ETF:VCRB | ETF Holdings Page 30 | VANGUARD CORE BOND ETF

VCRB ETF holdings Page 30

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 CORE BOND ETF
Report date2026-03-31
Reported holdings3,279
SEC series IDS000083197

Positions 2,901–3,000 of 3,279

TickerIssuerWeightValue (USD)Balance
SVCService Properties Trust0.000641%41,028.7545,000 PA
Public Service Co of ColoradoPublic Service Co of Colorado0.000636%40,711.7140,000 PA
First Quantum Minerals LtdFirst Quantum Minerals Ltd0.000635%40,690.6640,000 PA
GM Financial Consumer Automobile Receivables Trust 2024-3GM Financial Consumer Automobile Receivables Trust 2024-30.000634%40,618.7540,000 PA
Radiology Partners IncRadiology Partners Inc0.000634%40,60140,000 PA
Hyundai Auto Receivables Trust 2024-CHyundai Auto Receivables Trust 2024-C0.00063%40,333.8740,000 PA
MGMMGM Resorts International0.00063%40,324.740,000 PA
CarMax Auto Owner Trust 2024-4CarMax Auto Owner Trust 2024-40.000629%40,269.240,000 PA
Owens-Brockway Glass Container IncOwens-Brockway Glass Container Inc0.000625%40,053.1440,000 PA
TK Elevator US Newco IncTK Elevator US Newco Inc0.000623%39,899.5340,000 PA
Antero Midstream Partners LP / Antero Midstream Finance CorpAntero Midstream Partners LP / Antero Midstream Finance Corp0.000618%39,587.440,000 PA
Wynn Macau LtdWynn Macau Ltd0.000618%39,550.3940,000 PA
TransDigm IncTransDigm Inc0.000615%39,405.2140,000 PA
SUNSunoco LP0.000615%39,375.3740,000 PA
WHWyndham Hotels & Resorts Inc0.000615%39,355.8440,000 PA
TopBuild CorpTopBuild Corp0.000612%39,161.2440,000 PA
Olympus Water US Holding CorpOlympus Water US Holding Corp0.000611%39,115.1640,000 PA
CSC Holdings LLCCSC Holdings LLC0.000609%38,974.4265,000 PA
BWXTBWX Technologies Inc0.000601%38,501.3940,000 PA
DVADaVita Inc0.000601%38,458.6440,000 PA
OneMain Finance CorpOneMain Finance Corp0.000598%38,273.5340,000 PA
DISH Network CorpDISH Network Corp0.000595%38,118.1337,000 PA
N/AN/A0.000591%37,871.096,140,000 NC
AmWINS Group IncAmWINS Group Inc0.000582%37,296.1437,000 PA
JPYN/A0.000582%37,274.741 NC
Cipher Compute LLCCipher Compute LLC0.000566%36,272.4135,000 PA
STWDStarwood Property Trust Inc0.000556%35,586.4935,000 PA
MTNVail Resorts Inc0.000553%35,396.935,000 PA
Flash Compute LLCFlash Compute LLC0.000551%35,303.5335,000 PA
SSNCSS&C Technologies Inc0.000547%35,033.8435,000 PA
Opal US LLCOpal US LLC0.000546%34,970.8535,000 PA
Duke Energy CorpDuke Energy Corp0.000546%34,954.6635,000 PA
MIWD Holdco II LLC / MIWD Finance CorpMIWD Holdco II LLC / MIWD Finance Corp0.000541%34,614.2940,000 PA
UALUnited Airlines Holdings Inc0.000536%34,341.7835,000 PA
CLFCleveland-Cliffs Inc0.000534%34,180.0335,000 PA
ESIElement Solutions Inc0.000532%34,064.5735,000 PA
Novelis CorpNovelis Corp0.000528%33,818.2738,000 PA
EF Holdco / EF Cayman Hold / Ellington Fin REIT Cayman/TRS / EF Cayman Non-MTMEF Holdco / EF Cayman Hold / Ellington Fin REIT Cayman/TRS / EF Cayman Non-MTM0.000527%33,779.8735,000 PA
OneMain Finance CorpOneMain Finance Corp0.000525%33,631.8535,000 PA
Fannie Mae PoolFannie Mae Pool0.000522%33,398.4137,639.9987 PA
ZF North America Capital IncZF North America Capital Inc0.000521%33,384.0635,000 PA
Discovery Global Holdings IncDiscovery Global Holdings Inc0.000492%31,510.7152,000 PA
Endo Finance Holdings LPEndo Finance Holdings LP0.00049%31,405.2530,000 PA
Time Warner Cable LLCTime Warner Cable LLC0.00049%31,373.930,000 PA
CABOCable One Inc0.000489%31,297.8845,000 PA
Hudson Pacific Properties LPHudson Pacific Properties LP0.000486%31,149.8733,000 PA
NWLNewell Brands Inc0.000484%31,023.1530,000 PA
