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Vanguard Intermediate-Term Corporate Bond ETF (VCIT) Holdings List

Vanguard Intermediate-Term Corporate Bond ETF logo
$82.08 +0.18 (+0.22%)
As of 04:00 PM Eastern

What stocks does VCIT hold?

The Vanguard Intermediate-Term Corporate Bond ETF (VCIT) top stock holdings include United States Treasury Notes, Meta Platforms Inc, and Boeing Co.. The top 25 VCIT holdings ordered by weight make up 6.02% of the total fund. VCIT is a fixed income fund in the corporate category that invests in investments, focused on investment grade strategies within the North America region. This page includes a complete VCIT stock holdings list ranked by weight, along with a full breakdown of sector, geographic, industry, and currency exposure.

Top 25 VCIT Holdings

RankCompanyCurrent PriceWeightShares Held
1United States Treasury NotesN/A0.36%248,384,000
2Meta Platforms IncN/A0.29%202,646,000
3Boeing Co.N/A0.28%174,980,000
4Amazon.com, Inc.N/A0.28%193,642,000
5Anheuser-Busch Companies LLC / Anheuser-Busch InBev Worldwide IncN/A0.27%189,177,000
6Pfizer Investment Enterprises Pte Ltd.N/A0.27%184,867,000
7Bank of America Corp.N/A0.27%182,844,000
8Oracle Corp.N/A0.27%186,407,000
9JPMorgan Chase & Co.N/A0.25%165,002,000
10JPMorgan Chase & Co.N/A0.24%159,527,000
11Amgen Inc.N/A0.24%156,332,000
12Alphabet Inc.N/A0.24%160,731,000
13JPMorgan Chase & Co.N/A0.24%155,359,000
14Verizon Communications Inc.N/A0.23%177,130,000
15Bank of America Corp.N/A0.22%151,167,000
16Bank of America Corp.N/A0.22%143,495,000
17Mktliq 12/31/2049N/A0.21%1,424,335
18Salesforce Inc.N/A0.21%141,508,000
19Citigroup Inc.N/A0.21%137,432,000
20Goldman Sachs Group, Inc.N/A0.21%155,526,000
21Wells Fargo & Co.N/A0.21%150,176,000
22Bank of America Corp.N/A0.20%136,170,000
23Oracle Corp.N/A0.20%146,959,000
24Citigroup Inc.N/A0.20%129,251,000
25JPMorgan Chase & Co.N/A0.20%129,473,000

VCIT Geographic Exposure

VCIT's largest geographic exposure is United States at 93.7%, followed by United Kingdom at 0.3%.

  • United States
    93.7%
  • United Kingdom
    0.3%
  • Singapore
    0.3%
  • Canada
    0.1%

VCIT Currency Exposure

VCIT is exclusively exposed to USD.

  • USD
    67.2%

VCIT Sector Exposure

VCIT's largest sector exposure is Financials at 2.5%, followed by Communications at 1.0%.

  • Financials
    2.5%
  • Communications
    1.0%
  • Energy
    0.8%
  • Consumer Staples
    0.7%
  • Health Care
    0.6%
  • Industrials
    0.6%
  • Consumer Discretionary
    0.5%
  • Utilities
    0.4%
  • Materials
    0.3%
  • Technology
    0.3%
  • Other
    0.1%

VCIT Industry Exposure

VCIT's largest industry exposure is Capital Markets at 1.2%, followed by Oil, Gas & Consumable Fuels at 0.8%.

  • Capital Markets
    1.2%
  • Oil, Gas & Consumable Fuels
    0.8%
  • Banks
    0.4%
  • Diversified Telecommunication Services
    0.4%
  • Automobiles
    0.4%
  • Insurance
    0.4%
  • Diversified Financial Services
    0.3%
  • Media
    0.3%
  • Biotechnology
    0.3%
  • Beverages
    0.3%
  • Other
    2.5%

VCIT Sub-Industry Exposure

VCIT's largest sub-industry exposure is Investment Banking & Brokerage at 1.3%, followed by Diversified Banks at 0.4%.

  • Investment Banking & Brokerage
    1.3%
  • Diversified Banks
    0.4%
  • Integrated Telecommunication Services
    0.4%
  • Automobile Manufacturers
    0.4%
  • Oil & Gas Exploration & Production
    0.3%
  • Electric Utilities
    0.3%
  • Brewers
    0.3%
  • Transaction & Payment Processing
    0.2%
  • Oil & Gas Storage & Transportation
    0.2%
  • Biotechnology
    0.2%
  • Other
    2.8%

VCIT Coupon Exposure

VCIT's largest coupon exposure is 4-6 at 73.1%, followed by 2-4 at 14.3%.

  • 4-6
    73.1%
  • 2-4
    14.3%
  • 6-8
    10.8%
  • 0-2
    1.2%
  • 8-10
    0.5%

VCIT Maturity Exposure

VCIT's largest maturity exposure is 5-10 at 83.7%, followed by 10-15 at 14.3%.

  • 5-10
    83.7%
  • 10-15
    14.3%
  • 20-30
    1.1%
  • 30+
    0.5%
  • 15-20
    0.3%
  • 3-5
    0.1%

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This page (NASDAQ:VCIT) was last updated on 6/9/2026 by MarketBeat.com Staff.
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