ETF:VTC | ETF Holdings Page 21 | VANGUARD TOTAL CORPORATE BOND ETF

Companies included in VTC Page 21

This is VTC'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 2,001–2,100 of 4,840.

TickerIssuerShares ownedUnitReported weight
NVDANVIDIA Corp340,000PA0.018849%
SPGIS&P Global Inc410,000PA0.018838%
IRIngersoll Rand Inc295,000PA0.018837%
Newmont CorpNewmont Corp305,000PA0.018834%
ORIX CorpORIX Corp310,000PA0.018833%
AJGArthur J Gallagher & Co305,000PA0.018832%
LLYEli Lilly & Co305,000PA0.018832%
BAT Capital CorpBAT Capital Corp270,000PA0.01883%
CINFCincinnati Financial Corp291,000PA0.018828%
MRKMerck & Co Inc340,000PA0.018818%
Charles Schwab Corp/TheCharles Schwab Corp/The321,000PA0.018797%
AMATApplied Materials Inc285,000PA0.018793%
ORIOld Republic International Corp425,000PA0.018782%
Banco Santander SABanco Santander SA330,000PA0.018782%
Bank of New York Mellon Corp/TheBank of New York Mellon Corp/The325,000PA0.018782%
SHWSherwin-Williams Co/The300,000PA0.018774%
Oaktree Strategic Credit FundOaktree Strategic Credit Fund310,000PA0.018765%
ECLEcolab Inc350,000PA0.018764%
Embraer Netherlands Finance BVEmbraer Netherlands Finance BV287,000PA0.018757%
Enstar Group LtdEnstar Group Ltd342,000PA0.018742%
MRKMerck & Co Inc490,000PA0.018735%
Wells Fargo & CoWells Fargo & Co295,000PA0.018713%
TMOThermo Fisher Scientific Inc305,000PA0.018711%
ESEversource Energy305,000PA0.018707%
RSGRepublic Services Inc295,000PA0.018704%
MPLX LPMPLX LP300,000PA0.018691%
Bristol-Myers Squibb CoBristol-Myers Squibb Co340,000PA0.018672%
SWKStanley Black & Decker Inc305,000PA0.018653%
Nomura Holdings IncNomura Holdings Inc300,000PA0.018637%
General Motors Financial Co IncGeneral Motors Financial Co Inc300,000PA0.018623%
Royal Bank of CanadaRoyal Bank of Canada300,000PA0.018618%
ELVElevance Health Inc305,000PA0.018615%
Alphabet IncAlphabet Inc315,000PA0.018604%
AREAlexandria Real Estate Equities Inc351,000PA0.0186%
Takeda Pharmaceutical Co LtdTakeda Pharmaceutical Co Ltd445,000PA0.018595%
Public Storage Operating CoPublic Storage Operating Co300,000PA0.018554%
BNSBank of Nova Scotia/The310,000PA0.018553%
CATCaterpillar Inc335,000PA0.018538%
Canadian Imperial Bank of CommerceCanadian Imperial Bank of Commerce300,000PA0.018537%
ALLYAlly Financial Inc295,000PA0.01853%
Toronto-Dominion Bank/TheToronto-Dominion Bank/The323,000PA0.018528%
CAGConagra Brands Inc300,000PA0.018526%
FirstEnergy Transmission LLCFirstEnergy Transmission LLC300,000PA0.01851%
CNICanadian National Railway Co500,000PA0.018509%
APHAmphenol Corp300,000PA0.018502%
Arch Capital Group LtdArch Capital Group Ltd410,000PA0.018501%
Mitsubishi UFJ Financial Group IncMitsubishi UFJ Financial Group Inc305,000PA0.018499%
Constellation Energy Generation LLCConstellation Energy Generation LLC299,000PA0.018494%
IBM International Capital Pte LtdIBM International Capital Pte Ltd300,000PA0.018493%
Southern Co Gas Capital CorpSouthern Co Gas Capital Corp346,000PA0.018486%
PGProcter & Gamble Co/The300,000PA0.018485%
BAXBaxter International Inc321,000PA0.018485%
VVisa Inc300,000PA0.018482%
VVisa Inc300,000PA0.018472%
Equinix Europe 2 Financing Corp LLCEquinix Europe 2 Financing Corp LLC300,000PA0.01847%
CAGConagra Brands Inc315,000PA0.018467%
OKEONEOK Inc280,000PA0.018467%
NextEra Energy Capital Holdings IncNextEra Energy Capital Holdings Inc300,000PA0.018466%
ELVElevance Health Inc340,000PA0.018445%
APHAmphenol Corp302,000PA0.018433%
Sumitomo Mitsui Financial Group IncSumitomo Mitsui Financial Group Inc315,000PA0.018432%
Boardwalk Pipelines LPBoardwalk Pipelines LP320,000PA0.018429%
T-Mobile USA IncT-Mobile USA Inc327,000PA0.018429%
GEGeneral Electric Co295,000PA0.018415%
Comcast CorpComcast Corp289,000PA0.018409%
Shell Finance US IncShell Finance US Inc290,000PA0.018404%
Public Storage Operating CoPublic Storage Operating Co290,000PA0.018403%
CNH Industrial Capital LLCCNH Industrial Capital LLC300,000PA0.018394%
CNICanadian National Railway Co300,000PA0.018388%
CommonSpirit HealthCommonSpirit Health300,000PA0.018384%
AVGOBroadcom Inc350,000PA0.018379%
Northwestern Memorial Healthcare Obligated GroupNorthwestern Memorial Healthcare Obligated Group475,000PA0.018363%
Dominion Energy South Carolina IncDominion Energy South Carolina Inc330,000PA0.01836%
Boeing Co/TheBoeing Co/The350,000PA0.018355%
SJMJ M Smucker Co/The275,000PA0.018355%
AT&T IncAT&T Inc325,000PA0.018354%
HPS Corporate Lending FundHPS Corporate Lending Fund305,000PA0.018347%
Equinix Europe 2 Financing Corp LLCEquinix Europe 2 Financing Corp LLC300,000PA0.018339%
AVGOBroadcom Inc390,000PA0.018322%
Mitsubishi UFJ Financial Group IncMitsubishi UFJ Financial Group Inc320,000PA0.018317%
GILDGilead Sciences Inc285,000PA0.018316%
MyMichigan HealthMyMichigan Health415,000PA0.018308%
ATRAptarGroup Inc315,000PA0.018302%
Southern California Edison CoSouthern California Edison Co315,000PA0.018284%
US BancorpUS Bancorp295,000PA0.018282%
Mid-America Apartments LPMid-America Apartments LP295,000PA0.01828%
ABTAbbott Laboratories300,000PA0.018275%
Charles Schwab Corp/TheCharles Schwab Corp/The300,000PA0.018271%
Dell International LLC / EMC CorpDell International LLC / EMC Corp299,000PA0.018258%
ABTAbbott Laboratories300,000PA0.018253%
PacifiCorpPacifiCorp390,000PA0.018252%
Oracle CorpOracle Corp435,000PA0.018249%
Progress Energy IncProgress Energy Inc260,000PA0.018248%
BDXBecton Dickinson & Co315,000PA0.018247%
Baltimore Gas and Electric CoBaltimore Gas and Electric Co285,000PA0.018229%
Virginia Electric and Power CoVirginia Electric and Power Co300,000PA0.018226%
ABTAbbott Laboratories300,000PA0.018206%
PNCPNC Financial Services Group Inc/The296,000PA0.018202%
CICigna Group/The385,000PA0.0182%
CVSCVS Health Corp295,000PA0.018194%

SEC N-PORT snapshot as of .

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