VBCG Holdings — Vanguard Target Maturity 2033 Corporate Bond ETF

All 331 reported holdings of Vanguard Target Maturity 2033 Corporate Bond ETF (VBCG) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Pfizer Investment Enterprises Pte Ltd1.32%$39.85K
Bank of America Corp1.31%$39.46K
JPMorgan Chase & Co1.22%$36.70K
Amgen Inc1.12%$33.86K
Wells Fargo & Co1.12%$33.79K
Bank of America Corp1.08%$32.45K
Amazon.com Inc1.05%$31.69K
AT&T Inc0.98%$29.61K
Wells Fargo & Co0.94%$28.40K
Morgan Stanley0.87%$26.09K
Wells Fargo & Co0.86%$25.95K
Citigroup Inc0.86%$25.89K
JPMorgan Chase & Co0.86%$25.78K
Alphabet Inc0.82%$24.68K
Oracle Corp0.78%$23.35K
Abbott Laboratories0.75%$22.51K
T-Mobile USA Inc0.74%$22.14K
Morgan Stanley0.71%$21.29K
Verizon Communications Inc0.64%$19.40K
HSBC Holdings PLC0.63%$19.06K
PNC Financial Services Group Inc/The0.62%$18.76K
HSBC Holdings PLC0.59%$17.69K
Philip Morris International Inc0.58%$17.47K
Broadcom Inc0.58%$17.38K
Banco Santander SA0.57%$17.26K
Intel Corp0.57%$17.13K
BP Capital Markets America Inc0.57%$17.05K
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.56%$16.99K
HSBC Holdings PLC0.56%$16.81K
Enbridge Inc0.55%$16.58K
Morgan Stanley0.54%$16.32K
Novartis Capital Corp0.53%$15.93K
US Bancorp0.53%$15.82K
Barclays PLC0.52%$15.74K
Broadcom Inc0.52%$15.72K
UnitedHealth Group Inc0.51%$15.40K
Capital One Financial Corp0.49%$14.75K
Truist Financial Corp0.48%$14.57K
Comcast Corp0.48%$14.49K
CVS Health Corp0.47%$14.15K
Royal Bank of Canada0.47%$14.12K
Meta Platforms Inc0.47%$14.11K
BP Capital Markets America Inc0.47%$14.09K
Barclays PLC0.47%$14.04K
Honeywell Aerospace Inc0.46%$13.83K
Verizon Communications Inc0.46%$13.82K
Banco Santander SA0.45%$13.46K
Barclays PLC0.43%$13.08K
Energy Transfer LP0.43%$12.96K
Charles Schwab Corp/The0.42%$12.77K
Amazon.com Inc0.42%$12.76K
UnitedHealth Group Inc0.42%$12.70K
Eaton Corp0.42%$12.64K
ONEOK Inc0.42%$12.58K
Sumitomo Mitsui Financial Group Inc0.41%$12.49K
JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings0.41%$12.39K
AerCap Ireland Capital DAC / AerCap Global Aviation Trust0.41%$12.37K
L3Harris Technologies Inc0.41%$12.30K
PNC Financial Services Group Inc/The0.40%$12.02K
Merck & Co Inc0.40%$11.96K
Truist Financial Corp0.40%$11.96K
Enbridge Inc0.40%$11.90K
ING Groep NV0.39%$11.60K
Cheniere Energy Partners LP0.38%$11.54K
Energy Transfer LP0.38%$11.44K
Vale Overseas Ltd0.38%$11.43K
Oracle Corp0.38%$11.37K
BHP Billiton Finance USA Ltd0.37%$11.24K
Kinder Morgan Inc0.37%$11.19K
Intuit Inc0.37%$11.19K
Fiserv Inc0.37%$11.10K
Goldman Sachs Group Inc/The0.36%$10.86K
Walmart Inc0.36%$10.86K
AbbVie Inc0.36%$10.78K
Royal Caribbean Cruises Ltd0.35%$10.62K
Ford Motor Credit Co LLC0.35%$10.51K
Williams Cos Inc/The0.34%$10.34K
John Deere Capital Corp0.34%$10.31K
Capital One Financial Corp0.34%$10.23K
Mitsubishi UFJ Financial Group Inc0.34%$10.23K
