ETF Components for BIV - Vanguard Intermediate-Term Bond ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
WIT B -1.03 0.35
DT C -2.82 0.11
MSFT D -2.79 0.10
AXP A -0.50 0.05
DD D -1.48 0.05
ABBV F -2.74 0.05
BIIB F -2.97 0.04
MS A 1.23 0.04
WFC A 2.12 0.04
TMUS A -0.90 0.04
CB C 0.37 0.03
KOF F 0.17 0.03
DLTR F -2.24 0.03
SLB C -0.62 0.03
RJF A 0.33 0.03
CAH B -2.07 0.03
BWA A 0.20 0.03
BMO A -0.24 0.03
ESGR B 0.06 0.03
NOW B -2.73 0.03
TSN A 0.48 0.03
NVDA B -3.26 0.03
BABA D -2.20 0.03
LVS C -1.17 0.02
NI A 1.53 0.02
LRCX F -6.34 0.02
LMT D -0.77 0.02
MRO A -0.52 0.02
INVH D 0.75 0.02
KLAC F -4.73 0.02
EOG A -0.47 0.02
EBAY D -1.40 0.02
CTAS B -0.67 0.02
BR A 0.10 0.02
ADI D -2.78 0.02
CPB D -2.92 0.02
UHS D 0.34 0.02
XRAY F 2.29 0.02
QRVO F -1.04 0.02
MOS D 0.23 0.02
MET A 0.88 0.02
LDOS C -4.35 0.02
MTB A 0.69 0.02
HST D -1.15 0.02
HPQ B 0.63 0.02
HIG C 1.31 0.02
HAL C -1.39 0.02
EFX F -5.32 0.02
DAL A -1.20 0.02
EA A -1.68 0.02
DXC C -4.01 0.02
DOX D -2.02 0.02
ETN A -0.79 0.02
BC D -0.84 0.02
CNO A -0.26 0.02
ADP B -1.44 0.02
ADM D 1.60 0.02
CHRW A -1.16 0.02
ARCC A -0.32 0.02
AAP D -8.52 0.02
AMG A -0.42 0.02
TEL C -3.20 0.02
SYK A 1.77 0.02
SYF A 0.14 0.02
VRSN D -1.89 0.02
ZBH C 3.39 0.02
TRMB A -0.17 0.02
PGR B -0.67 0.02
RL B -1.46 0.02
DOC D -1.84 0.02
REGN F -3.28 0.02
ADBE F -5.00 0.02
MCD D -1.99 0.02
DLR A 0.82 0.02
NEM F 0.61 0.02
MU D -2.86 0.02
GSK F 0.00 0.02
WAB B -0.78 0.02
WY D 0.23 0.02
PH A 0.18 0.02
EXPE A -0.50 0.02
GD D -1.51 0.02
PYPL A 0.05 0.02
CHTR B -1.19 0.02
CRM A -1.93 0.02
DFS A 1.29 0.02
CAG F -2.73 0.02
SYY D -0.01 0.02
MPLX A 1.34 0.02
VTRS A 1.66 0.02
ET A 0.82 0.02
MMC C 0.29 0.02
BSX B -0.69 0.02
GOOGL B -1.76 0.02
QCOM F -2.12 0.02
NWG A 1.20 0.02
MRK F -2.08 0.02
HCA D -0.74 0.02
FOXA A -3.88 0.02
CARR D -0.59 0.02
NOC D -1.27 0.02
GE D -0.82 0.02
VOD D 1.04 0.02
MUFG A -3.23 0.02
AMZN B -4.19 0.02
WTFC A 0.62 0.01
SKT A 0.36 0.01
RS B 0.15 0.01
ROST D -1.15 0.01
PWR A -0.17 0.01
REXR F 0.65 0.01
SAVE F -18.18 0.01
GBDC A 0.00 0.01
ALLE D -1.10 0.01
AXS A 1.94 0.01
AVT C 0.06 0.01
CMA A -1.66 0.01
CHD A 1.32 0.01
CE F -0.22 0.01
CBT C -0.34 0.01
THG A 0.86 0.01
UNM A 1.32 0.01
TME F 2.41 0.01
NOV D -1.48 0.01
NDAQ A 0.90 0.01
OGS A 1.63 0.01
IFF D -3.61 0.01
L A 1.05 0.01
JCI A -0.87 0.01
KMT B -0.80 0.01
KMPR A 0.84 0.01
EPRT C 0.61 0.01
VNO B -2.47 0.01
WU F 2.55 0.01
TKR F 0.84 0.01
WLK F -0.02 0.01
PNW A 1.12 0.01
SNA A -0.20 0.01
RNR D 1.25 0.01
SF A -0.98 0.01
PSEC F 0.91 0.01
DOV A -0.45 0.01
AFG A -0.14 0.01
APTV F -2.04 0.01
WBS A 0.62 0.01
LII B -1.25 0.01
OCSL D -0.06 0.01
MDT D 1.78 0.01
MCY A -0.54 0.01
PDM D -1.97 0.01
MP B -1.56 0.01
KRG B -0.56 0.01
EMN C 0.85 0.01
FSK A 0.24 0.01
LXP D -0.86 0.01
