Total Return Chart MonthlyReturns - The Vanguard Group

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Total Returns May 31, 2022 Vanguard Total Return ChartAverage Annual Total Returns*for Periods Ended May 31, 2022Vanguard Fund ioMonthQuarterYearto Date1 Year3 YearsStock Funds5 YearsSince10 Years Inception**All values displayed as %500 Index Fund Investor Shares 813.2314.24500 Index Fund Admiral Shares 013.3514.367.36500 Index Fund Institutional Select Shares 313.38—14.75-1.5511.22Advice Select Dividend Growth ——Advice Select Global Value ——-6.20Advice Select International Growth FundAlternative Strategies .342.26-4.14-1.05—0.04Capital Opportunity Fund Investor Shares 812.3316.3212.40Capital Opportunity Fund Admiral Shares 612.4016.4011.24Commodity Strategy Fund Admiral 0———24.95Communication Services Index Fund Admiral 4.738.273.607.616.70Communication Services ETF0959VOX09/23/2004—0.10Return based on Net Asset Value1.15-13.75-23.65-24.738.273.597.606.92Return based on Market 3.34-24.61-15.0616.9613.9015.6710.98Return based on Net Asset turn based on Market .25-0.73-3.746.0113.138.3911.249.96Consumer Discretionary Index Fund Admiral Shares5483VCDAX07/14/2005—0.10Consumer Discretionary ETF0954VCR01/26/2004—0.10Consumer Staples Index Fund Admiral Shares5484VCSAX01/30/2004—0.10The performance data shown represent past performance. Past performance and especially short-term past performance is not a guarantee of future results. Investment returns and principal value will fluctuate, so 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. For performance data current to the most recent month-end, visit our website at vanguard.com/performance. Some funds assess purchase, redemption, and/or account maintenance fees. The performance data shown do not reflect deduction of these fees. If they did, performance would be lower. Adjusted performance figures can be found in the Standardized Returns section beginning on page .Standardized Returns. In accordance with SEC regulations, the returns presented on pages through are as of the most recent calendar quarter and take into account fees that may apply to certain Vanguard funds. These fees are detailed in the table below. For some funds, fees are levied on purchases or redemptions to offset the costs of buying and selling portfolio securities. For others, fees are assessed on redemptions made within certain time periods after a purchase to discourage short-term trading. All purchase or redemption fees are paid directly to the fund to compensate long-term shareholders for the costs of trading activity. Note that one-year performance figures are not fee-adjusted for fees incurred on shares held less than one year. In addition, Vanguard funds apply a 20 annual account service fee, which is not reflected in the figures, to all funds with balances below 10,000 in many types of accounts. If these fees were included, performance would be lower.Fee CodesR1—0.25% purchase fee and 0.25% redemption fee.R2—0.75% purchase fee.R3—0.50% purchase fee.R4—0.25% purchase fee.R5—1.00% purchase fee.Vanguard Total Returns May 31, 20221

