VWETX Holdings — Vanguard Long-Term Investment-Grade Fund

All 500 reported holdings of Vanguard Long-Term Investment-Grade Fund (VWETX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Vanguard Cmt Funds-Vanguard Market Liquidity Fund1.66%$168.61M
Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc1.19%$120.32M
United States Treasury Note/Bond0.70%$70.50M
Broadcom Inc0.65%$65.69M
Microsoft Corp0.63%$64.29M
JPMorgan Chase & Co0.63%$64.19M
AbbVie Inc0.59%$59.66M
Wells Fargo & Co0.58%$58.92M
Pfizer Investment Enterprises Pte Ltd0.51%$51.86M
Morgan Stanley0.50%$50.83M
Anheuser-Busch InBev Worldwide Inc0.50%$50.45M
Meta Platforms Inc0.49%$49.43M
Comcast Corp0.47%$47.83M
Bristol-Myers Squibb Co0.46%$46.83M
Alphabet Inc0.45%$45.55M
State of California0.45%$45.23M
Amazon.com Inc0.43%$43.20M
United States Treasury Note/Bond0.41%$41.68M
Mars Inc0.41%$41.53M
Amazon.com Inc0.40%$40.57M
Morgan Stanley0.39%$39.58M
Bank of America Corp0.38%$38.80M
Salesforce Inc0.38%$38.16M
RD Michigan Property Owner I LLC0.37%$37.82M
Amazon.com Inc0.37%$37.76M
Goldman Sachs Group Inc/The0.37%$37.53M
Shell Finance US Inc0.36%$36.91M
UBS Group AG0.36%$36.21M
Wells Fargo & Co0.36%$35.98M
Metropolitan Transportation Authority Dedicated Tax Fund0.35%$35.97M
United States Treasury Note/Bond0.35%$35.38M
UnitedHealth Group Inc0.34%$34.86M
JPMorgan Chase & Co0.34%$34.76M
Comcast Corp0.34%$34.44M
Bank of America Corp0.34%$34.36M
Consolidated Edison Co of New York Inc0.34%$34.22M
Bank of America Corp0.34%$34.02M
UnitedHealth Group Inc0.33%$33.12M
Microsoft Corp0.33%$33.09M
United States Treasury Note/Bond0.33%$33.00M
HSBC Holdings PLC0.32%$32.10M
Comcast Corp0.30%$30.69M
Amazon.com Inc0.30%$30.64M
New Jersey Turnpike Authority0.30%$30.55M
Northrop Grumman Corp0.30%$30.39M
Merck & Co Inc0.30%$30.26M
American Municipal Power Inc0.30%$30.01M
State of Israel0.29%$29.62M
Pfizer Investment Enterprises Pte Ltd0.29%$29.53M
Shell Finance US Inc0.29%$29.07M
Home Depot Inc/The0.28%$28.68M
Chicago Transit Authority Sales & Transfer Tax Receipts Revenue0.28%$28.60M
HSBC Holdings PLC0.28%$28.44M
Alphabet Inc0.28%$28.31M
Apple Inc0.28%$28.30M
Virginia Electric and Power Co0.28%$28.29M
Citigroup Inc0.28%$28.27M
United States Treasury Note/Bond0.27%$27.73M
Meta Platforms Inc0.27%$27.62M
Meta Platforms Inc0.27%$27.32M
Eli Lilly & Co0.27%$27.01M
Apple Inc0.27%$27.01M
Goldman Sachs Group Inc/The0.27%$26.85M
Southern California Edison Co0.26%$26.52M
Duke Energy Carolinas LLC0.26%$26.44M
Alphabet Inc0.26%$26.20M
Tennessee Valley Authority0.26%$26.19M
Virginia Electric and Power Co0.26%$26.00M
Intercontinental Exchange Inc0.26%$25.97M
Enterprise Products Operating LLC0.26%$25.85M
Cisco Systems Inc0.25%$25.69M
Port Authority of New York & New Jersey0.25%$25.59M
Hut 8 Dc LLC0.25%$25.28M
United States Treasury Note/Bond0.25%$24.84M
JPMorgan Chase & Co0.24%$24.65M
Merck & Co Inc0.24%$24.59M
Berkshire Hathaway Energy Co0.24%$23.82M
Republic of Poland Government International Bond0.23%$23.63M
ConocoPhillips Co0.23%$23.63M
NTT Finance Corp0.23%$23.54M
