ETF:VCSH | ETF Holdings Page 18 | VANGUARD SHORT-TERM CORPORATE BOND INDEX FUND

VCSH ETF holdings Page 18

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 SHORT-TERM CORPORATE BOND INDEX FUND
Report date2026-02-28
Reported holdings2,892
SEC series IDS000026862

Positions 1,701–1,800 of 2,892

TickerIssuerWeightValue (USD)Balance
ATOAtmos Energy Corp0.021181%10,226,652.5110,651,000 PA
T-Mobile USA IncT-Mobile USA Inc0.021179%10,225,828.9911,050,000 PA
HPS Corporate Lending FundHPS Corporate Lending Fund0.021144%10,208,799.8810,305,000 PA
MDLZMondelez International Inc0.021137%10,205,375.3710,762,000 PA
AAPLApple Inc0.021112%10,193,220.4310,102,000 PA
Mitsubishi UFJ Financial Group IncMitsubishi UFJ Financial Group Inc0.021005%10,141,432.719,993,000 PA
Prologis LPPrologis LP0.020987%10,132,929.3610,099,000 PA
Adventist Health System/WestAdventist Health System/West0.020986%10,132,610.3910,010,000 PA
Trane Technologies Financing LtdTrane Technologies Financing Ltd0.020972%10,125,513.1310,122,000 PA
CAHCardinal Health Inc0.020939%10,109,594.979,971,000 PA
Toyota Motor Credit CorpToyota Motor Credit Corp0.020904%10,093,050.819,907,000 PA
Simon Property Group LPSimon Property Group LP0.020886%10,084,062.749,962,000 PA
DISWalt Disney Co/The0.020857%10,070,143.3410,050,000 PA
AAgilent Technologies Inc0.020795%10,040,093.5310,470,000 PA
DINOHF Sinclair Corp0.020793%10,039,082.39,675,000 PA
MHKMohawk Industries Inc0.020755%10,021,147.1610,245,000 PA
RVTYRevvity Inc0.020731%10,009,332.4610,569,500 PA
LLoews Corp0.020729%10,008,203.410,372,000 PA
Toyota Motor Credit CorpToyota Motor Credit Corp0.020715%10,001,717.849,560,000 PA
NatWest Group PLCNatWest Group PLC0.020705%9,997,021.699,749,000 PA
Sumitomo Mitsui Financial Group IncSumitomo Mitsui Financial Group Inc0.020656%9,973,158.999,433,000 PA
Nomura Holdings IncNomura Holdings Inc0.020626%9,958,841.249,537,000 PA
MSIMotorola Solutions Inc0.020622%9,956,495.259,848,000 PA
Store Capital LLCStore Capital LLC0.020595%9,943,831.339,679,000 PA
ARWArrow Electronics Inc0.020562%9,927,766.679,684,000 PA
Commonwealth Bank of Australia/New York NYCommonwealth Bank of Australia/New York NY0.020517%9,905,881.079,764,000 PA
Progressive Corp/TheProgressive Corp/The0.020496%9,896,110.2410,195,000 PA
GBDCGolub Capital BDC Inc0.020492%9,894,170.699,510,000 PA
SBUXStarbucks Corp0.020472%9,884,503.439,601,000 PA
WP Carey IncWP Carey Inc0.020433%9,865,404.789,729,000 PA
EPR PropertiesEPR Properties0.02043%9,863,844.999,853,000 PA
AZOAutoZone Inc0.020413%9,856,019.039,755,000 PA
PEPPepsiCo Inc0.020368%9,833,944.579,002,000 PA
Oaktree Strategic Credit FundOaktree Strategic Credit Fund0.020356%9,828,286.999,888,000 PA
LKQLKQ Corp0.020294%9,798,525.829,540,000 PA
Hewlett Packard Enterprise CoHewlett Packard Enterprise Co0.020256%9,780,224.59,764,000 PA
HSYHershey Co/The0.020247%9,775,452.679,676,000 PA
AEPAmerican Electric Power Co Inc0.020241%9,772,997.929,260,000 PA
AZOAutoZone Inc0.020237%9,770,790.179,846,000 PA
Ares Strategic Income FundAres Strategic Income Fund0.020237%9,770,731.719,580,000 PA
Moody's CorpMoody's Corp0.020173%9,739,970.459,641,000 PA
CSXCSX Corp0.020171%9,738,79210,320,000 PA
AIGAmerican International Group Inc0.020143%9,725,570.99,473,000 PA
Viper Energy Partners LLCViper Energy Partners LLC0.020131%9,719,679.829,516,000 PA
MARMarriott International Inc/MD0.020114%9,711,455.049,692,000 PA
Sands China LtdSands China Ltd0.020096%9,702,519.4610,146,000 PA
