ETF:VCSH | ETF Holdings Page 17 | VANGUARD SHORT-TERM CORPORATE BOND INDEX FUND

Companies included in VCSH Page 17

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 1,601–1,700 of 2,892.

TickerIssuerShares ownedUnitReported weight
AEEAmeren Corp11,720,000PA0.023523%
National Rural Utilities Cooperative Finance CorpNational Rural Utilities Cooperative Finance Corp11,275,000PA0.023513%
CLColgate-Palmolive Co11,176,000PA0.023502%
GEGeneral Electric Co11,141,000PA0.02345%
KRKroger Co/The12,715,000PA0.023444%
HPS Corporate Lending FundHPS Corporate Lending Fund11,258,000PA0.023408%
NXP BV / NXP Funding LLC / NXP USA IncNXP BV / NXP Funding LLC / NXP USA Inc11,642,000PA0.023363%
Blackstone Private Credit FundBlackstone Private Credit Fund11,336,000PA0.023325%
Blackstone Private Credit FundBlackstone Private Credit Fund11,275,000PA0.023315%
Sands China LtdSands China Ltd11,375,000PA0.023301%
AMTAmerican Tower Corp11,286,000PA0.023293%
Deere Funding Canada CorpDeere Funding Canada Corp11,158,000PA0.023253%
Paramount GlobalParamount Global12,000,000PA0.023246%
American Water Capital CorpAmerican Water Capital Corp11,228,000PA0.023227%
WCNWaste Connections Inc11,298,000PA0.023217%
San Diego Gas & Electric CoSan Diego Gas & Electric Co10,919,000PA0.023208%
DINOHF Sinclair Corp11,181,000PA0.023153%
EQIXEquinix Inc11,486,000PA0.023107%
Rio Tinto Finance USA PLCRio Tinto Finance USA PLC11,069,000PA0.023096%
Blackstone Private Credit FundBlackstone Private Credit Fund11,500,000PA0.023094%
NUENucor Corp10,882,000PA0.023064%
LYB International Finance II BVLYB International Finance II BV11,200,000PA0.023064%
Prologis LPPrologis LP11,329,000PA0.023046%
LEGLeggett & Platt Inc11,171,000PA0.023045%
HCA IncHCA Inc11,328,000PA0.023042%
ROSTRoss Stores Inc12,426,000PA0.022947%
OGSONE Gas Inc10,716,000PA0.022936%
Public Service Electric and Gas CoPublic Service Electric and Gas Co11,274,000PA0.0229%
ORIX CorpORIX Corp10,778,000PA0.022851%
Oncor Electric Delivery Co LLCOncor Electric Delivery Co LLC11,558,000PA0.022843%
Host Hotels & Resorts LPHost Hotels & Resorts LP10,964,000PA0.02281%
AJGArthur J Gallagher & Co10,748,000PA0.022804%
OKEONEOK Inc10,140,000PA0.022745%
ICEIntercontinental Exchange Inc10,903,000PA0.02273%
Northern Trust CorpNorthern Trust Corp11,083,000PA0.022722%
BlackRock Funding Inc/DEBlackRock Funding Inc/DE11,621,000PA0.022721%
ZTSZoetis Inc10,957,000PA0.022716%
National Australia Bank Ltd/New YorkNational Australia Bank Ltd/New York10,720,000PA0.022707%
PACCAR Financial CorpPACCAR Financial Corp10,705,000PA0.022705%
Equinix Asia Financing Corp Pte LtdEquinix Asia Financing Corp Pte Ltd10,963,000PA0.022688%
Simon Property Group LPSimon Property Group LP12,000,000PA0.022682%
APHAmphenol Corp11,439,000PA0.02268%
HPS Corporate Lending FundHPS Corporate Lending Fund11,116,000PA0.022668%
SempraSempra11,045,000PA0.022634%
APAAPA Corp10,981,000PA0.02259%
Public Storage Operating CoPublic Storage Operating Co11,041,000PA0.022573%
