ETF:VCSH | ETF Holdings Page 25 | VANGUARD SHORT-TERM CORPORATE BOND INDEX FUND

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

Positions 2,401–2,500 of 2,892

TickerIssuerWeightValue (USD)Balance
EXCExelon Corp0.007215%3,483,437.933,372,000 PA
PMPhilip Morris International Inc0.007213%3,482,562.053,764,000 PA
Caterpillar Financial Services CorpCaterpillar Financial Services Corp0.007197%3,475,094.593,347,000 PA
LDOSLeidos Inc0.007162%3,457,777.223,450,000 PA
APHAmphenol Corp0.007141%3,447,779.673,336,000 PA
HRLHormel Foods Corp0.007125%3,439,928.043,407,000 PA
PACCAR Financial CorpPACCAR Financial Corp0.007104%3,430,092.093,406,000 PA
AVGOBroadcom Inc0.007095%3,425,686.53,384,000 PA
Bank of New York Mellon Corp/TheBank of New York Mellon Corp/The0.007062%3,409,709.213,404,000 PA
STZConstellation Brands Inc0.007042%3,399,983.743,331,000 PA
Regency Centers LPRegency Centers LP0.007005%3,382,299.833,426,000 PA
NUENucor Corp0.006982%3,370,982.93,554,000 PA
Evergy Metro IncEvergy Metro Inc0.006966%3,363,531.793,609,000 PA
Pacific Gas and Electric CoPacific Gas and Electric Co0.006918%3,340,381.683,363,000 PA
JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co HoldingsJBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings0.006912%3,337,167.113,436,000 PA
KEYSKeysight Technologies Inc0.006875%3,319,420.183,437,000 PA
Toyota Motor CorpToyota Motor Corp0.00687%3,316,809.683,220,000 PA
TGTTarget Corp0.006859%3,311,497.893,508,000 PA
KOCoca-Cola Co/The0.006817%3,291,483.873,425,000 PA
BNSBank of Nova Scotia/The0.006816%3,291,008.873,233,000 PA
HUMHumana Inc0.006806%3,286,042.093,199,000 PA
PFEPfizer Inc0.006796%3,281,263.533,283,000 PA
PKGPackaging Corp of America0.006793%3,279,887.463,307,000 PA
LUVSouthwest Airlines Co0.006753%3,260,389.093,291,000 PA
Lennar CorpLennar Corp0.006733%3,250,786.733,229,000 PA
McCormick & Co Inc/MDMcCormick & Co Inc/MD0.006725%3,247,186.213,225,000 PA
NatWest Group PLCNatWest Group PLC0.006714%3,241,689.063,276,000 PA
Assurant IncAssurant Inc0.006705%3,237,375.473,196,000 PA
CNACNA Financial Corp0.006685%3,227,491.373,254,000 PA
MASMasco Corp0.006511%3,143,843.023,164,000 PA
T-Mobile USA IncT-Mobile USA Inc0.00651%3,143,398.523,083,000 PA
Banco Santander SABanco Santander SA0.006441%3,110,009.482,921,000 PA
Webster Financial CorpWebster Financial Corp0.006407%3,093,209.813,000,000 PA
CNH Industrial Capital LLCCNH Industrial Capital LLC0.006364%3,072,790.13,052,000 PA
Regency Centers LPRegency Centers LP0.006354%3,067,765.163,052,000 PA
WRKCo IncWRKCo Inc0.006326%3,054,293.813,050,000 PA
Extra Space Storage LPExtra Space Storage LP0.006315%3,049,099.583,336,000 PA
Nevada Power CoNevada Power Co0.006294%3,039,009.793,000,000 PA
Goldman Sachs Private Credit CorpGoldman Sachs Private Credit Corp0.006276%3,030,354.362,995,000 PA
Mitsubishi UFJ Financial Group IncMitsubishi UFJ Financial Group Inc0.006257%3,021,179.923,007,000 PA
Sumitomo Mitsui Financial Group IncSumitomo Mitsui Financial Group Inc0.006207%2,997,005.942,985,000 PA
DOC DR LLCDOC DR LLC0.006204%2,995,543.12,989,000 PA
Laboratory Corp of America HoldingsLaboratory Corp of America Holdings0.00619%2,988,505.183,000,000 PA
Lazard Group LLCLazard Group LLC0.00618%2,983,751.762,967,000 PA
DTE Electric CoDTE Electric Co0.006171%2,979,641.732,960,000 PA
Duke Energy Carolinas LLCDuke Energy Carolinas LLC0.006132%2,960,629.12,950,000 PA
Eastern Gas Transmission & Storage IncEastern Gas Transmission & Storage Inc0.006099%2,944,851.173,049,000 PA
Associated Banc-CorpAssociated Banc-Corp0.006042%2,917,292.052,793,000 PA
