ETF:VCEB | ETF Holdings Page 22 | VANGUARD ESG U.S. CORPORATE BOND ETF

VCEB ETF holdings Page 22

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 ESG U.S. CORPORATE BOND ETF
Report date2026-02-28
Reported holdings2,735
SEC series IDS000069584

Positions 2,101–2,200 of 2,735

TickerIssuerWeightValue (USD)Balance
APHAmphenol Corp0.018894%202,540.57200,000 PA
MRKMerck & Co Inc0.01888%202,383.14200,000 PA
CAGConagra Brands Inc0.018859%202,161.7210,000 PA
Paramount GlobalParamount Global0.018856%202,130.73320,000 PA
Aptiv Swiss Holdings LtdAptiv Swiss Holdings Ltd0.018839%201,946.21260,000 PA
Lowe's Cos IncLowe's Cos Inc0.018822%201,770.83275,000 PA
ICEIntercontinental Exchange Inc0.018812%201,656.96270,000 PA
HDHome Depot Inc/The0.018806%201,595.06185,000 PA
LLYEli Lilly & Co0.018795%201,473.95200,000 PA
Nomura Holdings IncNomura Holdings Inc0.018786%201,376.88210,000 PA
Royal Bank of CanadaRoyal Bank of Canada0.018783%201,346.92205,000 PA
APHAmphenol Corp0.018754%201,032.89210,000 PA
Mylan IncMylan Inc0.018746%200,947.97200,000 PA
Mitsubishi UFJ Financial Group IncMitsubishi UFJ Financial Group Inc0.018745%200,943.13200,000 PA
AMZNAmazon.com Inc0.018745%200,935.43200,000 PA
ELVElevance Health Inc0.018721%200,688195,000 PA
MRKMerck & Co Inc0.018721%200,684.47200,000 PA
Lloyds Banking Group PLCLloyds Banking Group PLC0.018711%200,573.01201,000 PA
Alphabet IncAlphabet Inc0.018678%200,219.61290,000 PA
AMGNAmgen Inc0.018654%199,961.46210,000 PA
HCA IncHCA Inc0.018625%199,657.42205,000 PA
Honda Motor Co LtdHonda Motor Co Ltd0.018579%199,159.15215,000 PA
EXPEExpedia Group Inc0.018566%199,018.52200,000 PA
Sumitomo Mitsui Financial Group IncSumitomo Mitsui Financial Group Inc0.018549%198,838.22200,000 PA
INTCIntel Corp0.018543%198,774.16240,000 PA
HUMHumana Inc0.018528%198,614.52228,000 PA
First Citizens BancShares Inc/NCFirst Citizens BancShares Inc/NC0.01852%198,528.05195,000 PA
T-Mobile USA IncT-Mobile USA Inc0.018503%198,342.16215,000 PA
UPSUnited Parcel Service Inc0.018482%198,119.08190,000 PA
NFLXNetflix Inc0.018464%197,933.33192,000 PA
INTCIntel Corp0.018453%197,812.8315,000 PA
LRCXLam Research Corp0.018435%197,614.2300,000 PA
AAPLApple Inc0.018433%197,590.9200,000 PA
MAMastercard Inc0.018403%197,276.12196,000 PA
Aon Corp / Aon Global Holdings PLCAon Corp / Aon Global Holdings PLC0.018381%197,036.09265,000 PA
QCOMQUALCOMM Inc0.01838%197,028.51195,000 PA
AXPAmerican Express Co0.01838%197,025.71180,000 PA
ELVElevance Health Inc0.018375%196,978.19205,000 PA
GMGeneral Motors Co0.018374%196,960.65200,000 PA
Smurfit Kappa Treasury ULCSmurfit Kappa Treasury ULC0.018372%196,941.32190,000 PA
Bank of America CorpBank of America Corp0.018351%196,721.3270,000 PA
FISVFiserv Inc0.018329%196,479.44190,000 PA
John Deere Capital CorpJohn Deere Capital Corp0.018328%196,467.99195,000 PA
UNHUnitedHealth Group Inc0.018303%196,198.27255,000 PA
AMGNAmgen Inc0.018298%196,145.41220,000 PA
Nomura Holdings IncNomura Holdings Inc0.018297%196,139.34205,000 PA
KLACKLA Corp0.018295%196,116.33195,000 PA
AIGAmerican International Group Inc0.01829%196,061.86235,000 PA
Banco Bilbao Vizcaya Argentaria SABanco Bilbao Vizcaya Argentaria SA0.018283%195,987.42190,000 PA
McDonald's CorpMcDonald's Corp0.018258%195,719.6191,000 PA
