BLV Holdings — Vanguard Long-Term Bond Index Fund

All 2985 reported holdings of Vanguard Long-Term Bond Index Fund (BLV) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
United States Treasury Note/Bond1.17%$101.60M
United States Treasury Note/Bond1.15%$99.72M
United States Treasury Note/Bond1.14%$98.55M
United States Treasury Note/Bond1.13%$97.72M
United States Treasury Note/Bond1.13%$97.49M
United States Treasury Note/Bond1.10%$94.90M
United States Treasury Note/Bond1.08%$93.73M
United States Treasury Note/Bond1.08%$93.42M
United States Treasury Note/Bond1.06%$91.69M
United States Treasury Note/Bond0.97%$83.75M
United States Treasury Note/Bond0.96%$83.42M
United States Treasury Note/Bond0.86%$74.13M
United States Treasury Note/Bond0.85%$73.60M
United States Treasury Note/Bond0.84%$72.44M
United States Treasury Note/Bond0.80%$69.19M
United States Treasury Note/Bond0.79%$68.23M
United States Treasury Note/Bond0.77%$66.77M
United States Treasury Note/Bond0.75%$65.14M
United States Treasury Note/Bond0.75%$64.86M
United States Treasury Note/Bond0.74%$64.46M
United States Treasury Note/Bond0.73%$63.65M
United States Treasury Note/Bond0.73%$63.25M
United States Treasury Note/Bond0.72%$62.45M
United States Treasury Note/Bond0.72%$62.09M
United States Treasury Note/Bond0.70%$60.90M
United States Treasury Note/Bond0.70%$60.46M
United States Treasury Note/Bond0.70%$60.25M
United States Treasury Note/Bond0.69%$59.78M
United States Treasury Note/Bond0.69%$59.40M
United States Treasury Note/Bond0.68%$58.94M
United States Treasury Note/Bond0.68%$58.67M
United States Treasury Note/Bond0.66%$57.24M
United States Treasury Note/Bond0.66%$56.99M
United States Treasury Note/Bond0.64%$55.54M
United States Treasury Note/Bond0.63%$54.94M
United States Treasury Note/Bond0.63%$54.23M
United States Treasury Note/Bond0.62%$53.64M
United States Treasury Note/Bond0.61%$52.85M
United States Treasury Note/Bond0.61%$52.60M
United States Treasury Note/Bond0.60%$52.29M
United States Treasury Note/Bond0.60%$52.15M
United States Treasury Note/Bond0.60%$51.72M
United States Treasury Note/Bond0.58%$50.11M
United States Treasury Note/Bond0.58%$49.99M
United States Treasury Note/Bond0.57%$49.67M
United States Treasury Note/Bond0.56%$48.64M
United States Treasury Note/Bond0.55%$47.95M
United States Treasury Note/Bond0.55%$47.77M
United States Treasury Note/Bond0.54%$46.91M
United States Treasury Note/Bond0.53%$46.19M
United States Treasury Note/Bond0.53%$45.98M
United States Treasury Note/Bond0.53%$45.60M
United States Treasury Note/Bond0.49%$42.87M
United States Treasury Note/Bond0.49%$42.60M
United States Treasury Note/Bond0.49%$42.07M
United States Treasury Note/Bond0.47%$40.59M
United States Treasury Note/Bond0.46%$39.53M
United States Treasury Note/Bond0.44%$38.00M
United States Treasury Note/Bond0.43%$36.99M
United States Treasury Note/Bond0.40%$34.78M
United States Treasury Note/Bond0.40%$34.76M
United States Treasury Note/Bond0.40%$34.39M
United States Treasury Note/Bond0.38%$32.65M
United States Treasury Note/Bond0.37%$32.12M
