VBCF Holdings — Vanguard Target Maturity 2032 Corporate Bond ETF

All 374 reported holdings of Vanguard Target Maturity 2032 Corporate Bond ETF (VBCF) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Bank of America Corp1.46%$551.79K
JPMorgan Chase & Co1.18%$444.58K
Citigroup Inc1.15%$433.83K
Wells Fargo & Co1.14%$432.01K
Verizon Communications Inc1.04%$393.28K
AerCap Ireland Capital DAC / AerCap Global Aviation Trust0.99%$374.38K
Goldman Sachs Group Inc/The0.98%$370.41K
Meta Platforms Inc0.98%$370.30K
Wells Fargo & Co0.95%$359.39K
Oracle Corp0.88%$333.02K
Meta Platforms Inc0.84%$318.61K
Morgan Stanley0.79%$298.49K
Bank of America Corp0.77%$289.34K
JPMorgan Chase & Co0.72%$272.39K
Bank of America Corp0.72%$271.71K
Amazon.com Inc0.71%$270.21K
Morgan Stanley0.71%$269.91K
Broadcom Inc0.66%$250.56K
HSBC Holdings PLC0.66%$249.38K
AT&T Inc0.65%$246.27K
JPMorgan Chase & Co0.62%$234.60K
HSBC Holdings PLC0.61%$231.15K
Sprint Capital Corp0.59%$221.46K
US Bancorp0.57%$214.79K
HCA Inc0.56%$211.30K
Oracle Corp0.56%$210.69K
Amazon.com Inc0.54%$204.66K
Morgan Stanley0.53%$200.57K
Haleon US Capital LLC0.53%$200.31K
Citigroup Inc0.52%$197.37K
GE HealthCare Technologies Inc0.52%$195.64K
Ford Motor Credit Co LLC0.51%$193.17K
Coca-Cola Co/The0.51%$192.28K
HSBC Holdings PLC0.50%$190.43K
Bank of New York Mellon Corp/The0.49%$184.93K
JPMorgan Chase & Co0.49%$184.05K
Rogers Communications Inc0.48%$181.64K
BP Capital Markets America Inc0.47%$176.28K
American Express Co0.47%$175.95K
Barclays PLC0.46%$174.00K
Citigroup Inc0.45%$170.16K
Citigroup Inc0.44%$165.77K
General Electric Co0.42%$159.66K
Ford Motor Co0.42%$159.46K
Mitsubishi UFJ Financial Group Inc0.42%$159.16K
Altria Group Inc0.41%$155.75K
General Motors Financial Co Inc0.41%$155.70K
Citigroup Inc0.41%$155.47K
Apple Inc0.40%$152.03K
Toronto-Dominion Bank/The0.40%$150.87K
Lowe's Cos Inc0.40%$150.72K
Broadcom Inc0.39%$149.14K
UnitedHealth Group Inc0.39%$149.04K
VICI Properties LP0.39%$147.79K
Toronto-Dominion Bank/The0.39%$147.43K
Synopsys Inc0.39%$146.26K
Bristol-Myers Squibb Co0.39%$146.19K
Mastercard Inc0.38%$141.92K
Alphabet Inc0.38%$141.76K
PNC Financial Services Group Inc/The0.37%$141.21K
Barclays PLC0.37%$140.65K
EOG Resources Inc0.37%$139.93K
NextEra Energy Capital Holdings Inc0.37%$139.37K
Toronto-Dominion Bank/The0.37%$138.95K
Cigna Group/The0.37%$138.72K
Lloyds Banking Group PLC0.37%$138.37K
PepsiCo Inc0.37%$138.28K
Paychex Inc0.36%$135.59K
T-Mobile USA Inc0.36%$135.12K
Dell International LLC / EMC Corp0.36%$134.39K
UnitedHealth Group Inc0.35%$134.12K
Lowe's Cos Inc0.35%$132.64K
Home Depot Inc/The0.35%$132.14K
