ETF Components for BIV - Vanguard Intermediate-Term Bond ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
WIT A -1.38 0.35
DT D 1.80 0.11
MSFT D -0.19 0.10
AXP B 1.53 0.05
DD D 1.08 0.05
ABBV F 1.78 0.05
BIIB F 1.10 0.04
MS B 2.66 0.04
WFC A 2.24 0.04
TMUS B 0.34 0.04
CB D 0.80 0.03
KOF F 0.76 0.03
DLTR F 2.04 0.03
SLB C 1.59 0.03
RJF A 0.44 0.03
CAH B 1.40 0.03
BWA D 0.33 0.03
BMO A 0.66 0.03
ESGR B 0.13 0.03
NOW B 1.96 0.03
TSN B 1.28 0.03
NVDA A -0.98 0.03
BABA D -1.32 0.03
LVS B -0.36 0.02
NI A 1.21 0.02
LRCX F 3.59 0.02
LMT D 1.36 0.02
MRO A 0.99 0.02
INVH D 0.09 0.02
KLAC F 2.67 0.02
EOG A 0.49 0.02
EBAY D 1.46 0.02
CTAS B 0.97 0.02
BR B 1.27 0.02
ADI D 0.82 0.02
CPB D 0.57 0.02
UHS D -0.56 0.02
XRAY D 1.05 0.02
QRVO F 1.48 0.02
MOS D 1.65 0.02
MET A 2.62 0.02
LDOS C 2.81 0.02
MTB A 2.19 0.02
HST D 2.38 0.02
HPQ B 2.52 0.02
HIG A 0.89 0.02
HAL C 1.86 0.02
EFX F 1.96 0.02
DAL A 2.08 0.02
EA A -0.01 0.02
DXC C 2.17 0.02
DOX D 1.31 0.02
ETN B 3.36 0.02
BC F 1.66 0.02
CNO B 1.83 0.02
ADP B 1.25 0.02
ADM D 0.58 0.02
CHRW B 0.25 0.02
ARCC A 0.11 0.02
AAP D 0.45 0.02
AMG B 1.04 0.02
TEL C 1.45 0.02
SYK A 0.83 0.02
SYF B 1.12 0.02
VRSN D 0.99 0.02
ZBH C -0.12 0.02
TRMB B 1.96 0.02
PGR B 1.56 0.02
RL C 1.77 0.02
DOC D 0.26 0.02
REGN F 0.42 0.02
ADBE D 0.91 0.02
MCD D -1.53 0.02
DLR A 0.90 0.02
NEM D 0.06 0.02
MU D 2.88 0.02
GSK F -0.10 0.02
WAB B 0.61 0.02
WY D 0.20 0.02
PH B 2.07 0.02
EXPE B 1.21 0.02
GD D 0.50 0.02
PYPL B 0.34 0.02
CHTR B 0.01 0.02
CRM B 4.32 0.02
DFS B 1.93 0.02
CAG D 0.61 0.02
SYY D 1.01 0.02
MPLX A 1.58 0.02
VTRS A 0.50 0.02
ET A 3.53 0.02
MMC D 0.71 0.02
BSX A 1.48 0.02
GOOGL B -6.43 0.02
QCOM F 1.33 0.02
NWG A -0.25 0.02
MRK F 1.11 0.02
HCA F -1.92 0.02
FOXA B -0.07 0.02
CARR D 2.15 0.02
NOC D 0.72 0.02
GE D 1.33 0.02
VOD D -0.89 0.02
MUFG B 0.64 0.02
AMZN B -2.71 0.02
WTFC B 0.83 0.01
SKT A 0.33 0.01
RS B 0.55 0.01
ROST D 1.79 0.01
PWR A 2.52 0.01
REXR F 0.05 0.01
SAVE F 0.00 0.01
GBDC B -0.69 0.01
ALLE D 0.68 0.01
AXS A 1.18 0.01
AVT C 1.27 0.01
CMA B 2.59 0.01
CHD A 1.19 0.01
CE F 1.14 0.01
CBT C 1.58 0.01
THG A -0.22 0.01
UNM A 3.69 0.01
TME D 0.94 0.01
NOV C 1.57 0.01
NDAQ A 0.46 0.01
OGS A 0.73 0.01
IFF D 1.01 0.01
L A 0.51 0.01
JCI B 1.86 0.01
KMT C 2.02 0.01
KMPR A 2.26 0.01
EPRT A 0.09 0.01
VNO C 2.06 0.01
WU F 0.79 0.01
TKR F 2.03 0.01
WLK F 0.51 0.01
PNW A 1.32 0.01
SNA B 0.26 0.01
RNR C -0.26 0.01
SF B 1.15 0.01
PSEC D 0.90 0.01
DOV B 2.00 0.01
AFG A 1.78 0.01
APTV F 0.63 0.01
WBS A 2.06 0.01
LII A 4.11 0.01
