VANGUARD LONG-TERM CORPORATE BOND INDEX FUND
Open-end / ETFRegistrant
VANGUARD SCOTTSDALE FUNDS
Class tickers
Net Assets
$9,219,913,405
Holdings
2,780
Latest Report
May 31, 2026
Net Assets Over Time
Holdings · 2,780
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Showing 1–50
of 2,780 holdings by value
· page 1 of 56
| Holding | Symbol | Balance | Value | % of Fund | Side | Category | Open |
|---|---|---|---|---|---|---|---|
|
Vanguard Cmt Funds-Vanguard Market Liquidity Fund
|
— | 686,140 | $68,607,164 | 0.74% | Long | STIV | |
|
Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc
|
03522AAJ9 | 37,466,000 | $34,243,198 | 0.37% | Long | DBT | |
|
CVS Health Corp
|
126650CZ1 | 34,929,000 | $30,655,610 | 0.33% | Long | DBT | |
|
Meta Platforms Inc
|
30303MAE2 | 28,508,000 | $26,260,078 | 0.28% | Long | DBT | |
|
Boeing Co/The
|
097023CW3 | 24,820,000 | $24,596,851 | 0.27% | Long | DBT | |
|
Pfizer Investment Enterprises Pte Ltd
|
716973AG7 | 26,054,000 | $24,442,235 | 0.27% | Long | DBT | |
|
Amazon.com Inc
|
023135DH6 | 23,513,000 | $23,517,586 | 0.26% | Long | DBT | |
|
Oracle Corp
|
68389XEB7 | 22,713,000 | $21,874,161 | 0.24% | Long | DBT | |
|
AT&T Inc
|
00206RKJ0 | 32,585,000 | $21,545,955 | 0.23% | Long | DBT | |
|
AT&T Inc
|
00206RLJ9 | 32,370,000 | $21,120,308 | 0.23% | Long | DBT | |
|
CVS Health Corp
|
126650CY4 | 22,417,000 | $20,922,034 | 0.23% | Long | DBT | |
|
Bank of America Corp
|
06051GJA8 | 25,468,000 | $20,109,342 | 0.22% | Long | DBT | |
|
Goldman Sachs Group Inc/The
|
38141GFD1 | 17,545,000 | $19,187,421 | 0.21% | Long | DBT | |
|
Meta Platforms Inc
|
30303M8Y1 | 20,789,000 | $19,019,416 | 0.21% | Long | DBT | |
|
Meta Platforms Inc
|
30303M8X3 | 19,483,000 | $18,273,996 | 0.20% | Long | DBT | |
|
Alphabet Inc
|
02079KBP1 | 18,286,000 | $18,149,602 | 0.20% | Long | DBT | |
|
AT&T Inc
|
00206RMN9 | 26,638,000 | $18,092,699 | 0.20% | Long | DBT | |
|
AT&T Inc
|
00206RLV2 | 26,787,000 | $17,477,318 | 0.19% | Long | DBT | |
|
Bank of America Corp
|
06051GJE0 | 23,871,000 | $17,321,280 | 0.19% | Long | DBT | |
|
AbbVie Inc
|
00287YCA5 | 19,376,000 | $17,081,446 | 0.19% | Long | DBT | |
|
Boeing Co/The
|
097023CX1 | 16,934,000 | $16,762,909 | 0.18% | Long | DBT | |
|
Comcast Corp
|
20030NDU2 | 29,569,000 | $16,580,458 | 0.18% | Long | DBT | |
|
Alphabet Inc
|
02079KBA4 | 16,597,000 | $16,014,070 | 0.17% | Long | DBT | |
|
Apple Inc
|
037833BX7 | 17,556,000 | $15,841,315 | 0.17% | Long | DBT | |
|
Microsoft Corp
|
594918CE2 | 24,399,000 | $15,703,060 | 0.17% | Long | DBT | |
|
Verizon Communications Inc
|
92343VGB4 | 22,198,000 | $15,612,721 | 0.17% | Long | DBT | |
|
Boeing Co/The
|
097023CV5 | 15,013,000 | $15,300,666 | 0.17% | Long | DBT | |
|
Microsoft Corp
|
594918CC6 | 25,229,000 | $15,193,236 | 0.16% | Long | DBT | |
|
Amgen Inc
|
031162DT4 | 15,617,000 | $15,178,769 | 0.16% | Long | DBT | |
|
Goldman Sachs Group Inc/The
|
38141GC51 | 15,266,000 | $15,055,429 | 0.16% | Long | DBT | |
|
Oracle Corp
|
68389XDR3 | 17,172,000 | $15,015,300 | 0.16% | Long | DBT | |
|
Pfizer Inc
|
717081CY7 | 12,702,000 | $14,850,854 | 0.16% | Long | DBT | |
|
Goldman Sachs Group Inc/The
|
38141GB86 | 15,122,000 | $14,691,753 | 0.16% | Long | DBT | |
|
AbbVie Inc
|
00287YDW6 | 15,221,000 | $14,619,039 | 0.16% | Long | DBT | |
|
Pfizer Investment Enterprises Pte Ltd
|
716973AF9 | 15,280,000 | $14,514,288 | 0.16% | Long | DBT | |
|
Visa Inc
|
92826CAF9 | 16,834,000 | $14,499,952 | 0.16% | Long | DBT | |
|
Boeing Co/The
|
097023DT9 | 12,816,000 | $14,475,407 | 0.16% | Long | DBT | |
|
Morgan Stanley
|
61747YFV2 | 14,907,000 | $14,437,356 | 0.16% | Long | DBT | |
|
Pfizer Investment Enterprises Pte Ltd
|
716973AH5 | 15,644,000 | $14,421,586 | 0.16% | Long | DBT | |
|
Meta Platforms Inc
|
30303MAK8 | 14,292,000 | $14,407,622 | 0.16% | Long | DBT | |
|
RTX Corp
|
913017BT5 | 16,104,000 | $14,381,093 | 0.16% | Long | DBT | |
|
JPMorgan Chase & Co
|
46625HHF0 | 12,949,000 | $14,305,602 | 0.16% | Long | DBT | |
|
Abbott Laboratories
|
002824BH2 | 15,602,000 | $14,284,375 | 0.15% | Long | DBT | |
|
CVS Health Corp
|
126650CN8 | 15,810,000 | $14,197,032 | 0.15% | Long | DBT | |
|
Wells Fargo & Co
|
95000U2Z5 | 16,458,000 | $13,858,878 | 0.15% | Long | DBT | |
|
UnitedHealth Group Inc
|
91324PFL1 | 14,288,000 | $13,855,928 | 0.15% | Long | DBT | |
|
Oracle Corp
|
68389XEC5 | 14,419,000 | $13,846,510 | 0.15% | Long | DBT | |
|
Alphabet Inc
|
02079KBB2 | 14,164,000 | $13,809,316 | 0.15% | Long | DBT | |
|
Goldman Sachs Group Inc/The
|
38145GAT7 | 14,268,000 | $13,766,274 | 0.15% | Long | DBT | |
|
Pacific Gas and Electric Co
|
694308JN8 | 16,238,000 | $13,614,864 | 0.15% | Long | DBT |