Merck & Co Inc0.35%$131.89K
S&P Global Inc0.35%$131.36K
Workday Inc0.35%$131.32K
Pfizer Inc0.35%$131.18K
Broadcom Inc0.34%$130.36K
Florida Power & Light Co0.34%$130.21K
Ford Motor Co0.34%$129.26K
Equinix Inc0.34%$128.52K
Chevron USA Inc0.34%$127.38K
Amgen Inc0.34%$127.13K
Corebridge Financial Inc0.33%$124.80K
Baxter International Inc0.33%$124.68K
Philip Morris International Inc0.33%$123.58K
ArcelorMittal SA0.33%$122.97K
Eli Lilly & Co0.32%$122.32K
Rio Tinto Finance USA PLC0.32%$120.25K
American Express Co0.32%$119.70K
Target Corp0.31%$116.68K
Marriott International Inc/MD0.31%$115.92K
Westpac Banking Corp0.30%$115.30K
General Motors Co0.30%$114.65K
Williams Cos Inc/The0.30%$113.28K
Philip Morris International Inc0.30%$112.43K
Johnson & Johnson0.30%$112.37K
ING Groep NV0.30%$111.97K
PayPal Holdings Inc0.30%$111.82K
PNC Financial Services Group Inc/The0.29%$110.86K
Elevance Health Inc0.29%$108.81K
Canadian Imperial Bank of Commerce0.29%$108.84K
Mitsubishi UFJ Financial Group Inc0.29%$108.40K
Blackstone Private Credit Fund0.29%$108.30K
Global Payments Inc0.29%$108.30K
Occidental Petroleum Corp0.29%$108.12K
US Bancorp0.29%$108.04K
RTX Corp0.29%$107.81K
Truist Financial Corp0.28%$107.61K
Home Depot Inc/The0.28%$106.43K
Royal Bank of Canada0.28%$105.19K
Micron Technology Inc0.28%$104.85K
Mitsubishi UFJ Financial Group Inc0.28%$104.09K
International Business Machines Corp0.27%$103.89K
JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings0.27%$103.87K
NXP BV / NXP Funding LLC / NXP USA Inc0.27%$103.60K
Kinder Morgan Inc0.27%$103.38K
Comcast Corp0.27%$103.28K
AT&T Inc0.27%$102.50K
Walmart Inc0.27%$102.44K
ONEOK Inc0.27%$102.24K
Intel Corp0.27%$101.93K
Sanofi SA0.27%$101.73K
Oracle Corp0.27%$101.49K
Mplx LP0.27%$101.40K
Broadcom Inc0.27%$101.01K
Procter & Gamble Co/The0.27%$100.68K
Northern Trust Corp0.27%$100.49K
Berkshire Hathaway Finance Corp0.26%$99.82K
Union Pacific Corp0.26%$98.29K
Waste Management Inc0.26%$97.51K
TSMC Arizona Corp0.26%$96.65K
Capital One Financial Corp0.25%$95.60K
American Tower Corp0.25%$95.43K
Duke Energy Progress LLC0.25%$94.07K
QUALCOMM Inc0.25%$94.01K
Duke Energy Corp0.25%$93.16K
BAT Capital Corp0.25%$93.14K
Intel Corp0.25%$93.01K
T-Mobile USA Inc0.25%$92.95K
Dominion Energy Inc0.25%$92.93K
Unilever Capital Corp0.25%$92.93K
BlackRock Funding Inc/DE0.25%$92.81K
Morgan Stanley0.24%$92.39K
Ares Capital Corp0.24%$92.14K
KLA Corp0.24%$91.85K
Alexandria Real Estate Equities Inc0.24%$91.78K
Apple Inc0.24%$91.49K
Canadian National Railway Co0.24%$91.32K
Bank of Nova Scotia/The0.24%$91.23K
Cisco Systems Inc0.24%$91.08K
McDonald's Corp0.24%$90.94K