United States Treasury Note/Bond0.37%$31.81M
United States Treasury Note/Bond0.36%$31.19M
United States Treasury Note/Bond0.35%$30.55M
United States Treasury Note/Bond0.35%$30.24M
United States Treasury Note/Bond0.35%$30.14M
United States Treasury Note/Bond0.32%$27.31M
United States Treasury Note/Bond0.30%$26.04M
United States Treasury Note/Bond0.30%$25.74M
United States Treasury Note/Bond0.29%$25.49M
United States Treasury Note/Bond0.27%$23.58M
United States Treasury Note/Bond0.27%$23.16M
United States Treasury Note/Bond0.26%$22.22M
United States Treasury Note/Bond0.24%$21.05M
United States Treasury Note/Bond0.24%$20.60M
United States Treasury Note/Bond0.24%$20.51M
United States Treasury Note/Bond0.23%$20.22M
United States Treasury Note/Bond0.23%$19.94M
United States Treasury Note/Bond0.23%$19.78M
United States Treasury Note/Bond0.23%$19.52M
United States Treasury Note/Bond0.22%$19.01M
United States Treasury Note/Bond0.21%$18.43M
United States Treasury Note/Bond0.21%$18.21M
United States Treasury Note/Bond0.20%$17.74M
United States Treasury Note/Bond0.20%$17.53M
United States Treasury Note/Bond0.19%$16.78M
United States Treasury Note/Bond0.18%$15.52M
United States Treasury Note/Bond0.18%$15.36M
United States Treasury Note/Bond0.18%$15.26M
United States Treasury Note/Bond0.17%$14.96M
United States Treasury Note/Bond0.17%$14.66M
United States Treasury Note/Bond0.17%$14.62M
Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc0.16%$14.17M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.15%$12.76M
CVS Health Corp0.13%$11.15M
Goldman Sachs Group Inc/The0.12%$10.75M
Amazon.com Inc0.11%$9.86M
United States Treasury Note/Bond0.11%$9.75M
Bank of America Corp0.11%$9.14M
Meta Platforms Inc0.10%$8.96M
Pfizer Investment Enterprises Pte Ltd0.10%$8.73M
AbbVie Inc0.10%$8.71M
Boeing Co/The0.10%$8.67M
United States Treasury Note/Bond0.10%$8.57M
Bank of America Corp0.10%$8.32M
AT&T Inc0.10%$8.24M
United States Treasury Note/Bond0.09%$8.18M
United States Treasury Note/Bond0.09%$7.90M
Meta Platforms Inc0.09%$7.71M
AT&T Inc0.09%$7.68M
AT&T Inc0.09%$7.66M
Wells Fargo & Co0.09%$7.66M
Goldman Sachs Group Inc/The0.09%$7.53M
Comcast Corp0.09%$7.49M
AbbVie Inc0.08%$7.26M
Mexico Government International Bond0.08%$7.23M
Amgen Inc0.08%$7.01M
Microsoft Corp0.08%$6.86M
Anheuser-Busch InBev Worldwide Inc0.08%$6.83M
AT&T Inc0.08%$6.79M
Mexico Government International Bond0.08%$6.62M
Anheuser-Busch InBev Worldwide Inc0.08%$6.58M
RTX Corp0.08%$6.57M
Broadcom Inc0.08%$6.56M
Meta Platforms Inc0.08%$6.54M
Meta Platforms Inc0.07%$6.49M
Alphabet Inc0.07%$6.49M
AbbVie Inc0.07%$6.47M
CVS Health Corp0.07%$6.45M
Honeywell Aerospace Inc0.07%$6.24M
Verizon Communications Inc0.07%$6.24M
Morgan Stanley0.07%$6.20M
CVS Health Corp0.07%$6.15M
Oracle Corp0.07%$6.13M
Pfizer Investment Enterprises Pte Ltd0.07%$6.04M
Meta Platforms Inc0.07%$6.04M
Meta Platforms Inc0.07%$6.02M
Alphabet Inc0.07%$5.84M
Boeing Co/The0.07%$5.82M
AT&T Inc0.07%$5.82M
Amazon.com Inc0.07%$5.82M
Pfizer Inc0.07%$5.78M
United States Treasury Note/Bond0.07%$5.74M