Average Annual Total Returns*for Periods Ended May 31, 2022Vanguard Fund NameFundNo.TickerSymbolInceptionDateFeesConsumer Staples rto Date1 Year3 Years5 YearsSince10 Years Inception**0.10Return based on Net Asset Value-4.25-0.73-3.746.0013.118.3811.239.93Return based on Market d Markets Index Fund Admiral .457.644.897.664.28Developed Markets Index Fund Institutional .427.664.917.684.49Developed Markets Index Fund Institutional Plus SharesDiversified Equity .75-8.88-16.93-9.4115.4012.7213.759.31Dividend Appreciation Index Fund Admiral 5314.3512.67—11.22Dividend Appreciation ETF0920VIG04/21/2006—0.06Return based on Net Asset y Fund Investor 865.523.022.479.49Energy Fund Admiral 965.603.102.557.66Energy Index Fund Admiral 5120.4910.295.937.31Energy ETF0951VDE09/23/2004—0.107.63Return based on Market PriceDividend Growth Fund0057VDIGX05/15/1992—Emerging Markets Stock Index Fund Admiral Shares5533VEMAX06/23/2006Emerging Markets Stock Index Fund Institutional Shares0239VEMIXEmerging Markets Index Fund Institutional Plus SharesEmerging Markets Select Stock Fund1865Return based on Net Asset ValueReturn based on Market PriceEquity Income Fund Investor Shares0065VEIPXEquity Income Fund Admiral Shares0565VEIRX08/13/2001ESG International Stock urn based on Net Asset Value0.84-6.50-13.09-14.726.61——4.06Return based on Market Price0.83-6.62-13.15-14.876.47——4.05ESG U.S. Stock ETF§4393ESGV09/18/2018—0.09Return based on Net Asset er Fund Admiral SharesExplorer Value 55-4.71-7.68-5.1212.448.5611.5410.89Extended Market Index Fund Investor Shares 0.348.8711.5910.48Extended Market Index Fund Admiral 20.1210.499.0111.738.08Extended Market Index Fund Institutional 20.1210.509.0211.758.64Extended Market Index Fund Institutional Plus 20.1110.519.0411.7710.14Extended Market Index Fund Institutional Select 20.0910.539.06—11.83Return based on Market PriceEuropean Stock Index Fund Investor Shares 0079VEURX06/18/1990—European Stock Index Fund Admiral Shares 0579VEUSX08/13/2001European Stock Index Fund Institutional Shares 0235VESIXEuropean Stock Index Fund Institutional Plus Shares Explorer Fund Investor Shares1863Vanguard Total Returns May 31, 20222

Average Annual Total Returns*for Periods Ended May 31, 2022Vanguard Fund NameFundNo.TickerSymbolInceptionDateFeesExtended Market rto Date1 Year3 Years5 YearsSince10 Years Inception**0.06Return based on Net Asset rn based on Market -7.86-9.59-5.1812.6010.3713.665.30Financials Index Fund Admiral Shares5486VFAIX02/04/2004—0.10Financials ETF0957VFH01/26/2004—0.10Return based on Net Asset Value3.44-7.88-9.61-5.2112.5810.3513.655.20Return based on Market Price3.50-7.82-9.58-5.1812.5910.3613.655.20FTSE All-World ex-US Index Fund Admiral .056.944.666.696.17FTSE All-World ex-US Index Fund Institutional .016.984.696.722.80FTSE All-World ex-US Index Fund Institutional Plus .007.004.716.744.42FTSE All-World ex-US ETF0991VEU03/02/2007—0.07Return based on Net Asset Value1.52-5.20-10.48-12.016.994.696.713.35Return based on Market Price1.65-5.32-10.47-12.106.944.666.703.33FTSE All-World ex-US Small-Cap Index Fund Admiral .147.48——6.61FTSE All-World ex-US Small-Cap Index Fund Institutional .087.544.266.969.13FTSE All-World ex-US Small-Cap ETF3184VSS04/02/2009—0.07Return based on Net Asset Value0.44-6.60-13.59-13.047.564.286.969.13Return based on Market Price0.74-6.48-13.68-13.287.434.226.929.11FTSE Developed Markets ETF0936VEA07/20/2007—0.05Return based on Net Asset Value1.74-4.62-10.68-10.437.674.917.672.38Return based on Market Price1.70-4.56-10.71-10.607.584.867.622.36FTSE Emerging Markets ETF0964VWO03/04/2005—0.08Return based on Net Asset Value0.60-7.30-10.90-16.415.494.254.225.83Return based on Market Price0.43-8.40-11.46-16.665.304.164.165.81FTSE Europe ETF0963VGK03/04/2005—0.08Return based on Net Asset Value2.03-4.39-12.29-10.587.554.417.714.63Return based on Market Price2.33-3.89-12.15-10.667.524.387.704.624.59FTSE