American Honda Finance CorpAmerican Honda Finance Corp0.020065%9,687,717.599,350,000 PA
ADIAnalog Devices Inc0.020036%9,673,851.389,569,000 PA
T-Mobile USA IncT-Mobile USA Inc0.019996%9,654,581.3410,000,000 PA
FNBFNB Corp/PA0.0199%9,607,896.569,343,000 PA
EMNEastman Chemical Co0.019896%9,606,112.369,600,000 PA
CORCencora Inc0.019815%9,566,974.9710,073,000 PA
McDonald's CorpMcDonald's Corp0.019798%9,559,064.349,333,000 PA
Lowe's Cos IncLowe's Cos Inc0.019782%9,550,9669,606,000 PA
KDPKeurig Dr Pepper Inc0.019743%9,532,405.099,593,000 PA
LUVSouthwest Airlines Co0.019738%9,529,786.7310,168,000 PA
PACCAR Financial CorpPACCAR Financial Corp0.019705%9,513,787.579,347,000 PA
Sumitomo Mitsui Financial Group IncSumitomo Mitsui Financial Group Inc0.019686%9,504,884.7510,385,000 PA
Barclays PLCBarclays PLC0.01967%9,497,099.99,398,000 PA
BNSBank of Nova Scotia/The0.019617%9,471,266.299,412,000 PA
PEPPepsiCo Inc0.019613%9,469,425.449,328,000 PA
ZTSZoetis Inc0.019606%9,466,318.6510,256,000 PA
Athene Holding LtdAthene Holding Ltd0.019511%9,420,075.9110,000,000 PA
APHAmphenol Corp0.019492%9,411,136.619,265,000 PA
CAHCardinal Health Inc0.019432%9,382,0879,105,000 PA
LEALear Corp0.019405%9,369,226.049,660,000 PA
LVSLas Vegas Sands Corp0.019369%9,351,9268,907,000 PA
GPJAGeorgia Power Co0.019359%9,346,686.849,396,000 PA
AZOAutoZone Inc0.019353%9,343,796.059,017,000 PA
NOVNOV Inc0.019349%9,342,182.679,528,000 PA
First-Citizens Bank & Trust CoFirst-Citizens Bank & Trust Co0.019279%9,308,417.49,003,000 PA
JBLJabil Inc0.019227%9,283,096.729,900,000 PA
WTRGEssential Utilities Inc0.019214%9,276,938.19,415,000 PA
AvalonBay Communities IncAvalonBay Communities Inc0.019195%9,267,664.2510,000,000 PA
MAMastercard Inc0.019169%9,255,308.59,104,000 PA
Newmont Corp / Newcrest Finance Pty LtdNewmont Corp / Newcrest Finance Pty Ltd0.019165%9,253,326.959,509,000 PA
AMATApplied Materials Inc0.019162%9,251,935.519,250,000 PA
Cintas Corp No 2Cintas Corp No 20.019073%9,208,889.069,129,000 PA
BNSBank of Nova Scotia/The0.01907%9,207,321.839,158,000 PA
Dayton Power & Light Co/TheDayton Power & Light Co/The0.018982%9,164,722.769,090,000 PA
Essex Portfolio LPEssex Portfolio LP0.018965%9,156,902.339,562,000 PA
Simon Property Group LPSimon Property Group LP0.018957%9,152,884.789,198,000 PA
Florida Power & Light CoFlorida Power & Light Co0.018954%9,151,268.568,927,000 PA
Valero Energy Partners LPValero Energy Partners LP0.018944%9,146,498.059,063,000 PA
McDonald's CorpMcDonald's Corp0.018941%9,145,164.529,000,000 PA
TEAMAtlassian Corp0.018895%9,122,901.078,967,000 PA
NNNNNN REIT Inc0.018885%9,117,886.669,000,000 PA
GPJAGeorgia Power Co0.018878%9,114,886.039,510,000 PA
Caterpillar Financial Services CorpCaterpillar Financial Services Corp0.018861%9,106,283.729,100,000 PA
CNACNA Financial Corp0.018853%9,102,437.999,989,000 PA
OHIOmega Healthcare Investors Inc0.01885%9,101,284.89,014,000 PA
MSDLMorgan Stanley Direct Lending Fund0.018837%9,094,995.78,909,000 PA
OKEONEOK Inc0.018822%9,087,865.269,046,000 PA
AAPLApple Inc0.018818%9,085,901.249,143,000 PA
NNNNNN REIT Inc0.018807%9,080,465.19,019,000 PA
NINiSource Inc0.018797%9,075,352.379,397,000 PA
Enstar Group LtdEnstar Group Ltd0.018793%9,073,520.188,946,000 PA
American Honda Finance CorpAmerican Honda Finance Corp0.018779%9,067,072.178,979,000 PA
Synchrony FinancialSynchrony Financial0.018779%9,066,896.78,922,000 PA
Essex Portfolio LPEssex Portfolio LP0.018779%9,066,803.349,089,000 PA

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