CHRDChord Energy Corp0.000484%30,981.1330,000 PA
CNXCNX Resources Corp0.000481%30,820.6130,000 PA
LAD Auto Receivables Trust 2024-2LAD Auto Receivables Trust 2024-20.000481%30,807.5930,000 PA
HRIHerc Holdings Inc0.000481%30,786.1730,000 PA
LAD Auto Receivables Trust 2024-2LAD Auto Receivables Trust 2024-20.000478%30,599.1930,000 PA
CHDNChurchill Downs Inc0.000477%30,552.5930,000 PA
CZRCaesars Entertainment Inc0.000475%30,391.3130,000 PA
CHRDChord Energy Corp0.000473%30,318.4530,000 PA
Rocket Cos IncRocket Cos Inc0.000473%30,294.3930,000 PA
CCO Holdings LLC / CCO Holdings Capital CorpCCO Holdings LLC / CCO Holdings Capital Corp0.00047%30,129.5930,000 PA
BLDRBuilders FirstSource Inc0.000469%30,017.5730,000 PA
STWDStarwood Property Trust Inc0.000466%29,832.5630,000 PA
SUNSunoco LP0.000465%29,757.4530,000 PA
MGM China Holdings LtdMGM China Holdings Ltd0.000463%29,660.8930,000 PA
RHP Hotel Properties LP / RHP Finance CorpRHP Hotel Properties LP / RHP Finance Corp0.000462%29,608.3830,000 PA
CMCCommercial Metals Co0.000462%29,588.2230,000 PA
HRIHerc Holdings Inc0.000462%29,564.7630,000 PA
Gen Digital IncGen Digital Inc0.000456%29,200.7830,000 PA
Lamar Media CorpLamar Media Corp0.000456%29,189.2530,000 PA
Ryan Specialty LLCRyan Specialty LLC0.000455%29,147.7930,000 PA
NCL Corp LtdNCL Corp Ltd0.000455%29,141.9330,000 PA
Navient CorpNavient Corp0.000432%27,645.1730,000 PA
WR Grace Holdings LLCWR Grace Holdings LLC0.00043%27,549.5930,000 PA
CVSCVS Health Corp0.000429%27,498.7830,000 PA
NCL Corp LtdNCL Corp Ltd0.000406%25,969.4225,000 PA
HRIHerc Holdings Inc0.000401%25,668.0725,000 PA
DVADaVita Inc0.0004%25,647.5225,000 PA
Fannie Mae PoolFannie Mae Pool0.000398%25,470.0728,664.3743 PA
Black Pearl Compute LLCBlack Pearl Compute LLC0.000398%25,457.725,000 PA
Allied Universal Holdco LLC / Allied Universal Finance CorpAllied Universal Holdco LLC / Allied Universal Finance Corp0.000396%25,384.3825,000 PA
Rogers Communications IncRogers Communications Inc0.000391%25,070.4425,000 PA
GOLFAcushnet Co0.000389%24,939.3925,000 PA
QQnity Electronics Inc0.000389%24,937.525,000 PA
ALSNAllison Transmission Inc0.000388%24,852.6525,000 PA
Ryan Specialty LLCRyan Specialty LLC0.000386%24,739.8325,000 PA
ENTGEntegris Inc0.000383%24,498.1425,000 PA
Asurion LLCAsurion LLC0.000383%24,496.0724,825 PA
Nissan Motor Acceptance Co LLCNissan Motor Acceptance Co LLC0.000383%24,495.7925,000 PA
Whirlpool CorpWhirlpool Corp0.000381%24,398.9725,000 PA
ADT Security Corp/TheADT Security Corp/The0.000378%24,236.2825,000 PA
Dayforce Bidco LLCDayforce Bidco LLC0.000369%23,618.7525,000 PA
Ascent Resources Utica Holdings LLC / ARU Finance CorpAscent Resources Utica Holdings LLC / ARU Finance Corp0.000365%23,367.6823,000 PA
Rivers Enterprise Borrower LLCRivers Enterprise Borrower LLC0.000359%22,966.7823,000 PA
VENTURE GLOBAL PLAQUEVENTURE GLOBAL PLAQUE0.000358%22,936.7322,000 PA
Securitized Term Auto Receivables TrustSecuritized Term Auto Receivables Trust0.000344%22,022.0621,849.69 PA
Venture Global LNG IncVenture Global LNG Inc0.000335%21,483.6320,000 PA
Transocean International LtdTransocean International Ltd0.000332%21,255.0920,000 PA
N/AN/A0.00033%21,136.744,460,000 NC
Venture Global LNG IncVenture Global LNG Inc0.000325%20,799.5820,000 PA
Kioxia Holdings CorpKioxia Holdings Corp0.00032%20,499.5620,000 PA
RHP Hotel Properties LP / RHP Finance CorpRHP Hotel Properties LP / RHP Finance Corp0.000318%20,350.5620,000 PA
Navient CorpNavient Corp0.000317%20,304.2720,000 PA
Nissan Motor Co LtdNissan Motor Co Ltd0.000316%20,254.2220,000 PA

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