Spliced Bloomberg Barclays U.S. Aggregate Float Adjusted Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Seeks to provide broad exposure to the investment-grade U.S. bond market.

Add to compare
139

Expense Ratio

more-info-iconLast updated 03/31/2024

0.07%

Risk/granting time horizon

Risk level 2

Returns

more-info-iconLast updated 03/31/2024

Qtr

0.05%

1 Yr

5.17%

5 Yrs

0.31%

10 Yrs

Benchmark

Bloomberg Barclays Global Aggregate ex-USD Float Adjusted RIC Capped Index (USD Hedged)

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Seeks to provide a diversified portfolio of U.S. dollar hedged, high-quality international bonds.

Add to compare
138
Preferred

Expense Ratio

more-info-iconLast updated 03/31/2024

0.04%

Risk/granting time horizon

Risk level 4

Returns

more-info-iconLast updated 03/31/2024

Qtr

8.13%

1 Yr

24.29%

5 Yrs

11.75%

10 Yrs

9.86%

Benchmark

Composite benchmark return: 55% S&P 500 Index, 15% S&P Completion Index, and 30% Spliced Total International Stock Market Index.

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Seeks to provide growth of capital through a 100% allocation to U.S. and international stocks.

Add to compare
140
Preferred

Expense Ratio

more-info-iconLast updated 03/31/2024

0.01%

Risk/granting time horizon

Risk level 4

Returns

more-info-iconLast updated 03/31/2024

Qtr

10.00%

1 Yr

29.39%

5 Yrs

14.26%

10 Yrs

12.28%

Benchmark

Spliced Total Stock Market Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Seeks to provide exposure to large-, mid- and small-cap equities diversified across growth and value styles.
 

Add to compare
141

Expense Ratio

more-info-iconLast updated 03/31/2024

0.02%

Risk/granting time horizon

Risk level 4

Returns

more-info-iconLast updated 03/31/2024

Qtr

10.56%

1 Yr

29.88%

5 Yrs

10 Yrs

Benchmark

Standard & Poor’s 500 Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Seeks to track the performance of the Standard & Poor's 500 Index, which measures the investment return of large-cap stocks. 

Add to compare
1572

Expense Ratio

more-info-iconLast updated 03/31/2024

0.04%

Risk/granting time horizon

Risk level 4

Returns

more-info-iconLast updated 03/31/2024

Qtr

10.95%

1 Yr

38.85%

5 Yrs

10 Yrs

Benchmark

CRSP US Large Cap Growth Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Seeks to track the performance of CRSP US Large Cap Growth Index, providing exposure to a broad range of U.S. growth-oriented stocks as determined by a variety of growth factors.

Add to compare
1573

Expense Ratio

more-info-iconLast updated 03/31/2024

0.04%

Risk/granting time horizon

Risk level 4

Returns

more-info-iconLast updated 03/31/2024

Qtr

9.79%

1 Yr

21.21%

5 Yrs

10 Yrs

Benchmark

CRSP US Large-Cap Value Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Seeks to track the performance of CRSP US Large Cap Value Index, providing exposure to a broad range of U.S. value-oriented stocks as determined by a variety of value factors.

Add to compare
1576

Expense Ratio

more-info-iconLast updated 03/31/2024

0.11%

Risk/granting time horizon

Risk level 4

Returns

more-info-iconLast updated 03/31/2024

Qtr

-1.19%

1 Yr

8.58%

5 Yrs

10 Yrs

Benchmark

MSCI U.S. IM Real Estate 25/50 Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Seeks to provide a high level of income and moderate long-term capital appreciation by tracking a benchmark index that measures the performance of publicly traded REITs and other real estate-related investments. 

Add to compare
1688

Expense Ratio

more-info-iconLast updated 03/31/2024

0.04%

Risk/granting time horizon

Risk level 5

Returns

more-info-iconLast updated 03/31/2024

Qtr

7.02%

1 Yr

26.77%

5 Yrs

10 Yrs

Benchmark

S&P Completion Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Seeks to track the performance of the S&P Completion Index, providing broad exposure to U.S. small- and mid-cap stocks. 

Add to compare
1575

Expense Ratio

more-info-iconLast updated 03/31/2024

0.08%

Risk/granting time horizon

Risk level 5

Returns

more-info-iconLast updated 03/31/2024

Qtr

4.34%

1 Yr

13.02%

5 Yrs

6.20%

10 Yrs

4.47%

Benchmark

Spliced Total International Stock Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Seeks to provide broad exposure across developed and emerging non-U.S. equity markets.
 

Add to compare
142

Expense Ratio

more-info-iconLast updated 03/31/2024

0.08%

Risk/granting time horizon

Risk level 5

Returns

more-info-iconLast updated 03/31/2024

Qtr

2.00%

1 Yr

7.46%

5 Yrs

2.86%

10 Yrs

3.23%

Benchmark

FTSE Emerging Markets All Cap China A Inclusion Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Targets emerging markets common stocks.

