VBCH Holdings — Vanguard Target Maturity 2034 Corporate Bond ETF

All 345 reported holdings of Vanguard Target Maturity 2034 Corporate Bond ETF (VBCH) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
JPMorgan Chase & Co1.97%$119.24K
Bank of America Corp1.84%$111.19K
Goldman Sachs Group Inc/The1.84%$110.98K
Morgan Stanley1.73%$104.56K
Broadcom Inc1.01%$61.03K
Wells Fargo & Co1.01%$60.90K
Citigroup Inc0.88%$53.08K
AbbVie Inc0.87%$52.56K
AT&T Inc0.81%$48.66K
Bank of America Corp0.78%$47.24K
Bristol-Myers Squibb Co0.74%$44.88K
BP Capital Markets America Inc0.74%$44.58K
Cisco Systems Inc0.73%$44.38K
Boeing Co/The0.73%$44.06K
HSBC Holdings PLC0.69%$41.98K
Citibank NA0.67%$40.42K
UnitedHealth Group Inc0.67%$40.37K
Oracle Corp0.67%$40.32K
General Motors Financial Co Inc0.66%$40.08K
Kroger Co/The0.64%$38.45K
Lloyds Banking Group PLC0.62%$37.76K
Philip Morris International Inc0.62%$37.61K
PNC Financial Services Group Inc/The0.62%$37.48K
HCA Inc0.62%$37.38K
Meta Platforms Inc0.58%$35.33K
Barclays PLC0.58%$34.76K
Energy Transfer LP0.57%$34.67K
Eli Lilly & Co0.57%$34.52K
Hewlett Packard Enterprise Co0.57%$34.31K
Charter Communications Operating LLC / Charter Communications Operating Capital0.56%$33.67K
Wells Fargo & Co0.54%$32.63K
Aon North America Inc0.52%$31.64K
Home Depot Inc/The0.51%$31.11K
US Bancorp0.51%$30.97K
Truist Financial Corp0.51%$30.90K
ONEOK Inc0.50%$30.32K
American Express Co0.50%$30.32K
T-Mobile USA Inc0.50%$30.04K
Solventum Corp0.49%$29.67K
Mitsubishi UFJ Financial Group Inc0.49%$29.42K
Chubb INA Holdings LLC0.48%$29.07K
RTX Corp0.48%$28.97K
Florida Power & Light Co0.47%$28.56K
Southern Co/The0.46%$27.97K
Cheniere Energy Inc0.46%$27.71K
Simon Property Group LP0.45%$27.35K
Westpac Banking Corp0.45%$27.22K
Ford Motor Credit Co LLC0.45%$27.19K
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.44%$26.86K
Pacific Gas and Electric Co0.44%$26.58K
Verizon Communications Inc0.44%$26.57K
AerCap Ireland Capital DAC / AerCap Global Aviation Trust0.44%$26.33K
Goldman Sachs Group Inc/The0.43%$26.09K
Jefferies Financial Group Inc0.42%$25.59K
Mplx LP0.42%$25.28K
John Deere Capital Corp0.42%$25.25K
Comcast Corp0.42%$25.10K
NatWest Group PLC0.41%$24.86K
Uber Technologies Inc0.40%$24.47K
Diamondback Energy Inc0.40%$24.34K
Morgan Stanley0.40%$23.87K
CVS Health Corp0.39%$23.74K
Sumitomo Mitsui Financial Group Inc0.39%$23.58K
Royal Bank of Canada0.39%$23.44K
Bank of America Corp0.38%$23.10K
Amazon.com Inc0.38%$23.06K
Deutsche Bank AG/New York NY0.38%$23.01K
Williams Cos Inc/The0.38%$22.98K
Prologis LP0.38%$22.91K
Rogers Communications Inc0.38%$22.81K
Cheniere Energy Partners LP0.38%$22.68K
Occidental Petroleum Corp0.37%$22.50K
Astrazeneca Finance LLC0.37%$22.21K
Nasdaq Inc0.36%$21.58K
Huntington Bancshares Inc/OH0.36%$21.49K
Citigroup Inc0.35%$21.35K
Morgan Stanley0.35%$21.34K
JPMorgan Chase & Co0.35%$21.32K
TotalEnergies Capital SA0.35%$21.29K
TransCanada PipeLines Ltd0.35%$21.27K
Kinder Morgan Inc0.35%$21.16K
Banco Santander SA0.35%$21.15K
Accenture Capital Inc0.35%$21.10K