Lseg US Fin Corp0.23%$23.47M
Burlington Northern Santa Fe LLC0.23%$23.31M
Burlington Northern Santa Fe LLC0.23%$23.22M
Comcast Corp0.23%$23.15M
Sales Tax Securitization Corp0.23%$23.00M
United States Treasury Note/Bond0.23%$22.99M
Pfizer Investment Enterprises Pte Ltd0.22%$22.71M
Meta Platforms Inc0.22%$22.68M
Wells Fargo & Co0.22%$22.64M
Amazon.com Inc0.22%$22.46M
ConocoPhillips Co0.22%$22.38M
Bank of America Corp0.22%$22.18M
Goldman Sachs Group Inc/The0.22%$22.16M
Mars Inc0.21%$21.71M
Chile Government International Bond0.21%$21.61M
Goldman Sachs Group Inc/The0.21%$21.56M
CSX Corp0.21%$21.54M
Credit Agricole SA0.21%$21.51M
Pfizer Inc0.21%$21.45M
Eli Lilly & Co0.21%$21.33M
Honeywell Aerospace Inc0.21%$21.34M
Amazon.com Inc0.21%$21.18M
Apple Inc0.21%$21.05M
Georgia Power Co0.21%$20.86M
Goldman Sachs Group Inc/The0.20%$20.74M
Duke Energy Indiana LLC0.20%$20.61M
Oracle Corp0.20%$20.59M
Philip Morris International Inc0.20%$20.34M
Lockheed Martin Corp0.20%$20.33M
Walt Disney Co/The0.20%$20.12M
TotalEnergies Capital International SA0.20%$20.02M
Meta Platforms Inc0.20%$20.02M
Union Pacific Corp0.20%$19.98M
AbbVie Inc0.20%$19.97M
McDonald's Corp0.20%$19.93M
UnitedHealth Group Inc0.20%$19.88M
AbbVie Inc0.20%$19.88M
Intercontinental Exchange Inc0.20%$19.77M
North Texas Tollway Authority0.19%$19.66M
NiSource Inc0.19%$19.49M
Astrazeneca Finance LLC0.19%$19.49M
S&P Global Inc0.19%$19.36M
Honeywell Aerospace Inc0.19%$19.22M
Apple Inc0.19%$19.14M
Consolidated Edison Co of New York Inc0.19%$19.08M
Meta Platforms Inc0.19%$19.04M
Lockheed Martin Corp0.18%$18.71M
Consolidated Edison Co of New York Inc0.18%$18.65M
Pacific Gas and Electric Co0.18%$18.41M
Broadcom Inc0.18%$18.41M
Shell Finance US Inc0.18%$18.30M
UnitedHealth Group Inc0.18%$18.31M
Apple Inc0.18%$18.28M
Morgan Stanley0.18%$18.28M
UnitedHealth Group Inc0.18%$18.21M
Coca-Cola Co/The0.18%$18.08M
Mizuho Bank Ltd0.18%$18.01M
Walt Disney Co/The0.18%$17.90M
Morgan Stanley0.18%$17.86M
ERAC USA Finance LLC0.18%$17.75M
Lockheed Martin Corp0.17%$17.69M
AbbVie Inc0.17%$17.61M
Freddie Mac Multifamily Structured Pass Through Certificates0.17%$17.50M
City of New York NY0.17%$17.40M
Southern California Edison Co0.17%$17.38M
Merck & Co Inc0.17%$17.37M
Bpce SA0.17%$17.35M
Kaiser Foundation Hospitals0.17%$17.20M
Glencore Funding LLC0.17%$17.02M
Pfizer Inc0.17%$16.88M
Intel Corp0.17%$16.87M
Salesforce Inc0.17%$16.86M
Oracle Corp0.17%$16.82M
Southern California Edison Co0.17%$16.81M
MetLife Inc0.17%$16.80M
Consolidated Edison Co of New York Inc0.17%$16.73M
Bristol-Myers Squibb Co0.16%$16.69M
Rockefeller Foundation/The0.16%$16.68M
Union Pacific Corp0.16%$16.65M
Alphabet Inc0.16%$16.49M
United States Treasury Note/Bond0.16%$16.49M
United States Treasury Note/Bond0.16%$16.38M
University of California0.16%$16.37M
Oklahoma Gas and Electric Co0.16%$16.34M
UnitedHealth Group Inc0.16%$16.30M
Regents of the University of California Medical Center Pooled Revenue0.16%$16.22M
Novartis Capital Corp0.16%$16.17M
Caterpillar Inc0.16%$16.14M
Alphabet Inc0.16%$16.11M
Waste Management Inc0.16%$16.10M
