ETF:VTC | ETF Holdings Page 19 | VANGUARD TOTAL CORPORATE BOND ETF

VTC ETF holdings Page 19

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 TOTAL CORPORATE BOND ETF
Report date2026-02-28
Reported holdings4,840
SEC series IDS000059555

Positions 1,801–1,900 of 4,840

TickerIssuerWeightValue (USD)Balance
PNCPNC Financial Services Group Inc/The0.020525%337,032.97370,000 PA
Highwoods Realty LPHighwoods Realty LP0.020492%336,501.07340,000 PA
DDominion Energy Inc0.020474%336,190.91410,000 PA
Rio Tinto Finance USA PLCRio Tinto Finance USA PLC0.020405%335,071.12321,000 PA
Royal Bank of CanadaRoyal Bank of Canada0.020405%335,065.25328,000 PA
ING Groep NVING Groep NV0.020404%335,043.04325,000 PA
HSBC Holdings PLCHSBC Holdings PLC0.020404%335,040.27364,000 PA
Pfizer Investment Enterprises Pte LtdPfizer Investment Enterprises Pte Ltd0.020401%334,995.99327,000 PA
HCA IncHCA Inc0.020401%334,995.82320,000 PA
AVGOBroadcom Inc0.020399%334,959.9331,000 PA
Nokia OyjNokia Oyj0.020388%334,789.83335,000 PA
AT&T IncAT&T Inc0.020385%334,742.24495,000 PA
Commonwealth Edison CoCommonwealth Edison Co0.020374%334,561335,000 PA
Canadian Imperial Bank of CommerceCanadian Imperial Bank of Commerce0.020356%334,264.02305,000 PA
METAMeta Platforms Inc0.020355%334,247.09329,000 PA
Brown UniversityBrown University0.02035%334,157.13490,000 PA
John Deere Capital CorpJohn Deere Capital Corp0.020347%334,114.04345,000 PA
Wyeth LLCWyeth LLC0.020318%333,635.89305,000 PA
Spectra Energy Partners LPSpectra Energy Partners LP0.020305%333,416.18385,000 PA
Medtronic Global Holdings SCAMedtronic Global Holdings SCA0.020291%333,196.81330,000 PA
Banco Santander SABanco Santander SA0.020291%333,190.75300,000 PA
Burlington Northern Santa Fe LLCBurlington Northern Santa Fe LLC0.020271%332,869.83320,000 PA
CSXCSX Corp0.020262%332,723.83425,000 PA
NatWest Group PLCNatWest Group PLC0.02025%332,521.21330,000 PA
Nomura Holdings IncNomura Holdings Inc0.020243%332,410.65325,000 PA
KOCoca-Cola Co/The0.020243%332,403.62350,000 PA
LEALear Corp0.020242%332,386.13360,000 PA
Mizuho Financial Group IncMizuho Financial Group Inc0.020201%331,721.65330,000 PA
America Movil SAB de CVAmerica Movil SAB de CV0.020201%331,706.99305,000 PA
Sumitomo Mitsui Financial Group IncSumitomo Mitsui Financial Group Inc0.02019%331,538.57300,000 PA
San Diego Gas & Electric CoSan Diego Gas & Electric Co0.020189%331,518.49318,000 PA
HSBC Holdings PLCHSBC Holdings PLC0.020176%331,297.78328,000 PA
TotalEnergies Capital SATotalEnergies Capital SA0.020169%331,182.79335,000 PA
American Water Capital CorpAmerican Water Capital Corp0.020168%331,179.4400,000 PA
Shell Finance US IncShell Finance US Inc0.020166%331,137.48362,000 PA
SBUXStarbucks Corp0.020159%331,018.56385,000 PA
Rio Tinto Alcan IncRio Tinto Alcan Inc0.020158%331,007.61300,000 PA
Commonwealth Edison CoCommonwealth Edison Co0.020157%330,993.15435,000 PA
PWRQuanta Services Inc0.020139%330,698.99325,000 PA
American Honda Finance CorpAmerican Honda Finance Corp0.020139%330,697.73329,000 PA
AT&T IncAT&T Inc0.020131%330,569.35326,000 PA
MMM3M Co0.020124%330,452.91335,000 PA
Electronic Arts IncElectronic Arts Inc0.020123%330,429.05350,000 PA
Kinder Morgan Energy Partners LPKinder Morgan Energy Partners LP0.020114%330,288.78354,000 PA
Cheniere Energy Partners LPCheniere Energy Partners LP0.020106%330,146.63354,000 PA
EQIXEquinix Inc0.020094%329,949.39510,000 PA
Mitsubishi UFJ Financial Group IncMitsubishi UFJ Financial Group Inc0.020092%329,930.06315,000 PA
