ETF Components for VCSH - Vanguard Short-Term Corporate 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
V A -0.52 0.13
TAP C 0.37 0.10
CARR D -0.33 0.09
MDT C -2.21 0.08
BIIB F -0.28 0.08
DD C 2.68 0.08
STLA F 0.87 0.07
OTIS B 0.38 0.07
ETN B 0.38 0.07
CHTR B -3.67 0.07
KO F -0.06 0.06
COST B 1.63 0.06
KLAC F 2.46 0.06
OMC B -0.29 0.06
WBA D 0.43 0.06
AIG B -0.56 0.06
HCA D 2.09 0.06
VZ D -1.43 0.06
VRSK B 0.43 0.05
ADP A -0.11 0.05
ADM F -1.45 0.05
CRM B 1.26 0.05
DLTR F 1.81 0.05
BLK B 0.61 0.05
NI B -0.46 0.05
HPQ B 1.16 0.05
TGT F 2.46 0.05
LMT D 0.00 0.05
NOC D -0.49 0.05
ORCL A 2.83 0.05
NTRS B -1.24 0.04
ITW B -0.93 0.04
FTV F -0.38 0.04
VFC B 3.89 0.04
TJX C 1.06 0.04
WLK F -0.60 0.04
RF B -3.42 0.04
WB C 2.77 0.04
MA B -0.62 0.04
ARCC B -0.33 0.04
ZTS F 2.28 0.04
FOXA B -1.78 0.04
RPRX F -0.45 0.04
QCOM C -0.05 0.04
GSK F 2.12 0.04
MRK F 0.44 0.04
AZN F 1.32 0.04
GOOGL B 2.40 0.04
GILD A 6.77 0.04
AMZN A 1.43 0.04
TMUS B -0.30 0.04
MSFT C 1.25 0.04
JNPR B -0.03 0.03
JBHT C -2.24 0.03
DLR C 2.79 0.03
MSI B 0.17 0.03
EMN D -0.14 0.03
AMAT D 3.50 0.03
FDX B 1.12 0.03
EL F 4.79 0.03
WAB B -0.84 0.03
SWKS F 0.77 0.03
APTV F 3.36 0.03
CME C 0.39 0.03
AGR D 0.28 0.03
HRL F -1.46 0.03
JD C 6.62 0.03
HAS D 1.02 0.03
MHK D -1.71 0.03
NUE C -3.92 0.03
DXC B 5.37 0.03
WAL B -5.98 0.03
ATO B 1.84 0.03
BAX F -0.19 0.03
CNO B -2.95 0.03
SPGI D 1.45 0.03
SNX B 0.79 0.03
PVH C 3.13 0.03
PHM D 1.54 0.03
GIS F -1.59 0.03
BXP C 2.06 0.03
ADBE F -0.77 0.03
GLPI D 0.71 0.03
JEF B -2.26 0.03
HAL D -3.11 0.03
BG F 1.22 0.03
SYY C -0.18 0.03
SWK F -0.16 0.03
SYF B -4.25 0.03
PRU B -3.01 0.03
MOS C 2.72 0.03
MU C 1.41 0.03
EBAY D 1.54 0.03
PYPL B -0.07 0.03
PFE F 0.37 0.03
STT B -1.75 0.03
VLO D -1.87 0.03
WMB A 0.20 0.03
GPN C -2.71 0.03
DIS C 0.04 0.03
EPD A 0.93 0.03
MPLX B 1.31 0.03
FIS C 0.28 0.03
BERY C 0.40 0.03
CB D -0.72 0.03
AER B -1.32 0.03
MPC F -0.81 0.03
AXP B -2.83 0.03
VTRS B 13.52 0.03
INTC C 4.71 0.03
FITB B -2.01 0.03
HPE B 0.52 0.03
CMCSA B -2.10 0.03
MS B -2.32 0.03
AAPL B 2.14 0.03
WPC F 0.52 0.02
SKT A 4.88 0.02
RL B 6.57 0.02
THG B -0.43 0.02
UNM B -1.20 0.02
VNT B 1.07 0.02
STLD B -4.13 0.02
CF C 1.88 0.02
BKU B -4.60 0.02
CDNS B 1.67 0.02
A C 1.34 0.02
BEN C -1.11 0.02
CPT D 0.98 0.02
GBDC B -0.19 0.02
BC C -2.82 0.02
ALLE D 1.26 0.02
AIZ B -0.26 0.02
HST C 0.06 0.02
HP C -1.69 0.02
HOG F -0.39 0.02
INTU A 3.97 0.02
L B -0.82 0.02
JCI A 0.54 0.02
GXO B -1.66 0.02
KMPR B -0.75 0.02
EQH B -4.13 0.02
FTNT A 3.47 0.02
FRT C 0.46 0.02
EA A 1.29 0.02
NNN F 0.12 0.02
SF B -2.45 0.02
PSA D 2.40 0.02
SBRA B 4.55 0.02
TSLX F -2.32 0.02
VNO A 2.75 0.02
WM B 0.90 0.02
BKH D -1.31 0.02
APH A 2.47 0.02
DOV A -0.39 0.02
COKE D -0.26 0.02
ALB C 3.47 0.02
BWA C 0.60 0.02
BABA C 3.53 0.02
AWH F -0.12 0.02
AFG C 0.33 0.02
BRO B -0.42 0.02
BR B 0.78 0.02
CTVA C -5.02 0.02