University of Michigan0.16%$16.10M
BHP Billiton Finance USA Ltd0.16%$16.07M
United Parcel Service Inc0.16%$16.06M
Union Pacific Corp0.16%$15.97M
WK Kellogg Foundation Trust0.16%$15.89M
Comcast Corp0.16%$15.75M
Virginia Electric and Power Co0.16%$15.75M
Equinor ASA0.15%$15.67M
HSBC Holdings PLC0.15%$15.62M
AEP Transmission Co LLC0.15%$15.62M
TotalEnergies Capital International SA0.15%$15.61M
Port Authority of New York & New Jersey0.15%$15.57M
Amazon.com Inc0.15%$15.56M
Burlington Northern Santa Fe LLC0.15%$15.53M
Home Depot Inc/The0.15%$15.49M
Abbott Laboratories0.15%$15.41M
Southern California Gas Co0.15%$15.40M
Sales Tax Securitization Corp0.15%$15.38M
JPMorgan Chase & Co0.15%$15.30M
International Business Machines Corp0.15%$15.22M
MidAmerican Energy Co0.15%$15.19M
Johnson & Johnson0.15%$15.19M
Israel Government International Bond0.15%$15.19M
Gilead Sciences Inc0.15%$15.18M
Rio Tinto Finance USA PLC0.15%$15.16M
Mexico Government International Bond0.15%$15.12M
Amphenol Corp0.15%$15.08M
Mitsubishi UFJ Financial Group Inc0.15%$15.04M
JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings0.15%$15.03M
Consumers Energy Co0.15%$15.00M
United States Treasury Note/Bond0.15%$14.81M
BP Capital Markets America Inc0.15%$14.80M
Foundry JV Holdco LLC0.15%$14.79M
Kansas Development Finance Authority0.15%$14.73M
United States Treasury Note/Bond0.14%$14.66M
Atmos Energy Corp0.14%$14.66M
University of Virginia0.14%$14.65M
Berkshire Hathaway Energy Co0.14%$14.64M
Union Pacific Corp0.14%$14.51M
AbbVie Inc0.14%$14.37M
United States Treasury Note/Bond0.14%$14.32M
Duke Energy Progress LLC0.14%$14.31M
Puget Sound Energy Inc0.14%$14.14M
Arizona Public Service Co0.14%$14.10M
Home Depot Inc/The0.14%$14.10M
United States Treasury Note/Bond0.14%$13.91M
UnitedHealth Group Inc0.14%$13.91M
Exxon Mobil Corp0.14%$13.86M
International Business Machines Corp0.14%$13.79M
California State University0.14%$13.74M
Citigroup Inc0.14%$13.72M
BAE Systems PLC0.13%$13.66M
Alabama Power Co0.13%$13.65M
Burlington Northern Santa Fe LLC0.13%$13.65M
Fannie Mae Pool0.13%$13.65M
Comcast Corp0.13%$13.61M
Honeywell Aerospace Inc0.13%$13.58M
Alabama Power Co0.13%$13.55M
Simon Property Group LP0.13%$13.55M
Oncor Electric Delivery Co LLC0.13%$13.52M
Southern California Edison Co0.13%$13.52M
Duke Energy Progress LLC0.13%$13.52M
JPMorgan Chase & Co0.13%$13.46M
PepsiCo Inc0.13%$13.39M
International Business Machines Corp0.13%$13.34M
Virginia Electric and Power Co0.13%$13.34M
Rutgers The State University of New Jersey0.13%$13.29M
Bank of America Corp0.13%$13.27M
UnitedHealth Group Inc0.13%$13.26M
United States Treasury Note/Bond0.13%$13.19M
Commonwealth Financing Authority0.13%$13.18M
UnitedHealth Group Inc0.13%$13.11M
Fannie Mae Pool0.13%$13.08M
Burlington Northern Santa Fe LLC0.13%$13.06M
LSEG Finance PLC0.13%$13.03M
Commonwealth Edison Co0.13%$12.99M
United States Treasury Note/Bond0.13%$12.91M
Fmr LLC0.13%$12.89M
Freddie Mac Multifamily Structured Pass Through Certificates0.13%$12.87M
Mars Inc0.13%$12.81M
Merck & Co Inc0.13%$12.80M