ADSKAutodesk Inc0.006028%2,910,550.993,055,000 PA
Blackstone Private Credit FundBlackstone Private Credit Fund0.006024%2,908,681.673,042,000 PA
Unilever Capital CorpUnilever Capital Corp0.006021%2,907,015.612,883,000 PA
FRBPFranklin BSP Capital Corp0.005991%2,892,426.042,828,000 PA
PNCPNC Financial Services Group Inc/The0.005909%2,853,128.162,845,000 PA
BAXBaxter International Inc0.005754%2,778,356.272,766,000 PA
Prologis LPPrologis LP0.005725%2,764,385.442,763,000 PA
Nokia OyjNokia Oyj0.005715%2,759,267.812,761,000 PA
Barclays PLCBarclays PLC0.005674%2,739,435.272,697,000 PA
NCDLNuveen Churchill Direct Lending Corp0.005667%2,736,001.582,675,000 PA
Stifel Financial CorpStifel Financial Corp0.00566%2,732,636.162,775,000 PA
AIGAmerican International Group Inc0.005627%2,716,635.912,789,000 PA
ERP Operating LPERP Operating LP0.005618%2,712,653.862,731,000 PA
HCA IncHCA Inc0.005573%2,690,592.62,637,000 PA
Estee Lauder Cos Inc/TheEstee Lauder Cos Inc/The0.005554%2,681,498.972,830,000 PA
American Airlines 2015-2 Class AA Pass Through TrustAmerican Airlines 2015-2 Class AA Pass Through Trust0.00554%2,674,715.032,696,781.1753 PA
UNPUnion Pacific Corp0.00554%2,674,651.292,828,000 PA
ORealty Income Corp0.005535%2,672,401.92,620,000 PA
Westpac Banking CorpWestpac Banking Corp0.005522%2,666,052.712,785,000 PA
Interstate Power and Light CoInterstate Power and Light Co0.005514%2,662,500.392,653,000 PA
Kilroy Realty LPKilroy Realty LP0.005486%2,648,774.622,636,000 PA
GISGeneral Mills Inc0.005454%2,633,353.32,770,000 PA
Digital Realty Trust LPDigital Realty Trust LP0.005447%2,629,689.662,604,000 PA
BBDCBarings BDC Inc0.00543%2,621,832.632,650,000 PA
Oncor Electric Delivery Co LLCOncor Electric Delivery Co LLC0.005428%2,620,762.732,600,000 PA
RSGRepublic Services Inc0.005419%2,616,379.982,546,000 PA
LYB International Finance III LLCLYB International Finance III LLC0.005405%2,609,672.022,567,000 PA
Lincoln National CorpLincoln National Corp0.005324%2,570,428.862,700,000 PA
MRKMerck & Co Inc0.005315%2,566,397.262,689,000 PA
CVXChevron Corp0.005312%2,564,940.472,733,000 PA
Toyota Motor Credit CorpToyota Motor Credit Corp0.00526%2,539,637.142,452,000 PA
Florida Power & Light CoFlorida Power & Light Co0.005205%2,513,059.642,415,000 PA
LVSLas Vegas Sands Corp0.005159%2,491,043.72,449,000 PA
Manulife Financial CorpManulife Financial Corp0.00515%2,486,594.582,526,000 PA
National Bank of CanadaNational Bank of Canada0.005102%2,463,572.812,455,000 PA
TXTTextron Inc0.00509%2,457,773.132,466,000 PA
FCXFreeport-McMoRan Inc0.005079%2,452,429.822,416,000 PA
CICigna Group/The0.005006%2,417,229.832,574,000 PA
BXSLBlackstone Secured Lending Fund0.005001%2,414,502.652,455,000 PA
QCOMQUALCOMM Inc0.004994%2,411,017.922,540,000 PA
AZOAutoZone Inc0.004921%2,375,832.612,386,500 PA
Bunge Ltd Finance CorpBunge Ltd Finance Corp0.00492%2,375,488.022,364,000 PA
Vodafone Group PLCVodafone Group PLC0.004905%2,368,037.782,076,000 PA
ILMNIllumina Inc0.004893%2,362,355.382,296,000 PA
BKUBankUnited Inc0.00486%2,346,438.82,320,000 PA
Boardwalk Pipelines LPBoardwalk Pipelines LP0.00484%2,337,021.142,327,000 PA
Schlumberger Investment SASchlumberger Investment SA0.004837%2,335,218.472,451,000 PA
Mizuho Financial Group IncMizuho Financial Group Inc0.00482%2,327,003.282,400,000 PA
MAINMain Street Capital Corp0.004779%2,307,594.562,270,000 PA
JNJJohnson & Johnson0.004767%2,301,537.062,390,000 PA
GEHCGE HealthCare Technologies Inc0.004766%2,300,979.542,291,000 PA
Enterprise Products Operating LLCEnterprise Products Operating LLC0.004717%2,277,702.552,272,000 PA

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