Vanguard® Variable Annuity Portfolios by Number Prices and performance

The performance data shown represent past performance, which is not a guarantee of future results. Investment returns and principal value will fluctuate, so that investors' shares, when sold, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data cited. Expense ratio information can be found on the Overview page.

Click a portfolio name to view standardized returns, after-tax returns, and expense ratio information.

Important annuity performance information

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Name   Fund
AUV as of 07/26/2017YTD Returns
as of
Average Annual Total
Returns as of 06/30/2017*
AUV ChangeYield 1 Year5 Year10 YearSince Inception
VVA-Equity Income 0008$87.337092–$0.078500 –0.09%2.33% B,N 7.56%13.16%13.18%7.01% 9.35%06/07/1993
VVA-Growth 0010$50.345316$0.228135 0.46%0.11%B,N 20.02%17.31%14.75%7.70%6.75%06/07/1993
VVA-Money Market 0064$1.906821$0.000042 0.00%0.79%C,N 0.34%0.42%–0.03%0.48%2.48%05/02/1991
VVA-Total Bond Market Idx 0067$38.598437$0.065338 0.17%1.97%A,N 2.53%–0.82%1.76%4.07%5.27%04/29/1991
VVA-Equity Index 0068$100.046582$0.025646 0.03%1.56%B,N 11.63%17.39%14.13%6.76%9.09%04/29/1991
VVA-Balanced 0069$97.675953–$0.042896 –0.04%1.99%B,N 7.09%11.93%10.10%6.62%9.07%05/23/1991
VVA-International 0086$48.644062$0.465858 0.97%  30.46%28.12%10.39%3.37%6.85%06/03/1994
VVA-Mid-Cap Index 0143$57.011896–$0.103178 –0.18%1.08%B,N 11.27%16.74%14.29%7.04%9.79%02/09/1999
VVA-Short-Term Invest-Gr 0144$19.284684$0.018040 0.09%1.66%A 1.73%0.84%1.79%3.02%3.61%02/08/1999
VVA-Diversified Value 0145$33.657799–$0.104991 –0.31%2.01%B,N 6.54%15.15%11.72%5.06%6.82%02/08/1999
VVA-High Yield Bond 0146$33.984467$0.041843 0.12%4.34%A,N 6.04%10.11%5.76%6.10%5.91%06/03/1996
VVA-REIT Index 0147$61.065185$0.421307 0.69%note  3.73%–2.32%8.81%5.65% 10.26%02/09/1999
VVA-Small Company Growth 0160$82.210449–$0.217761 –0.26%0.26%B,N 13.75%25.96%14.73%8.42%10.38%06/03/1996
VVA-Capital Growth 0603$51.319586$0.128498 0.25%0.91%B,N 16.64%27.86%17.89%9.96%12.05%05/01/2003
VVA-Ttl Stock Market Idx 0604$36.434700–$0.010631 –0.03%1.52%B,N 11.20%18.06%14.06%6.81%9.38%05/01/2003
VVA-Conserv Allocation 0801$29.037301$0.046454 0.16%1.78%B,N 6.59%6.67%6.11%6.53%10/19/2011
VVA-Moderate Allocation 0803$32.442904$0.046290 0.14%1.81%B,N 8.87%10.55%8.14%8.53%10/19/2011

*Returns are adjusted for fees where applicable. Click a fund name to view the fund profile for additional detail.

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A money market portfolio investment is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. It is possible to lose money by investing in the portfolio.