KEYS A 2.06 0.02
GSBD F -0.23 0.02
HRB C 1.34 0.02
IP B -0.71 0.02
ILMN A 2.19 0.02
GWW A -0.50 0.02
LNT D -1.33 0.02
LLY F 2.71 0.02
OCSL F -0.06 0.02
LAZ B -3.66 0.02
MRVL A 3.65 0.02
CSX C -3.58 0.02
K B -0.35 0.02
KR B -0.82 0.02
LRCX D 3.16 0.02
ORI B -0.98 0.02
DVN F -2.82 0.02
LYB F 1.04 0.02
PH B -2.78 0.02
TDY B -0.64 0.02
TT B 1.04 0.02
VOYA B -2.03 0.02
EQR D 0.57 0.02
LIN D 0.61 0.02
OHI C 2.93 0.02
LHX B -0.64 0.02
LDOS B -0.81 0.02
MCO D 0.96 0.02
NTAP C 1.40 0.02
IVZ B -1.67 0.02
HUM F -0.26 0.02
DOC B 1.03 0.02
WEC C -0.71 0.02
VTR C 1.95 0.02
BRX B 0.25 0.02
AES F -3.87 0.02
CE F -2.94 0.02
AN D -1.18 0.02
CNA D -0.85 0.02
CMI B -0.36 0.02
EOG C -0.58 0.02
NKE F 0.80 0.02
DGX B 0.66 0.02
FANG F -1.11 0.02
FLEX A 2.62 0.02
EXPE A 1.33 0.02
CNH B 0.43 0.02
ADI B 0.67 0.02
DHR F -0.67 0.02
EFX D 2.00 0.02
ROST F 2.49 0.02
OKE A 1.90 0.02
NXPI D 2.05 0.02
MTB B -3.90 0.02
KDP F -0.18 0.02
BKNG B -1.61 0.02
ABT C -1.28 0.02
ICE D 0.21 0.02
FSK A 0.62 0.02
GD C -0.80 0.02
CAH A 2.28 0.02
CPB F -2.42 0.02
UPS C 0.17 0.02
WEST D -1.62 0.02
PM C -1.22 0.02
MKC D -0.42 0.02
NVDA A 2.25 0.02
STZ F 1.61 0.02
SBUX C 0.04 0.02
SPG B 1.23 0.02
ET B -0.06 0.02
EQIX B 1.90 0.02
AL B 0.02 0.02
CM A 1.80 0.02
CCI D 0.72 0.02
MET B -2.68 0.02
SLB D -1.21 0.02
SHW C 0.86 0.02
ZBH C -1.34 0.02
PNC A -0.86 0.02
KMI A 0.23 0.02
CSCO A 0.36 0.02
AFL D -1.03 0.02
LVS C 1.50 0.02
BDX F -5.39 0.02
CAT B -2.08 0.02
JNJ D -0.73 0.02
USB B -3.32 0.02
RTX D -1.24 0.02
RY A 1.49 0.02
PEP F -0.43 0.02
CVX B -0.60 0.02
GM A 0.62 0.02
TD F 0.44 0.02
BMY B -1.03 0.02
WMT B 0.49 0.02
ABBV B -0.34 0.02
IBM D 0.04 0.02
CVS F -7.37 0.02
XOM B 0.12 0.02
C B -1.33 0.02
NVT B 0.93 0.01
HIW C 0.45 0.01
FE D 0.18 0.01
FNB B -3.95 0.01
CACC D -0.77 0.01
VLY B -4.47 0.01
RPM A -0.57 0.01
IPG F -1.02 0.01
JBL B -0.34 0.01
KSS F 3.38 0.01
G B 3.29 0.01
AMD F 3.25 0.01
EPR D -0.07 0.01
NEU C -0.88 0.01
ED D -1.39 0.01
NEM D 1.53 0.01
UHS D 2.40 0.01
UDR D 0.62 0.01
VMC B 0.05 0.01
WY D 1.02 0.01
TKR F -2.79 0.01
FAF D -0.21 0.01
HUBB B -1.09 0.01
LEG F -0.49 0.01
CHD C 0.68 0.01
FMC D -0.15 0.01
JHG B -0.83 0.01
HES C 0.13 0.01
IFF F 3.87 0.01
DAL B -3.03 0.01
WHR B 0.62 0.01
RNR C -4.35 0.01
SNV B -3.85 0.01
SLG A 1.13 0.01
RS B -1.62 0.01
PFG C -0.16 0.01
BDN C -0.92 0.01
BCSF B 0.30 0.01
TME C 1.38 0.01
RGA C -3.12 0.01
SITC F -0.44 0.01
TEL B 0.30 0.01
TRMB B -0.69 0.01
CL F 0.61 0.01
BHP B 3.24 0.01
CSL C -0.44 0.01
FLS B -1.51 0.01
CLX C 0.04 0.01
AVB C 1.38 0.01
GP F 1.21 0.01
H C 0.51 0.01
KMB F 0.46 0.01
ES D 0.20 0.01
OGS C -2.06 0.01
MLM B -0.02 0.01
LNC B -4.29 0.01
PNW C -0.98 0.01
ROK B -5.75 0.01
PSEC C 0.77 0.01
SCCO B 3.66 0.01
TXT D -0.05 0.01
ADSK A 1.05 0.01
CMS D -2.21 0.01
FHN B -2.49 0.01
CUBE D 2.25 0.01
MAIN B 0.37 0.01
MAA D 0.72 0.01
LII A 2.89 0.01
OC B 1.51 0.01