UnitedHealth Group Inc0.13%$12.78M
BHP Billiton Finance USA Ltd0.13%$12.79M
Morgan Stanley0.13%$12.77M
Transcontinental Gas Pipe Line Co LLC0.13%$12.71M
HSBC Holdings PLC0.12%$12.65M
Saudi Arabian Oil Co0.12%$12.64M
United States Treasury Note/Bond0.12%$12.60M
United States Treasury Note/Bond0.12%$12.58M
United States Treasury Note/Bond0.12%$12.50M
NVIDIA Corp0.12%$12.47M
NVIDIA Corp0.12%$12.43M
Puget Sound Energy Inc0.12%$12.42M
Amazon.com Inc0.12%$12.39M
Rio Tinto Finance USA Ltd0.12%$12.38M
IBM International Capital Pte Ltd0.12%$12.32M
BP Capital Markets America Inc0.12%$12.31M
Southern California Edison Co0.12%$12.31M
United States Treasury Note/Bond0.12%$12.22M
Virginia Electric and Power Co0.12%$12.14M
Commonwealth Edison Co0.12%$12.03M
New York City Municipal Water Finance Authority0.12%$12.03M
EOG Resources Inc0.12%$11.99M
Equinor ASA0.12%$11.92M
AT&T Inc0.12%$11.89M
Home Depot Inc/The0.12%$11.85M
Baltimore Gas and Electric Co0.12%$11.82M
State Street Corp0.12%$11.82M
Gilead Sciences Inc0.12%$11.74M
Rio Tinto Finance USA PLC0.11%$11.58M
New York State Dormitory Authority0.11%$11.57M
MidAmerican Energy Co0.11%$11.56M
Saudi Government International Bond0.11%$11.47M
Amcor Flexibles North America Inc0.11%$11.46M
City of New York NY0.11%$11.45M
Regents of the University of California Medical Center Pooled Revenue0.11%$11.44M
Canadian National Railway Co0.11%$11.43M
Walt Disney Co/The0.11%$11.37M
Pacific Gas and Electric Co0.11%$11.37M
Johnson & Johnson0.11%$11.35M
Wells Fargo & Co0.11%$11.29M
Novartis Capital Corp0.11%$11.29M
Alphabet Inc0.11%$11.27M
Bay Area Toll Authority0.11%$11.26M
BP Capital Markets America Inc0.11%$11.12M
OMERS Finance Trust0.11%$11.10M
Merck & Co Inc0.11%$11.03M
Thermo Fisher Scientific Inc0.11%$11.03M
Duke Energy Progress LLC0.11%$11.02M
Union Pacific Corp0.11%$10.93M
Banco Santander SA0.11%$10.93M
New York State Dormitory Authority0.11%$10.90M
President and Fellows of Harvard College0.11%$10.87M
Hess Corp0.11%$10.76M
University of Minnesota0.11%$10.74M
Home Depot Inc/The0.11%$10.72M
TotalEnergies Capital SA0.11%$10.68M
Southern California Edison Co0.10%$10.60M
JPMorgan Chase & Co0.10%$10.55M
Broadcom Inc0.10%$10.54M
Burlington Northern Santa Fe LLC0.10%$10.52M
Goldman Sachs Group Inc/The0.10%$10.50M
United States Treasury Note/Bond0.10%$10.47M
Golden State Tobacco Securitization Corp0.10%$10.46M
UnitedHealth Group Inc0.10%$10.40M
UBS Group AG0.10%$10.39M
Merck & Co Inc0.10%$10.33M
Abbott Laboratories0.10%$10.34M
Public Service Co of Colorado0.10%$10.30M
Wells Fargo & Co0.10%$10.27M
Connecticut Light and Power Co/The0.10%$10.23M
JPMorgan Chase & Co0.10%$10.22M
Eaton Corp0.10%$10.21M
United States Treasury Note/Bond0.10%$10.18M
AstraZeneca PLC0.10%$10.18M
Brookfield Finance Inc0.10%$10.16M
Commonwealth Edison Co0.10%$10.12M
Maryland Economic Development Corp0.10%$10.10M
Cisco Systems Inc0.10%$10.08M
Amazon.com Inc0.10%$10.04M
United States Treasury Note/Bond0.10%$10.02M
BP Capital Markets America Inc0.10%$10.00M
Virginia Electric and Power Co0.10%$9.96M
Dallas Area Rapid Transit0.10%$9.93M