Devon Energy Corp0.35%$21.02K
Coca-Cola Co/The0.35%$20.98K
Fiserv Inc0.34%$20.82K
JPMorgan Chase & Co0.34%$20.71K
Enbridge Inc0.34%$20.59K
Capital One Financial Corp0.34%$20.56K
Mizuho Financial Group Inc0.34%$20.49K
Cardinal Health Inc0.34%$20.42K
ING Groep NV0.34%$20.37K
Takeda Pharmaceutical Co Ltd0.33%$20.24K
Novartis Capital Corp0.33%$20.21K
CBRE Services Inc0.33%$19.80K
Banco Bilbao Vizcaya Argentaria SA0.33%$19.76K
JPMorgan Chase & Co0.33%$19.76K
Nomura Holdings Inc0.32%$19.60K
Crown Castle Inc0.32%$19.52K
HA Sustainable Infrastructure Capital Inc0.32%$19.39K
Elevance Health Inc0.32%$19.29K
Dell International LLC / EMC Corp0.32%$19.27K
Anheuser-Busch InBev Worldwide Inc0.32%$19.18K
AppLovin Corp0.32%$19.15K
Unilever Capital Corp0.31%$18.70K
Goldman Sachs Group Inc/The0.31%$18.67K
Automatic Data Processing Inc0.31%$18.51K
PacifiCorp0.30%$18.20K
Cigna Group/The0.30%$18.20K
Bank of New York Mellon Corp/The0.30%$18.18K
Waste Management Inc0.30%$18.08K
Mastercard Inc0.30%$18.04K
Air Products and Chemicals Inc0.30%$17.95K
South Bow USA Infrastructure Holdings LLC0.30%$17.93K
Woodside Finance Ltd0.29%$17.71K
Broadcom Inc0.29%$17.62K
Tyson Foods Inc0.29%$17.53K
Walt Disney Co/The0.29%$17.44K
Newmont Corp / Newcrest Finance Pty Ltd0.29%$17.42K
Duke Energy Corp0.29%$17.35K
Smurfit Kappa Treasury ULC0.28%$17.23K
Motorola Solutions Inc0.28%$17.21K
Intel Corp0.28%$17.01K
PayPal Holdings Inc0.28%$16.90K
Enterprise Products Operating LLC0.28%$16.86K
Southern California Edison Co0.28%$16.84K
Laboratory Corp of America Holdings0.27%$16.54K
Owens Corning0.27%$16.53K
Berry Global Inc0.27%$16.38K
Boeing Co/The0.27%$16.31K
Public Service Co of Colorado0.27%$16.24K
BlackRock Funding Inc0.27%$16.15K
UnitedHealth Group Inc0.26%$15.99K
Netflix Inc0.26%$15.96K
Lockheed Martin Corp0.26%$15.90K
Quest Diagnostics Inc0.26%$15.89K
Public Service Electric and Gas Co0.26%$15.85K
Toyota Motor Credit Corp0.26%$15.85K
DTE Energy Co0.26%$15.66K
Blue Owl Finance LLC0.26%$15.66K
Bunge Ltd Finance Corp0.26%$15.46K
Lloyds Banking Group PLC0.26%$15.42K
Ingersoll Rand Inc0.25%$15.27K
Eastman Chemical Co0.25%$15.27K
Eversource Energy0.25%$15.26K
L3Harris Technologies Inc0.25%$15.25K
Cummins Inc0.25%$15.22K
Equinix Europe 2 Financing Corp LLC0.25%$15.22K
CRH America Finance Inc0.25%$15.22K
Entergy Louisiana LLC0.25%$15.13K
Targa Resources Corp0.25%$15.09K
Western Midstream Operating LP0.25%$14.92K
Duke Energy Carolinas LLC0.25%$14.90K
KeyCorp0.25%$14.88K
Brookfield Finance Inc0.25%$14.83K
BAT Capital Corp0.24%$14.77K
American Honda Finance Corp0.24%$14.70K
Stryker Corp0.24%$14.63K
Humana Inc0.24%$14.49K
United Parcel Service Inc0.24%$14.29K
Oracle Corp0.24%$14.28K
Freeport-McMoRan Inc0.24%$14.24K
Wyeth LLC0.24%$14.23K
Ally Financial Inc0.24%$14.24K
Xcel Energy Inc0.24%$14.22K
American Homes 4 Rent LP0.23%$14.17K
Regions Financial Corp0.23%$14.16K
IBM International Capital Pte Ltd0.23%$13.84K
Campbell's Company/The0.23%$13.80K
Sonoco Products Co0.23%$13.71K
Cadence Design Systems Inc0.23%$13.70K