HCA Inc0.34%$10.20K
CVS Health Corp0.33%$10.08K
BlackRock Funding Inc/DE0.33%$10.06K
American Express Co0.33%$10.02K
Salesforce Inc0.33%$9.98K
TotalEnergies Capital USA LLC0.33%$9.90K
BAT Capital Corp0.32%$9.76K
Amphenol Corp0.32%$9.76K
Fox Corp0.32%$9.65K
Canadian Imperial Bank of Commerce0.32%$9.62K
Pacific Gas and Electric Co0.32%$9.55K
Republic Services Inc0.32%$9.50K
Charles Schwab Corp/The0.31%$9.46K
Sumitomo Mitsui Financial Group Inc0.31%$9.40K
Philip Morris International Inc0.31%$9.39K
Mizuho Financial Group Inc0.31%$9.34K
RTX Corp0.31%$9.18K
Capital One Financial Corp0.30%$9.17K
ConocoPhillips Co0.30%$9.16K
Duke Energy Carolinas LLC0.30%$9.14K
Lowe's Cos Inc0.30%$9.11K
Kenvue Inc0.30%$9.07K
Apple Inc0.30%$9.02K
Johnson & Johnson0.30%$9.01K
Mplx LP0.30%$8.95K
Comcast Corp0.30%$8.91K
Bank of Nova Scotia/The0.29%$8.87K
Toyota Motor Credit Corp0.29%$8.86K
Bank of New York Mellon Corp/The0.29%$8.75K
Marriott International Inc/MD0.29%$8.64K
Goldman Sachs Group Inc/The0.28%$8.58K
Micron Technology Inc0.28%$8.55K
Diamondback Energy Inc0.28%$8.54K
J M Smucker Co/The0.28%$8.47K
Regal Rexnord Corp0.28%$8.45K
NatWest Group PLC0.28%$8.42K
Charter Communications Operating LLC / Charter Communications Operating Capital0.28%$8.40K
Ingersoll Rand Inc0.28%$8.31K
Gilead Sciences Inc0.27%$8.27K
Mitsubishi UFJ Financial Group Inc0.27%$8.18K
Unilever Capital Corp0.27%$8.17K
Thermo Fisher Scientific Inc0.27%$8.15K
Phillips 66 Co0.27%$8.14K
T-Mobile USA Inc0.27%$8.14K
State Street Corp0.27%$8.11K
HP Inc0.27%$8.10K
Dollar General Corp0.27%$8.09K
NextEra Energy Capital Holdings Inc0.27%$8.08K
Georgia Power Co0.27%$8.07K
Royal Bank of Canada0.27%$8.06K
Eli Lilly & Co0.27%$8.06K
Lowe's Cos Inc0.27%$8.05K
Bank of New York Mellon Corp/The0.27%$8.01K
Northrop Grumman Corp0.27%$7.99K
Comcast Corp0.26%$7.96K
Time Warner Cable Enterprises LLC0.26%$7.93K
AT&T Inc0.26%$7.93K
Keybank National Association0.26%$7.89K
M&T Bank Corp0.26%$7.89K
Eaton Corp0.26%$7.89K
Broadcom Inc0.26%$7.88K
Elevance Health Inc0.26%$7.88K
Ford Motor Credit Co LLC0.26%$7.84K
Targa Resources Corp0.25%$7.58K
Oncor Electric Delivery Co LLC0.24%$7.34K
PNC Financial Services Group Inc/The0.24%$7.33K
Alexandria Real Estate Equities Inc0.24%$7.29K
Diageo Capital PLC0.24%$7.28K
Dell International LLC / EMC Corp0.24%$7.27K
Mizuho Financial Group Inc0.24%$7.26K
MetLife Inc0.24%$7.24K
Enterprise Products Operating LLC0.24%$7.22K
S&P Global Inc0.24%$7.20K
American Tower Corp0.24%$7.19K
Exelon Corp0.24%$7.17K
Xcel Energy Inc0.24%$7.15K
United Parcel Service Inc0.24%$7.14K
Texas Instruments Inc0.24%$7.12K
Verizon Communications Inc0.24%$7.09K
Fiserv Inc0.23%$7.07K
PepsiCo Inc0.23%$7.03K
Florida Power & Light Co0.23%$7.01K
NXP BV / NXP Funding LLC / NXP USA Inc0.23%$6.97K
State Street Corp0.23%$6.97K
General Mills Inc0.23%$6.93K
Bank of New York Mellon Corp/The0.23%$6.92K
