ETF:BSV | ETF Holdings Page 20 | VANGUARD SHORT-TERM BOND INDEX FUND

BSV ETF holdings Page 20

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 1,901–2,000 of 3,157

TickerIssuerWeightValue (USD)Balance
Mizuho Financial Group IncMizuho Financial Group Inc0.00593%4,131,848.84,034,000 PA
National Rural Utilities Cooperative Finance CorpNational Rural Utilities Cooperative Finance Corp0.00593%4,131,843.324,154,000 PA
Laboratory Corp of America HoldingsLaboratory Corp of America Holdings0.005929%4,131,117.414,360,000 PA
Inter-American Development BankInter-American Development Bank0.005927%4,130,057.064,390,000 PA
Goldman Sachs Private Credit CorpGoldman Sachs Private Credit Corp0.005924%4,128,080.224,176,000 PA
Block Financial LLCBlock Financial LLC0.005923%4,127,385.234,380,000 PA
McDonald's CorpMcDonald's Corp0.005917%4,123,271.034,245,000 PA
Mid-America Apartments LPMid-America Apartments LP0.005916%4,122,202.014,169,000 PA
Toyota Motor CorpToyota Motor Corp0.005913%4,120,421.64,115,000 PA
Northern Trust CorpNorthern Trust Corp0.005909%4,117,546.264,149,000 PA
BAXBaxter International Inc0.005909%4,117,531.44,175,000 PA
CINFCincinnati Financial Corp0.005906%4,115,283.993,915,000 PA
LVSLas Vegas Sands Corp0.005904%4,114,215.444,062,000 PA
PYPLPayPal Holdings Inc0.005904%4,113,742.54,495,000 PA
Lloyds Banking Group PLCLloyds Banking Group PLC0.005902%4,112,223.194,089,000 PA
Johnson Controls International plc / Tyco Fire & Security Finance SCAJohnson Controls International plc / Tyco Fire & Security Finance SCA0.0059%4,110,876.033,980,000 PA
Bank of MontrealBank of Montreal0.005891%4,105,240.73,985,000 PA
HDHome Depot Inc/The0.005888%4,102,767.314,128,000 PA
PKGPackaging Corp of America0.005888%4,102,627.54,172,000 PA
Sands China LtdSands China Ltd0.005872%4,091,969.144,245,000 PA
MRKMerck & Co Inc0.005861%4,084,141.214,090,000 PA
Chevron USA IncChevron USA Inc0.005858%4,081,905.964,019,000 PA
SJMJ M Smucker Co/The0.005855%4,079,818.914,150,000 PA
Welltower OP LLCWelltower OP LLC0.005855%4,079,583.864,102,000 PA
Oncor Electric Delivery Co LLCOncor Electric Delivery Co LLC0.005852%4,078,073.614,100,000 PA
Chevron USA IncChevron USA Inc0.005851%4,077,107.294,091,000 PA
APHAmphenol Corp0.00585%4,076,188.453,992,000 PA
Paramount GlobalParamount Global0.005843%4,071,675.584,262,000 PA
Allstate Corp/TheAllstate Corp/The0.005841%4,070,277.183,995,000 PA
Prologis LPPrologis LP0.005841%4,070,211.364,111,000 PA
CNH Industrial Capital LLCCNH Industrial Capital LLC0.005839%4,068,599.464,016,000 PA
Microchip Technology IncMicrochip Technology Inc0.005832%4,063,904.734,026,000 PA
DXCDXC Technology Co0.00583%4,062,094.414,320,000 PA
MMM3M Co0.005822%4,056,830.514,115,000 PA
Canadian Pacific Railway CoCanadian Pacific Railway Co0.005811%4,049,346.444,096,000 PA
Koninklijke KPN NVKoninklijke KPN NV0.00581%4,048,545.093,518,000 PA
Host Hotels & Resorts LPHost Hotels & Resorts LP0.005796%4,038,973.884,252,000 PA
CMICummins Inc0.005796%4,038,514.54,000,000 PA
Athene Holding LtdAthene Holding Ltd0.005791%4,035,196.864,085,000 PA
VVisa Inc0.005783%4,029,955.874,211,000 PA
AUAngloGold Ashanti Holdings PLC0.005783%4,029,321.634,198,000 PA
INTCIntel Corp0.005782%4,029,144.144,301,000 PA
OSKOshkosh Corp0.005778%4,026,316.584,287,000 PA
Nomura Holdings IncNomura Holdings Inc0.005775%4,024,097.483,984,000 PA
Caterpillar Financial Services CorpCaterpillar Financial Services Corp0.005762%4,014,965.913,980,000 PA
CVSCVS Health Corp0.005758%4,011,917.124,150,000 PA
BNSBank of Nova Scotia/The0.005756%4,010,947.454,049,000 PA
T-Mobile USA IncT-Mobile USA Inc0.005735%3,996,458.544,234,000 PA