Goldman Sachs Capital I0.22%$13.57K
Phillips 660.22%$13.56K
CNO Financial Group Inc0.22%$13.55K
Roper Technologies Inc0.22%$13.53K
Canadian National Railway Co0.22%$13.50K
Corebridge Financial Inc0.22%$13.34K
Plains All American Pipeline LP / PAA Finance Corp0.22%$13.28K
EQT Corp0.22%$13.28K
National Grid PLC0.22%$13.18K
Quanta Services Inc0.22%$13.15K
Smith & Nephew PLC0.22%$13.10K
MetLife Inc0.22%$13.03K
Procter & Gamble Co/The0.22%$13.00K
Zimmer Biomet Holdings Inc0.22%$13.00K
Waste Connections Inc0.21%$12.98K
Eli Lilly & Co0.21%$12.91K
PPL Electric Utilities Corp0.21%$12.90K
Carrier Global Corp0.21%$12.65K
Blackstone Private Credit Fund0.21%$12.51K
PNC Financial Services Group Inc/The0.20%$12.37K
NSTAR Electric Co0.20%$12.25K
Host Hotels & Resorts LP0.20%$12.25K
Essex Portfolio LP0.20%$12.23K
VICI Properties LP0.20%$12.17K
TPG Operating Group II LP0.20%$12.16K
Northrop Grumman Corp0.20%$11.93K
LYB International Finance III LLC0.20%$11.90K
Omnicom Group Inc0.20%$11.89K
Honeywell International Inc0.19%$11.73K
Alibaba Group Holding Ltd0.19%$11.67K
Target Corp0.19%$11.64K
GXO Logistics Inc0.19%$11.53K
General Motors Financial Co Inc0.19%$11.48K
Bank of Nova Scotia/The0.19%$11.40K
Las Vegas Sands Corp0.19%$11.32K
Westinghouse Air Brake Technologies Corp0.19%$11.28K
Cousins Properties LP0.19%$11.26K
Boardwalk Pipelines LP0.19%$11.22K
Thermo Fisher Scientific Inc0.19%$11.20K
Comcast Corp0.18%$11.15K
Bank of New York Mellon Corp/The0.18%$11.15K
Arthur J Gallagher & Co0.18%$11.14K
Essential Utilities Inc0.18%$11.14K
Marriott International Inc/MD0.18%$11.11K
Royalty Pharma PLC0.18%$11.09K
Marsh & McLennan Cos Inc0.18%$11.08K
Republic Services Inc0.18%$11.06K
Realty Income Corp0.18%$11.04K
Alexandria Real Estate Equities Inc0.18%$11.03K
Moody's Corp0.18%$10.99K
GLP Capital LP / GLP Financing II Inc0.18%$10.91K
CNA Financial Corp0.18%$10.87K
KLA Corp0.18%$10.86K
Citizens Financial Group Inc0.18%$10.76K
Boston Properties LP0.18%$10.60K
Universal Health Services Inc0.17%$10.54K
Santander Holdings USA Inc0.17%$10.53K
General Motors Financial Co Inc0.17%$10.35K
HSBC Holdings PLC0.17%$10.27K
Amphenol Corp0.17%$10.18K
Republic Services Inc0.17%$10.16K
Vulcan Materials Co0.17%$10.15K
NextEra Energy Capital Holdings Inc0.17%$10.12K
Canadian Natural Resources Ltd0.17%$10.09K
Extra Space Storage LP0.17%$10.09K
PPL Capital Funding Inc0.17%$10.04K
T-Mobile USA Inc0.17%$10.02K
Martin Marietta Materials Inc0.17%$10.00K
Bell Telephone Co of Canada or Bell Canada0.17%$9.99K
Verisk Analytics Inc0.17%$9.98K
Lockheed Martin Corp0.16%$9.94K
Adobe Inc0.16%$9.93K
CF Industries Inc0.16%$9.90K
Ferguson Enterprises Inc0.16%$9.89K
TotalEnergies Capital SA0.16%$9.88K
Eversource Energy0.16%$9.40K
Arizona Public Service Co0.15%$9.29K
Entergy Arkansas LLC0.15%$9.26K
Devon Energy Corp0.15%$9.23K
Charter Communications Operating LLC / Charter Communications Operating Capital0.15%$9.23K
AGCO Corp0.15%$9.17K
AutoZone Inc0.15%$9.15K
Energy Transfer LP0.15%$9.15K
American Water Capital Corp0.15%$9.11K
Brown & Brown Inc0.15%$9.11K
