ETF:VCIT | ETF Holdings Page 17 | VANGUARD INTERMEDIATE-TERM CORPORATE BOND INDEX FUND

VCIT ETF holdings Page 17

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 INTERMEDIATE-TERM CORPORATE BOND INDEX FUND
Report date2026-02-28
Reported holdings2,294
SEC series IDS000026863

Positions 1,601–1,700 of 2,294

TickerIssuerWeightValue (USD)Balance
CVSCVS Health Corp0.020711%14,138,070.4213,647,000 PA
Icon Investments Six DACIcon Investments Six DAC0.020688%14,122,573.113,761,000 PA
FDXFFedex Freight Holding Co Inc0.020669%14,109,881.614,158,000 PA
MSIMotorola Solutions Inc0.020667%14,107,957.5713,532,000 PA
SYYSysco Corp0.020662%14,105,163.812,938,000 PA
AEEAmeren Corp0.020644%14,092,894.914,543,000 PA
Duke Energy Florida LLCDuke Energy Florida LLC0.020644%14,092,787.7613,988,000 PA
Black Hills CorpBlack Hills Corp0.020595%14,058,850.5213,049,000 PA
National Rural Utilities Cooperative Finance CorpNational Rural Utilities Cooperative Finance Corp0.020583%14,050,736.6616,082,000 PA
Janus Henderson US Holdings IncJanus Henderson US Holdings Inc0.020452%13,961,243.913,765,000 PA
Public Storage Operating CoPublic Storage Operating Co0.020399%13,925,466.2313,364,000 PA
Travelers Cos Inc/TheTravelers Cos Inc/The0.020324%13,874,048.8513,517,000 PA
Brixmor Operating Partnership LPBrixmor Operating Partnership LP0.020258%13,829,160.7213,294,000 PA
Triton Container International Ltd / TAL International Container CorpTriton Container International Ltd / TAL International Container Corp0.020245%13,819,878.4813,817,000 PA
Black Hills CorpBlack Hills Corp0.020146%13,752,735.612,664,000 PA
JJacobs Solutions Inc0.020118%13,733,654.0613,750,000 PA
Toyota Motor Credit CorpToyota Motor Credit Corp0.0201%13,720,886.913,396,000 PA
Coca-Cola Femsa SAB de CVCoca-Cola Femsa SAB de CV0.020055%13,690,615.1315,949,000 PA
AXPAmerican Express Co0.019996%13,650,387.3613,302,000 PA
AMATApplied Materials Inc0.019961%13,626,059.2113,700,000 PA
AJGArthur J Gallagher & Co0.019944%13,614,797.9513,128,000 PA
MOSMosaic Co/The0.019913%13,593,660.9213,091,000 PA
DDominion Energy Inc0.019881%13,571,824.8813,683,000 PA
THGHanover Insurance Group Inc/The0.019875%13,567,606.8913,265,000 PA
Ameren Illinois CoAmeren Illinois Co0.019849%13,549,530.2413,901,000 PA
Duke Energy Ohio IncDuke Energy Ohio Inc0.01983%13,536,981.6812,951,000 PA
Union Electric CoUnion Electric Co0.019816%13,527,621.5213,025,000 PA
IEXIDEX Corp0.019772%13,497,038.4714,709,000 PA
HWMHowmet Aerospace Inc0.019761%13,489,775.5613,010,000 PA
CNH Industrial Capital LLCCNH Industrial Capital LLC0.019752%13,483,318.5913,500,000 PA
PEGPublic Service Enterprise Group Inc0.019725%13,465,434.3412,883,000 PA
American Assets Trust LPAmerican Assets Trust LP0.01971%13,454,992.6214,621,000 PA
Kinross Gold CorpKinross Gold Corp0.019689%13,440,629.0412,219,000 PA
LYB International Finance III LLCLYB International Finance III LLC0.019685%13,437,713.1513,343,000 PA
ORIX CorpORIX Corp0.019685%13,437,684.614,744,000 PA
Cornell UniversityCornell University0.019648%13,412,681.8813,000,000 PA
APAAPA Corp0.019639%13,406,387.9512,810,000 PA
CBTCabot Corp0.019625%13,397,019.6513,088,000 PA
CBRE Services IncCBRE Services Inc0.019583%13,368,436.2712,920,000 PA
KLACKLA Corp0.019565%13,355,894.2613,173,000 PA
AMPAmeriprise Financial Inc0.019541%13,339,894.1812,866,000 PA
TGTTarget Corp0.019453%13,279,860.5511,879,000 PA
Virginia Electric and Power CoVirginia Electric and Power Co0.019436%13,268,02113,300,000 PA
Hess CorpHess Corp0.019436%13,267,914.211,356,000 PA
NXP BV / NXP Funding LLC / NXP USA IncNXP BV / NXP Funding LLC / NXP USA Inc0.019318%13,187,105.8112,911,000 PA
Astrazeneca Finance LLCAstrazeneca Finance LLC0.019276%13,158,982.8413,125,000 PA
AMTAmerican Tower Corp0.019267%13,152,662.1412,572,000 PA
Comcast CorpComcast Corp0.019257%13,145,522.0711,659,000 PA