Suzano Austria GmbH0.24%$90.43K
Sumitomo Mitsui Financial Group Inc0.24%$90.37K
CSX Corp0.24%$90.02K
BAT Capital Corp0.24%$88.88K
Pacific Gas and Electric Co0.23%$88.33K
Charter Communications Operating LLC / Charter Communications Operating Capital0.23%$88.12K
Novartis Capital Corp0.23%$88.08K
Boston Properties LP0.23%$87.06K
Motorola Solutions Inc0.23%$86.44K
Dell International LLC / EMC Corp0.23%$86.42K
Eli Lilly & Co0.23%$86.17K
Automatic Data Processing Inc0.23%$86.14K
HCA Inc0.23%$85.80K
Bio-Rad Laboratories Inc0.23%$85.54K
Charles Schwab Corp/The0.23%$85.20K
Capital One Financial Corp0.23%$85.18K
Toyota Motor Credit Corp0.23%$85.03K
Oncor Electric Delivery Co LLC0.22%$84.68K
Eaton Corp0.22%$83.93K
Sumisho Air Lease Corp0.22%$83.06K
Comcast Corp0.22%$82.39K
Southern California Edison Co0.22%$82.26K
O'Reilly Automotive Inc0.22%$81.62K
American Water Capital Corp0.22%$81.49K
Diageo Capital PLC0.22%$81.44K
McKesson Corp0.21%$80.67K
HP Inc0.21%$80.13K
Mizuho Financial Group Inc0.21%$78.53K
Starbucks Corp0.21%$78.51K
Merck & Co Inc0.21%$78.37K
Georgia Power Co0.21%$77.89K
Healthpeak OP LLC0.21%$77.63K
Welltower OP LLC0.20%$77.00K
Nomura Holdings Inc0.20%$76.54K
Eversource Energy0.20%$76.25K
Zoetis Inc0.20%$75.83K
BAT Capital Corp0.20%$75.67K
Cintas Corp No 20.20%$75.11K
Broadcom Inc0.20%$74.96K
Brown & Brown Inc0.20%$74.97K
Clorox Co/The0.20%$74.54K
Simon Property Group LP0.20%$74.16K
Keurig Dr Pepper Inc0.20%$73.99K
Costco Wholesale Corp0.19%$73.61K
NextEra Energy Capital Holdings Inc0.19%$73.35K
PepsiCo Inc0.19%$73.33K
Thermo Fisher Scientific Inc0.19%$72.79K
Valero Energy Corp0.19%$72.36K
Ares Strategic Income Fund0.19%$72.14K
HCA Inc0.19%$72.07K
America Movil SAB de CV0.19%$71.93K
Xcel Energy Inc0.19%$71.67K
American Honda Finance Corp0.19%$71.17K
Fidelity National Information Services Inc0.19%$71.00K
Mondelez International Inc0.19%$70.80K
AutoZone Inc0.19%$70.21K
Republic Services Inc0.19%$70.11K
Honda Motor Co Ltd0.19%$70.02K
Exelon Corp0.18%$69.34K
TELUS Corp0.18%$69.17K
Weyerhaeuser Co0.18%$69.15K
UBS Americas Inc0.18%$68.99K
Truist Financial Corp0.18%$68.64K
MetLife Inc0.18%$68.66K
Constellation Brands Inc0.18%$68.21K
AvalonBay Communities Inc0.18%$68.18K
State Street Corp0.18%$67.72K
Dollar General Corp0.18%$67.72K
Lockheed Martin Corp0.18%$67.53K
Sutter Health0.18%$67.35K
Kenvue Inc0.18%$67.30K
BHP Billiton Finance USA Ltd0.18%$67.05K
KeyCorp0.18%$66.60K
Newmont Corp0.18%$66.27K
Aon Corp / Aon Global Holdings PLC0.18%$66.24K
Nucor Corp0.17%$66.09K
Extra Space Storage LP0.17%$66.07K
Dick's Sporting Goods Inc0.17%$65.73K
Global Payments Inc0.17%$65.63K