Abbott Laboratories0.07%$5.74M
Uruguay Government International Bond0.07%$5.71M
Salesforce Inc0.07%$5.71M
State of California0.07%$5.69M
Morgan Stanley0.07%$5.68M
Bristol-Myers Squibb Co0.06%$5.55M
Comcast Corp0.06%$5.48M
Charter Communications Operating LLC / Charter Communications Operating Capital0.06%$5.46M
AstraZeneca PLC0.06%$5.45M
Goldman Sachs Group Inc/The0.06%$5.42M
BHP Billiton Finance USA Ltd0.06%$5.36M
Smurfit Kappa Treasury ULC0.06%$5.34M
Pfizer Investment Enterprises Pte Ltd0.06%$5.28M
Morgan Stanley0.06%$5.26M
Oracle Corp0.06%$5.24M
Bristol-Myers Squibb Co0.06%$5.19M
Pacific Gas and Electric Co0.06%$5.19M
Mexico Government International Bond0.06%$5.14M
Energy Transfer LP0.06%$5.11M
Amgen Inc0.06%$5.11M
AbbVie Inc0.06%$5.08M
Amazon.com Inc0.06%$5.06M
Microsoft Corp0.06%$5.03M
Boeing Co/The0.06%$5.02M
Apple Inc0.06%$4.98M
Amgen Inc0.06%$4.94M
Charter Communications Operating LLC / Charter Communications Operating Capital0.06%$4.89M
Cigna Group/The0.06%$4.80M
Oracle Corp0.06%$4.79M
Republic of Poland Government International Bond0.06%$4.79M
Verizon Communications Inc0.05%$4.75M
Visa Inc0.05%$4.73M
Altria Group Inc0.05%$4.73M
Oracle Corp0.05%$4.73M
Charter Communications Operating LLC / Charter Communications Operating Capital0.05%$4.70M
Bank of America Corp0.05%$4.68M
AbbVie Inc0.05%$4.62M
Mexico Government International Bond0.05%$4.62M
AT&T Inc0.05%$4.58M
Alphabet Inc0.05%$4.57M
Morgan Stanley0.05%$4.56M
Novartis Capital Corp0.05%$4.56M
Bank of America Corp0.05%$4.48M
Wells Fargo & Co0.05%$4.45M
International Business Machines Corp0.05%$4.45M
Verizon Communications Inc0.05%$4.40M
Microsoft Corp0.05%$4.39M
Mexico Government International Bond0.05%$4.35M
International Business Machines Corp0.05%$4.34M
Broadcom Inc0.05%$4.33M
Apple Inc0.05%$4.33M
Charter Communications Operating LLC / Charter Communications Operating Capital0.05%$4.32M
Mexico Government International Bond0.05%$4.31M
Gilead Sciences Inc0.05%$4.28M
UnitedHealth Group Inc0.05%$4.28M
JPMorgan Chase & Co0.05%$4.27M
Meta Platforms Inc0.05%$4.27M
Verizon Communications Inc0.05%$4.26M
Oracle Corp0.05%$4.26M
Oracle Corp0.05%$4.22M
Amazon.com Inc0.05%$4.22M
BAT Capital Corp0.05%$4.21M
Berkshire Hathaway Finance Corp0.05%$4.19M
Bank of America Corp0.05%$4.18M
Republic of Poland Government International Bond0.05%$4.18M
NVIDIA Corp0.05%$4.16M
Mexico Government International Bond0.05%$4.16M
HSBC Holdings PLC0.05%$4.13M
Verizon Communications Inc0.05%$4.12M
Nutrien Ltd0.05%$4.13M
JPMorgan Chase & Co0.05%$4.13M
HCA Inc0.05%$4.12M
Anheuser-Busch InBev Worldwide Inc0.05%$4.10M
Oracle Corp0.05%$4.09M
Microsoft Corp0.05%$4.08M
Exxon Mobil Corp0.05%$4.08M
Goldman Sachs Group Inc/The0.05%$4.07M
Enterprise Products Operating LLC0.05%$4.05M
BAT Capital Corp0.05%$4.03M
Comcast Corp0.05%$4.02M
Verizon Communications Inc0.05%$4.01M
Israel Government International Bond0.05%$3.97M
Meta Platforms Inc0.05%$3.97M
Walt Disney Co/The0.05%$3.96M
Amazon.com Inc0.05%$3.96M
JPMorgan Chase & Co0.05%$3.95M
Phillips 660.05%$3.94M
Tennessee Valley Authority0.05%$3.94M
