ETF:VCSH | ETF Holdings Page 26 | VANGUARD SHORT-TERM CORPORATE BOND INDEX FUND

VCSH ETF holdings Page 26

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 2,501–2,600 of 2,892

TickerIssuerWeightValue (USD)Balance
CDNSCadence Design Systems Inc0.004708%2,272,930.152,262,000 PA
BROBrown & Brown Inc0.004702%2,270,325.882,258,000 PA
RPMRPM International Inc0.004649%2,244,628.332,211,000 PA
Tanger Properties LPTanger Properties LP0.004634%2,237,380.922,243,000 PA
Mitsubishi UFJ Financial Group IncMitsubishi UFJ Financial Group Inc0.004586%2,214,197.262,114,000 PA
Diageo Capital PLCDiageo Capital PLC0.004569%2,206,110.472,395,000 PA
AMGNAmgen Inc0.004554%2,198,793.632,220,000 PA
SempraSempra0.004516%2,180,397.892,200,000 PA
Toyota Motor Credit CorpToyota Motor Credit Corp0.004459%2,152,818.12,300,000 PA
Virginia Electric and Power CoVirginia Electric and Power Co0.004452%2,149,677.672,152,000 PA
Brunswick Corp/DEBrunswick Corp/DE0.004416%2,132,083.662,051,000 PA
Mitsubishi UFJ Financial Group IncMitsubishi UFJ Financial Group Inc0.004412%2,130,053.522,127,000 PA
Charles Schwab Corp/TheCharles Schwab Corp/The0.004394%2,121,657.052,004,000 PA
LPL Holdings IncLPL Holdings Inc0.004366%2,107,757.692,084,000 PA
JB Hunt Transport Services IncJB Hunt Transport Services Inc0.004356%2,103,359.942,046,000 PA
Exxon Mobil CorpExxon Mobil Corp0.004326%2,088,789.992,095,000 PA
HSBC Holdings PLCHSBC Holdings PLC0.004322%2,086,753.212,050,000 PA
KDPKeurig Dr Pepper Inc0.004306%2,079,069.222,172,000 PA
American Water Capital CorpAmerican Water Capital Corp0.004242%2,048,318.632,142,000 PA
CCICrown Castle Inc0.004169%2,012,849.932,022,000 PA
AMTAmerican Tower Corp0.004145%2,001,238.292,181,000 PA
Lennar CorpLennar Corp0.004132%1,995,121.411,977,500 PA
MARMarriott International Inc/MD0.00413%1,993,839.661,985,000 PA
Novartis Capital CorpNovartis Capital Corp0.004079%1,969,623.011,961,000 PA
SJMJ M Smucker Co/The0.004068%1,964,025.972,097,000 PA
HEICO CorpHEICO Corp0.004045%1,952,962.331,898,000 PA
Union Electric CoUnion Electric Co0.004031%1,946,243.312,025,000 PA
Zions Bancorp NAZions Bancorp NA0.003997%1,929,671.181,920,000 PA
ANAutoNation Inc0.003937%1,900,787.891,908,000 PA
IFFInternational Flavors & Fragrances Inc0.003912%1,888,676.511,875,000 PA
Shell International Finance BVShell International Finance BV0.003856%1,861,875.11,960,000 PA
Southern California Gas CoSouthern California Gas Co0.003841%1,854,272.721,872,000 PA
MASMasco Corp0.003836%1,852,230.551,941,000 PA
Truist Financial CorpTruist Financial Corp0.003808%1,838,521.371,772,500 PA
Genpact Luxembourg SARL/Genpact USA IncGenpact Luxembourg SARL/Genpact USA Inc0.003785%1,827,411.791,760,000 PA
Icon Investments Six DACIcon Investments Six DAC0.003754%1,812,283.081,770,000 PA
Ford Motor CoFord Motor Co0.003733%1,802,419.031,705,000 PA
TUTELUS Corp0.003707%1,789,735.21,800,000 PA
Smith & Nephew PLCSmith & Nephew PLC0.00369%1,781,727.11,761,500 PA
Duke Energy Florida LLCDuke Energy Florida LLC0.00368%1,776,883.241,775,000 PA
GMGeneral Motors Co0.003642%1,758,291.131,716,000 PA
SSM Health Care CorpSSM Health Care Corp0.003612%1,744,099.51,715,000 PA
MGAMagna International Inc0.003605%1,740,509.191,690,000 PA
OMCOmnicom Group Inc0.003591%1,734,034.391,862,000 PA
WP Carey IncWP Carey Inc0.003591%1,733,798.431,747,000 PA
PGProcter & Gamble Co/The0.003573%1,725,327.621,940,000 PA
APHAmphenol Corp0.003555%1,716,635.441,715,000 PA
LVSLas Vegas Sands Corp0.003554%1,715,756.521,640,000 PA
CLColgate-Palmolive Co0.003549%1,713,440.141,725,000 PA
