ETF:VTC | ETF Holdings Page 33 | VANGUARD TOTAL CORPORATE BOND ETF

VTC ETF holdings Page 33

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 3,201–3,300 of 4,840

TickerIssuerWeightValue (USD)Balance
Lloyds Banking Group PLCLloyds Banking Group PLC0.01223%200,817.93200,000 PA
ABBVAbbVie Inc0.012223%200,710.45200,000 PA
HSBC Holdings PLCHSBC Holdings PLC0.012218%200,620.93210,000 PA
T-Mobile USA IncT-Mobile USA Inc0.012217%200,617.65200,000 PA
ABBVAbbVie Inc0.012217%200,615.89200,000 PA
Northern Trust CorpNorthern Trust Corp0.012216%200,602.99200,000 PA
Deutsche Bank AG/New York NYDeutsche Bank AG/New York NY0.012216%200,601.1200,000 PA
Astrazeneca Finance LLCAstrazeneca Finance LLC0.012211%200,517.83200,000 PA
OCOwens Corning0.01221%200,493.84205,000 PA
PYPLPayPal Holdings Inc0.012208%200,471.13200,000 PA
DISWalt Disney Co/The0.012204%200,400.86200,000 PA
HSBC Holdings PLCHSBC Holdings PLC0.012201%200,355.27200,000 PA
Florida Power & Light CoFlorida Power & Light Co0.0122%200,338.29240,000 PA
ABBVAbbVie Inc0.012197%200,275.48200,000 PA
ABTAbbott Laboratories0.012191%200,192.58200,000 PA
ERP Operating LPERP Operating LP0.012191%200,180.29200,000 PA
Santander UK Group Holdings PLCSantander UK Group Holdings PLC0.012189%200,147.23200,000 PA
Caterpillar Financial Services CorpCaterpillar Financial Services Corp0.012188%200,138.1200,000 PA
STLDSteel Dynamics Inc0.012188%200,128.94200,000 PA
EMNEastman Chemical Co0.012188%200,127.34200,000 PA
APHAmphenol Corp0.012186%200,107.28197,000 PA
Triton Container International Ltd / TAL International Container CorpTriton Container International Ltd / TAL International Container Corp0.012182%200,041.67200,000 PA
JPMorgan Chase & CoJPMorgan Chase & Co0.01218%200,006.35200,000 PA
Banco Bilbao Vizcaya Argentaria SABanco Bilbao Vizcaya Argentaria SA0.01218%199,997.17200,000 PA
Astrazeneca Finance LLCAstrazeneca Finance LLC0.012178%199,965.25200,000 PA
EIXEdison International0.012173%199,896.66200,000 PA
Rexford Industrial Realty LPRexford Industrial Realty LP0.012162%199,707.01225,000 PA
Piedmont Natural Gas Co IncPiedmont Natural Gas Co Inc0.01216%199,668.79195,000 PA
VRSKVerisk Analytics Inc0.012155%199,599.53200,000 PA
Ares Strategic Income FundAres Strategic Income Fund0.012155%199,587.12203,000 PA
Capital One Financial CorpCapital One Financial Corp0.01215%199,517.26200,000 PA
Baidu IncBaidu Inc0.012146%199,446.18200,000 PA
Extra Space Storage LPExtra Space Storage LP0.012144%199,408200,000 PA
Bank of America CorpBank of America Corp0.012141%199,356.53309,000 PA
CVSCVS Health Corp0.012139%199,327.49200,000 PA
WYWeyerhaeuser Co0.012136%199,286.13215,000 PA
GILDGilead Sciences Inc0.012135%199,260.44200,000 PA
Laboratory Corp of America HoldingsLaboratory Corp of America Holdings0.012133%199,233.68200,000 PA
Ares Strategic Income FundAres Strategic Income Fund0.012132%199,221.97200,000 PA
CSXCSX Corp0.012132%199,211.48200,000 PA
EMNEastman Chemical Co0.01213%199,190.56230,000 PA
Wells Fargo & CoWells Fargo & Co0.012115%198,936.91200,000 PA
AMGNAmgen Inc0.012112%198,880.29200,000 PA
TUTELUS Corp0.01211%198,859.47200,000 PA
Mitsubishi UFJ Financial Group IncMitsubishi UFJ Financial Group Inc0.01211%198,858.65200,000 PA
AMGNAmgen Inc0.01211%198,847.98190,000 PA
Kaiser Foundation HospitalsKaiser Foundation Hospitals0.012109%198,846.44200,000 PA
Progressive Corp/TheProgressive Corp/The0.012102%198,723.21265,000 PA