Pacific ETF0962VPL03/04/2005—0.08Return based on Net Asset Value1.44-5.80-10.66-13.665.994.196.91Return based on Market 8-7.90-17.53-4.9215.91——15.19FTSE Social Index Fund Admiral Shares §0513VFTAX02/07/2019—FTSE Social Index Fund Institutional Shares §Global ESG Select Stock Fund Investor 92-2.57-9.23-2.47———14.70Global ESG Select Stock Fund Admiral SharesGlobal Equity 6.58-14.9910.318.7211.038.79Global ex-U.S. Real Estate Index Fund Admiral .20-1.051.445.404.02Global ex-U.S. Real Estate Index Fund Institutional .21-1.061.445.413.88Global ex-U.S. Real Estate ETF3358VNQI11/01/2010—0.12Return based on Net Asset ValueReturn based on Market PriceGlobal Minimum Volatility Fund Investor Shares 1194VMVFX12/12/2013—Global Minimum Volatility Fund Admiral Shares ‡‡0594VMNVX12/12/2013—Vanguard Total Returns May 31, 8.133

Average Annual Total Returns*for Periods Ended May 31, 2022Vanguard Fund NameGrowth and Income Fund Investor rterYearto Date1 Year3 Years5 Years0093VQNPX12/10/1986—Growth and Income Fund Admiral 3.5114.54Growth Index Fund Admiral .95-9.5217.5414.8115.22Growth Index Fund Institutional .95-9.5117.5614.8215.24Growth ETF0967VUG7.9801/26/2004—0.04ExpenseRatioReturn based on Net Asset ValueSince10 Years 10Return based on Market PriceHealth Care Fund Investor Shares0052VGHCX05/23/1984—Health Care Fund Admiral Shares0552VGHAX11/12/2001Health Care Index Fund Admiral Shares5485VHCIXHealth Care ETF0956VHTReturn based on Net Asset Value0.88-0.34-9.011.9815.5613.0415.6510.41Return based on Market 9-0.137.3014.02——12.72High Dividend Yield Index Fund Admiral Shares5023VHYAX02/07/2019—0.08High Dividend Yield ETF0923VYM11/10/2006—0.06Return based on Net Asset Value3.511.90-0.107.3314.0510.8412.668.55Return based on Market 8-12.14-10.4211.178.6712.558.109.31Industrials Index Fund Admiral Shares5482VINAX05/08/2006—0.10Industrials ETF0953VIS09/23/2004—0.10Return based on Net Asset Value-0.81-5.87-12.14-10.4211.168.6612.54Return based on Market -10.47-21.04-2.2924.0821.2919.7613.05Information Technology Index Fund Admiral Shares5487VITAX03/25/2004—0.10Information Technology ETF0958VGT01/26/2004—0.10Return based on Net Asset urn based on Market titutional Index Fund Institutional .3416.4113.3614.3710.26Institutional Index Fund Institutional Plus 3216.4313.3714.398.29Institutional Total Stock Market Index Fund Institutional .0015.4812.7113.988.90Institutional Total Stock Market Index Fund Institutional Plus SharesInternational Core Stock Fund Investor 03-4.15-6.09-6.32———8.22International Core Stock Fund Admiral 6———8.30International Dividend Appreciation Index Fund Admiral 588.426.50—8.58International Dividend Appreciation ETF4415VIGI02/25/2016—0.15Return based on Net Asset 11.889.1910.4210.37Return based on Market PriceInternational Explorer Fund0126VINEX11/04/1996—International Growth Fund Investor Shares0081VWIGX09/30/1981International Growth Fund Admiral 28.6812.009.3110.557.67International High Dividend Yield Index Fund Admiral 7.884.90—7.74International High Dividend Yield ETF4430VYMI02/25/2016—0.22Return based on Net Asset Value3.17-1.46-1.45-1.558.054.99—8.36Return based on Market Price3.09-1.79-1.48-1.767.914.92—8.35Vanguard Total Returns May 31, 20224