AutoNation Inc0.17%$65.30K
ONEOK Inc0.17%$65.21K
Alabama Power Co0.17%$65.06K
Marsh & McLennan Cos Inc0.17%$64.89K
Ecolab Inc0.17%$64.83K
Realty Income Corp0.17%$64.35K
Amgen Inc0.17%$63.92K
Carlisle Cos Inc0.17%$63.82K
Chevron USA Inc0.17%$63.62K
Fairfax Financial Holdings Ltd0.17%$63.55K
Constellation Energy Generation LLC0.17%$63.48K
ConocoPhillips Co0.17%$63.40K
International Business Machines Corp0.17%$63.35K
Waste Management Inc0.17%$63.33K
Pacific Gas and Electric Co0.17%$63.09K
Realty Income Corp0.17%$63.06K
US Bancorp0.16%$62.24K
Progressive Corp/The0.16%$62.09K
Tapestry Inc0.16%$61.55K
Waste Connections Inc0.16%$61.49K
General Motors Financial Co Inc0.16%$61.46K
CVS Health Corp0.16%$61.11K
State Street Corp0.16%$60.59K
International Business Machines Corp0.16%$60.24K
Procter & Gamble Co/The0.16%$60.21K
National Rural Utilities Cooperative Finance Corp0.16%$60.16K
GLP Capital LP / GLP Financing II Inc0.16%$59.91K
Southern Co Gas Capital Corp0.16%$59.73K
Keybank National Association0.16%$59.69K
Wisconsin Power and Light Co0.16%$58.98K
Edison International0.15%$58.19K
NextEra Energy Capital Holdings Inc0.15%$58.02K
Brookfield Finance I UK Plc / Brookfield Finance Inc0.15%$57.94K
American Electric Power Co Inc0.15%$57.94K
Manulife Financial Corp0.15%$57.85K
Kraft Heinz Foods Co0.15%$57.74K
Simon Property Group LP0.15%$57.75K
Norfolk Southern Corp0.15%$57.63K
Coca-Cola Femsa SAB de CV0.15%$57.50K
American Tower Corp0.15%$57.44K
Archer-Daniels-Midland Co0.15%$57.26K
Bank of New York Mellon Corp/The0.15%$57.20K
Laboratory Corp of America Holdings0.15%$57.05K
CME Group Inc0.15%$56.90K
Elevance Health Inc0.15%$56.48K
Triton Container International Ltd / TAL International Container Corp0.15%$56.39K
Ameriprise Financial Inc0.15%$56.14K
Deutsche Telekom International Finance BV0.15%$55.97K
AES Corp/The0.15%$55.73K
WRKCo Inc0.15%$55.66K
John Deere Capital Corp0.15%$55.24K
Flex Ltd0.15%$55.04K
Host Hotels & Resorts LP0.14%$54.49K
Sumitomo Mitsui Financial Group Inc0.14%$54.14K
Suncor Energy Inc0.14%$53.96K
Ventas Realty LP0.14%$53.34K
Kimco Realty OP LLC0.14%$53.31K
NetApp Inc0.14%$53.10K
Citizens Financial Group Inc0.14%$53.04K
Appalachian Power Co0.14%$52.90K
Allegion US Holding Co Inc0.14%$52.91K
Nutrien Ltd0.14%$52.81K
CenterPoint Energy Resources Corp0.14%$52.65K
Thermo Fisher Scientific Inc0.14%$52.50K
Arthur J Gallagher & Co0.14%$52.08K
Southwest Gas Corp0.14%$51.62K
Entergy Louisiana LLC0.14%$51.64K
Hyatt Hotels Corp0.14%$51.51K
Fifth Third Bancorp0.14%$51.10K
Virginia Electric and Power Co0.14%$51.08K
International Business Machines Corp0.13%$50.70K