SNPSSynopsys Inc0.020083%329,776.55330,000 PA
LMTLockheed Martin Corp0.020078%329,690.1310,000 PA
BDXBecton Dickinson & Co0.020074%329,632.81330,000 PA
Boeing Co/TheBoeing Co/The0.020074%329,621.86444,000 PA
NDAQNasdaq Inc0.020073%329,612.49460,000 PA
AerCap Ireland Capital DAC / AerCap Global Aviation TrustAerCap Ireland Capital DAC / AerCap Global Aviation Trust0.020061%329,414.69325,000 PA
Aon Corp / Aon Global Holdings PLCAon Corp / Aon Global Holdings PLC0.020059%329,379.13320,000 PA
Paramount GlobalParamount Global0.020053%329,289.77525,000 PA
CMICummins Inc0.020051%329,254.74320,000 PA
PMPhilip Morris International Inc0.020035%328,995.64320,000 PA
Wells Fargo & CoWells Fargo & Co0.02003%328,913.6332,000 PA
PMPhilip Morris International Inc0.02003%328,905.31305,000 PA
American Honda Finance CorpAmerican Honda Finance Corp0.020024%328,814.15325,000 PA
Southern Co/TheSouthern Co/The0.020021%328,756.66314,000 PA
Wells Fargo & CoWells Fargo & Co0.020016%328,671.23350,000 PA
Consolidated Edison Co of New York IncConsolidated Edison Co of New York Inc0.020016%328,670.53310,000 PA
STLDSteel Dynamics Inc0.019989%328,227.63320,000 PA
Duke Energy CorpDuke Energy Corp0.019969%327,900.98350,000 PA
AXPAmerican Express Co0.019969%327,898.75325,000 PA
Duke Energy Florida LLCDuke Energy Florida LLC0.019968%327,890.83360,000 PA
VZVerizon Communications Inc0.01996%327,755.13450,000 PA
America Movil SAB de CVAmerica Movil SAB de CV0.01996%327,751.52300,000 PA
OKEONEOK Inc0.019951%327,613.41325,000 PA
HSBC Holdings PLCHSBC Holdings PLC0.019946%327,523.8300,000 PA
Bristol-Myers Squibb CoBristol-Myers Squibb Co0.019945%327,507.71543,000 PA
Americold Realty Operating Partnership LPAmericold Realty Operating Partnership LP0.019929%327,246.22320,000 PA
GMGeneral Motors Co0.019916%327,030.13312,000 PA
PYPLPayPal Holdings Inc0.019914%326,994.72350,000 PA
TTWOTake-Two Interactive Software Inc0.019898%326,733.93335,000 PA
COPConocoPhillips Co0.019895%326,696.34314,000 PA
BAT International Finance PLCBAT International Finance PLC0.019868%326,253.81310,000 PA
Simon Property Group LPSimon Property Group LP0.019853%326,000.92295,000 PA
Morgan StanleyMorgan Stanley0.01984%325,794.36310,000 PA
HSBC Holdings PLCHSBC Holdings PLC0.019837%325,737.09320,000 PA
CNH Industrial Capital LLCCNH Industrial Capital LLC0.019818%325,430.38323,000 PA
Alabama Power CoAlabama Power Co0.019816%325,393.7325,000 PA
McDonald's CorpMcDonald's Corp0.019816%325,393.02310,000 PA
CNCCentene Corp0.019812%325,321.05375,000 PA
Bank of New York Mellon Corp/TheBank of New York Mellon Corp/The0.019803%325,184.56340,000 PA
Bank of America CorpBank of America Corp0.019778%324,765.14325,000 PA
WMTWalmart Inc0.019773%324,685.74318,000 PA
State Street CorpState Street Corp0.019745%324,225.75315,000 PA
MRKMerck & Co Inc0.019738%324,109.53321,000 PA
CMS-PBConsumers Energy Co0.019735%324,062.62440,000 PA
Adventist Health System/WestAdventist Health System/West0.019726%323,919.61320,000 PA
UNHUnitedHealth Group Inc0.01972%323,820.57355,000 PA
MRKMerck & Co Inc0.019719%323,799.72540,000 PA
General Motors Financial Co IncGeneral Motors Financial Co Inc0.019701%323,502.86350,000 PA
ONEOK Partners LPONEOK Partners LP0.019701%323,498.08312,000 PA
GLP Capital LP / GLP Financing II IncGLP Capital LP / GLP Financing II Inc0.019693%323,373.51325,000 PA
AMGNAmgen Inc0.019679%323,137.92370,000 PA
Barclays PLCBarclays PLC0.019672%323,029.55310,000 PA
PFEPfizer Inc0.01967%322,993.7325,000 PA

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