Average Annual Total Returns*for Periods Ended May 31, io1 00046VTRIX05/16/1983—0.362.87Large-Cap Index Fund Admiral Shares5307VLCAX02/02/2004—0.05-0.29Large-Cap Index Fund Institutional p ETF0961VV01/27/2004—0.04Return based on Net Asset ValueMonthYearto DateVanguard Fund NameInternational Value FundQuarter3 Years5 YearsSince10 Years 0019.9711.5211.849.4101/26/2004—0.109.61Return based on Market PriceMarket Neutral Fund Investor Shares ‡0634VMNFX11/11/1998—Market Neutral Fund Institutional Shares ‡0734VMNIX10/19/1998Materials Index Fund Admiral Shares5481VMIAXMaterials ETF0952VAWReturn based on Net Asset Value1.092.60-4.07-0.0219.9511.5111.83Return based on Market 2-14.21-1.9316.5813.6814.5010.459.80Mega Cap Index Fund Institutional Shares0828VMCTX02/22/2008—0.06Mega Cap ETF3137MGC12/17/2007—0.07Return based on Net Asset Value-0.28-6.22-14.22-1.9416.5513.6614.47Return based on Market -11.72-23.55-8.5018.7415.5715.7912.18Mega Cap Growth Index Fund Institutional Shares0838VMGAX04/03/2008—0.06Mega Cap Growth ETF3138MGK12/17/2007—0.07Return based on Net Asset urn based on Market 60.36-1.765.7314.2211.6713.238.92Mega Cap Value Index Fund Institutional Shares0839VMVLX03/05/2008—0.06Mega Cap Value ETF3139MGV12/17/2007—0.07Return based on Net Asset 111.4310.9812.4812.61—0.07Return based on Market PriceMid-Cap Growth Fund0301VMGRX12/31/1997—Mid-Cap Growth Index Fund Admiral Shares5832VMGMX09/27/2011Mid-Cap Growth ETF0932VOT08/17/2006Return based on Net Asset .3510.6112.8911.629.85Return based on Market PriceMid-Cap Index Fund Investor Shares 0859VIMSX05/21/1998—Mid-Cap Index Fund Admiral Shares5859VIMAX11/12/2001—Mid-Cap Index Fund Institutional Shares0864VMCIX05/21/1998—Mid-Cap Index Fund Institutional Plus Shares1859VMCPX12/15/2010—Mid-Cap ETF0939VO01/26/2004—0.04Return based on Net Asset Value-0.32-5.87-14.13-5.6013.3210.5912.87Return based on Market .47-2.822.9414.439.7012.9213.30Mid-Cap Value Index Fund Admiral Shares5835VMVAX09/27/2011—0.07Mid-Cap Value ETF0935VOE08/17/2006—0.07Return based on Net Asset Value2.160.48-2.812.9314.409.6912.919.08Return based on Market PricePacific Stock Index Fund Investor Shares cific Stock Index Fund Admiral Shares 74.176.915.17Vanguard Total Returns May 31, 20225

Average Annual Total Returns*for Periods Ended May 31, 2022Vanguard Fund ioMonthQuarterYearto Date1 Year3 Years5 YearsSince10 Years Inception**Pacific Stock Index Fund Institutional Shares Global Capital Cycles 411.0720.965.54-0.943.224.57PRIMECAP Core Fund 11.9615.1410.96PRIMECAP Fund Investor Shares 13.0216.0413.57PRIMECAP Fund Admiral Shares 13.1016.1210.89Real Estate Index Fund Admiral 008.137.828.9210.09Real Estate Index Fund Institutional 028.157.848.949.03Real Estate ETF0986VNQ09/23/2004—0.128.62Return based on Net Asset Value-4.61-2.83-14.062.008.107.808.91Return based on Market 77-21.90-6.3118.2316.0615.9814.89Russell 1000 Growth Index Fund Institutional Shares1850VRGWX12/06/2010—0.07Russell 1000 Growth ETF3350VONG09/20/2010—0.08Return based on Net Asset urn based on Market 16-6.00-13.74-2.7715.9713.0514.1513.42Russell 1000 Index Fund Institutional Shares1848VRNIX10/15/2010—0.07Russell 1000 ETF3348VONE09/20/2010—0.08Return based on Net Asset rn based on Market -1.11-4.560.8512.699.4411.9710.92Russell 1000 Value Index Fund Institutional Shares1849VRVIX12/10/2010—0.07Russell 1000 Value ETF3349VONV09/20/2010—0.08Return based on Net Asset Value1.94-1.13-4.580.8312.659.4111.9311.34Return based on Market .53-24.79-25.716.276.9710.688.99Russell 2000 Growth Index Fund Institutional Shares1853VRTGX05/25/2011—0.08Russell 2000 Growth ETF3353VTWG09/20/2010—0.15Return based on Net Asset rn based on Market -8.65-16.56-16.929.777.8010.929.31Russell 2000 Index Fund Institutional Shares1851VRTIX12/22/2010—0.08Russell 2000 