ETF:BLV | ETF Holdings Page 13 | VANGUARD LONG-TERM BOND INDEX FUND

BLV ETF holdings Page 13

Weights reproduce the dated portfolio and may not sum to exactly 100% because of cash, derivatives, rounding, liabilities, or other positions. Provenance stays internal.

Snapshot fieldReported value
FundVANGUARD LONG-TERM BOND INDEX FUND
Report date2026-03-31
Reported holdings3,014
SEC series IDS000002562

Positions 1,201–1,300 of 3,014

TickerIssuerWeightValue (USD)Balance
Prudential Financial IncPrudential Financial Inc0.01401%1,212,308.891,606,000 PA
DTE Electric CoDTE Electric Co0.014005%1,211,813.651,568,000 PA
DISWalt Disney Co/The0.014004%1,211,759.271,136,000 PA
WLKWestlake Corp0.013996%1,211,049.141,780,000 PA
NNNNNN REIT Inc0.013981%1,209,765.941,747,000 PA
Johns Hopkins Health System Corp/TheJohns Hopkins Health System Corp/The0.013981%1,209,750.291,533,000 PA
LLYEli Lilly & Co0.013972%1,208,961.661,320,000 PA
WMWaste Management Inc0.013969%1,208,698.281,485,000 PA
W R Berkley CorpW R Berkley Corp0.013963%1,208,212.691,375,000 PA
SYYSysco Corp0.013962%1,208,138.961,530,000 PA
COPConocoPhillips Co0.013928%1,205,142.821,252,000 PA
Linde Inc/CTLinde Inc/CT0.013927%1,205,065.591,533,000 PA
Southern California Edison CoSouthern California Edison Co0.013926%1,204,994.031,439,000 PA
State of CaliforniaState of California0.013918%1,204,300.681,200,000 PA
WMWaste Management Inc0.013913%1,203,884.671,265,000 PA
Iberdrola International BVIberdrola International BV0.013908%1,203,460.661,071,000 PA
LLYEli Lilly & Co0.013903%1,203,060.551,221,000 PA
Aetna IncAetna Inc0.013902%1,202,940.811,114,000 PA
CCICrown Castle Inc0.013901%1,202,870.281,884,000 PA
HDHome Depot Inc/The0.013898%1,202,606.021,282,000 PA
UPSUnited Parcel Service Inc0.013869%1,200,060.621,497,000 PA
Oglethorpe Power CorpOglethorpe Power Corp0.013862%1,199,507.511,232,000 PA
Massachusetts Institute of TechnologyMassachusetts Institute of Technology0.01386%1,199,332.591,225,000 PA
CATCaterpillar Inc0.013841%1,197,630.21,200,000 PA
Duke Energy Progress LLCDuke Energy Progress LLC0.013833%1,196,959.831,282,000 PA
United Airlines 2024-1 Class AA Pass Through TrustUnited Airlines 2024-1 Class AA Pass Through Trust0.013833%1,196,940.611,174,681.8 PA
ELVElevance Health Inc0.01383%1,196,689.311,270,000 PA
Anheuser-Busch InBev Worldwide IncAnheuser-Busch InBev Worldwide Inc0.013827%1,196,458.62957,000 PA
DHRDanaher Corp0.01382%1,195,858.122,005,000 PA
METAMeta Platforms Inc0.013817%1,195,620.671,545,000 PA
Baltimore Gas and Electric CoBaltimore Gas and Electric Co0.013799%1,194,060.631,230,000 PA
Trane Technologies Holdco IncTrane Technologies Holdco Inc0.013799%1,194,006.861,176,000 PA
CPBCampbell's Company/The0.013796%1,193,766.661,517,000 PA
TXNTexas Instruments Inc0.013783%1,192,600.021,358,000 PA
Oracle CorpOracle Corp0.013765%1,191,121.141,563,000 PA
Williams Cos Inc/TheWilliams Cos Inc/The0.013765%1,191,110.531,750,000 PA
LYB International Finance III LLCLYB International Finance III LLC0.013756%1,190,325.741,643,000 PA
ELCEntergy Louisiana LLC0.013741%1,189,037.91,321,000 PA
Florida Power & Light CoFlorida Power & Light Co0.013719%1,187,062.821,192,000 PA
CRMSalesforce Inc0.01371%1,186,331.371,740,000 PA
ETNEaton Corp0.01371%1,186,313.81,388,000 PA
Chubb INA Holdings LLCChubb INA Holdings LLC0.013694%1,184,966.351,982,000 PA
SHWSherwin-Williams Co/The0.013688%1,184,434.811,621,000 PA
KDPKeurig Dr Pepper Inc0.013682%1,183,881.651,465,000 PA
Arizona Public Service CoArizona Public Service Co0.013671%1,182,965.971,590,000 PA
ELVElevance Health Inc0.013646%1,180,815.551,364,000 PA
Consolidated Edison Co of New York IncConsolidated Edison Co of New York Inc0.013645%1,180,720.721,205,000 PA
