ETF:BSV | ETF Holdings Page 14 | VANGUARD SHORT-TERM BOND INDEX FUND

BSV ETF holdings Page 14

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 SHORT-TERM BOND INDEX FUND
Report date2026-03-31
Reported holdings3,157
SEC series IDS000002563

Positions 1,301–1,400 of 3,157

TickerIssuerWeightValue (USD)Balance
Chevron USA IncChevron USA Inc0.008972%6,251,714.696,514,000 PA
HIIHuntington Ingalls Industries Inc0.008959%6,242,479.486,342,000 PA
LLYEli Lilly & Co0.008952%6,237,915.126,229,000 PA
McDonald's CorpMcDonald's Corp0.00895%6,236,615.596,578,000 PA
Blue Owl Capital CorpBlue Owl Capital Corp0.008928%6,220,785.886,691,000 PA
Inter-American Investment CorpInter-American Investment Corp0.008925%6,218,882.726,263,000 PA
Svensk Exportkredit ABSvensk Exportkredit AB0.008916%6,212,535.666,185,000 PA
General Motors Financial Co IncGeneral Motors Financial Co Inc0.008902%6,202,648.736,060,000 PA
Prologis LPPrologis LP0.008895%6,198,341.156,125,000 PA
UNHUnitedHealth Group Inc0.008892%6,195,889.186,500,000 PA
AXPAmerican Express Co0.008889%6,194,270.036,141,000 PA
Inter-American Investment CorpInter-American Investment Corp0.008884%6,190,152.686,142,000 PA
GlaxoSmithKline Capital PLCGlaxoSmithKline Capital PLC0.008881%6,188,678.096,354,000 PA
BP Capital Markets PLCBP Capital Markets PLC0.008869%6,180,111.26,276,000 PA
State Street CorpState Street Corp0.008869%6,179,890.776,600,000 PA
MUMicron Technology Inc0.008859%6,173,015.065,900,000 PA
HDHome Depot Inc/The0.008852%6,168,114.656,052,000 PA
BROBrown & Brown Inc0.008846%6,164,183.96,169,000 PA
RRyder System Inc0.008845%6,163,578.86,064,000 PA
Eaton Vance CorpEaton Vance Corp0.008837%6,157,843.676,207,000 PA
CICigna Group/The0.008832%6,154,189.686,045,000 PA
Hewlett Packard Enterprise CoHewlett Packard Enterprise Co0.00882%6,145,976.836,181,000 PA
JPMorgan Chase & CoJPMorgan Chase & Co0.008812%6,140,603.296,099,000 PA
HHyatt Hotels Corp0.008806%6,135,902.66,040,000 PA
VVisa Inc0.008801%6,132,937.916,145,000 PA
ELVElevance Health Inc0.008799%6,131,528.066,730,000 PA
Astrazeneca Finance LLCAstrazeneca Finance LLC0.008792%6,126,512.256,000,000 PA
Mitsubishi UFJ Financial Group IncMitsubishi UFJ Financial Group Inc0.008787%6,122,774.456,037,000 PA
Mitsubishi UFJ Financial Group IncMitsubishi UFJ Financial Group Inc0.008779%6,117,126.856,607,000 PA
Prologis LPPrologis LP0.008763%6,106,345.286,630,000 PA
Southern California Edison CoSouthern California Edison Co0.008761%6,104,891.345,959,000 PA
BXSLBlackstone Secured Lending Fund0.008749%6,096,112.866,135,000 PA
Toyota Motor Credit CorpToyota Motor Credit Corp0.008734%6,086,162.166,121,000 PA
Ares Strategic Income FundAres Strategic Income Fund0.008726%6,080,335.636,243,000 PA
Public Storage Operating CoPublic Storage Operating Co0.008716%6,073,603.666,227,000 PA
KDPKeurig Dr Pepper Inc0.008712%6,070,805.276,199,000 PA
JEFJefferies Financial Group Inc0.008712%6,070,646.616,290,000 PA
Japan International Cooperation AgencyJapan International Cooperation Agency0.008704%6,065,284.636,075,000 PA
COPT Defense Properties LPCOPT Defense Properties LP0.008703%6,064,517.856,148,000 PA
US BancorpUS Bancorp0.008696%6,059,469.736,035,000 PA
UBERUber Technologies Inc0.008695%6,058,905.646,112,000 PA
Energy Transfer LPEnergy Transfer LP0.008678%6,046,764.666,059,000 PA
Inter-American Investment CorpInter-American Investment Corp0.008678%6,046,608.335,995,000 PA
AMTAmerican Tower Corp0.008675%6,044,823.845,942,000 PA
Connecticut Light and Power Co/TheConnecticut Light and Power Co/The0.008667%6,038,902.45,936,000 PA
BXSLBlackstone Secured Lending Fund0.008666%6,038,708.976,016,000 PA
Banco Santander SABanco Santander SA0.008664%6,037,184.456,114,000 PA
MARMarriott International Inc/MD0.008663%6,036,475.16,083,000 PA
