ETF:VCSH | ETF Holdings Page 12 | VANGUARD SHORT-TERM CORPORATE BOND INDEX FUND

Companies included in VCSH Page 12

This is VCSH's own dated portfolio constitution. Share counts are the calculation basis for constituent revenue and earnings analytics; rounded weights are reference values only. This page shows positions 1,101–1,200 of 2,892.

TickerIssuerShares ownedUnitReported weight
Toyota Motor Credit CorpToyota Motor Credit Corp17,017,000PA0.036016%
AAPLApple Inc17,520,000PA0.036004%
American Honda Finance CorpAmerican Honda Finance Corp17,123,000PA0.035996%
UBS AG/Stamford CTUBS AG/Stamford CT16,214,000PA0.035966%
AerCap Ireland Capital DAC / AerCap Global Aviation TrustAerCap Ireland Capital DAC / AerCap Global Aviation Trust17,403,000PA0.035954%
Toyota Motor Credit CorpToyota Motor Credit Corp17,726,000PA0.035901%
MUMicron Technology Inc16,500,000PA0.035897%
OTFBlue Owl Technology Finance Corp17,397,000PA0.035896%
HALHalliburton Co18,088,000PA0.035891%
MARMarriott International Inc/MD16,692,000PA0.03589%
EOGEOG Resources Inc17,100,000PA0.035836%
CICigna Group/The17,070,000PA0.035835%
America Movil SAB de CVAmerica Movil SAB de CV18,189,000PA0.035784%
AT&T IncAT&T Inc17,100,000PA0.035739%
CBRE Services IncCBRE Services Inc16,594,000PA0.035694%
RSGRepublic Services Inc18,365,000PA0.035677%
Novartis Capital CorpNovartis Capital Corp18,435,000PA0.035597%
VTRSViatris Inc18,602,000PA0.035583%
Santander UK Group Holdings PLCSantander UK Group Holdings PLC16,877,000PA0.035578%
American Water Capital CorpAmerican Water Capital Corp17,378,000PA0.035573%
REGNRegeneron Pharmaceuticals Inc19,051,000PA0.035565%
Capital One Financial CorpCapital One Financial Corp17,039,000PA0.035563%
CVSCVS Health Corp19,081,000PA0.035515%
Sumitomo Mitsui Financial Group IncSumitomo Mitsui Financial Group Inc18,628,000PA0.035505%
UBERUber Technologies Inc17,193,000PA0.035473%
ADBEAdobe Inc16,544,000PA0.035426%
MRVLMarvell Technology Inc17,665,000PA0.035418%
Alleghany CorpAlleghany Corp17,293,000PA0.035371%
PMPhilip Morris International Inc16,910,000PA0.03537%
CPTCamden Property Trust17,533,000PA0.035341%
Southern California Edison CoSouthern California Edison Co16,640,000PA0.035263%
PEPPepsiCo Inc17,644,000PA0.035223%
BDXBecton Dickinson & Co16,743,000PA0.035126%
HCA IncHCA Inc17,100,000PA0.035117%
NatWest Group PLCNatWest Group PLC16,078,000PA0.035112%
TCPATransCanada PipeLines Ltd16,960,000PA0.035069%
Welltower OP LLCWelltower OP LLC16,826,000PA0.035044%
Alibaba Group Holding LtdAlibaba Group Holding Ltd16,272,000PA0.034997%
Goldman Sachs Group Inc/TheGoldman Sachs Group Inc/The16,892,000PA0.034996%
RSGRepublic Services Inc16,438,000PA0.034981%
Air Products and Chemicals IncAir Products and Chemicals Inc17,243,000PA0.034975%
Unilever Capital CorpUnilever Capital Corp17,019,000PA0.034974%
PEPPepsiCo Inc18,447,000PA0.03493%
SNPSSynopsys Inc16,650,000PA0.034925%
ATOAtmos Energy Corp16,996,000PA0.034918%
BXSLBlackstone Secured Lending Fund17,355,000PA0.034846%
