ETF:VCLT | ETF Holdings Page 25 | VANGUARD LONG-TERM CORPORATE BOND INDEX FUND

VCLT ETF holdings Page 25

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 LONG-TERM CORPORATE BOND INDEX FUND
Report date2026-02-28
Reported holdings2,578
SEC series IDS000026864

Positions 2,401–2,500 of 2,578

TickerIssuerWeightValue (USD)Balance
Canadian Pacific Railway CoCanadian Pacific Railway Co0.000716%62,228.9260,000 PA
Comcast CorpComcast Corp0.00071%61,661.8580,000 PA
Iowa Health SystemIowa Health System0.000709%61,576.3480,000 PA
DISWalt Disney Co/The0.000705%61,252.4868,000 PA
Oncor Electric Delivery Co LLCOncor Electric Delivery Co LLC0.000702%60,950.16100,000 PA
GDGeneral Dynamics Corp0.000696%60,489.9565,000 PA
ONEOK Partners LPONEOK Partners LP0.000686%59,590.8553,000 PA
Montefiore Obligated GroupMontefiore Obligated Group0.000684%59,408.1181,000 PA
AMZNAmazon.com Inc0.000682%59,211.8375,000 PA
AIGAmerican International Group Inc0.000662%57,534.1965,000 PA
TGTTarget Corp0.000661%57,431.5150,000 PA
Trane Technologies Financing LtdTrane Technologies Financing Ltd0.00066%57,368.1365,000 PA
Dow Chemical Co/TheDow Chemical Co/The0.000649%56,381.0855,000 PA
Simon Property Group LPSimon Property Group LP0.000633%55,002.8964,000 PA
WLKWestlake Corp0.00063%54,718.9390,000 PA
Providence St Joseph Health Obligated GroupProvidence St Joseph Health Obligated Group0.000628%54,548.2570,000 PA
PacifiCorpPacifiCorp0.000619%53,795.4270,000 PA
HDHome Depot Inc/The0.000612%53,127.775,000 PA
FDXFedEx Corp0.000601%52,196.3255,000 PA
Case Western Reserve UniversityCase Western Reserve University0.000597%51,843.4755,000 PA
AAPLApple Inc0.000596%51,763.6565,000 PA
SBUXStarbucks Corp0.000595%51,714.9660,000 PA
AMGNAmgen Inc0.000595%51,705.5850,000 PA
Oklahoma Gas and Electric CoOklahoma Gas and Electric Co0.000591%51,335.4450,000 PA
AEPAmerican Electric Power Co Inc0.00059%51,277.7875,000 PA
NSCNorfolk Southern Corp0.000589%51,171.4280,000 PA
Kimco Realty OP LLCKimco Realty OP LLC0.000585%50,864.9960,000 PA
Southern California Edison CoSouthern California Edison Co0.000585%50,806.7759,000 PA
Northwestern Memorial Healthcare Obligated GroupNorthwestern Memorial Healthcare Obligated Group0.000585%50,783.580,000 PA
Kinder Morgan Energy Partners LPKinder Morgan Energy Partners LP0.000576%50,045.9755,000 PA
FISFidelity National Information Services Inc0.000575%49,935.3559,000 PA
VZVerizon Communications Inc0.000573%49,771.2359,000 PA
JCIJohnson Controls International plc0.000573%49,764.8155,000 PA
BAT Capital CorpBAT Capital Corp0.000572%49,706.360,000 PA
Commonwealth Edison CoCommonwealth Edison Co0.000569%49,423.9860,000 PA
COPConocoPhillips Co0.000565%49,044.9250,000 PA
Simon Property Group LPSimon Property Group LP0.000541%46,972.2450,000 PA
CICigna Group/The0.000536%46,575.9960,000 PA
Burlington Northern Santa Fe LLCBurlington Northern Santa Fe LLC0.000534%46,370.7545,000 PA
Sutter HealthSutter Health0.00053%46,077.8955,000 PA
American Water Capital CorpAmerican Water Capital Corp0.00053%46,009.4940,000 PA
HUMHumana Inc0.000529%45,916.6555,000 PA
Williams Cos Inc/TheWilliams Cos Inc/The0.000528%45,909.4365,000 PA
Arizona Public Service CoArizona Public Service Co0.000523%45,397.875,000 PA
Duke Energy Progress LLCDuke Energy Progress LLC0.000517%44,914.0457,000 PA
PSXPhillips 66 Co0.000513%44,582.9650,000 PA
KRKroger Co/The0.0005%43,443.6555,000 PA