Gilead Sciences Inc0.05%$3.93M
AT&T Inc0.05%$3.92M
Wells Fargo & Co0.05%$3.92M
Uruguay Government International Bond0.05%$3.91M
Occidental Petroleum Corp0.04%$3.88M
Apple Inc0.04%$3.86M
Amazon.com Inc0.04%$3.86M
T-Mobile USA Inc0.04%$3.84M
Walmart Inc0.04%$3.83M
Peruvian Government International Bond0.04%$3.83M
Apple Inc0.04%$3.82M
Republic of Italy Government International Bond0.04%$3.80M
Energy Transfer LP0.04%$3.80M
JPMorgan Chase & Co0.04%$3.80M
GlaxoSmithKline Capital Inc0.04%$3.79M
Oracle Corp0.04%$3.79M
Marathon Petroleum Corp0.04%$3.79M
AT&T Inc0.04%$3.78M
HCA Inc0.04%$3.77M
Exxon Mobil Corp0.04%$3.76M
Wells Fargo & Co0.04%$3.76M
Abbott Laboratories0.04%$3.75M
JPMorgan Chase & Co0.04%$3.76M
Baker Hughes Holdings LLC / Baker Hughes Co-Obligor Inc0.04%$3.76M
Bank of America Corp0.04%$3.75M
Abbott Laboratories0.04%$3.75M
Berkshire Hathaway Finance Corp0.04%$3.72M
Intel Corp0.04%$3.72M
Cisco Systems Inc0.04%$3.71M
Amgen Inc0.04%$3.70M
Anheuser-Busch InBev Finance Inc0.04%$3.69M
Federal National Mortgage Association0.04%$3.68M
T-Mobile USA Inc0.04%$3.67M
Meta Platforms Inc0.04%$3.67M
Goldman Sachs Group Inc/The0.04%$3.67M
Merck & Co Inc0.04%$3.68M
ConocoPhillips0.04%$3.66M
Alphabet Inc0.04%$3.64M
General Motors Co0.04%$3.64M
Boeing Co/The0.04%$3.58M
Mexico Government International Bond0.04%$3.56M
Morgan Stanley0.04%$3.57M
Shell Finance US Inc0.04%$3.55M
Boeing Co/The0.04%$3.54M
TransCanada PipeLines Ltd0.04%$3.53M
General Motors Co0.04%$3.53M
Aon North America Inc0.04%$3.54M
Elevance Health Inc0.04%$3.53M
Telefonica Emisiones SA0.04%$3.52M
UnitedHealth Group Inc0.04%$3.52M
Republic of Poland Government International Bond0.04%$3.49M
New Jersey Turnpike Authority0.04%$3.49M
Verizon Communications Inc0.04%$3.49M
Vodafone Group PLC0.04%$3.45M
Amazon.com Inc0.04%$3.44M
AT&T Inc0.04%$3.44M
State of California0.04%$3.43M
Oracle Corp0.04%$3.43M
Northrop Grumman Corp0.04%$3.41M
Uber Technologies Inc0.04%$3.40M
Citigroup Inc0.04%$3.39M
Broadcom Inc0.04%$3.38M
Space Exploration Technologies Corp0.04%$3.38M
Bristol-Myers Squibb Co0.04%$3.37M
Mexico Government International Bond0.04%$3.37M
Reynolds American Inc0.04%$3.37M
Amphenol Corp0.04%$3.37M
Oracle Corp0.04%$3.37M
Mexico Government International Bond0.04%$3.35M
Chicago Transit Authority Sales & Transfer Tax Receipts Revenue0.04%$3.31M
Shell Finance US Inc0.04%$3.30M
Charter Communications Operating LLC / Charter Communications Operating Capital0.04%$3.30M
Oracle Corp0.04%$3.28M
Merck & Co Inc0.04%$3.26M
Meta Platforms Inc0.04%$3.26M
Vodafone Group PLC0.04%$3.25M
JPMorgan Chase & Co0.04%$3.24M
Wells Fargo & Co0.04%$3.24M
Meta Platforms Inc0.04%$3.23M
Oracle Corp0.04%$3.22M
Mexico Government International Bond0.04%$3.19M
NVIDIA Corp0.04%$3.19M
State of California0.04%$3.18M
Exxon Mobil Corp0.04%$3.19M
United Parcel Service Inc0.04%$3.18M
Apple Inc0.04%$3.17M
TransCanada PipeLines Ltd0.04%$3.14M
Comcast Corp0.04%$3.14M
Amazon.com Inc0.04%$3.14M
UnitedHealth Group Inc0.04%$3.13M
America Movil SAB de CV0.04%$3.13M
T-Mobile USA Inc0.04%$3.11M
Eli Lilly & Co0.04%$3.11M
