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Vanguard Intermediate-Term Corporate Bond ETF (VCIT) Holdings

Vanguard Intermediate-Term Corporate Bond ETF logo
$81.03 -0.14 (-0.17%)
(As of 11/20/2024 ET)

Top 50 VCIT Holdings

RankCompanyCurrent PriceWeightShares Held
1T-Mobile USA, Inc.N/A0.32%172,964,000
2AbbVie Inc.N/A0.28%153,914,000
3Bank of America Corp.N/A0.28%141,354,000
4Bank of America Corp.N/A0.27%133,250,000
5Bank of America Corp.N/A0.27%140,042,000
6Pfizer Investment Enterprises Pte Ltd.N/A0.27%138,858,000
7JPMorgan Chase & Co.N/A0.24%124,653,000
8JPMorgan Chase & Co.N/A0.23%115,379,000
9The Boeing CompanyN/A0.23%122,511,000
10United States Treasury NotesN/A0.23%118,295,000
11WarnerMedia Holdings Inc.N/A0.23%134,139,000
12Amgen Inc.N/A0.22%110,724,000
13Bank of America Corp.N/A0.22%108,044,000
14Citigroup Inc.N/A0.22%118,429,000
15Wells Fargo & Co.N/A0.22%109,896,000
16Verizon Communications Inc.N/A0.21%111,698,000
17Citigroup Inc.N/A0.20%99,267,000
18Deutsche Telekom International Finance B.V.N/A0.20%88,233,000
19Wells Fargo & Co.N/A0.20%100,233,000
20Wells Fargo & Co.N/A0.20%104,899,000
21AerCap Ireland Capital DAC / AerCap Global Aviation TrustN/A0.19%109,535,000
22Bank of America Corp.N/A0.19%100,701,000
23JPMorgan Chase & Co.N/A0.19%95,702,000
24Verizon Communications Inc.N/A0.19%114,190,000
25Wells Fargo & Co.N/A0.19%88,820,000
26Bank of America Corp.N/A0.18%105,763,000
27Bank of America Corp.N/A0.18%104,798,000
28JPMorgan Chase & Co.N/A0.18%83,304,000
29JPMorgan Chase & Co.N/A0.18%103,162,000
30Morgan StanleyN/A0.18%104,727,000
31Morgan StanleyN/A0.18%87,402,000
32Morgan StanleyN/A0.18%93,106,000
33AT&T IncN/A0.17%88,211,000
34AT&T IncN/A0.17%86,060,000
35British Telecommunications PLCN/A0.17%71,912,000
36Citigroup Inc.N/A0.17%81,427,000
37Citigroup Inc.N/A0.17%95,483,000
38Goldman Sachs Group, Inc.N/A0.17%103,782,000
39Goldman Sachs Group, Inc.N/A0.17%96,872,000
40JPMorgan Chase & Co.N/A0.17%97,604,000
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41JPMorgan Chase & Co.N/A0.17%97,501,000
42JPMorgan Chase & Co.N/A0.17%88,156,000
43JPMorgan Chase & Co.N/A0.17%87,313,000
44Morgan StanleyN/A0.17%83,665,000
45Oracle Corp.N/A0.17%93,544,000
46Pfizer Investment Enterprises Pte Ltd.N/A0.17%85,297,000
47Wells Fargo & Co.N/A0.17%96,427,000
48Wells Fargo & Co.N/A0.17%86,565,000
49Amazon.com, Inc.N/A0.16%97,996,000
50JPMorgan Chase & Co.N/A0.16%80,114,000

Geographic Exposure

  • United States
    91.7%
  • United Kingdom
    0.3%
  • Singapore
    0.3%
  • Canada
    0.2%
  • Japan
    0.1%

Currency Exposure

  • USD
    73.2%

Sector Exposure

  • Communications
    1.6%
  • Financials
    1.1%
  • Energy
    0.7%
  • Materials
    0.4%
  • Real Estate
    0.3%
  • Utilities
    0.2%
  • Industrials
    0.2%
  • Consumer Staples
    0.2%
  • Consumer Discretionary
    0.2%
  • Technology
    0.2%
  • Health Care
    0.1%

Industry Exposure

  • Diversified Telecommunication Services
    0.8%
  • Oil Gas & Consumable Fuels
    0.6%
  • Media
    0.3%
  • Diversified Financial Services
    0.3%
  • Banks
    0.3%
  • Utilities
    0.3%
  • Real Estate Management & Development
    0.3%
  • Insurance
    0.2%
  • Automobiles
    0.1%
  • Chemicals
    0.1%
  • Metals & Mining
    0.1%
  • Oil, Gas & Consumable Fuels
    0.1%
  • Software
    0.1%
  • Transportation Infrastructure
    0.1%
  • Capital Markets
    0.1%
  • Hotels Restaurants & Leisure
    0.1%
  • Equity Real Estate Investment
    0.1%
  • Household Products
    0.1%
  • Entertainment
    0.1%
  • Paper & Forest Products
    0.1%

SubIndustry Exposure

  • Integrated Telecommunication Services
    0.8%
  • Oil & Gas Exploration & Production
    0.3%
  • Cable & Satellite
    0.3%
  • REIT
    0.3%
  • Diversified Banks
    0.3%
  • Oil & Gas Storage & Transporta
    0.3%
  • Investment Banking & Brokerage
    0.2%
  • Consumer Finance
    0.1%
  • Electric Utilities
    0.1%
  • Automotive Retail
    0.1%
  • Property & Casualty Insurance
    0.1%
  • Systems Software
    0.1%
  • Multi-Utilities
    0.1%
  • Publishing & Broadcasting
    0.1%
  • Fertilizers & Agricultural Che
    0.1%
  • Aerospace & Defense
    0.1%
  • Personal Products
    0.1%
  • Multi-line Insurance
    0.1%
  • Paper Products
    0.1%
  • Life & Health Insurance
    0.1%

Coupon Exposure

  • 4-6
    46.7%
  • 2-4
    34.1%
  • 6-8
    11.2%
  • 0-2
    6.3%
  • 8-10
    1.6%

Maturity Exposure

  • 5-10
    75.5%
  • 10-15
    23.3%
  • 30+
    0.7%
  • 20-30
    0.2%
  • 15-20
    0.1%

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This page (NASDAQ:VCIT) was last updated on 11/21/2024 by MarketBeat.com Staff
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