ETF3351VTWO09/20/2010—0.10Return based on Net Asset Value0.15-8.65-16.58-16.939.757.7610.8610.62Return based on Market .16-8.28-7.7312.257.87—10.27Russell 2000 Value Index Fund Institutional Shares1852VRTVX07/13/2012—0.08Russell 2000 Value ETF3352VTWV09/20/2010—0.15Return based on Net Asset Value1.91-4.19-8.31-7.7912.187.7810.6010.13Return based on Market .16-13.93-3.7715.5212.6813.9113.18Russell 3000 Index Fund Institutional Shares1854VRTTX11/01/2010—0.08Russell 3000 ETF3354VTHR09/20/2010—0.10Return based on Net Asset rn based on Market Price-0.09-6.11-13.92-3.7615.4812.6413.8613.37S&P 500 ETF0968VOO09/07/2010—0.03Return based on Net Asset n based on Market -9.84-21.10-3.7617.13——15.05S&P 500 Growth Index Fund Institutional SharesVanguard Total Returns May 31, 20221841VSPGX04/05/2019—0.086

Average Annual Total Returns*for Periods Ended May 31, 2022Vanguard Fund NameFundNo.TickerSymbolInceptionDateFeesS&P 500 Growth arto Date1 Year3 Years5 YearsSince10 Years Inception**0.10Return based on Net Asset rn based on Market -0.46-3.512.3814.2210.40—9.27S&P 500 Value Index Fund Institutional Shares1840VSPVX03/03/2015—0.08S&P 500 Value ETF3340VOOV09/07/2010—0.10Return based on Net Asset Value1.63-0.47-3.522.3414.1810.3512.3011.99Return based on Market .85-16.64-10.8111.308.9411.6710.26S&P Mid-Cap 400 Growth Index Fund Institutional Shares1843VMFGX03/28/2011—0.08S&P Mid-Cap 400 Growth ETF3343IVOG09/07/2010—0.15Return based on Net Asset rn based on Market -5.14-11.01-6.5913.209.4912.1710.56S&P Mid-Cap 400 Index Fund Institutional Shares1842VSPMX03/28/2011—0.08S&P Mid-Cap 400 ETF3342IVOO09/07/2010—0.10Return based on Net Asset Value0.73-5.14-11.02-6.6313.179.4512.1112.37Return based on Market .53-5.23-2.1714.449.6212.3411.52S&P Mid-Cap 400 Value Index Fund Institutional Shares1844VMFVX11/02/2010—0.08S&P Mid-Cap 400 Value ETF3344IVOV09/07/2010—0.15Return based on Net Asset Value2.13-2.54-5.26-2.2814.349.5212.2212.15Return based on Market ——————S&P Small-Cap 600 Growth Index Fund Institutional Shares1847VSGNX09/09/2010—0.08S&P Small-Cap 600 Growth ETF3347VIOG09/07/2010—0.15Return based on Net Asset n based on Market 5.77-11.42-8.8213.249.7812.7010.97S&P Small-Cap 600 Index Fund Institutional Shares1845VSMSX04/01/2011—0.08S&P Small-Cap 600 ETF3345VIOO09/07/2010—0.10Return based on Net Asset Value1.86-5.77-11.42-8.8713.209.7412.6513.13Return based on Market .68-5.71-6.1614.379.47—9.35S&P Small-Cap 600 Value Index Fund Institutional Shares1846VSMVX11/19/2014—0.08S&P Small-Cap 600 Value ETF3346VIOV09/07/2010—0.15Return based on Net Asset 59.0511.258.94—0.078.87Return based on Market PriceSelected Value Fund0934VASVX02/15/1996—Small-Cap Growth Index Fund Admiral Shares5861VSGAX09/27/2011—Small-Cap Growth Index Fund Institutional Shares0866VSGIX05/24/2000Small-Cap Growth ETF0938VBK01/26/2004Return based on Net Asset ValueReturn based on Market PriceSmall-Cap Index Fund Investor Shares ll-Cap Index Fund Admiral 1.2911.429.4912.03Small-Cap Index Fund Institutional 1.2811.439.5112.048.95Small-Cap Index Fund Institutional Plus 1.2711.449.5212.0610.69Vanguard Total Returns May 31, 20227