Intel Corp0.04%$3.11M
Bristol-Myers Squibb Co0.04%$3.10M
Mexico Government International Bond0.04%$3.08M
Alphabet Inc0.04%$3.08M
Burlington Northern Santa Fe LLC0.04%$3.07M
Republic of Italy Government International Bond0.04%$3.08M
JPMorgan Chase & Co0.04%$3.07M
Hungary Government International Bond0.04%$3.07M
Abbott Laboratories0.04%$3.06M
AbbVie Inc0.04%$3.06M
Kinder Morgan Inc0.04%$3.04M
Conagra Brands Inc0.04%$3.03M
Federal Home Loan Banks0.03%$3.03M
Walt Disney Co/The0.03%$3.02M
Intel Corp0.03%$3.01M
Goldman Sachs Group Inc/The0.03%$3.01M
UnitedHealth Group Inc0.03%$3.00M
JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings0.03%$2.99M
Commonwealth Edison Co0.03%$2.99M
Kroger Co/The0.03%$2.99M
Cisco Systems Inc0.03%$2.99M
UnitedHealth Group Inc0.03%$2.98M
Mexico Government International Bond0.03%$2.95M
Synopsys Inc0.03%$2.96M
Wells Fargo & Co0.03%$2.95M
QUALCOMM Inc0.03%$2.95M
HSBC Holdings PLC0.03%$2.95M
Diamondback Energy Inc0.03%$2.94M
HCA Inc0.03%$2.94M
Citigroup Inc0.03%$2.94M
Apple Inc0.03%$2.94M
UnitedHealth Group Inc0.03%$2.93M
Bank of America Corp0.03%$2.93M
T-Mobile USA Inc0.03%$2.93M
Cooperatieve Rabobank UA0.03%$2.93M
Cigna Group/The0.03%$2.92M
Apple Inc0.03%$2.92M
T-Mobile USA Inc0.03%$2.92M
Mitsubishi UFJ Financial Group Inc0.03%$2.90M
Mplx LP0.03%$2.90M
Mexico Government International Bond0.03%$2.91M
Tennessee Valley Authority0.03%$2.89M
BP Capital Markets America Inc0.03%$2.89M
Enterprise Products Operating LLC0.03%$2.89M
Israel Government International Bond0.03%$2.89M
Tyson Foods Inc0.03%$2.88M
Verizon Communications Inc0.03%$2.88M
NBCUniversal Media LLC0.03%$2.88M
HCA Inc0.03%$2.86M
PacifiCorp0.03%$2.86M
Bristol-Myers Squibb Co0.03%$2.86M
Caterpillar Inc0.03%$2.85M
Pacific Gas and Electric Co0.03%$2.85M
UnitedHealth Group Inc0.03%$2.85M
Oracle Corp0.03%$2.84M
QUALCOMM Inc0.03%$2.84M
Enbridge Inc0.03%$2.83M
Baker Hughes Holdings LLC / Baker Hughes Co-Obligor Inc0.03%$2.83M
NextEra Energy Capital Holdings Inc0.03%$2.83M
Canadian Pacific Railway Co0.03%$2.82M
Intercontinental Exchange Inc0.03%$2.82M
Chile Government International Bond0.03%$2.81M
Port Authority of New York & New Jersey0.03%$2.82M
Panama Government International Bond0.03%$2.82M
Mexico Government International Bond0.03%$2.81M
Goldman Sachs Group Inc/The0.03%$2.81M
Mexico Government International Bond0.03%$2.81M
JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings0.03%$2.80M
Philippine Government International Bond0.03%$2.79M
Rio Tinto Finance USA Ltd0.03%$2.79M
TotalEnergies Capital International SA0.03%$2.79M
Williams Cos Inc/The0.03%$2.78M
BP Capital Markets America Inc0.03%$2.78M
Eli Lilly & Co0.03%$2.78M
UnitedHealth Group Inc0.03%$2.77M
T-Mobile USA Inc0.03%$2.77M
Canadian National Railway Co0.03%$2.77M
Southern Copper Corp0.03%$2.76M
Lowe's Cos Inc0.03%$2.75M
Medtronic Inc0.03%$2.74M
Charter Communications Operating LLC / Charter Communications Operating Capital0.03%$2.74M
Norfolk Southern Corp0.03%$2.74M
Freeport-McMoRan Inc0.03%$2.74M
Chile Government International Bond0.03%$2.73M
