All charts and data below are with dividends reinvested. (Inflation adjustment is OFF !)

Total Real Returns

VFISX,VFITX: Total Return Chart (with Dividends Reinvested)

Thu 1991-12-05? to Thu 2025-04-17 YTD
Return
TR
Price
VFISX
×
+1.94%
2025-04-17
2.739 TR
2025-04-17
Vanguard Short-Term Treasury Fund Investor Shares Mutual Fund
VFITX
×
+2.97%
2025-04-17
4.453 TR
2025-04-17
Vanguard Intermediate-Term Treasury Fund Investor Shares Mutual Fund

Returns

Thu 1991-12-05? to Thu 2025-04-17 Overall
Return
Exponential
Trendline
VFISX
×
+173.87%
+3.07%/yr
+2.86%/yr
(R2=0.865)
Vanguard Short-Term Treasury Fund Investor Shares Mutual Fund
VFITX
×
+345.30%
+4.58%/yr
+4.72%/yr
(R2=0.933)
Vanguard Intermediate-Term Treasury Fund Investor Shares Mutual Fund

Growth of $10,000

Thu 1991-12-05? to Thu 2025-04-17 Start
Value
End
Value
VFISX
×
$10,000.00
1991-12-05
$27,386.65
2025-04-17
Vanguard Short-Term Treasury Fund Investor Shares Mutual Fund
VFITX
×
$10,000.00
1991-12-05
$44,530.23
2025-04-17
Vanguard Intermediate-Term Treasury Fund Investor Shares Mutual Fund

Annual Returns

Year VFISX VFITX
2025 (YTD) +1.94% +2.97%
2024 +3.75% +1.39%
2023 +3.54% +4.09%
2022 −4.71% −10.43%
2021 −1.06% −2.29%
2020 +2.47% +8.21%
2019 +3.59% +6.29%
2018 +1.36% +1.01%
2017 +0.32% +1.57%
2016 +0.81% +1.19%
2015 +0.31% +1.38%
2014 +0.59% +4.19%
2013 −0.20% −3.20%
2012 −0.03% +2.58%
2011 +1.73% +9.80%
2010 +0.65% +7.38%
2009 −0.18% −1.66%
2008 +5.69% +13.32%
2007 +7.90% +10.01%
2006 +3.78% +3.15%
2005 +1.79% +1.93%
2004 +1.03% +3.03%
2003 +0.82% +1.68%
2002 +7.00% +13.74%
2001 +7.80% +7.61%
2000 +8.86% +14.08%
1999 +1.88% −3.46%
1998 +7.16% +10.65%
1997 +6.45% +8.99%
1996 +4.42% +1.96%
1995 +12.15% +20.51%
1994 −0.64% −1.04%
1993 +5.50% +7.31%
1992 +6.34% +7.66%
1991 +1.37% +2.83%

Drawdowns

Thu 1991-12-05? to Thu 2025-04-17 Current
Drawdown
Worst
Drawdown
VFISX
×
−0.40% −8.22%
2022-10-20
Vanguard Short-Term Treasury Fund Investor Shares Mutual Fund
VFITX
×
−5.32% −15.49%
2022-10-20
Vanguard Intermediate-Term Treasury Fund Investor Shares Mutual Fund