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Smart Investors Daily
VB

NASDAQ · VBIL

Vanguard 0-3 Month Treasury Bill ETF

Financial Services · Asset Management

$75.54

Up+$0.02 (+0.03%)

Updated Sep 5, 2026, 10:15 PM

SID Score

5.4/10

Composite research score

Smart Money

Institutional and insider signal

Market cap
2.28B
P/E ratio
Dividend yield
2.81%
52-week range
$75.45 – $75.73
Volume
2.98M
Avg. volume
1.53M

Price performance

VBIL price history

1M range · 21 trading sessions · Daily adjusted prices

VBIL closed at $75.54 after 21 trading sessions, up 0.00% for the selected period.

Last close
$75.54
Period change
+0.00%
Period low
$75.50
Period high
$75.71
Daily close
View OHLC price history
VBIL OHLC price history, latest 40 sessions
DateOpenHighLowCloseVolume
Sep 4, 2026$75.54$75.55$75.54$75.542.98M
Sep 3, 2026$75.51$75.52$75.50$75.522.95M
Sep 2, 2026$75.51$75.51$75.50$75.503.47M
Sep 1, 2026$75.50$75.50$75.49$75.504.38M
Aug 31, 2026$75.70$75.71$75.70$75.713.07M
Aug 28, 2026$75.705$75.71$75.70$75.703.03M
Aug 27, 2026$75.68$75.69$75.68$75.682.32M
Aug 26, 2026$75.67$75.68$75.67$75.682.12M
Aug 25, 2026$75.67$75.67$75.66$75.672.13M
Aug 24, 2026$75.66$75.67$75.65$75.672.42M
Aug 21, 2026$75.66$75.66$75.65$75.662.59M
Aug 20, 2026$75.63$75.64$75.63$75.632.12M
Aug 19, 2026$75.62$75.63$75.62$75.632.77M
Aug 18, 2026$75.62$75.62$75.61$75.622.55M
Aug 17, 2026$75.61$75.62$75.61$75.622.44M
Aug 14, 2026$75.61$75.61$75.60$75.611.59M
Aug 13, 2026$75.57$75.59$75.57$75.593.13M
Aug 12, 2026$75.57$75.58$75.57$75.585.31M
Aug 11, 2026$75.56$75.57$75.56$75.571.9M
Aug 10, 2026$75.555$75.56$75.55$75.552.42M
Aug 7, 2026$75.55$75.55$75.54$75.541.78M

Latest VBIL news

The latest Smart Investors Daily articles mentioning VBIL.

VBIL research

Overview

Company profile and research snapshot.

Company profile

VBIL seeks to track an index of investment grade US Treasury bills that have maturities of three months or less. Securities are selected and weighted based on their market value. This fund seeks to maintain a dollar-weighted average maturity consistent with that of the index which is expected to be under three months. The fund employs a sampling strategy, aiming to have a similar exposure to its index by holding a range of securities similar to the full index in terms or key risks factors and other characteristics. The fund may also invest in debt securities that are not included in the Index, cash and cash equivalents, or money market instruments, such as repurchase agreements and money market funds.

Analyst outlook

Consensus and target data currently published for this company.

Consensus
Average target
Implied upside
Analysts
Open full forecast

News briefing

No generated briefing is available yet.

AI research layers

Interpretive context generated from the platform’s current data sources.

No results

AI research layers have not been published yet.