Comcast Corp0.03%$2.73M
Goldman Sachs Group Inc/The0.03%$2.73M
Vale Overseas Ltd0.03%$2.72M
Intel Corp0.03%$2.72M
Morgan Stanley0.03%$2.70M
Altria Group Inc0.03%$2.70M
Lockheed Martin Corp0.03%$2.71M
ConocoPhillips Co0.03%$2.69M
TransCanada PipeLines Ltd0.03%$2.69M
Microsoft Corp0.03%$2.69M
Comcast Corp0.03%$2.68M
JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings0.03%$2.68M
Alphabet Inc0.03%$2.68M
Home Depot Inc/The0.03%$2.68M
JPMorgan Chase & Co0.03%$2.68M
Texas Natural Gas Securitization Finance Corp0.03%$2.67M
Philip Morris International Inc0.03%$2.67M
AT&T Inc0.03%$2.67M
Philip Morris International Inc0.03%$2.67M
Cisco Systems Inc0.03%$2.65M
Home Depot Inc/The0.03%$2.64M
Kinder Morgan Inc0.03%$2.65M
FedEx Corp0.03%$2.64M
Kraft Heinz Foods Co0.03%$2.64M
Comcast Corp0.03%$2.63M
Barclays PLC0.03%$2.63M
ONEOK Inc0.03%$2.63M
Alphabet Inc0.03%$2.63M
Charter Communications Operating LLC / Charter Communications Operating Capital0.03%$2.63M
Panama Government International Bond0.03%$2.62M
Hess Corp0.03%$2.62M
Marsh & McLennan Cos Inc0.03%$2.62M
UnitedHealth Group Inc0.03%$2.62M
Barclays PLC0.03%$2.61M
Charter Communications Operating LLC / Charter Communications Operating Capital0.03%$2.61M
Philippine Government International Bond0.03%$2.60M
RTX Corp0.03%$2.60M
Walt Disney Co/The0.03%$2.59M
Amazon.com Inc0.03%$2.59M
Amazon.com Inc0.03%$2.59M
AT&T Inc0.03%$2.58M
Comcast Corp0.03%$2.58M
ConocoPhillips Co0.03%$2.58M
Halliburton Co0.03%$2.58M
Lockheed Martin Corp0.03%$2.58M
Anheuser-Busch InBev Worldwide Inc0.03%$2.58M
Apple Inc0.03%$2.57M
Indonesia Government International Bond0.03%$2.57M
Verizon Communications Inc0.03%$2.56M
UBS Group AG0.03%$2.57M
Oracle Corp0.03%$2.56M
Novartis Capital Corp0.03%$2.55M
Amazon.com Inc0.03%$2.56M
Wells Fargo Bank NA0.03%$2.55M
Berkshire Hathaway Finance Corp0.03%$2.55M
Chile Government International Bond0.03%$2.55M
Peruvian Government International Bond0.03%$2.54M
Cumberland Combined Cycle Generation LLC0.03%$2.54M
TotalEnergies Capital SA0.03%$2.53M
Shell International Finance BV0.03%$2.53M
Occidental Petroleum Corp0.03%$2.53M
Merck & Co Inc0.03%$2.52M
Lockheed Martin Corp0.03%$2.52M
BP Capital Markets America Inc0.03%$2.52M
AstraZeneca PLC0.03%$2.51M
BP Capital Markets America Inc0.03%$2.50M
Johnson & Johnson0.03%$2.50M
Burlington Northern Santa Fe LLC0.03%$2.50M
Burlington Northern Santa Fe LLC0.03%$2.50M
Bank of America Corp0.03%$2.49M
Kraft Heinz Foods Co0.03%$2.50M
Amgen Inc0.03%$2.49M
Sysco Corp0.03%$2.49M
Merck & Co Inc0.03%$2.48M
RTX Corp0.03%$2.49M
Citigroup Inc0.03%$2.48M
AbbVie Inc0.03%$2.48M
Amazon.com Inc0.03%$2.48M
Philippine Government International Bond0.03%$2.47M
Microsoft Corp0.03%$2.47M
Bristol-Myers Squibb Co0.03%$2.46M
Eli Lilly & Co0.03%$2.46M
Apple Inc0.03%$2.46M
Broadcom Inc0.03%$2.46M
Chile Government International Bond0.03%$2.45M
Northern States Power Co/MN0.03%$2.44M
Enterprise Products Operating LLC0.03%$2.44M
Tennessee Valley Authority0.03%$2.44M
Verizon Communications Inc0.03%$2.44M

BLV overview: performance, fees, allocation and SEC filings