Medtronic Global Holdings SCA0.23%$6.91K
Thermo Fisher Scientific Inc0.23%$6.91K
Procter & Gamble Co/The0.23%$6.90K
Baker Hughes Holdings LLC / Baker Hughes Co-Obligor Inc0.23%$6.89K
Equinix Europe 2 Financing Corp LLC0.23%$6.80K
Banco Bilbao Vizcaya Argentaria SA0.22%$6.77K
Amgen Inc0.22%$6.76K
Entergy Louisiana LLC0.22%$6.65K
Westpac Banking Corp0.22%$6.56K
Quest Diagnostics Inc0.22%$6.53K
Bristol-Myers Squibb Co0.21%$6.44K
Atmos Energy Corp0.21%$6.41K
General Motors Financial Co Inc0.21%$6.36K
Targa Resources Corp0.21%$6.35K
Trimble Inc0.21%$6.28K
American Tower Corp0.21%$6.28K
Fairfax Financial Holdings Ltd0.21%$6.27K
National Grid PLC0.21%$6.26K
Sumitomo Mitsui Financial Group Inc0.21%$6.25K
Lockheed Martin Corp0.21%$6.25K
American Electric Power Co Inc0.21%$6.21K
American Tower Corp0.21%$6.20K
Marsh & McLennan Cos Inc0.21%$6.19K
Cigna Group/The0.20%$6.17K
RenaissanceRe Holdings Ltd0.20%$6.16K
Veralto Corp0.20%$6.13K
Mastercard Inc0.20%$6.08K
Willis North America Inc0.20%$6.06K
Southern Co/The0.20%$6.06K
Bell Telephone Co of Canada or Bell Canada0.20%$6.01K
Eversource Energy0.20%$5.99K
Union Pacific Corp0.20%$5.98K
Augusta SpinCo Corp0.20%$5.98K
Mplx LP0.20%$5.96K
Kinder Morgan Inc0.20%$5.95K
Visa Inc0.20%$5.94K
Crown Castle Inc0.20%$5.92K
Estee Lauder Cos Inc/The0.20%$5.90K
T-Mobile USA Inc0.20%$5.89K
BAT Capital Corp0.20%$5.87K
Omnicom Group Inc0.19%$5.86K
Waste Connections Inc0.19%$5.81K
MercadoLibre Inc0.19%$5.79K
Kinder Morgan Energy Partners LP0.19%$5.66K
Boston Properties LP0.19%$5.65K
Comcast Corp0.19%$5.62K
Enterprise Products Operating LLC0.19%$5.61K
Merck & Co Inc0.18%$5.56K
Travelers Property Casualty Corp0.18%$5.56K
Altria Group Inc0.18%$5.54K
Ryder System Inc0.18%$5.49K
AutoZone Inc0.18%$5.44K
Rio Tinto Alcan Inc0.18%$5.37K
Darden Restaurants Inc0.18%$5.35K
Micron Technology Inc0.18%$5.33K
Duke Energy Florida LLC0.18%$5.31K
Apollo Global Management Inc0.18%$5.30K
State Street Corp0.18%$5.28K
Ovintiv Inc0.18%$5.28K
Nomura Holdings Inc0.18%$5.28K
Marvell Technology Inc0.17%$5.27K
Nomura Holdings Inc0.17%$5.25K
Constellation Energy Generation LLC0.17%$5.25K
Dow Chemical Co/The0.17%$5.24K
Citigroup Inc0.17%$5.24K
Pacific Gas and Electric Co0.17%$5.23K
Brookfield Capital Finance LLC0.17%$5.22K
Western Midstream Operating LP0.17%$5.22K
Duke Energy Corp0.17%$5.21K
QUALCOMM Inc0.17%$5.20K
Southern Co Gas Capital Corp0.17%$5.20K
Nordson Corp0.17%$5.20K
Leidos Inc0.17%$5.19K
Simon Property Group LP0.17%$5.18K
Fortune Brands Innovations Inc0.17%$5.18K
Jacobs Engineering Group Inc0.17%$5.18K
Eastman Chemical Co0.17%$5.17K
Diageo Capital PLC0.17%$5.16K
Public Service Co of New Hampshire0.17%$5.16K
Duke Energy Progress LLC0.17%$5.15K
Sempra0.17%$5.15K
LKQ Corp0.17%$5.15K
NNN REIT Inc0.17%$5.14K
nVent Finance Sarl0.17%$5.14K
Consolidated Edison Co of New York Inc0.17%$5.14K