Add to compare
129

Expense Ratio

more-info-iconLast updated 03/31/2024

0.09%

Risk/granting time horizon

Risk level 5

Returns

more-info-iconLast updated 03/31/2024

Qtr

4.83%

1 Yr

14.37%

5 Yrs

7.99%

10 Yrs

4.61%

Benchmark

Spliced European Stock Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Targets European common stocks and is diversified across developed markets.

Add to compare
131

Expense Ratio

more-info-iconLast updated 03/31/2024

0.08%

Risk/granting time horizon

Risk level 5

Returns

more-info-iconLast updated 03/31/2024

Qtr

5.67%

1 Yr

15.69%

5 Yrs

5.85%

10 Yrs

5.36%

Benchmark

Spliced Pacific Stock Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Targets Pacific-region common stocks.

Add to compare
130

Active building blocks

Investment fees range from 0.07% to 0.38%

more-info-iconLast updated 07/12/2024

Include additional international region exposure to your portfolio

Preferred

Expense Ratio

more-info-iconLast updated 03/31/2024

0.10%

Risk/granting time horizon

Risk level 1

Returns

more-info-iconLast updated 03/31/2024

Qtr

1.35%

1 Yr

5.29%

5 Yrs

1.99%

10 Yrs

1.36%

Benchmark

US Gov't Money Market Funds Average

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

active

Goal

Seeks to provide income while maintaining liquidity and a stable share price. Invests primarily in U.S. government agency obligations.

Add to compare
133

Expense Ratio

more-info-iconLast updated 03/31/2024

0.10%

Risk/granting time horizon

Risk level 1

Returns

more-info-iconLast updated 03/31/2024

Qtr

1.21%

1 Yr

5.43%

5 Yrs

10 Yrs

Benchmark

Bloomberg U.S. Treasury Bellweathers: 1 Year Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

active

Goal

Seeks to provide current income while maintaining limited price volatility and aggregate performance consistent with ultra-short-term, investment-grade, fixed-income securities.

Add to compare
1696

Expense Ratio

more-info-iconLast updated 03/31/2024

0.07%

Risk/granting time horizon

Risk level 1

Returns

more-info-iconLast updated 03/31/2024

Qtr

0.68%

1 Yr

4.93%

5 Yrs

1.82%

10 Yrs

1.94%

Benchmark

Bloomberg Barclays U.S. 1-5 Year Credit Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Seeks current income with limited price volatility and provides exposure to short-term, investment-grade fixed income securities.

Add to compare
124

Expense Ratio

more-info-iconLast updated 03/31/2024

0.10%

Risk/granting time horizon

Risk level 2

Returns

more-info-iconLast updated 03/31/2024

Qtr

-0.63%

1 Yr

2.20%

5 Yrs

10 Yrs

Underlying funds

Benchmark

Bloomberg U.S. Aggregate Float Adjusted Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

active

Goal

Seeks to provide total return while generating a moderate level of current income with diversified exposure primarily to investment-grade U.S. bonds.

Add to compare
1687

Expense Ratio

more-info-iconLast updated 03/31/2024

0.12%

Risk/granting time horizon

Risk level 3

Returns

more-info-iconLast updated 03/31/2024

Qtr

0.70%

1 Yr

8.99%

5 Yrs

10 Yrs

Benchmark

High-Yield Corporate Composite Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

active

Goal

Seeks a high and sustainable level of current income by investing primarily in below-investment-grade corporate securities offering attractive yields.

Add to compare
1689

Expense Ratio

more-info-iconLast updated 03/31/2024

0.29%

Risk/granting time horizon

Risk level 4

Returns

more-info-iconLast updated 03/31/2024

Qtr

5.95%

1 Yr

14.43%

5 Yrs

10 Yrs

Benchmark

S&P U.S. Dividend Growers Index TR

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

active

Goal

Seeks to invest in a diversified array of stable, well-managed companies that have a history of or a potential for growing dividends over time.

Add to compare
1695

Expense Ratio

more-info-iconLast updated 03/31/2024

0.20%

Risk/granting time horizon

Risk level 4

Returns

more-info-iconLast updated 03/31/2024

Qtr

12.25%

1 Yr

40.81%

5 Yrs

10 Yrs

Benchmark

Russell 1000 Growth Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

active

Goal

Seeks long-term capital appreciation by investing in a portfolio of large-cap stocks believed to have superior sustainable growth potential at reasonable valuations.

Add to compare
1686

Expense Ratio

more-info-iconLast updated 03/31/2024

0.26%

Risk/granting time horizon

Risk level 4

Returns

more-info-iconLast updated 03/31/2024

Qtr

8.92%

1 Yr

26.08%

5 Yrs

10 Yrs

Benchmark

Russell 1000 Value Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

active

Goal

Seeks long-term capital appreciation and income by investing in a broadly diversified portfolio of mid- and large-cap value stocks.

Add to compare
1690

Expense Ratio

more-info-iconLast updated 03/31/2024

0.34%

Risk/granting time horizon

Risk level 5

Returns

more-info-iconLast updated 03/31/2024

Qtr

7.29%

1 Yr

20.15%

5 Yrs

10 Yrs

Benchmark

Russell 2500 Growth Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

active

Goal

Seeks long-term capital appreciation by investing in a broad universe of small- and mid-cap growth stocks.