AVYAvery Dennison Corp0.019195%13,103,629.4114,709,000 PA
HPS Corporate Lending FundHPS Corporate Lending Fund0.019156%13,076,774.2313,200,000 PA
Triton Container International Ltd / TAL International Container CorpTriton Container International Ltd / TAL International Container Corp0.01912%13,051,876.7514,088,000 PA
Essex Portfolio LPEssex Portfolio LP0.019119%13,051,864.8213,200,000 PA
Barclays PLCBarclays PLC0.019106%13,042,951.9613,065,000 PA
Dominion Energy South Carolina IncDominion Energy South Carolina Inc0.019039%12,996,936.6514,341,000 PA
Apollo Debt Solutions BDCApollo Debt Solutions BDC0.018989%12,962,980.1712,683,000 PA
ORLYO'Reilly Automotive Inc0.01897%12,949,753.9612,738,000 PA
AMGNAmgen Inc0.018895%12,898,323.6812,829,000 PA
Public Service Electric and Gas CoPublic Service Electric and Gas Co0.018855%12,871,494.1712,316,000 PA
Capital One Financial CorpCapital One Financial Corp0.018831%12,854,985.112,537,000 PA
Phillips Edison Grocery Center Operating Partnership I LPPhillips Edison Grocery Center Operating Partnership I LP0.018797%12,831,606.2814,132,000 PA
Ford Motor Credit Co LLCFord Motor Credit Co LLC0.018641%12,725,166.2212,683,000 PA
FDXFedEx Corp0.018607%12,702,018.9212,420,000 PA
GDGeneral Dynamics Corp0.018497%12,627,220.1813,753,000 PA
Kite Realty Group LPKite Realty Group LP0.018471%12,609,229.2112,106,000 PA
PGProcter & Gamble Co/The0.018467%12,606,453.114,175,000 PA
HHyatt Hotels Corp0.018451%12,595,280.1212,343,000 PA
ROLRollins Inc0.018364%12,535,920.7912,193,000 PA
DKSDick's Sporting Goods Inc0.018341%12,520,740.8813,479,000 PA
DDominion Energy Inc0.018146%12,387,439.9912,200,000 PA
WMWaste Management Inc0.018136%12,380,737.8411,960,000 PA
NSCNorfolk Southern Corp0.018124%12,372,573.3111,898,000 PA
Affiliated Managers Group IncAffiliated Managers Group Inc0.018082%12,343,634.5212,232,000 PA
Fairfax Financial Holdings LtdFairfax Financial Holdings Ltd0.01808%12,341,983.1212,949,000 PA
Morgan StanleyMorgan Stanley0.018067%12,333,710.912,397,000 PA
CommonSpirit HealthCommonSpirit Health0.018046%12,319,282.5511,927,000 PA
Bank of New York Mellon Corp/TheBank of New York Mellon Corp/The0.017985%12,277,624.3311,808,000 PA
UNHUnitedHealth Group Inc0.017918%12,231,381.711,838,000 PA
Mitsubishi UFJ Financial Group IncMitsubishi UFJ Financial Group Inc0.0179%12,219,282.6613,451,000 PA
CMS-PBConsumers Energy Co0.017888%12,211,185.0812,050,000 PA
Valero Energy CorpValero Energy Corp0.017885%12,209,048.8613,210,000 PA
PEPPepsiCo Inc0.017838%12,177,043.7312,271,000 PA
NextEra Energy Capital Holdings IncNextEra Energy Capital Holdings Inc0.017796%12,148,230.213,472,000 PA
Mid-America Apartments LPMid-America Apartments LP0.017792%12,145,491.3112,075,000 PA
Enbridge IncEnbridge Inc0.017771%12,131,632.9113,905,000 PA
TMOThermo Fisher Scientific Inc0.01777%12,130,455.9411,931,000 PA
TSNTyson Foods Inc0.017706%12,087,232.8711,943,000 PA
ITGartner Inc0.017694%12,079,019.7912,250,000 PA
WABWestinghouse Air Brake Technologies Corp0.017673%12,064,301.1711,374,000 PA
GLP Capital LP / GLP Financing II IncGLP Capital LP / GLP Financing II Inc0.01766%12,055,606.6513,205,000 PA
SYYSysco Corp0.017618%12,026,828.2511,999,000 PA
AEP Transmission Co LLCAEP Transmission Co LLC0.017601%12,015,575.0511,630,000 PA
GATXGATX Corp0.017519%11,959,006.7712,636,000 PA
WMWaste Management Inc0.017457%11,917,179.4411,650,000 PA
BNSBank of Nova Scotia/The0.017438%11,903,752.9511,768,000 PA
HSYHershey Co/The0.017428%11,896,945.3911,689,000 PA
HASHasbro Inc0.01735%11,843,682.7111,029,000 PA
Athene Holding LtdAthene Holding Ltd0.017321%11,824,265.6612,210,000 PA
BOKF NABOKF NA0.017294%11,806,028.2611,285,000 PA
TKRTimken Co/The0.017285%11,799,838.9212,113,000 PA
Yale UniversityYale University0.017227%11,760,167.7412,875,000 PA

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