ETF:VCIT | ETF Holdings Page 9 | VANGUARD INTERMEDIATE-TERM CORPORATE BOND INDEX FUND

VCIT ETF holdings Page 9

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 801–900 of 2,294

TickerIssuerWeightValue (USD)Balance
Corebridge Financial IncCorebridge Financial Inc0.046202%31,539,719.0730,515,000 PA
Host Hotels & Resorts LPHost Hotels & Resorts LP0.046169%31,517,333.7834,503,000 PA
AIGAmerican International Group Inc0.046132%31,491,595.0730,195,000 PA
NTRNutrien Ltd0.046098%31,468,435.7830,169,000 PA
PGProcter & Gamble Co/The0.046055%31,439,259.4128,407,000 PA
MSIMotorola Solutions Inc0.045873%31,315,264.3929,754,000 PA
ING Groep NVING Groep NV0.045845%31,295,868.5531,628,000 PA
METAMeta Platforms Inc0.045837%31,290,262.0130,563,000 PA
Public Service Electric and Gas CoPublic Service Electric and Gas Co0.045788%31,257,257.0930,742,000 PA
Pilgrim's Pride CorpPilgrim's Pride Corp0.045719%31,210,259.6328,974,000 PA
Takeda Pharmaceutical Co LtdTakeda Pharmaceutical Co Ltd0.045717%31,208,901.0129,928,000 PA
Fifth Third BancorpFifth Third Bancorp0.045687%31,187,981.1431,014,000 PA
Truist Financial CorpTruist Financial Corp0.045654%31,165,349.5430,396,000 PA
KOCoca-Cola Co/The0.045616%31,139,455.0833,989,000 PA
CBRE Services IncCBRE Services Inc0.045538%31,086,085.829,080,000 PA
ZBHZimmer Biomet Holdings Inc0.045492%31,054,726.1430,195,000 PA
Bank of New York Mellon Corp/TheBank of New York Mellon Corp/The0.045479%31,046,436.627,684,000 PA
Progressive Corp/TheProgressive Corp/The0.045349%30,957,113.833,364,000 PA
Nomura Holdings IncNomura Holdings Inc0.045319%30,936,563.6930,860,000 PA
GlaxoSmithKline Capital IncGlaxoSmithKline Capital Inc0.045285%30,913,354.8930,309,000 PA
Keybank National AssociationKeybank National Association0.045232%30,877,311.1730,769,000 PA
VLTOVeralto Corp0.045217%30,867,001.3729,298,000 PA
ADSKAutodesk Inc0.045208%30,861,080.5734,459,000 PA
AVGOBroadcom Inc0.045194%30,851,385.1430,771,000 PA
State Street CorpState Street Corp0.045175%30,838,275.1929,719,000 PA
ELVElevance Health Inc0.045173%30,837,210.0230,700,000 PA
WCNWaste Connections Inc0.045172%30,836,548.3729,470,000 PA
ROPRoper Technologies Inc0.045146%30,818,552.6730,550,000 PA
RELX Capital IncRELX Capital Inc0.045062%30,761,482.9530,198,000 PA
Bank of New York Mellon Corp/TheBank of New York Mellon Corp/The0.04505%30,753,425.3929,982,000 PA
MetLife IncMetLife Inc0.045029%30,738,653.7528,807,000 PA
HCA IncHCA Inc0.045022%30,733,932.5130,872,000 PA
PNCPNC Financial Services Group Inc/The0.044925%30,668,018.5629,447,000 PA
ORealty Income Corp0.044906%30,654,990.2828,679,000 PA
DINOHF Sinclair Corp0.044899%30,650,126.7829,102,000 PA
ATOAtmos Energy Corp0.044878%30,635,937.1528,035,000 PA
NNNNNN REIT Inc0.044751%30,548,820.0128,944,000 PA
Prologis LPPrologis LP0.044709%30,520,592.0929,469,000 PA
Simon Property Group LPSimon Property Group LP0.044689%30,506,942.6229,787,000 PA
DLTRDollar Tree Inc0.044682%30,501,739.8333,361,000 PA
Tampa Electric CoTampa Electric Co0.04468%30,500,735.1229,750,000 PA
Pacific Gas and Electric CoPacific Gas and Electric Co0.044616%30,457,020.9828,345,000 PA
HDHome Depot Inc/The0.044564%30,421,439.1729,822,000 PA
Dow Chemical Co/TheDow Chemical Co/The0.044498%30,376,495.528,567,000 PA
MetLife IncMetLife Inc0.044474%30,360,248.4129,149,000 PA
Essex Portfolio LPEssex Portfolio LP0.044461%30,350,884.8929,177,000 PA
HIIHuntington Ingalls Industries Inc0.044425%30,326,443.128,373,000 PA
BROBrown & Brown Inc0.044417%30,321,140.229,695,000 PA
MRVLMarvell Technology Inc0.044397%30,307,528.5628,236,000 PA