Add to compare
1694

Expense Ratio

more-info-iconLast updated 03/31/2024

0.38%

Risk/granting time horizon

Risk level 5

Returns

more-info-iconLast updated 03/31/2024

Qtr

6.62%

1 Yr

15.88%

5 Yrs

10 Yrs

Benchmark

MSCI All Country World Index ex USA Net

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

active

Goal

Seeks to provide actively managed equity exposure to mid- and large-cap international stocks.

Add to compare
1692

Expense Ratio

more-info-iconLast updated 03/31/2024

0.21%

Risk/granting time horizon

Risk level 5

Returns

more-info-iconLast updated 03/31/2024

Qtr

2.43%

1 Yr

-1.79%

5 Yrs

10 Yrs

Benchmark

Bloomberg Commodity Index Total Return

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

active

Goal

Seeks to provide broad commodities exposure and capital appreciation.

Add to compare
1693

Values-driven Investments

Investment fees range from 0.09% to 0.59%

more-info-iconLast updated 07/12/2024

Utilize these funds for a broad exposure

Expense Ratio

more-info-iconLast updated 03/31/2024

0.09%

Risk/granting time horizon

Risk level 4

Returns

more-info-iconLast updated 03/31/2024

Qtr

9.87%

1 Yr

31.63%

5 Yrs

15.14%

10 Yrs

Benchmark

FTSE U.S. All Cap Choice Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Seeks to track the performance of a benchmark index that measures the investment return of large-, mid-, and small-capitalization stocks of U.S. companies, while adhering to certain environmental, social, and corporate governance criteria.

Add to compare
128

Expense Ratio

more-info-iconLast updated 03/31/2024

0.10%

Risk/granting time horizon

Risk level 4

Returns

more-info-iconLast updated 03/31/2024

Qtr

8.24%

1 Yr

25.93%

5 Yrs

12.36%

10 Yrs

Benchmark

70% FTSE U.S. All Cap Choice Index

30% FTSE Global All Cap ex U.S. Choice Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Provides exposure to U.S. and International stocks screened for certain environmental, social, and corporate governance criteria through a targeted, professionally rebalanced allocation of 70% U.S. and 30% International equity.

Add to compare
125

Expense Ratio

more-info-iconLast updated 03/31/2024

0.59%

Risk/granting time horizon

Risk level 4

Returns

more-info-iconLast updated 03/31/2024

Qtr

1.76%

1 Yr

6.14%

5 Yrs

10 Yrs

Benchmark

MSCI All Country World Index 

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

active

Goal

Seeks capital appreciation with an emphasis on investing in businesses that deliver positive change by contributing towards a more sustainable and inclusive world.

Add to compare
1691

Expense Ratio

more-info-iconLast updated 03/31/2024

0.12%

Risk/granting time horizon

Risk level 5

Returns

more-info-iconLast updated 03/31/2024

Qtr

4.60%

1 Yr

13.35%

5 Yrs

5.97%

10 Yrs

Benchmark

FTSE Global All Cap ex U.S. Choice Index

Management

more-info-iconActive funds focus on outperforming the market compared to a specific benchmark through a portfolio manager’s selections. Passive funds seek to mimic benchmarks by tracking an index

passive

Goal

Seeks to track the performance of a benchmark index that measures the investment return of large-, mid-, and small-capitalization companies located in developed and emerging markets outside of the United States, while adhering to certain environmental, social, and corporate governance criteria.

Add to compare
127
 

Session timed out

For security reasons, you have been automatically logged out. To login, please click close and sign into your account.
 

Log out successful

 
This account is frozen. Contact us at donorservice@vanguardcharitable.org.
 
Request for user ID submitted

Your request was successfully submitted.Your user ID will be sent to the email address we have on file for you. Please contact us if you do not receive your user ID.
 
There are no open accounts associated with this User ID. Please contact us at donorservice@vanguardcharitable.org.
 
Online access to your account is currently disabled. Please contact us at donorservice@vanguardcharitable.org to resolve this matter.
 

Log out successful

Login with your new User ID.
 

Log out successful

Login to access your account.
 
You do not currently have valid roles for any accounts. Please contact us at donorservice@vanguardcharitable.org.
 

A technical error has occurred

In order to maintain information security, your log-in request was canceled or your previous session ended.
Don't worry. You can log back in at any time.
 

Alert

Technical error. Please try again.
 

Log out successful

Login to update your phone number.
 

Technical error

You have reached a technical error and this session is not currently available.
 
Your email address was successfully verified.
 
Your account has been unblocked. Click login to access your account.
 

It’s not you. It’s us!

We are experiencing a technical error and we’re working on it. Please try again later.
 

You are unauthorized to access this page.

cancel

Maintenance fee may be applied

Accounts having a balance below $25,000 may be subject to an annual maintenance fee of $250.

cancel

You are eligible for special rates

Our premier clients enjoy reduced pricing to further maximize their impact.

Our representatives are happy to guide you through.

No, take me back

×
Exit

Click OK to cancel your enrollment.

Click Cancel to continue opening your account.

Cancel