OSK C -2.34 0.01
MKL A -0.14 0.01
OPI F -3.20 0.01
BEN C 0.42 0.01
BDN D -0.38 0.01
AMH C 0.24 0.01
WEC A 1.92 0.01
WB F 1.83 0.01
ZION A -0.15 0.01
VRSK B -1.86 0.01
VNT C -2.21 0.01
WPC D 1.68 0.01
R A -1.97 0.01
SITC D -0.89 0.01
PKG B 0.09 0.01
RPM A -0.54 0.01
PHM D -0.42 0.01
PFG C 0.23 0.01
SCS A -0.30 0.01
SAFE F 0.50 0.01
PPG F -0.80 0.01
SON D -0.48 0.01
SNX D -0.35 0.01
FMC F -1.96 0.01
FLS A 0.07 0.01
FLO D -1.19 0.01
EW C 2.42 0.01
BBY C 1.18 0.01
ALL A 0.56 0.01
BAX F 0.82 0.01
AIZ A 1.55 0.01
CMI A -0.52 0.01
CME A 0.83 0.01
AVB A 0.65 0.01
AGR A 0.59 0.01
AGO A -0.57 0.01
ATO A 0.38 0.01
CINF A 1.49 0.01
AEE A 1.67 0.01
ARW D -0.02 0.01
ADC A 0.50 0.01
ACGL C 1.78 0.01
BKU A 0.10 0.01
AAT C -0.88 0.01
OGE A 2.37 0.01
NVT B -1.53 0.01
MCO C -1.82 0.01
NUE D 0.48 0.01
GPC D -0.99 0.01
GP F -4.31 0.01
HR C 0.58 0.01
HP C -0.27 0.01
INTU A -1.84 0.01
HIW D -0.50 0.01
GILD B -4.03 0.01
JD C 4.95 0.01
IEX B -0.68 0.01
GXO B -1.84 0.01
EPR D 0.11 0.01
DHR D -3.71 0.01
DHI D -1.30 0.01
FTNT A -0.28 0.01
FRT B 0.15 0.01
STE D -0.48 0.01
WTRG C 0.89 0.01
RYN D 0.84 0.01
ROK A -0.10 0.01
RF A 0.34 0.01
SBRA C 1.34 0.01
REG A 0.00 0.01
PRE F -6.44 0.01
MAS D -0.97 0.01
NHI D 0.54 0.01
NEU C 0.91 0.01
MLM B -0.84 0.01
MHK D -0.01 0.01
LIN D -0.97 0.01
CNH D 2.25 0.01
AYI A -1.14 0.01
BRO B 0.47 0.01
BNS A 0.22 0.01
BKH A 0.10 0.01
AAL B 0.91 0.01
BERY D 0.71 0.01
AMCR C 0.39 0.01
CP D -2.48 0.01
UDR C -0.54 0.01
WBA F -3.75 0.01
TD D -1.22 0.01
TSCO D -0.51 0.01
SWX A 1.10 0.01
SWKS F -0.37 0.01
VOYA A 0.10 0.01
XYL D 0.12 0.01
VMC B -1.20 0.01
KEX A -1.47 0.01
ITW B 0.28 0.01
HUBB B -0.56 0.01
HSY F -4.48 0.01
HPP F -7.30 0.01
JNPR D -4.95 0.01
ILMN C -5.05 0.01
KSS F -3.33 0.01
KRC C -1.52 0.01
EIX C 1.89 0.01
DVN F -2.31 0.01
CTVA D -3.83 0.01
FAF C 0.22 0.01
EXR C 0.69 0.01
DRI B -1.13 0.01
DSS F -0.93 0.01
NFG A 1.08 0.01
LLY F -4.93 0.01
OC A -0.65 0.01
LEG F 0.17 0.01
NVR D -1.67 0.01
MRVL B -3.16 0.01
NSC B -1.32 0.01
KIM A 0.69 0.01
MAA A 0.46 0.01
ORLY A -0.90 0.01
LNT A 2.49 0.01
OMC C -7.79 0.01
LAZ B -1.36 0.01
NTRS A 1.55 0.01
KEYS C -2.80 0.01
K B -0.35 0.01
HUN F 1.35 0.01
HRB D 1.59 0.01
IPG F -7.23 0.01
INGR B -5.60 0.01
HII F -0.91 0.01
HBAN A 0.91 0.01
JBL C -0.54 0.01
KR B -1.26 0.01
EMR A -1.32 0.01
DGX A 2.30 0.01
DE D 1.09 0.01
ED D 1.26 0.01
CUBE C 0.83 0.01
FLEX B -1.17 0.01
DOW F -1.23 0.01
FITB A -0.57 0.01
AL A -1.08 0.01
CNP A 2.94 0.01
CMS C 1.22 0.01
AVY D -1.09 0.01
ADSK B -2.45 0.01
CFG A 0.43 0.01
BIDU F 0.62 0.01
APD A 0.39 0.01
UPS C 1.08 0.01
TGT D -0.87 0.01
WELL A 1.19 0.01
TXT D -1.38 0.01
TT A -0.64 0.01
SUI D 0.86 0.01
VFC B -0.59 0.01
TJX A 0.05 0.01
WM B -1.72 0.01
PM A 0.30 0.01
SJM F -2.51 0.01
RPRX F 1.30 0.01
ROP C -2.93 0.01