Toyota Motor Credit CorpToyota Motor Credit Corp0.012101%198,710.46200,000 PA
Dell International LLC / EMC CorpDell International LLC / EMC Corp0.012096%198,617.2200,000 PA
ETNEaton Corp0.01209%198,521.49200,000 PA
Avangrid IncAvangrid Inc0.012086%198,453.7200,000 PA
Apollo Debt Solutions BDCApollo Debt Solutions BDC0.012084%198,425.53200,000 PA
Bristol-Myers Squibb CoBristol-Myers Squibb Co0.012081%198,374.29200,000 PA
PKGPackaging Corp of America0.01208%198,360.29200,000 PA
Novartis Capital CorpNovartis Capital Corp0.01208%198,358.8200,000 PA
Duke Energy Progress LLCDuke Energy Progress LLC0.012079%198,346.53310,000 PA
John Deere Capital CorpJohn Deere Capital Corp0.012076%198,298.5200,000 PA
Westpac Banking CorpWestpac Banking Corp0.012075%198,279.45200,000 PA
HDHome Depot Inc/The0.012075%198,273.26200,000 PA
MARMarriott International Inc/MD0.012069%198,179.18200,000 PA
Appalachian Power CoAppalachian Power Co0.012067%198,155.22200,000 PA
Union Electric CoUnion Electric Co0.012067%198,143.67200,000 PA
LLYEli Lilly & Co0.012064%198,100.06195,000 PA
Toyota Motor CorpToyota Motor Corp0.012061%198,055.01205,000 PA
Novartis Capital CorpNovartis Capital Corp0.012056%197,975200,000 PA
Truist Financial CorpTruist Financial Corp0.012054%197,928.96185,000 PA
Duke Energy CorpDuke Energy Corp0.012053%197,919.97200,000 PA
PNC Bank NAPNC Bank NA0.012047%197,818.01200,000 PA
CCICrown Castle Inc0.012045%197,787.36200,000 PA
Corning IncCorning Inc0.012045%197,783.47200,000 PA
Enbridge IncEnbridge Inc0.012039%197,686.49195,000 PA
VTRSViatris Inc0.012038%197,673.53251,000 PA
National Rural Utilities Cooperative Finance CorpNational Rural Utilities Cooperative Finance Corp0.012033%197,587.54200,000 PA
Bank of New York Mellon Corp/TheBank of New York Mellon Corp/The0.012031%197,556.62190,000 PA
ESEversource Energy0.012022%197,414.17200,000 PA
ITGartner Inc0.01201%197,208.49200,000 PA
Children's Hospital of Philadelphia/TheChildren's Hospital of Philadelphia/The0.012002%197,079.08305,000 PA
AMTAmerican Tower Corp0.011987%196,830.76200,000 PA
State Street CorpState Street Corp0.011977%196,670.63197,000 PA
Ares Strategic Income FundAres Strategic Income Fund0.011976%196,660.9200,000 PA
SCCOSouthern Copper Corp0.011965%196,478.54165,000 PA
UPSUnited Parcel Service Inc0.011964%196,450.68250,000 PA
HCA IncHCA Inc0.011962%196,419.3200,000 PA
PMPhilip Morris International Inc0.011961%196,402.01194,000 PA
ADPAutomatic Data Processing Inc0.011959%196,377.74205,000 PA
ELVElevance Health Inc0.011953%196,282.15200,000 PA
Sun Communities Operating LPSun Communities Operating LP0.011944%196,124.06200,000 PA
Sumitomo Mitsui Financial Group IncSumitomo Mitsui Financial Group Inc0.011939%196,044.19260,000 PA
DTE Energy CoDTE Energy Co0.011937%196,009.55200,000 PA
SWKStanley Black & Decker Inc0.011933%195,949.14200,000 PA
HDHome Depot Inc/The0.011931%195,908.09196,000 PA
VZVerizon Communications Inc0.011919%195,725.92200,000 PA
DLTRDollar Tree Inc0.011915%195,659.56195,000 PA
Mizuho Financial Group IncMizuho Financial Group Inc0.011879%195,054.67200,000 PA
ABBVAbbVie Inc0.011859%194,725.47210,000 PA
DVNDevon Energy Corp0.011852%194,610.47200,000 PA
AVAAvista Corp0.01184%194,414.82250,000 PA
ERP Operating LPERP Operating LP0.011837%194,369.03200,000 PA
TRGPTarga Resources Corp0.011834%194,319.62200,000 PA

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