VLTCX
VANGUARD LONG-TERM CORPORATE BOND INDEX FUND
VANGUARD SCOTTSDALE FUNDS
ETFIndex fund

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
2574
Top-10 weight
3.43%
Effective holdings ?
1162
Crowding ?
77.2

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 Vanguard Market Liquidity Fund 562,356 $56.23M 0.65%
2 US TREASURY N/B 47,812,000 $48.44M 0.56%
3 ANHEUSER-BUSCH 35,376,000 $33.27M 0.38%
4 CVS HEALTH CORP 32,037,000 $28.56M 0.33%
5 BOEING CO 22,796,000 $22.86M 0.26%
6 AT&T INC 32,968,000 $22.29M 0.26%
7 GOLDMAN SACHS GP 19,269,000 $21.59M 0.25%
8 WELLS FARGO CO 23,063,000 $21.09M 0.24%
9 AT&T INC 30,715,000 $20.91M 0.24%
10 META PLATFORMS 20,967,000 $20.52M 0.24%
11 CVS HEALTH CORP 21,484,000 $20.50M 0.24%
12 META PLATFORMS 19,210,000 $18.97M 0.22%
13 ABBVIE INC 22,250,000 $18.71M 0.22%
14 PFIZER INVSTMNT 19,526,000 $18.71M 0.22%
15 BANK OF AMER CRP 22,508,000 $18.25M 0.21%
16 ANHEUSER-BUSCH 17,878,000 $17.99M 0.21%
17 META PLATFORMS 17,549,000 $17.08M 0.20%
18 AMGEN INC 16,968,000 $16.93M 0.19%
19 BANK OF AMER CRP 22,668,000 $16.83M 0.19%
20 PFIZER INVSTMNT 17,549,000 $16.46M 0.19%
21 MICROSOFT CORP 24,609,000 $16.36M 0.19%
22 AT&T INC 23,228,000 $16.30M 0.19%
23 BOEING CO 16,110,000 $16.17M 0.19%
24 APPLE INC 17,066,000 $15.90M 0.18%
25 ABBVIE INC 17,499,000 $15.83M 0.18%
26 COMCAST CORP 26,960,000 $15.71M 0.18%
27 CHARTER COMM OPT 16,217,000 $15.42M 0.18%
28 CVS HEALTH CORP 16,823,000 $15.38M 0.18%
29 ALPHABET INC 15,148,000 $15.05M 0.17%
30 ASTRAZENECA PLC 12,927,000 $14.81M 0.17%
31 UNITED TECH CORP 15,972,000 $14.68M 0.17%
32 ORACLE CORP 15,133,000 $14.67M 0.17%
33 MICROSOFT CORP 23,629,000 $14.66M 0.17%
34 AT&T INC 21,582,000 $14.51M 0.17%
35 BOEING CO 13,824,000 $14.39M 0.17%
36 ORACLE CORP 16,167,000 $14.22M 0.16%
37 META PLATFORMS 15,052,000 $14.20M 0.16%
38 AMGEN INC 16,237,000 $14.19M 0.16%
39 MORGAN STANLEY 13,944,000 $13.91M 0.16%
40 COMCAST CORP 22,970,000 $13.87M 0.16%
41 GOLDMAN SACHS GP 13,794,000 $13.82M 0.16%
42 HOME DEPOT INC 12,469,000 $13.62M 0.16%
43 PFIZER INC 11,268,000 $13.60M 0.16%
44 GOLDMAN SACHS GP 13,307,000 $13.49M 0.16%
45 BOEING CO/THE 11,706,000 $13.43M 0.15%
46 JPMORGAN CHASE 11,759,000 $13.38M 0.15%
47 PFIZER INVSTMNT 13,405,000 $13.03M 0.15%
48 ORACLE CORP 20,802,000 $13.01M 0.15%
49 AMAZON.COM INC 15,734,000 $13.00M 0.15%
50 AMGEN INC 12,626,000 $12.91M 0.15%
1 / 52 Next ›

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.