KMBKimberly-Clark Corp0.044332%30,263,252.8433,427,000 PA
Westpac Banking CorpWestpac Banking Corp0.044293%30,236,169.128,987,000 PA
Rio Tinto Alcan IncRio Tinto Alcan Inc0.044244%30,203,340.9827,374,000 PA
ADBEAdobe Inc0.044231%30,194,458.6328,968,000 PA
AMGNAmgen Inc0.044231%30,194,180.4731,710,000 PA
Newmont CorpNewmont Corp0.044201%30,173,892.0532,877,000 PA
Appalachian Power CoAppalachian Power Co0.044153%30,141,122.6630,101,000 PA
DTE Electric CoDTE Electric Co0.044128%30,123,730.929,019,000 PA
Suzano Netherlands BVSuzano Netherlands BV0.04405%30,070,619.829,847,000 PA
DTE Electric CoDTE Electric Co0.043963%30,011,549.228,689,000 PA
MRKMerck & Co Inc0.043898%29,967,061.8829,450,000 PA
MUMicron Technology Inc0.043806%29,903,808.427,807,000 PA
Duke Energy CorpDuke Energy Corp0.043785%29,889,712.1528,484,000 PA
CNQCanadian Natural Resources Ltd0.043756%29,869,900.2326,418,000 PA
Oncor Electric Delivery Co LLCOncor Electric Delivery Co LLC0.043737%29,857,028.2828,694,000 PA
Santander UK Group Holdings PLCSantander UK Group Holdings PLC0.043718%29,843,953.8129,822,000 PA
GEHCGE HealthCare Technologies Inc0.043712%29,839,698.3229,674,000 PA
GLP Capital LP / GLP Financing II IncGLP Capital LP / GLP Financing II Inc0.043693%29,826,669.3229,315,000 PA
CORCencora Inc0.043626%29,780,850.2128,818,000 PA
COPT Defense Properties LPCOPT Defense Properties LP0.043586%29,753,882.2932,221,000 PA
PEGPublic Service Enterprise Group Inc0.043573%29,744,793.2732,824,000 PA
COPConocoPhillips0.043506%29,699,069.6627,041,000 PA
Essex Portfolio LPEssex Portfolio LP0.0435%29,695,069.3232,943,000 PA
Albemarle CorpAlbemarle Corp0.043485%29,684,895.929,115,000 PA
ELVElevance Health Inc0.043482%29,683,009.4728,133,000 PA
General Motors Financial Co IncGeneral Motors Financial Co Inc0.043439%29,653,497.5527,248,000 PA
DDominion Energy Inc0.043343%29,587,663.5927,253,000 PA
Ford Motor Credit Co LLCFord Motor Credit Co LLC0.043293%29,553,925.2628,160,000 PA
Comcast CorpComcast Corp0.043207%29,495,081.1328,199,000 PA
BNSBank of Nova Scotia/The0.043196%29,487,646.1330,005,000 PA
SHWSherwin-Williams Co/The0.043178%29,475,121.7628,684,000 PA
Arizona Public Service CoArizona Public Service Co0.043156%29,460,024.2128,045,000 PA
HUMHumana Inc0.043137%29,447,051.9233,727,000 PA
ANG-PDAmerican National Group Inc0.043052%29,389,555.4929,596,000 PA
RCLRoyal Caribbean Cruises Ltd0.043042%29,382,752.4728,781,000 PA
Pilgrim's Pride CorpPilgrim's Pride Corp0.043021%29,368,203.1631,473,000 PA
KeyCorpKeyCorp0.042946%29,316,766.7929,080,000 PA
TDYTeledyne Technologies Inc0.042931%29,306,746.1631,358,000 PA
Invitation Homes Operating Partnership LPInvitation Homes Operating Partnership LP0.042896%29,283,050.1733,232,000 PA
CNICanadian National Railway Co0.042836%29,241,637.5129,878,000 PA
INTCIntel Corp0.042798%29,215,694.9228,617,000 PA
Northern Trust CorpNorthern Trust Corp0.042793%29,212,612.1729,153,000 PA
Mitsubishi UFJ Financial Group IncMitsubishi UFJ Financial Group Inc0.042746%29,180,663.8328,505,000 PA
Hess CorpHess Corp0.042745%29,179,610.3925,267,000 PA
ORealty Income Corp0.042744%29,179,249.2828,378,000 PA
HASIHA Sustainable Infrastructure Capital Inc0.042669%29,127,656.628,185,000 PA
Woodside Finance LtdWoodside Finance Ltd0.042631%29,101,956.2128,991,000 PA
State Street CorpState Street Corp0.042629%29,100,264.7729,149,000 PA
Southern Co Gas Capital CorpSouthern Co Gas Capital Corp0.042487%29,003,303.0127,179,000 PA
HPQHP Inc0.042477%28,997,009.1132,014,000 PA
FDXFedEx Corp0.042475%28,995,556.931,560,000 PA

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