CommonSpirit Health0.15%$9.02K
Virginia Electric and Power Co0.15%$8.98K
DR Horton Inc0.15%$8.91K
CDW LLC / CDW Finance Corp0.15%$8.88K
Dow Chemical Co/The0.15%$8.82K
ArcelorMittal SA0.14%$8.36K
Capital One Financial Corp0.14%$8.31K
Reinsurance Group of America Inc0.14%$8.19K
LPL Holdings Inc0.14%$8.18K
McDonald's Corp0.14%$8.17K
HCA Inc0.14%$8.16K
Exelon Corp0.14%$8.16K
NiSource Inc0.13%$8.15K
Kinder Morgan Inc0.13%$8.15K
Georgia Power Co0.13%$8.13K
American Tower Corp0.13%$8.12K
Trane Technologies Financing Ltd0.13%$8.08K
PepsiCo Inc0.13%$8.03K
Keurig Dr Pepper Inc0.13%$8.02K
Estee Lauder Cos Inc/The0.13%$7.99K
System Energy Resources Inc0.13%$7.98K
Agilent Technologies Inc0.13%$7.87K
F&G Annuities & Life Inc0.13%$7.83K
ERP Operating LP0.13%$7.78K
Fiserv Inc0.13%$7.77K
Pacific Gas and Electric Co0.13%$7.63K
Ovintiv Inc0.12%$7.47K
Constellation Energy Generation LLC0.12%$7.43K
Sysco Corp0.12%$7.36K
GATX Corp0.12%$7.33K
Hasbro Inc0.12%$7.31K
Suncor Energy Inc0.12%$7.30K
TD SYNNEX Corp0.12%$7.28K
Southern California Edison Co0.12%$7.25K
Consolidated Edison Co of New York Inc0.12%$7.24K
AEP Texas Inc0.12%$7.22K
Ventas Realty LP0.12%$7.19K
Coca-Cola Consolidated Inc0.12%$7.18K
BorgWarner Inc0.12%$7.13K
NNN REIT Inc0.12%$7.13K
MetLife Inc0.12%$7.12K
DTE Electric Co0.12%$7.12K
Choice Hotels International Inc0.12%$7.11K
American Assets Trust LP0.12%$7.11K
John Deere Capital Corp0.12%$7.10K
Nutrien Ltd0.12%$7.09K
Union Electric Co0.12%$7.09K
Cardinal Health Inc0.12%$7.08K
Steel Dynamics Inc0.12%$7.08K
Analog Devices Inc0.12%$7.07K
Cencora Inc0.12%$7.02K
Starbucks Corp0.12%$7.02K
Texas Instruments Inc0.12%$7.01K
BP Capital Markets America Inc0.12%$6.99K
Southern California Gas Co0.12%$7.00K
Crown Castle Inc0.11%$6.93K
O'Reilly Automotive Inc0.11%$6.92K
Keysight Technologies Inc0.11%$6.92K
Atlassian Corp0.11%$6.90K
Helmerich & Payne Inc0.11%$6.87K
Parker-Hannifin Corp0.11%$6.69K
Kimco Realty OP LLC0.11%$6.48K
Arrow Electronics Inc0.10%$6.18K
GlaxoSmithKline Capital Inc0.10%$6.17K
Tyson Foods Inc0.10%$6.17K
Coca-Cola Co/The0.10%$6.14K
Mizuho Financial Group Inc0.10%$6.14K
Virginia Electric and Power Co0.10%$6.00K
Procter & Gamble Co/The0.10%$5.98K
Philip Morris International Inc0.10%$5.96K
WW Grainger Inc0.10%$5.82K
Johnson & Johnson0.09%$5.13K
Icon Investments Six DAC0.08%$5.12K
Entergy Louisiana LLC0.08%$5.12K
ONEOK Inc0.08%$5.10K
Public Service Enterprise Group Inc0.08%$5.10K
Duke Energy Progress LLC0.08%$5.07K
American Homes 4 Rent LP0.08%$5.06K
Athene Holding Ltd0.08%$5.06K
Prologis LP0.08%$5.03K
Cornell University0.08%$5.02K
AerCap Ireland Capital DAC / AerCap Global Aviation Trust0.08%$5.00K
Blackstone Reg Finance Co L.L.C.0.08%$4.92K
Mondelez International Inc0.08%$4.91K
Americold Realty Operating Partnership LP0.08%$4.86K
McCormick & Co Inc/MD0.08%$4.84K
Kyndryl Holdings Inc0.08%$4.71K
Canadian National Railway Co0.07%$4.36K
JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings0.05%$3.27K

VBCH overview: performance, fees, allocation and SEC filings