Leidos Inc0.13%$50.66K
Sun Communities Operating LP0.13%$50.64K
HF Sinclair Corp0.13%$50.27K
VeriSign Inc0.13%$50.21K
Johnson Controls International plc / Tyco Fire & Security Finance SCA0.13%$50.02K
Elevance Health Inc0.13%$49.85K
RELX Capital Inc0.13%$49.62K
Essex Portfolio LP0.13%$49.65K
Stanley Black & Decker Inc0.13%$49.54K
Air Products and Chemicals Inc0.13%$49.39K
Tyco Electronics Group SA0.13%$48.79K
Ally Financial Inc0.13%$48.61K
ORIX Corp0.13%$48.62K
State Street Corp0.13%$47.88K
TWDC Enterprises 18 Corp0.13%$47.83K
Humana Inc0.13%$47.80K
ORIX Corp0.13%$47.74K
EIDP Inc0.13%$47.53K
Quanta Services Inc0.13%$47.36K
Advanced Micro Devices Inc0.13%$47.28K
Waste Connections Inc0.12%$47.26K
John Deere Capital Corp0.12%$47.19K
Boardwalk Pipelines LP0.12%$47.10K
QUALCOMM Inc0.12%$47.10K
Avery Dennison Corp0.12%$47.03K
Becton Dickinson & Co0.12%$46.52K
Southern Co/The0.12%$45.69K
Hershey Co/The0.12%$45.56K
Ralph Lauren Corp0.12%$45.43K
AEP Texas Inc0.12%$45.41K
Mondelez International Inc0.12%$45.29K
Woodside Finance Ltd0.12%$45.27K
ERP Operating LP0.12%$45.23K
Howmet Aerospace Inc0.12%$45.19K
Wisconsin Electric Power Co0.12%$45.08K
HPS Corporate Lending Fund0.12%$45.03K
Public Service Electric and Gas Co0.12%$45.01K
Church & Dwight Co Inc0.12%$44.87K
San Diego Gas & Electric Co0.12%$44.50K
Roper Technologies Inc0.12%$44.48K
FactSet Research Systems Inc0.12%$44.10K
DTE Electric Co0.12%$44.07K
Sherwin-Williams Co/The0.12%$43.66K
ConocoPhillips0.12%$43.48K
CenterPoint Energy Houston Electric LLC0.11%$43.05K
Take-Two Interactive Software Inc0.11%$42.87K
Invitation Homes Operating Partnership LP0.11%$42.81K
American Homes 4 Rent LP0.11%$42.70K
Ameren Illinois Co0.11%$42.71K
Moody's Corp0.11%$42.64K
Toronto-Dominion Bank/The0.11%$42.56K
Cenovus Energy Inc0.11%$41.07K
Jefferies Financial Group Inc0.11%$41.02K
Fifth Third Bank NA0.11%$41.02K
Mastercard Inc0.11%$40.57K
Marriott International Inc/MD0.11%$40.44K
Motorola Solutions Inc0.11%$40.34K
Brown & Brown Inc0.11%$40.00K
Flowserve Corp0.11%$39.93K
CubeSmart LP0.10%$39.64K
Welltower OP LLC0.10%$39.65K
Sonoco Products Co0.10%$39.54K
Union Electric Co0.10%$39.39K
Genuine Parts Co0.10%$39.21K
Arrow Electronics Inc0.10%$39.09K
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.10%$37.47K
Colgate-Palmolive Co0.10%$37.41K
Duke Energy Carolinas LLC0.09%$35.34K
National Rural Utilities Cooperative Finance Corp0.09%$34.89K
Southern California Edison Co0.09%$34.65K
Mitsubishi UFJ Financial Group Inc0.07%$25.05K
Aptiv Swiss Holdings Ltd0.01%$5.51K

VBCF overview: performance, fees, allocation and SEC filings