Caterpillar Financial Services CorpCaterpillar Financial Services Corp0.005733%3,994,727.323,904,000 PA
RRyder System Inc0.005732%3,993,791.563,821,000 PA
PacifiCorpPacifiCorp0.00572%3,985,980.573,975,000 PA
PIIPolaris Inc0.005717%3,983,647.423,801,000 PA
RCLRoyal Caribbean Cruises Ltd0.005716%3,983,128.944,047,000 PA
AvalonBay Communities IncAvalonBay Communities Inc0.005713%3,980,899.844,024,000 PA
Baidu IncBaidu Inc0.005712%3,979,872.443,973,000 PA
American Honda Finance CorpAmerican Honda Finance Corp0.005696%3,969,232.183,824,000 PA
Electronic Arts IncElectronic Arts Inc0.005679%3,957,052.344,300,000 PA
BAXBaxter International Inc0.005673%3,953,132.394,244,000 PA
FDXFFedex Freight Holding Co Inc0.005665%3,947,723.214,018,000 PA
ING Groep NVING Groep NV0.005655%3,940,111.493,966,000 PA
EBAYeBay Inc0.005654%3,939,750.453,975,000 PA
PEPPepsiCo Inc0.005644%3,932,990.133,924,000 PA
Hercules Capital IncHercules Capital Inc0.005635%3,926,851.154,000,000 PA
LMTLockheed Martin Corp0.005628%3,921,990.093,918,000 PA
HCA IncHCA Inc0.005628%3,921,946.583,881,000 PA
Pacific Gas and Electric CoPacific Gas and Electric Co0.005625%3,919,799.164,250,000 PA
ADBEAdobe Inc0.005624%3,919,156.993,873,000 PA
HUMHumana Inc0.005615%3,912,808.913,837,000 PA
Chile Government International BondChile Government International Bond0.005614%3,911,905.963,990,000 PA
Berry Global IncBerry Global Inc0.005609%3,908,395.133,835,000 PA
BBDCBarings BDC Inc0.005605%3,905,598.053,880,000 PA
LUVSouthwest Airlines Co0.005601%3,902,555.584,259,000 PA
PEPPepsiCo Inc0.005582%3,889,776.453,610,000 PA
Royal Bank of CanadaRoyal Bank of Canada0.005571%3,881,664.293,905,000 PA
ORealty Income Corp0.005555%3,870,536.783,825,000 PA
PACCAR Financial CorpPACCAR Financial Corp0.00555%3,867,486.523,870,000 PA
Svensk Exportkredit ABSvensk Exportkredit AB0.005549%3,866,914.023,909,000 PA
Japan International Cooperation AgencyJapan International Cooperation Agency0.005541%3,860,943.693,914,000 PA
GEHCGE HealthCare Technologies Inc0.005531%3,854,275.813,830,000 PA
John Deere Capital CorpJohn Deere Capital Corp0.005525%3,849,858.983,815,000 PA
NINiSource Inc0.005522%3,847,762.444,425,000 PA
MAINMain Street Capital Corp0.005515%3,843,138.023,735,000 PA
LPL Holdings IncLPL Holdings Inc0.005504%3,834,923.283,805,000 PA
JNJJohnson & Johnson0.005488%3,824,210.73,781,000 PA
NTRNutrien Ltd0.005488%3,823,902.673,788,000 PA
Japan Bank for International CooperationJapan Bank for International Cooperation0.005481%3,819,104.513,830,000 PA
BCSFBain Capital Specialty Finance Inc0.005478%3,816,777.853,943,000 PA
CubeSmart LPCubeSmart LP0.005476%3,815,383.123,840,000 PA
PMPhilip Morris International Inc0.005462%3,805,642.383,840,000 PA
European Investment BankEuropean Investment Bank0.005459%3,804,113.134,105,000 PA
HDHome Depot Inc/The0.005453%3,799,747.714,030,000 PA
CNH Industrial Capital LLCCNH Industrial Capital LLC0.00545%3,797,346.773,705,000 PA
PACCAR Financial CorpPACCAR Financial Corp0.005448%3,796,092.193,827,000 PA
Mid-America Apartments LPMid-America Apartments LP0.005444%3,793,585.023,800,000 PA
HPS Corporate Lending FundHPS Corporate Lending Fund0.005438%3,789,580.53,900,000 PA
Tennessee Gas Pipeline Co LLCTennessee Gas Pipeline Co LLC0.005438%3,789,474.633,572,000 PA
AvalonBay Communities IncAvalonBay Communities Inc0.005434%3,786,464.233,821,000 PA
KDKyndryl Holdings Inc0.00543%3,783,918.664,091,000 PA
Pinnacle Bank/Nashville TNPinnacle Bank/Nashville TN0.005428%3,782,069.743,740,000 PA
SBUXStarbucks Corp0.005421%3,777,325.323,731,000 PA

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