Duke Energy Carolinas LLCDuke Energy Carolinas LLC0.003523%1,700,989.381,800,000 PA
AvalonBay Communities IncAvalonBay Communities Inc0.003493%1,686,459.971,670,000 PA
BKNGBooking Holdings Inc0.003488%1,683,906.391,695,000 PA
Sutter HealthSutter Health0.003483%1,681,457.851,811,000 PA
MATMattel Inc0.003468%1,674,439.931,650,000 PA
IBMInternational Business Machines Corp0.003456%1,668,454.091,592,000 PA
General Motors Financial Co IncGeneral Motors Financial Co Inc0.003444%1,662,878.561,668,000 PA
Bank of America CorpBank of America Corp0.003433%1,657,542.161,635,000 PA
CDW LLC / CDW Finance CorpCDW LLC / CDW Finance Corp0.0034%1,641,565.81,615,000 PA
IBMInternational Business Machines Corp0.003348%1,616,395.961,564,000 PA
JPMorgan Chase & CoJPMorgan Chase & Co0.003302%1,594,465.811,350,000 PA
CommonSpirit HealthCommonSpirit Health0.003272%1,579,830.441,533,000 PA
Nomura Holdings IncNomura Holdings Inc0.003266%1,576,724.351,550,000 PA
AerCap Ireland Capital DAC / AerCap Global Aviation TrustAerCap Ireland Capital DAC / AerCap Global Aviation Trust0.00325%1,569,356.171,515,000 PA
BP Capital Markets PLCBP Capital Markets PLC0.003214%1,551,970.071,561,000 PA
SWXSouthwest Gas Corp0.003183%1,536,931.461,493,000 PA
Albemarle CorpAlbemarle Corp0.00317%1,530,338.711,519,000 PA
AREAlexandria Real Estate Equities Inc0.003145%1,518,619.521,497,000 PA
KOCoca-Cola Co/The0.003137%1,514,567.131,532,000 PA
ARWArrow Electronics Inc0.003134%1,513,215.961,521,000 PA
Energy Transfer LPEnergy Transfer LP0.003095%1,494,537.571,420,000 PA
PNC Bank NAPNC Bank NA0.003066%1,480,552.191,554,000 PA
Energy Transfer LPEnergy Transfer LP0.003035%1,465,578.911,410,000 PA
MDLZMondelez International Inc0.002979%1,438,362.991,406,000 PA
WMTWalmart Inc0.00294%1,419,460.271,480,000 PA
MPCMarathon Petroleum Corp0.002914%1,406,959.791,411,000 PA
Agree LPAgree LP0.002914%1,406,797.191,467,000 PA
North Haven Private Income Fund LLCNorth Haven Private Income Fund LLC0.002912%1,405,913.851,425,000 PA
Nomura Holdings IncNomura Holdings Inc0.002873%1,387,064.71,328,000 PA
GXOGXO Logistics Inc0.00285%1,375,920.821,302,000 PA
Blue Owl Credit Income CorpBlue Owl Credit Income Corp0.002848%1,374,929.61,325,000 PA
HUMHumana Inc0.002838%1,370,388.291,425,000 PA
Dow Chemical Co/TheDow Chemical Co/The0.002808%1,355,878.811,521,000 PA
SYYSysco Corp0.002775%1,339,889.941,425,000 PA
Pacific Gas and Electric CoPacific Gas and Electric Co0.002746%1,325,925.491,302,000 PA
US Bank NA/Cincinnati OHUS Bank NA/Cincinnati OH0.002709%1,308,178.341,296,000 PA
METAMeta Platforms Inc0.002694%1,300,519.991,259,000 PA
NatWest Group PLCNatWest Group PLC0.002691%1,299,139.621,279,000 PA
BNSBank of Nova Scotia/The0.002684%1,295,679.451,258,000 PA
RPRXRoyalty Pharma PLC0.002643%1,276,249.251,235,000 PA
Ford Motor Credit Co LLCFord Motor Credit Co LLC0.002643%1,276,099.41,183,000 PA
Dow Chemical Co/TheDow Chemical Co/The0.002621%1,265,253.281,245,000 PA
Southern California Edison CoSouthern California Edison Co0.002618%1,264,066.731,230,000 PA
Public Storage Operating CoPublic Storage Operating Co0.002611%1,260,484.951,270,000 PA
OHIOmega Healthcare Investors Inc0.002609%1,259,721.161,293,000 PA
VVisa Inc0.002601%1,255,697.31,272,000 PA
State Street CorpState Street Corp0.002572%1,241,582.731,300,000 PA
National Australia Bank Ltd/New YorkNational Australia Bank Ltd/New York0.002547%1,229,738.541,209,000 PA
ETNEaton Corp0.002537%1,224,880.891,210,000 PA
Bank of MontrealBank of Montreal0.002534%1,223,685.221,201,000 PA
CPTCamden Property Trust0.00252%1,216,691.631,210,000 PA

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