SYKStryker Corp0.000497%43,151.6850,000 PA
NSTAR Electric CoNSTAR Electric Co0.000494%42,931.2750,000 PA
CVSCVS Health Corp0.000487%42,351.4458,000 PA
ATOAtmos Energy Corp0.000487%42,307.8950,000 PA
Occidental Petroleum CorpOccidental Petroleum Corp0.000486%42,258.1835,000 PA
Appalachian Power CoAppalachian Power Co0.000486%42,189.4450,000 PA
Telefonica Emisiones SATelefonica Emisiones SA0.000481%41,820.1145,000 PA
President and Fellows of Harvard CollegePresident and Fellows of Harvard College0.000478%41,538.6355,000 PA
Florida Power & Light CoFlorida Power & Light Co0.000474%41,189.6740,000 PA
Southern California Gas CoSouthern California Gas Co0.000474%41,181.4250,000 PA
PPL Electric Utilities CorpPPL Electric Utilities Corp0.000467%40,578.3450,000 PA
ADIAnalog Devices Inc0.00046%39,970.1840,000 PA
Corning IncCorning Inc0.000455%39,556.6940,000 PA
PPL Electric Utilities CorpPPL Electric Utilities Corp0.000438%38,066.3145,000 PA
Koninklijke Philips NVKoninklijke Philips NV0.000437%37,961.6840,000 PA
Transatlantic Holdings IncTransatlantic Holdings Inc0.000434%37,688.830,000 PA
VZVerizon Communications Inc0.000424%36,821.5445,000 PA
New York and Presbyterian Hospital/TheNew York and Presbyterian Hospital/The0.000422%36,670.1945,000 PA
PECO Energy CoPECO Energy Co0.000413%35,919.6845,000 PA
PacifiCorpPacifiCorp0.000413%35,862.4240,000 PA
Corning IncCorning Inc0.000411%35,701.7645,000 PA
MOAltria Group Inc0.000406%35,302.6935,000 PA
Morgan StanleyMorgan Stanley0.000406%35,250.1155,000 PA
Bristol-Myers Squibb CoBristol-Myers Squibb Co0.000403%35,018.9440,000 PA
NSCNorfolk Southern Corp0.000403%34,975.9150,000 PA
APAAPA Corp0.0004%34,725.8940,000 PA
Duke UniversityDuke University0.000395%34,272.4445,000 PA
Baltimore Gas and Electric CoBaltimore Gas and Electric Co0.000393%34,129.7835,000 PA
Consolidated Edison Co of New York IncConsolidated Edison Co of New York Inc0.000391%34,000.2345,000 PA
TSNTyson Foods Inc0.000387%33,640.8335,000 PA
FDXFedEx Corp0.000387%33,618.7140,000 PA
Rio Tinto Finance USA PLCRio Tinto Finance USA PLC0.000382%33,189.6935,000 PA
Canadian Pacific Railway CoCanadian Pacific Railway Co0.000381%33,058.6435,000 PA
PacifiCorpPacifiCorp0.000378%32,878.8850,000 PA
GMGeneral Motors Co0.000373%32,425.2930,000 PA
UNPUnion Pacific Corp0.000357%31,024.7145,000 PA
AFLAflac Inc0.000355%30,837.6438,000 PA
AT&T IncAT&T Inc0.000354%30,724.5729,000 PA
Banner HealthBanner Health0.000348%30,225.7945,000 PA
UPSUnited Parcel Service Inc0.000347%30,174.840,000 PA
Enbridge Energy Partners LPEnbridge Energy Partners LP0.000345%29,936.7625,000 PA
SBUXStarbucks Corp0.000332%28,855.1840,000 PA
AMGNAmgen Inc0.000332%28,815.7830,000 PA
LYB International Finance III LLCLYB International Finance III LLC0.000328%28,525.9545,000 PA
Welltower OP LLCWelltower OP LLC0.000327%28,379.1125,000 PA
Catholic Health Services of Long Island Obligated GroupCatholic Health Services of Long Island Obligated Group0.000324%28,154.1240,000 PA
Integris Baptist Medical Center IncIntegris Baptist Medical Center Inc0.000324%28,136.3537,000 PA
DISWalt Disney Co/The0.000322%28,008.3625,000 PA
AAPLApple Inc0.00032%27,841.0330,000 PA
Ford Motor CoFord Motor Co0.000314%27,318.6125,000 PA
AT&T IncAT&T Inc0.000314%27,235.5530,000 PA
McDonald's CorpMcDonald's Corp0.000309%26,871.6525,000 PA
SWKStanley Black & Decker Inc0.000307%26,674.0530,000 PA

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