ConocoPhillips Co0.10%$9.90M
Marriott International Inc/MD0.10%$9.85M
United States Treasury Note/Bond0.10%$9.81M
UnitedHealth Group Inc0.10%$9.80M
Tucson Electric Power Co0.10%$9.78M
Visa Inc0.10%$9.77M
Societe Generale SA0.10%$9.76M
United States Treasury Note/Bond0.10%$9.75M
New York City Municipal Water Finance Authority0.10%$9.74M
Baker Hughes Holdings LLC / Baker Hughes Co-Obligor Inc0.10%$9.70M
Enterprise Products Operating LLC0.10%$9.68M
United States Treasury Note/Bond0.10%$9.67M
TotalEnergies Capital SA0.10%$9.64M
JPMorgan Chase & Co0.10%$9.65M
Home Depot Inc/The0.10%$9.65M
Baker Hughes Holdings LLC / Baker Hughes Co-Obligor Inc0.09%$9.61M
Eli Lilly & Co0.09%$9.60M
Bank of America Corp0.09%$9.61M
CRH America Finance Inc0.09%$9.57M
Oncor Electric Delivery Co LLC0.09%$9.43M
Novartis Capital Corp0.09%$9.38M
Wells Fargo & Co0.09%$9.35M
State of California0.09%$9.31M
PPL Electric Utilities Corp0.09%$9.31M
Northwestern Mutual Life Insurance Co/The0.09%$9.27M
Public Service Electric and Gas Co0.09%$9.23M
UnitedHealth Group Inc0.09%$9.22M
United States Treasury Note/Bond0.09%$9.21M
UnitedHealth Group Inc0.09%$9.15M
Eli Lilly & Co0.09%$9.12M
Texas Instruments Inc0.09%$9.10M
ERAC USA Finance LLC0.09%$9.09M
United States Treasury Note/Bond0.09%$9.08M
Burlington Northern Santa Fe LLC0.09%$9.07M
HCA Inc0.09%$9.01M
Entergy Louisiana LLC0.09%$9.00M
Goldman Sachs Group Inc/The0.09%$8.97M
Philip Morris International Inc0.09%$8.97M
JPMorgan Chase & Co0.09%$8.93M
Cisco Systems Inc0.09%$8.93M
United States Treasury Note/Bond0.09%$8.92M
Duke Energy Progress LLC0.09%$8.75M
Marsh & McLennan Cos Inc0.09%$8.70M
Wells Fargo & Co0.09%$8.69M
Virginia Electric and Power Co0.09%$8.67M
Indiana Michigan Power Co0.09%$8.65M
Equinor ASA0.09%$8.61M
Georgia Power Co0.08%$8.56M
Citigroup Inc0.08%$8.48M
United States Treasury Note/Bond0.08%$8.46M
Pfizer Inc0.08%$8.45M
American Airlines 2026-1 Class A Pass Through Trust0.08%$8.42M
Intercontinental Exchange Inc0.08%$8.40M
Anheuser-Busch InBev Worldwide Inc0.08%$8.39M
Amazon.com Inc0.08%$8.37M
Duke Energy Indiana LLC0.08%$8.32M
Salesforce Inc0.08%$8.32M
Port Authority of New York & New Jersey0.08%$8.32M
United States Treasury Note/Bond0.08%$8.30M
Alphabet Inc0.08%$8.27M
Cargill Inc0.08%$8.26M
United States Treasury Note/Bond0.08%$8.23M
Ford Foundation/The0.08%$8.23M
Alabama Power Co0.08%$8.22M
BHP Billiton Finance USA Ltd0.08%$8.20M
City of New York NY0.08%$8.17M
Verizon Communications Inc0.08%$8.13M
State of California0.08%$8.09M
Enterprise Products Operating LLC0.08%$8.10M
United States Treasury Note/Bond0.08%$8.10M
Teachers Insurance & Annuity Association of America0.08%$7.99M
Duke Energy Indiana LLC0.08%$7.96M
Burlington Northern Santa Fe LLC0.08%$7.93M
Public Service Electric and Gas Co0.08%$7.92M
Northrop Grumman Corp0.08%$7.90M
200 Park Funding Trust0.08%$7.87M
Southern California Edison Co0.08%$7.87M
Norfolk Southern Corp0.08%$7.87M
EOG Resources Inc0.08%$7.88M
Nestle Holdings Inc0.08%$7.87M
Gilead Sciences Inc0.08%$7.83M
Coca-Cola Co/The0.08%$7.76M