SYKStryker Corp0.008641%6,021,036.456,088,000 PA
CCICrown Castle Inc0.00863%6,013,653.935,984,000 PA
AZOAutoZone Inc0.008609%5,998,993.865,900,000 PA
CSCOCisco Systems Inc0.008608%5,998,064.745,932,000 PA
Mitsubishi UFJ Financial Group IncMitsubishi UFJ Financial Group Inc0.008597%5,990,452.175,951,000 PA
Valero Energy CorpValero Energy Corp0.00859%5,985,663.395,982,000 PA
KEYSKeysight Technologies Inc0.008589%5,984,547.945,980,000 PA
Nomura Holdings IncNomura Holdings Inc0.008569%5,971,256.046,530,000 PA
Province of Manitoba CanadaProvince of Manitoba Canada0.008565%5,968,090.456,345,000 PA
ARCCAres Capital Corp0.008562%5,966,321.996,307,000 PA
NextEra Energy Capital Holdings IncNextEra Energy Capital Holdings Inc0.008546%5,954,850.936,296,000 PA
RRyder System Inc0.008545%5,954,125.725,823,000 PA
Air Lease CorpAir Lease Corp0.008543%5,952,576.836,330,000 PA
DISWalt Disney Co/The0.008543%5,952,531.986,414,000 PA
McCormick & Co Inc/MDMcCormick & Co Inc/MD0.00854%5,950,925.726,020,000 PA
Toronto-Dominion Bank/TheToronto-Dominion Bank/The0.008538%5,949,372.985,936,000 PA
AZNAstraZeneca PLC0.008523%5,938,977.045,997,000 PA
Mylan IncMylan Inc0.00852%5,936,945.155,970,000 PA
Welltower OP LLCWelltower OP LLC0.008517%5,934,962.635,940,000 PA
Barclays PLCBarclays PLC0.008516%5,934,326.235,901,000 PA
DTE Energy CoDTE Energy Co0.008516%5,934,209.615,880,000 PA
WMTWalmart Inc0.008513%5,931,667.125,289,000 PA
African Development BankAfrican Development Bank0.008499%5,921,938.936,000,000 PA
CRH America Finance IncCRH America Finance Inc0.008495%5,919,621.826,000,000 PA
John Deere Capital CorpJohn Deere Capital Corp0.008485%5,912,092.685,833,000 PA
American Water Capital CorpAmerican Water Capital Corp0.008482%5,910,103.615,969,000 PA
IRIngersoll Rand Inc0.008477%5,907,006.815,855,000 PA
Chubb INA Holdings LLCChubb INA Holdings LLC0.008476%5,906,427.865,845,000 PA
Svensk Exportkredit ABSvensk Exportkredit AB0.008471%5,902,856.095,925,000 PA
Enbridge IncEnbridge Inc0.008463%5,897,328.525,775,000 PA
CCICrown Castle Inc0.008455%5,891,343.065,860,000 PA
Ares Strategic Income FundAres Strategic Income Fund0.008454%5,890,980.215,896,000 PA
United Airlines 2020-1 Class A Pass Through TrustUnited Airlines 2020-1 Class A Pass Through Trust0.008448%5,886,653.245,789,930.1419 PA
America Movil SAB de CVAmerica Movil SAB de CV0.008445%5,884,515.396,050,000 PA
HPS Corporate Lending FundHPS Corporate Lending Fund0.008445%5,884,249.576,152,000 PA
Blue Owl Capital CorpBlue Owl Capital Corp0.008436%5,878,521.655,947,000 PA
WYWeyerhaeuser Co0.008413%5,862,036.955,983,000 PA
NTRNutrien Ltd0.008404%5,856,259.75,900,000 PA
HRLHormel Foods Corp0.0084%5,852,856.816,510,000 PA
CVSCVS Health Corp0.008399%5,852,618.86,700,000 PA
Rio Tinto Finance USA LtdRio Tinto Finance USA Ltd0.008396%5,850,690.995,513,000 PA
John Deere Capital CorpJohn Deere Capital Corp0.008394%5,849,063.455,811,000 PA
Enbridge IncEnbridge Inc0.008393%5,848,446.375,900,000 PA
Japan Bank for International CooperationJapan Bank for International Cooperation0.008393%5,847,979.075,770,000 PA
CH Robinson Worldwide IncCH Robinson Worldwide Inc0.00839%5,845,953.715,889,000 PA
Oesterreichische Kontrollbank AGOesterreichische Kontrollbank AG0.008389%5,845,701.485,810,000 PA
Astrazeneca Finance LLCAstrazeneca Finance LLC0.008372%5,833,371.575,739,000 PA
CHHChoice Hotels International Inc0.008369%5,831,368.096,217,000 PA
Northern Trust CorpNorthern Trust Corp0.008358%5,824,098.16,399,000 PA
CDNSCadence Design Systems Inc0.008347%5,816,550.25,835,000 PA
MPLX LPMPLX LP0.008334%5,806,962.185,853,000 PA
CNACNA Financial Corp0.008326%5,801,432.865,884,000 PA

Research interface only. Not investment advice. Prices are a checked-in snapshot, not live quotes.