IQVIQVIA Inc10,588,000PA0.022569%
AMATApplied Materials Inc11,931,000PA0.022537%
Canadian Imperial Bank of CommerceCanadian Imperial Bank of Commerce10,711,000PA0.022509%
ERP Operating LPERP Operating LP11,462,000PA0.022481%
XRAYDENTSPLY SIRONA Inc11,548,000PA0.022437%
Enterprise Products Operating LLCEnterprise Products Operating LLC10,700,000PA0.022392%
Nomura Holdings IncNomura Holdings Inc11,294,000PA0.022381%
ELVElevance Health Inc10,424,000PA0.022318%
JJacobs Solutions Inc10,750,000PA0.022294%
Nomura Holdings IncNomura Holdings Inc11,510,000PA0.022286%
OTFBlue Owl Technology Finance Corp10,804,000PA0.02228%
Progressive Corp/TheProgressive Corp/The10,894,000PA0.022278%
AVYAvery Dennison Corp11,406,000PA0.022276%
AEP Texas IncAEP Texas Inc11,643,000PA0.022246%
Lincoln National CorpLincoln National Corp11,403,000PA0.022228%
COPT Defense Properties LPCOPT Defense Properties LP11,360,000PA0.022214%
Comcast CorpComcast Corp12,150,000PA0.022209%
UHSUniversal Health Services Inc10,581,000PA0.022166%
ICEIntercontinental Exchange Inc10,656,000PA0.022121%
HONHoneywell International Inc10,525,000PA0.022062%
HASIHA Sustainable Infrastructure Capital Inc10,249,000PA0.022022%
EIXEdison International10,299,000PA0.021902%
PACCAR Financial CorpPACCAR Financial Corp10,476,000PA0.021883%
FISVFiserv Inc10,473,000PA0.021865%
ESEversource Energy10,501,000PA0.02183%
RRyder System Inc10,383,000PA0.021787%
American Honda Finance CorpAmerican Honda Finance Corp10,364,000PA0.021746%
INTUIntuit Inc11,625,000PA0.021735%
CommonSpirit HealthCommonSpirit Health10,772,000PA0.021725%
Northern Trust CorpNorthern Trust Corp10,688,000PA0.021724%
Toll Brothers Finance CorpToll Brothers Finance Corp10,418,000PA0.021709%
Air Lease CorpAir Lease Corp11,070,000PA0.021706%
TGTTarget Corp10,331,000PA0.021693%
FCXFreeport-McMoRan Inc10,474,000PA0.021677%
Assurant IncAssurant Inc10,674,000PA0.021633%
Toyota Motor Credit CorpToyota Motor Credit Corp9,805,000PA0.021621%
OTISOtis Worldwide Corp10,609,000PA0.021621%
VMware LLCVMware LLC10,218,000PA0.021614%
SNXTD SYNNEX Corp10,425,000PA0.021598%
ABBVAbbVie Inc10,000,000PA0.021555%
Connecticut Light and Power Co/TheConnecticut Light and Power Co/The10,064,000PA0.021535%
Synchrony FinancialSynchrony Financial10,432,000PA0.021513%
BP Capital Markets America IncBP Capital Markets America Inc10,115,000PA0.021465%
MOSMosaic Co/The10,035,000PA0.021456%
IEXIDEX Corp10,082,000PA0.021445%
SBUXStarbucks Corp10,000,000PA0.021443%
MSDLMorgan Stanley Direct Lending Fund10,301,000PA0.021382%
DISWalt Disney Co/The10,574,000PA0.021375%
Globe Life IncGlobe Life Inc11,270,000PA0.021334%
Mid-America Apartments LPMid-America Apartments LP10,325,000PA0.021323%
John Deere Capital CorpJohn Deere Capital Corp9,982,000PA0.02132%
CMICummins Inc10,000,000PA0.021311%
NVDANVIDIA Corp10,681,000PA0.021279%
ITC Holdings CorpITC Holdings Corp10,357,000PA0.021231%

SEC N-PORT snapshot as of .

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