PSA C 0.97 0.01
SO C 1.33 0.01
NNN D 0.88 0.01
LNC A 1.17 0.01
LH B -1.25 0.01
LEA F -0.47 0.01
NTAP D -0.73 0.01
MPC D -0.39 0.01
KEY A 0.10 0.01
HUM F -2.64 0.01
GLPI D 0.96 0.01
GL B 0.17 0.01
JEF A 0.95 0.01
HAS D -1.35 0.01
H B -3.06 0.01
KMB C 1.82 0.01
ESS A -0.32 0.01
ES C 0.60 0.01
EQR C 0.71 0.01
EL F -1.67 0.01
FNF C -0.39 0.01
CSL B -0.94 0.01
EVRG A 1.53 0.01
ETR A 1.41 0.01
AZO C -0.91 0.01
CNA C 1.26 0.01
AWK C 1.67 0.01
CLX A 1.14 0.01
BRX A 0.52 0.01
AES F -0.21 0.01
A D -2.42 0.01
BG D 2.88 0.01
CBOE D 1.15 0.01
AN D -1.30 0.01
TXN C -2.37 0.01
VTR C 0.14 0.01
SWK F -0.43 0.01
ZTS D 0.29 0.01
STLD B 1.16 0.01
PSX C 0.89 0.01
RGA A 1.06 0.01
SPGI C -1.44 0.01
AZN F -2.78 0.01
AFL C 1.50 0.01
AER B 0.15 0.01
BLK A 0.03 0.01
BK A 0.93 0.01
BHF A -0.23 0.01
APH B -2.80 0.01
CCI D 0.86 0.01
AMAT F -9.20 0.01
LEN D -0.56 0.01
MSI A -0.95 0.01
GPN B -0.18 0.01
GIS D -2.32 0.01
ICE D -0.59 0.01
EQNR D 1.14 0.01
EQIX B -0.08 0.01
FDX A 0.74 0.01
ECL D -0.96 0.01
NKE D 1.29 0.01
PAA A 0.23 0.01
MKC D -1.27 0.01
MA A 0.29 0.01
LYB F 0.11 0.01
MMM D -1.91 0.01
OHI C 0.73 0.01
O D 0.84 0.01
NXPI F -3.09 0.01
HRL D -3.95 0.01
UNP D 0.00 0.01
TDY B -1.35 0.01
STT A 1.38 0.01
VLO C 0.10 0.01
TMO D -3.74 0.01
WEST D -1.91 0.01
WHR A 0.02 0.01
PLD D -1.16 0.01
RSG B -0.68 0.01
PG C 1.47 0.01
FANG D -3.19 0.01
CSX B -1.40 0.01
BXP D -1.18 0.01
XEL A 0.80 0.01
SRE A 1.93 0.01
PRU A 1.32 0.01
PEG C 2.29 0.01
SBUX A -0.20 0.01
SPG A 1.10 0.01
AEP C 2.72 0.01
AON A 0.79 0.01
GM A -1.01 0.01
EQH B -0.44 0.01
DTE C 0.57 0.01
FIS B -0.72 0.01
CAT B -0.85 0.01
STZ D -1.86 0.01
EPD A 0.91 0.01
DG F -1.52 0.01
DB C 1.49 0.01
COF A 1.17 0.01
MO A 0.97 0.01
OTIS D -0.23 0.01
OKE A 1.79 0.01
LHX B -0.47 0.01
MDLZ F -1.63 0.01
KDP D -5.15 0.01
WMB A 1.75 0.01
V A 0.45 0.01
SHW B -2.26 0.01
PEP F -3.95 0.01
DUK C 2.31 0.01
EXC C 2.60 0.01
AMT D 0.86 0.01
COP C -0.53 0.01
USB B -0.81 0.01
HON A -0.24 0.01
JNJ D 1.40 0.01
HD A 0.61 0.01
D C 2.56 0.01
CVX A -0.23 0.01
MAR A -1.15 0.01
LUV A 0.56 0.01
CPT D -0.48 0.01
AMGN D -4.16 0.01
TFC A 0.65 0.01
PFE F -4.69 0.01
SCHW A 0.56 0.01
BKNG A 0.08 0.01
ARE D -2.48 0.01
ABT B 0.76 0.01
INTC C -2.72 0.01
HES B 0.40 0.01
KO D -1.29 0.01
PNC A -0.13 0.01
DIS A 5.46 0.01
LOW A -0.35 0.01
UNH B -0.16 0.01
AIG B 0.03 0.01
KMI A 1.91 0.01
WMT A -0.26 0.01
AAPL C -1.41 0.01
BDX F -0.89 0.01
DELL C -2.08 0.01
NEE C 1.42 0.01
XOM B -1.04 0.01
CI D -0.73 0.01
COST B -1.82 0.01
RTX D 0.20 0.01
IBM D -1.91 0.01
UAL A 0.01 0.01
ORCL A -1.77 0.01
PCG A 0.24 0.01
AVGO C -3.25 0.01
CVS F -3.45 0.01
GS A 0.84 0.01
T A 1.93 0.01
JPM A 1.42 0.01
HSBC A 1.78 0.01
VZ C 1.91 0.01
BMY B -3.90 0.01
CMCSA B -1.38 0.01
BA F 1.48 0.01
C A 0.90 0.01
BAC A 1.85 0.01