Mitsubishi UFJ Financial Group IncMitsubishi UFJ Financial Group Inc0.018209%195,200.01190,000 PA
ICEIntercontinental Exchange Inc0.01816%194,666.17325,000 PA
IBMInternational Business Machines Corp0.018157%194,633.12190,000 PA
Capital One Financial CorpCapital One Financial Corp0.018156%194,623.37175,000 PA
Huntington Bancshares Inc/OHHuntington Bancshares Inc/OH0.018152%194,578.61185,000 PA
McDonald's CorpMcDonald's Corp0.018121%194,249.26195,000 PA
John Deere Capital CorpJohn Deere Capital Corp0.018118%194,216.25190,000 PA
CPBCampbell's Company/The0.018113%194,165.46200,000 PA
SJMJ M Smucker Co/The0.01809%193,922.97185,000 PA
KEYSKeysight Technologies Inc0.01808%193,816.17185,000 PA
OTISOtis Worldwide Corp0.018079%193,797.46270,000 PA
BNSBank of Nova Scotia/The0.018077%193,780.85190,000 PA
CCICrown Castle Inc0.018073%193,733.38190,000 PA
FISVFiserv Inc0.018067%193,677.64190,000 PA
HUMHumana Inc0.018063%193,624.66185,000 PA
GlaxoSmithKline Capital IncGlaxoSmithKline Capital Inc0.018044%193,423.07189,000 PA
Citizens Financial Group IncCitizens Financial Group Inc0.018041%193,389.72185,000 PA
MARMarriott International Inc/MD0.01804%193,380.52205,000 PA
HDHome Depot Inc/The0.018032%193,295.64240,000 PA
Equinix Europe 2 Financing Corp LLCEquinix Europe 2 Financing Corp LLC0.018014%193,100.9185,000 PA
Ford Motor Credit Co LLCFord Motor Credit Co LLC0.01801%193,061.73185,000 PA
NVRNVR Inc0.018006%193,017.13202,000 PA
Synchrony FinancialSynchrony Financial0.017998%192,937.62215,000 PA
John Deere Capital CorpJohn Deere Capital Corp0.017976%192,701.32185,000 PA
KeyCorpKeyCorp0.017963%192,555.11191,000 PA
KOCoca-Cola Co/The0.017938%192,286.15303,000 PA
INTCIntel Corp0.017932%192,224270,000 PA
McDonald's CorpMcDonald's Corp0.017904%191,930.38190,000 PA
ADPAutomatic Data Processing Inc0.0179%191,885.22215,000 PA
PGProcter & Gamble Co/The0.017899%191,868.64210,000 PA
Huntington Bancshares Inc/OHHuntington Bancshares Inc/OH0.017898%191,861.08191,000 PA
AMGNAmgen Inc0.017894%191,814.16240,000 PA
GPNGlobal Payments Inc0.017893%191,807.71200,000 PA
CDW LLC / CDW Finance CorpCDW LLC / CDW Finance Corp0.01787%191,557.66205,000 PA
Dell International LLC / EMC CorpDell International LLC / EMC Corp0.017863%191,486.07190,000 PA
AREAlexandria Real Estate Equities Inc0.017858%191,436.1220,000 PA
Kraft Heinz Foods CoKraft Heinz Foods Co0.017832%191,157.68170,000 PA
MRKMerck & Co Inc0.017811%190,932.29235,000 PA
US BancorpUS Bancorp0.017788%190,681.45190,000 PA
Royal Bank of CanadaRoyal Bank of Canada0.017782%190,613.3185,000 PA
Deutsche Bank AG/New York NYDeutsche Bank AG/New York NY0.017778%190,571.05190,000 PA
AMATApplied Materials Inc0.017739%190,156.7215,000 PA
McDonald's CorpMcDonald's Corp0.017733%190,092.12190,000 PA
ELVElevance Health Inc0.017695%189,681.09210,000 PA
Comcast CorpComcast Corp0.017692%189,653.01225,000 PA
General Motors Financial Co IncGeneral Motors Financial Co Inc0.017646%189,157.12185,000 PA
UNHUnitedHealth Group Inc0.017641%189,110.24190,000 PA
ADBEAdobe Inc0.017635%189,046.56185,000 PA
ARCCAres Capital Corp0.017634%189,033.08185,000 PA
Prudential Financial IncPrudential Financial Inc0.017633%189,016.95245,000 PA

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