Average Annual Total Returns*for Periods Ended May 31, 2022Vanguard Fund NameFundNo.TickerSymbolInceptionDateFeesSmall-Cap to Date1 Year3 Years5 YearsSince10 Years Inception**0.05Return based on Net Asset Value-0.03-6.90-13.52-11.2811.419.4912.03Return based on Market mall-Cap Value Index Fund Admiral 913.149.0012.1712.79Small-Cap Value Index Fund Institutional 913.159.0112.1810.07Small-Cap Value ETF0937VBR01/26/2004—0.078.97Return based on Net Asset ValueReturn based on Market PriceStrategic Equity 0.92-4.38-9.23-2.6014.6010.1713.4310.62Strategic Small-Cap Equity 14.358.9812.347.73Tax-Managed Capital Appreciation Fund Admiral .5116.1313.2214.4010.28Tax-Managed Capital Appreciation Fund Institutional .4816.1613.2514.447.72Tax-Managed Small-Cap Fund Admiral 4913.359.8412.6810.58Tax-Managed Small-Cap Fund Institutional 4713.389.8712.7210.34Total International Stock Index Fund Admiral .977.014.636.714.79Total International Stock Index Fund Institutional .957.034.656.734.82Total International Stock Index Fund Institutional Plus .957.044.666.754.94Total International Stock Index Fund Institutional Select 1.937.074.69—7.73Total International Stock ETF3369VXUS01/26/2011—0.07Return based on Net Asset Value1.43-5.31-10.71-11.937.054.656.734.07Return based on Market l Stock Market Index Fund Admiral .0415.4412.6713.94Total Stock Market Index Fund Institutional .0215.4512.6813.958.44Total Stock Market Index Fund Institutional Plus .0115.4612.70—11.33Total Stock Market Index Fund Institutional Select .0015.4712.71—14.62Total Stock Market ETF0970VTI05/24/2001—0.038.06Return based on Net Asset Value-0.26-6.31-14.20-4.0215.4312.6813.94Return based on Market Price-0.27-6.24-14.17-4.0015.4512.6813.958.06Total World Stock Index Fund Admiral 2411.81——11.07Total World Stock Index Fund Institutional 2311.839.0910.5110.38Total World Stock ETF3141VT06/24/2008—0.076.88Return based on Net Asset 5.5212.3313.2314.627.19—0.13Return based on Market PriceU.S. Growth Fund Investor Shares0023VWUSX01/06/1959—U.S. Growth Fund Admiral Shares0523VWUAX08/13/2001U.S. Liquidity Factor ETF4420VFLQ02/13/2018 Return based on Net Asset Value0.53-7.67-16.26-12.378.96——7.47Return based on Market Price0.56-7.61-16.22-12.348.97——7.48U.S. Minimum Volatility ETF 4419VFMV02/13/2018—0.13Return based on Net Asset Value1.901.47-5.115.778.92——9.34Return based on Market Price1.931.50-5.125.758.91——9.33Vanguard Total Returns May 31, 20228

Average Annual Total Returns*for Periods Ended May 31, 2022Vanguard Fund NameU.S. Momentum Factor ETF 2018—ExpenseRatioMonthQuarterYearto Date1 Year3 Years5 YearsSince10 Years Inception**0.13Return based on Net Asset Value2.23-3.20-10.69-7.2716.01——12.18Return based on Market -4.851.1314.28——8.01U.S. Multifactor Fund Admiral Shares ‡‡0516VFMFX02/15/2018—0.18U.S. Multifactor ETF4421VFMF02/13/2018—0.18 Return based on Net Asset Value3.32-1.69-5.620.0814.20——8.78Return based on Market Price3.34-1.68-5.620.0814.20——8.78U.S. Quality Factor ETF 4417VFQY02/13/2018—0.13Return based on Net Asset Value0.37-6.43-14.42-7.2914.59——10.19Return based on Market Price0.42-6.40-14.37-7.2514.59——10.20U.S. Value Factor ETF 4416VFVA02/13/2018—0.13Return based on Net Asset Value3.94-0.28-0.054.4418.35——10.23Return based on Market 816.8910.999.8511.4410.34Utilities Index Fund Admiral Shares5489VUIAX04/28/2004—0.10Utilities ETF0960VPU01/26/2004—0.10Return based on Net Asset Value4.499.714.0716.8410.969.8311.4210.21Return based on Market Price4.559.804.1016.8910.989.8411.4310.22Value Index Fund Admiral Shares0506VVIAX11/13

Fee Codes R1—0.25% purchase fee and 0.25% redemption fee. R2—0.75% purchase fee. R3—0.50% purchase fee. R4—0.25% purchase fee. R5—1.00% purchase fee. Total Returns May 31, 2022 Vanguard Total Returns May 31, 2022 Vanguard Total Return Chart Average Annual Total Returns* for Periods Ended May 31, 2022 Vanguard Fund Name Fund No .