PDM B -0.58 0.01
EMR A 0.26 0.01
KIM B 1.40 0.01
HSY F -2.25 0.01
HII F -2.65 0.01
KRC B 1.43 0.01
MAR A 0.51 0.01
NFG C -5.59 0.01
ORLY B -1.59 0.01
OPI F -2.17 0.01
LEN D 1.61 0.01
NSC B -2.27 0.01
APD B 1.99 0.01
CP F 0.41 0.01
CNP B 1.21 0.01
NDAQ B 0.76 0.01
DHI D 0.84 0.01
UNP D -2.39 0.01
AVT B -0.07 0.01
PCAR B -2.84 0.01
AMG C -1.63 0.01
XEL B -0.44 0.01
AEE C -1.39 0.01
ARW F -1.23 0.01
AZO C -1.45 0.01
AWK D -0.55 0.01
PPG F 0.17 0.01
SRE A 1.70 0.01
PKG B -0.87 0.01
MCK B 10.60 0.01
DE B 1.34 0.01
DUK D -2.24 0.01
DOW F 1.14 0.01
UAL B -2.45 0.01
WU F -1.20 0.01
ROP B 1.34 0.01
PPL C -0.65 0.01
MMM C -0.63 0.01
LH A 1.99 0.01
MDLZ F -0.98 0.01
ESS C 0.95 0.01
EVRG B 0.59 0.01
ALL C 0.93 0.01
AEP D 0.08 0.01
AMP B -3.49 0.01
SYK B 0.22 0.01
R B -1.34 0.01
TXN A 1.20 0.01
PSX F -0.95 0.01
PEG C 0.50 0.01
DFS B -4.14 0.01
DTE D -3.73 0.01
O D -1.09 0.01
MCHP F 0.80 0.01
KEY B -4.06 0.01
CMA B -2.99 0.01
BSX B 0.51 0.01
ARE F 0.60 0.01
AON B -0.37 0.01
HON B 0.51 0.01
HBAN A -0.80 0.01
CFG B -4.72 0.01
BIDU D 2.87 0.01
AMT F 0.20 0.01
EIX D 0.34 0.01
MMC D -0.03 0.01
PAA C 2.01 0.01
ETR B -0.07 0.01
AMGN D 0.04 0.01
TSN D -0.76 0.01
D C -0.77 0.01
ALLY C 0.40 0.01
BK B -0.65 0.01
RSG B 0.49 0.01
HD B 2.85 0.01
TMO F -0.68 0.01
PG F 1.47 0.01
DG F 0.85 0.01
MO B -1.38 0.01
NEE D 0.13 0.01
LOW B 1.75 0.01
CAG F -2.04 0.01
SCHW B -3.41 0.01
EXC D -0.60 0.01
MCD D 0.22 0.01
BNS A 1.62 0.01
COP D -1.08 0.01
SO D -0.56 0.01
COF B -3.22 0.01
VOD D 0.11 0.01
LUV B -0.41 0.01
GE D -1.06 0.01
WELL B 2.43 0.01
UNH B 1.47 0.01
TFC B -1.70 0.01
DB B -0.46 0.01
AVGO B 2.37 0.01
BMO B 0.06 0.01
T C -1.25 0.01
PCG B 0.54 0.01
HSBC A 0.68 0.01
NWG B -1.95 0.01
CI F 1.35 0.01
MUFG B 0.52 0.01
WFC B -3.66 0.01
GS B -2.32 0.01
JPM B -4.32 0.01
DELL C -0.35 0.01
BA F 2.60 0.01
BAC B -1.41 0.01

Recent News for Vanguard Short-Term Corporate Bond ETF & its Holdings

Date Stock Title
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Nov 7 AAPL Nvidia surpasses $3.6 trillion market value after Trump win
Nov 7 NVDA Nvidia surpasses $3.6 trillion market value after Trump win
The investment seeks to track the performance of a market-weighted corporate bond index with a short-term dollar-weighted average maturity. The fund employs an indexing investment approach designed to track the performance of the Barclays U.S. 1-5 Year Corporate Bond Index. This index includes U.S. dollar-denominated, investment-grade, fixed-rate, taxable securities issued by industrial, utility, and financial companies, with maturities between 1 and 5 years. At least 80% of the fund's assets will be invested in bonds included in the index.
Exchange Traded Fund ETF Bond Corporate Bond Bloomberg Barclays Us Aggregate Bond Index Bond Market Indices Merrill Lynch
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