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VCLT · VANGUARD LONG-TERM CORPORATE BOND INDEX FUND ETF

VANGUARD SCOTTSDALE FUNDS

SEC fund profile
$71.62 +0.11% At close · Sep 4
Net assets $9,219,913,405
Holdings2,780
1 month
-1.02%
Year to date
-2.51%
52-week range
$71.02–$79.28
30-session avg volume
3,885,615

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Open-end / ETF
SEC series
S000026864
Report date
May 31, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings3.22%

Calculated only when the SEC filing is stored with complete portfolio coverage.

Asset allocation

DBT98.39%
STIV0.74%
DIR0.00%
DCR-0.02%

Country allocation

US90.70%
CA2.08%
GB1.76%
NL0.87%
SG0.68%
JP0.53%
FR0.41%
Other2.03%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
Vanguard Cmt Funds-Vanguard Market Liquidity Fund$68,607,1640.74%
Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc$34,243,1980.37%
CVS Health Corp$30,655,6100.33%
Meta Platforms Inc$26,260,0780.28%
Boeing Co/The$24,596,8510.27%
Pfizer Investment Enterprises Pte Ltd$24,442,2350.27%
Amazon.com Inc$23,517,5860.26%
Oracle Corp$21,874,1610.24%
AT&T Inc$21,545,9550.23%
AT&T Inc$21,120,3080.23%
CVS Health Corp$20,922,0340.23%
Bank of America Corp$20,109,3420.22%
Goldman Sachs Group Inc/The$19,187,4210.21%
Meta Platforms Inc$19,019,4160.21%
Meta Platforms Inc$18,273,9960.20%
Alphabet Inc$18,149,6020.20%
AT&T Inc$18,092,6990.20%
AT&T Inc$17,477,3180.19%
Bank of America Corp$17,321,2800.19%
AbbVie Inc$17,081,4460.19%
Boeing Co/The$16,762,9090.18%
Comcast Corp$16,580,4580.18%
Alphabet Inc$16,014,0700.17%
Apple Inc$15,841,3150.17%
Microsoft Corp$15,703,0600.17%
Verizon Communications Inc$15,612,7210.17%
Boeing Co/The$15,300,6660.17%
Microsoft Corp$15,193,2360.16%
Amgen Inc$15,178,7690.16%
Goldman Sachs Group Inc/The$15,055,4290.16%
Oracle Corp$15,015,3000.16%
Pfizer Inc$14,850,8540.16%
Goldman Sachs Group Inc/The$14,691,7530.16%
AbbVie Inc$14,619,0390.16%
Pfizer Investment Enterprises Pte Ltd$14,514,2880.16%
Visa Inc$14,499,9520.16%
Boeing Co/The$14,475,4070.16%
Morgan Stanley$14,437,3560.16%
Pfizer Investment Enterprises Pte Ltd$14,421,5860.16%
Meta Platforms Inc$14,407,6220.16%
RTX Corp$14,381,0930.16%
JPMorgan Chase & Co$14,305,6020.16%
Abbott Laboratories$14,284,3750.15%
CVS Health Corp$14,197,0320.15%
Wells Fargo & Co$13,858,8780.15%
UnitedHealth Group Inc$13,855,9280.15%
Oracle Corp$13,846,5100.15%
Alphabet Inc$13,809,3160.15%
Goldman Sachs Group Inc/The$13,766,2740.15%
Pacific Gas and Electric Co$13,614,8640.15%