Coca-Cola Co/The0.08%$7.73M
Global Atlantic Fin Co0.08%$7.72M
Meta Platforms Inc0.08%$7.72M
Rayburn Country Securitization LLC0.08%$7.71M
Commonwealth Edison Co0.08%$7.68M
Consolidated Edison Co of New York Inc0.08%$7.67M
Kraft Heinz Foods Co0.08%$7.66M
State of Texas0.08%$7.62M
United States Treasury Note/Bond0.07%$7.59M
Amazon.com Inc0.07%$7.58M
Morgan Stanley0.07%$7.58M
Commonwealth Edison Co0.07%$7.56M
Bristol-Myers Squibb Co0.07%$7.53M
Wyeth LLC0.07%$7.52M
Duke Energy Indiana LLC0.07%$7.49M
UnitedHealth Group Inc0.07%$7.47M
Sumitomo Mitsui Financial Group Inc0.07%$7.47M
Massachusetts Institute of Technology0.07%$7.46M
Enterprise Products Operating LLC0.07%$7.44M
Union Electric Co0.07%$7.39M
Enterprise Products Operating LLC0.07%$7.37M
Exxon Mobil Corp0.07%$7.37M
Bank of America Corp0.07%$7.35M
United States Treasury Note/Bond0.07%$7.31M
Duke Energy Corp0.07%$7.28M
NVIDIA Corp0.07%$7.24M
ConocoPhillips Co0.07%$7.23M
PPL Electric Utilities Corp0.07%$7.21M
Nasdaq Inc0.07%$7.15M
Kenvue Inc0.07%$7.11M
EOG Resources Inc0.07%$7.09M
Metropolitan Washington Airports Authority Dulles Toll Road Revenue0.07%$7.08M
Berkshire Hathaway Finance Corp0.07%$7.05M
Consolidated Edison Co of New York Inc0.07%$7.03M
Commonwealth Edison Co0.07%$7.03M
United States Treasury Note/Bond0.07%$6.98M
Northrop Grumman Corp0.07%$6.97M
Kentucky Utilities Co0.07%$6.96M
JPMorgan Chase & Co0.07%$6.96M
New England Power Co0.07%$6.95M
Kenvue Inc0.07%$6.95M
United Parcel Service Inc0.07%$6.93M
Apple Inc0.07%$6.90M
Roche Holdings Inc0.07%$6.89M
Meta Platforms Inc0.07%$6.86M
Consolidated Edison Co of New York Inc0.07%$6.85M
Thermo Fisher Scientific Inc0.07%$6.83M
PECO Energy Co0.07%$6.82M
Duke Energy Carolinas LLC0.07%$6.82M
TotalEnergies Capital SA0.07%$6.80M
Lockheed Martin Corp0.07%$6.80M
Northern States Power Co/MN0.07%$6.79M
DCP Midstream Operating LP0.07%$6.74M
AbbVie Inc0.07%$6.69M
JPMorgan Chase & Co0.07%$6.68M
United States Treasury Note/Bond0.07%$6.68M
Comcast Corp0.07%$6.63M
Wells Fargo & Co0.07%$6.61M
Northeastern University0.07%$6.62M
TotalEnergies Capital SA0.07%$6.59M
CommonSpirit Health0.06%$6.57M
Abbott Laboratories0.06%$6.55M
Philip Morris International Inc0.06%$6.50M
Tucson Electric Power Co0.06%$6.45M
San Diego Gas & Electric Co0.06%$6.38M
Lockheed Martin Corp0.06%$6.36M
United States Treasury Note/Bond0.06%$6.36M
Chubb INA Holdings LLC0.06%$6.34M
United States Treasury Note/Bond0.06%$6.30M
Goodman US Finance Eight LLC0.06%$6.29M
Ameren Illinois Co0.06%$6.29M
United States Treasury Note/Bond0.06%$6.28M
Anheuser-Busch InBev Worldwide Inc0.06%$6.27M
Duke Energy Carolinas LLC0.06%$6.26M
Board of Regents of the University of Texas System0.06%$6.21M
Goldman Sachs Group Inc/The0.06%$6.19M
Wells Fargo & Co0.06%$6.17M
Shell International Finance BV0.06%$6.15M
Duke Energy Indiana LLC0.06%$6.15M
Anheuser-Busch InBev Worldwide Inc0.06%$6.12M
Eli Lilly & Co0.06%$6.10M
Archer-Daniels-Midland Co0.06%$6.11M
PepsiCo Inc0.06%$6.09M
JPMorgan Chase & Co0.06%$6.08M

VWETX overview: performance, fees, allocation and SEC filings