Baker Hughes Holdings LLC / Baker Hughes Co-Obligor IncBaker Hughes Holdings LLC / Baker Hughes Co-Obligor Inc17,260,000PA0.034836%
CAGConagra Brands Inc17,570,500PA0.034831%
National Rural Utilities Cooperative Finance CorpNational Rural Utilities Cooperative Finance Corp16,501,000PA0.034822%
Virginia Electric and Power CoVirginia Electric and Power Co16,839,000PA0.034752%
Toyota Motor Credit CorpToyota Motor Credit Corp16,272,000PA0.034687%
BNSBank of Nova Scotia/The15,947,000PA0.034582%
HRLHormel Foods Corp18,275,000PA0.034545%
Astrazeneca Finance LLCAstrazeneca Finance LLC16,188,000PA0.034536%
ELVElevance Health Inc16,624,000PA0.034508%
BXSLBlackstone Secured Lending Fund16,641,000PA0.034487%
Westpac Banking CorpWestpac Banking Corp16,027,000PA0.034478%
DISWalt Disney Co/The17,644,000PA0.034458%
Lloyds Banking Group PLCLloyds Banking Group PLC16,360,000PA0.034442%
ERP Operating LPERP Operating LP16,513,000PA0.03443%
CDW LLC / CDW Finance CorpCDW LLC / CDW Finance Corp17,206,000PA0.034418%
ECLEcolab Inc16,163,000PA0.034395%
Hewlett Packard Enterprise CoHewlett Packard Enterprise Co16,171,000PA0.034379%
KOCoca-Cola Co/The17,474,000PA0.034372%
Lowe's Cos IncLowe's Cos Inc18,472,000PA0.034369%
VRSKVerisk Analytics Inc16,542,000PA0.034361%
DGXQuest Diagnostics Inc17,349,000PA0.034266%
Exxon Mobil CorpExxon Mobil Corp17,439,000PA0.034256%
ELVElevance Health Inc16,137,000PA0.03421%
BP Capital Markets PLCBP Capital Markets PLC16,535,000PA0.034184%
Fairfax Financial Holdings LtdFairfax Financial Holdings Ltd16,308,000PA0.034166%
RTXRTX Corp17,701,000PA0.034163%
Boston Properties LPBoston Properties LP15,780,000PA0.034107%
Lowe's Cos IncLowe's Cos Inc16,382,000PA0.034037%
Truist BankTruist Bank16,399,000PA0.034032%
AT&T IncAT&T Inc16,389,000PA0.03403%
AMTAmerican Tower Corp16,520,000PA0.033969%
KVUEKenvue Inc15,813,000PA0.033944%
IBMInternational Business Machines Corp15,989,000PA0.033923%
Xilinx IncXilinx Inc17,450,000PA0.033902%
CenterPoint Energy Houston Electric LLCCenterPoint Energy Houston Electric LLC15,807,000PA0.033821%
CCICrown Castle Inc17,053,000PA0.033815%
MRKMerck & Co Inc16,205,000PA0.033813%
AXA SAAXA SA13,866,000PA0.033778%
DISWalt Disney Co/The17,221,000PA0.033774%
AMGNAmgen Inc16,697,000PA0.033739%
Capital One Financial CorpCapital One Financial Corp16,332,000PA0.033713%
Extra Space Storage LPExtra Space Storage LP15,285,000PA0.033705%
Honda Motor Co LtdHonda Motor Co Ltd15,947,000PA0.033672%
DEDeere & Co16,736,000PA0.033648%
KOCoca-Cola Co/The16,264,000PA0.033637%
CNPCenterPoint Energy Inc15,601,000PA0.033607%
MDLZMondelez International Inc16,107,000PA0.033591%
ESEversource Energy16,384,000PA0.033581%
AJGArthur J Gallagher & Co16,053,000PA0.033553%
Xcel Energy IncXcel Energy Inc16,562,000PA0.03355%
SBUXStarbucks Corp16,155,000PA0.033547%
PGProcter & Gamble Co/The16,063,000PA0.033545%
VVisa Inc17,318,000PA0.033525%
NOCNorthrop Grumman Corp15,948,000PA0.033506%

SEC N-PORT snapshot as of .

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