Arizona Public Service Co0.17%$5.13K
DTE Electric Co0.17%$5.13K
Trane Technologies Financing Ltd0.17%$5.13K
CSX Corp0.17%$5.12K
Aon Corp / Aon Global Holdings PLC0.17%$5.12K
Amcor Finance USA Inc0.17%$5.12K
Public Service Electric and Gas Co0.17%$5.12K
Allstate Corp/The0.17%$5.11K
Toyota Motor Corp0.17%$5.11K
Public Storage Operating Co0.17%$5.11K
Equitable Holdings Inc0.17%$5.10K
Booz Allen Hamilton Inc0.17%$5.10K
Humana Inc0.17%$5.10K
Florida Power & Light Co0.17%$5.10K
Southern California Gas Co0.17%$5.10K
McKesson Corp0.17%$5.10K
Providence St Joseph Health Obligated Group0.17%$5.10K
Astrazeneca Finance LLC0.17%$5.09K
Ameriprise Financial Inc0.17%$5.09K
HEICO Corp0.17%$5.08K
Rio Tinto Finance USA PLC0.17%$5.08K
Republic Services Inc0.17%$5.08K
McDonald's Corp0.17%$5.08K
Southwestern Electric Power Co0.17%$5.08K
CNA Financial Corp0.17%$5.07K
Tractor Supply Co0.17%$5.07K
Progressive Corp/The0.17%$5.07K
Upmc0.17%$5.06K
PPL Electric Utilities Corp0.17%$5.06K
Colgate-Palmolive Co0.17%$5.06K
Mosaic Co/The0.17%$5.05K
Dominion Energy Inc0.17%$5.05K
American International Group Inc0.17%$5.05K
Air Products and Chemicals Inc0.17%$5.04K
LYB International Finance III LLC0.17%$5.04K
Virginia Electric and Power Co0.17%$5.03K
PECO Energy Co0.17%$5.03K
Ameren Illinois Co0.17%$5.03K
CenterPoint Energy Houston Electric LLC0.17%$5.02K
BHP Billiton Finance USA Ltd0.17%$5.02K
Waste Management Inc0.17%$5.01K
America Movil SAB de CV0.17%$5.00K
Starbucks Corp0.17%$4.99K
Realty Income Corp0.17%$4.99K
International Business Machines Corp0.17%$4.97K
Target Corp0.17%$4.97K
Hewlett Packard Enterprise Co0.17%$4.97K
Prologis LP0.16%$4.96K
Brown-Forman Corp0.16%$4.96K
Consumers Energy Co0.16%$4.95K
EIDP Inc0.16%$4.95K
Public Service Electric and Gas Co0.16%$4.95K
McCormick & Co Inc/MD0.16%$4.94K
Prologis LP0.16%$4.94K
CBRE Services Inc0.16%$4.94K
Archer-Daniels-Midland Co0.16%$4.94K
Constellation Brands Inc0.16%$4.93K
Bunge Ltd Finance Corp0.16%$4.94K
AutoZone Inc0.16%$4.93K
Extra Space Storage LP0.16%$4.93K
Kimco Realty OP LLC0.16%$4.92K
Mid-America Apartments LP0.16%$4.92K
Cencora Inc0.16%$4.91K
Southern California Edison Co0.16%$4.91K
Norfolk Southern Corp0.16%$4.91K
International Business Machines Corp0.16%$4.90K
Astrazeneca Finance LLC0.16%$4.90K
Triton Container International Ltd / TAL International Container Corp0.16%$4.90K
GLP Capital LP / GLP Financing II Inc0.16%$4.89K
Healthpeak OP LLC0.16%$4.89K
Invitation Homes Operating Partnership LP0.16%$4.88K
Global Payments Inc0.16%$4.88K
Fedex Freight Holding Co Inc0.16%$4.88K
Jabil Inc0.16%$4.86K
AerCap Ireland Capital DAC / AerCap Global Aviation Trust0.16%$4.86K
Marriott International Inc/MD0.16%$4.83K
Cousins Properties LP0.16%$4.81K
Concentrix Corp0.15%$4.67K
Omega Healthcare Investors Inc0.15%$4.40K
WRKCo Inc0.15%$4.39K

VBCG overview: performance, fees, allocation and SEC filings