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TN 7-8 Age Band

Overview

Unit Price as of 05/01/2025 $14.65
Change $0.01 0.07%
Expense Ratio as of 05/01/2025 0.237%
Inception Date 08/16/2019

Investment Objective

The 7 - 8 Age Band seeks to provide growth of capital, current income, and principal preservation through a mix of U.S. and international stocks and bonds.

Underlying Fund Information

This Age Band invests in five (5) Underlying Investments: Vanguard Total Stock Market Index Fund (VSMPX), with a target allocation of 40%, Vanguard Total International Stock Index Fund (VTSNX), with a target allocation of; 30%, Vanguard Total Bond Market Index Fund (VBTIX), with a target allocation of 15%, Vanguard Total International Bond Index Fund (VTIFX), with a target allocation of 7.5% and Short-Term Corporate Bond Index Fund (VSTBX), with a target allocation of 7.5%. This results in an asset allocation of 70% to Mutual Funds invested in stocks and 30% to Mutual Funds invested in bonds. Prospectus Information is available at: vanguard.com/prospectus

Investment Risk

The principal risks associated with this Age Band are as follows: stock market risk, investment style risk, country/regional risk, currency risk, emerging markets risk, special risks of investing in China, index-related risks, index sampling risk, index replicating risk, nondiversification risk (stock funds), sector risk, interest rate risk, income risk, nondiversification risk (bond funds), prepayment risk, extension risk, call risk, credit risk, currency risk and currency hedging risk, derivatives risk, and liquidity risk.

Average Annual Returns - Updated Monthly as of 04/30/2025

Name 1 year 3 year 5 year Since Inception 08/16/2019
Name TN 7-8 Age Band 1 year 10.16% 3 year 7.06% 5 year 7.96% Since Inception 08/16/2019 6.91%

Annual Investment Returns

Year Ended TN 7-8 Age Band
Year Ended 2024 TN 7-8 Age Band 10.69%
Year Ended 2023 TN 7-8 Age Band 15.83%
Year Ended 2022 TN 7-8 Age Band -16.16%
Year Ended 2021 TN 7-8 Age Band 10.57%
Year Ended 2020 TN 7-8 Age Band 13.28%

Historical Prices

05/01/2025 $14.65
04/30/2025 $14.64
04/29/2025 $14.62
04/28/2025 $14.57
04/25/2025 $14.53

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