INTCIntel Corp0.01364%1,180,226.021,464,000 PA
RJFRaymond James Financial Inc0.013637%1,179,969.31,652,000 PA
Haleon US Capital LLCHaleon US Capital LLC0.01363%1,179,383.741,536,000 PA
MetLife IncMetLife Inc0.013629%1,179,283.41,355,000 PA
DTE Electric CoDTE Electric Co0.013605%1,177,191.361,170,000 PA
ArcelorMittal SAArcelorMittal SA0.013601%1,176,891.31,081,000 PA
INTCIntel Corp0.013595%1,176,404.541,580,000 PA
INTCIntel Corp0.013595%1,176,386.621,715,000 PA
AAPLApple Inc0.013591%1,176,011.351,791,000 PA
NYU Langone HospitalsNYU Langone Hospitals0.013587%1,175,716.871,385,000 PA
AJGArthur J Gallagher & Co0.013579%1,175,009.571,260,000 PA
University of CaliforniaUniversity of California0.013575%1,174,606.271,440,000 PA
Athene Holding LtdAthene Holding Ltd0.01356%1,173,313.11,219,000 PA
Boeing Co/TheBoeing Co/The0.013559%1,173,295.451,067,000 PA
Duke Energy Progress LLCDuke Energy Progress LLC0.013559%1,173,254.291,439,000 PA
CenterPoint Energy Houston Electric LLCCenterPoint Energy Houston Electric LLC0.013551%1,172,560.731,337,000 PA
Goldman Sachs Group Inc/TheGoldman Sachs Group Inc/The0.013549%1,172,418.541,309,000 PA
Pacific Gas and Electric CoPacific Gas and Electric Co0.013538%1,171,400.391,210,000 PA
WCNWaste Connections Inc0.013536%1,171,255.591,841,000 PA
KellanovaKellanova0.013517%1,169,627.31,379,000 PA
CICigna Group/The0.01351%1,169,015.951,166,000 PA
Citigroup IncCitigroup Inc0.013499%1,168,060.851,126,000 PA
KOCoca-Cola Co/The0.013493%1,167,548.511,595,000 PA
ADIAnalog Devices Inc0.013478%1,166,262.741,625,000 PA
PSXPhillips 660.013475%1,165,977.361,805,000 PA
OVVOvintiv Inc0.01345%1,163,826.791,093,000 PA
Alphabet IncAlphabet Inc0.013449%1,163,760.111,745,000 PA
Rio Tinto Finance USA PLCRio Tinto Finance USA PLC0.01343%1,162,052.071,167,000 PA
American Water Capital CorpAmerican Water Capital Corp0.013423%1,161,461.71,187,000 PA
Los Angeles Community College District/CALos Angeles Community College District/CA0.013382%1,157,936.11,040,000 PA
NXP BV / NXP Funding LLC / NXP USA IncNXP BV / NXP Funding LLC / NXP USA Inc0.013376%1,157,406.911,573,000 PA
Northern States Power Co/MNNorthern States Power Co/MN0.01337%1,156,939.731,273,000 PA
Pacific Gas and Electric CoPacific Gas and Electric Co0.013369%1,156,817.151,580,000 PA
Novartis Capital CorpNovartis Capital Corp0.013363%1,156,332.221,149,000 PA
COPConocoPhillips Co0.013358%1,155,849.721,210,000 PA
Delmarva Power & Light CoDelmarva Power & Light Co0.013357%1,155,792.351,423,000 PA
LLYEli Lilly & Co0.013343%1,154,528.221,175,000 PA
Travelers Cos Inc/TheTravelers Cos Inc/The0.013341%1,154,356.691,475,000 PA
Duke Energy CorpDuke Energy Corp0.013339%1,154,250.041,562,000 PA
ELCEntergy Louisiana LLC0.013332%1,153,624.191,200,000 PA
DGDollar General Corp0.013331%1,153,533.821,532,000 PA
CSXCSX Corp0.013328%1,153,261.181,409,000 PA
CICigna Group/The0.013307%1,151,454.191,488,000 PA
UPSUnited Parcel Service Inc0.013304%1,151,217.461,220,000 PA
Energy Transfer LPEnergy Transfer LP0.013291%1,150,099.781,105,000 PA
KOCoca-Cola Co/The0.013286%1,149,6281,959,000 PA
Pacific Gas and Electric CoPacific Gas and Electric Co0.013281%1,149,166.781,195,000 PA
Consolidated Edison Co of New York IncConsolidated Edison Co of New York Inc0.013272%1,148,424.291,020,000 PA
Athene Holding LtdAthene Holding Ltd0.013266%1,147,934.141,885,000 PA
TGTTarget Corp0.013243%1,145,924.82990,000 PA
Philippine Government International BondPhilippine Government International Bond0.013222%1,144,064.231,255,000 PA
Alabama Power CoAlabama Power Co0.013204%1,142,543.211,082,000 PA
KRKroger Co/The0.013203%1,142,440.631,169,000 PA

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