Recent News for Vanguard Intermediate-Term Bond ETF & its Holdings

Date Stock Title
Nov 16 NVDA OpenAI Has a Warning for Nvidia. Is the AI Bubble Bursting?
Nov 16 NVDA Nvidia, Walmart, And Deere Report Quarterly Results Next Week
Nov 16 SAVE Benzinga Bulls And Bears: Tesla, Disney, Gold — And Hedge Funds Project Bitcoin To Hit $100K-$150K
Nov 16 DIS Benzinga Bulls And Bears: Tesla, Disney, Gold — And Hedge Funds Project Bitcoin To Hit $100K-$150K
Nov 16 AMZN Cathie Wood buys $38 million of tech stock titan
Nov 16 JD Is JD.com, Inc. (NASDAQ:JD) a Promising Cheap Chinese Stocks?
Nov 16 LLY Lilly's tirzepatide reduced the risk of worsening heart failure events by 38% in adults with heart failure with preserved ejection fraction (HFpEF) and obesity
Nov 16 NVDA Notable analyst calls this week: Okta, Nvidia and Twilio among top picks
Nov 16 NVDA The Stock Market Beyond Nvidia: Walmart, Target Earnings, And Bitcoin's March To $100K
Nov 16 NVDA Is AMD Stock Finally Better Than NVDA Stock After a 36% Decline?
Nov 16 NVDA This Magnificent Artificial Intelligence (AI) Stock Has Crushed Nvidia in the Past Year. Can It Continue to Skyrocket in 2025?
Nov 16 LLY The weight-loss frenzy is making some pharma stocks much more volatile. Will the drama continue?
Nov 16 AMZN The weight-loss frenzy is making some pharma stocks much more volatile. Will the drama continue?
Nov 16 NVDA 2 Artificial Intelligence (AI) Stocks to Buy on the Dip
Nov 16 AMZN Nvidia earnings on deck as AI kingpin tightens grip on $1 trillion market
Nov 16 NVDA Nvidia earnings on deck as AI kingpin tightens grip on $1 trillion market
Nov 16 NVDA Is NVIDIA (NASDAQ:NVDA) A Risky Investment?
Nov 16 AMZN The 3 Smartest Buffett Stocks to Buy Right Now
Nov 16 PYPL 2 Stocks That Could Be Easy Wealth Builders
Nov 16 PYPL 2 Stocks That Could Crush the Market in 2025
The investment seeks the performance of a market-weighted bond index with an intermediate-term dollar-weighted average maturity. The fund employs an indexing investment approach designed to track the performance of the Barclays U.S. 5-10 Year Government/Credit Float Adjusted Index. This Index includes all medium and larger issues of U.S. government, investment-grade corporate, and investment-grade international dollar-denominated bonds that have maturities between 5 and 10 years and are publicly issued. All of the fund's investments will be selected through the sampling process, and at least 80% of the fund's assets will be invested in bonds held in the index.
Exchange Traded Fund ETF Bond U.S. Government Bond Fund Bloomberg Barclays Us Aggregate Bond Index Bond Market Indices Merrill Lynch Year Government
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