OCSL F 0.00 0.01
MDT D 0.88 0.01
MCY B 0.00 0.01
PDM D 1.01 0.01
MP C 1.92 0.01
KRG A 0.07 0.01
EMN D 1.51 0.01
FSK A 0.51 0.01
LXP D 1.36 0.01
OSK C 1.36 0.01
MKL A 1.29 0.01
OPI F -0.45 0.01
BEN C 0.76 0.01
BDN C 0.37 0.01
AMH C 0.37 0.01
WEC A 0.86 0.01
WB C -3.16 0.01
ZION B 1.99 0.01
VRSK A 0.55 0.01
VNT C 2.17 0.01
WPC C 0.00 0.01
R B 0.93 0.01
SITC D 0.40 0.01
PKG A 0.20 0.01
RPM B 0.99 0.01
PHM D 1.40 0.01
PFG C 0.51 0.01
SCS B 0.01 0.01
SAFE F 1.66 0.01
PPG F 0.56 0.01
SON D 0.00 0.01
SNX C 0.93 0.01
FMC D 1.07 0.01
FLS A 0.75 0.01
FLO D 0.36 0.01
EW C 0.68 0.01
BBY D 0.59 0.01
ALL A 2.02 0.01
BAX F 1.04 0.01
AIZ A 1.25 0.01
CMI A 2.01 0.01
CME A -0.16 0.01
AVB B 1.38 0.01
AGR A 0.00 0.01
AGO A -0.08 0.01
ATO A 1.29 0.01
CINF A 1.76 0.01
AEE A 1.43 0.01
ARW D 1.70 0.01
ADC A -0.73 0.01
ACGL D 2.37 0.01
BKU A 0.76 0.01
AAT A 0.90 0.01
OGE A 0.93 0.01
NVT C 4.31 0.01
MCO B 0.74 0.01
NUE D 0.49 0.01
GPC F 0.94 0.01
GP F 2.46 0.01
HR C 0.94 0.01
HP C 3.16 0.01
INTU B 3.76 0.01
HIW D 1.46 0.01
GILD B 0.71 0.01
JD D 0.90 0.01
IEX B 1.21 0.01
GXO B 2.36 0.01
EPR D 0.70 0.01
DHR D -0.62 0.01
DHI D 0.45 0.01
FTNT B 1.70 0.01
FRT B 0.93 0.01
STE D 0.54 0.01
WTRG B 1.10 0.01
RYN D 0.40 0.01
ROK B -0.70 0.01
RF A 2.19 0.01
SBRA B 0.00 0.01
REG A 0.00 0.01
PRE C 0.00 0.01
MAS D 1.16 0.01
NHI D 0.11 0.01
NEU D -0.09 0.01
MLM B 0.87 0.01
MHK D 2.36 0.01
LIN D 0.30 0.01
CNH C 4.39 0.01
AYI B 1.45 0.01
BRO B 1.29 0.01
BNS A 0.46 0.01
BKH A 1.20 0.01
AAL B -1.21 0.01
BERY C 1.81 0.01
AMCR C 1.69 0.01
CP F 1.06 0.01
UDR C 1.29 0.01
WBA F 0.18 0.01
TD D -0.43 0.01
TSCO D 1.44 0.01
SWX A 0.32 0.01
SWKS F 0.75 0.01
VOYA B 0.89 0.01
XYL D 2.84 0.01
VMC B 1.01 0.01
KEX A 0.89 0.01
ITW B 1.17 0.01
HUBB B 3.56 0.01
HSY F 0.44 0.01
HPP F -2.63 0.01
JNPR D 0.15 0.01
ILMN C 1.21 0.01
KSS F 0.61 0.01
KRC C 2.88 0.01
EIX C 0.47 0.01
DVN F 1.34 0.01
CTVA C 2.18 0.01
FAF A -0.37 0.01
EXR C 1.23 0.01
DRI C 0.33 0.01
DSS F -2.86 0.01
NFG A 2.78 0.01
LLY F -1.03 0.01
OC A 1.89 0.01
LEG F 0.53 0.01
NVR D 1.11 0.01
MRVL B 2.94 0.01
NSC B 1.31 0.01
KIM A 0.44 0.01
MAA B 0.51 0.01
ORLY B 1.34 0.01
LNT A 0.19 0.01
OMC D 0.80 0.01
LAZ B 3.69 0.01
NTRS A 0.69 0.01
KEYS A 1.83 0.01
K A 0.27 0.01
HUN F 0.03 0.01
HRB D -0.48 0.01
IPG D 0.00 0.01
INGR B 1.12 0.01
HII F 1.40 0.01
HBAN B 1.63 0.01
JBL C 2.38 0.01
KR B 1.04 0.01
EMR A 0.53 0.01
DGX A 0.89 0.01
DE C 7.61 0.01
ED C 0.13 0.01
CUBE D 1.08 0.01
FLEX A 3.34 0.01
DOW F 1.41 0.01
FITB B 0.76 0.01
AL B 0.00 0.01
CNP A 0.89 0.01
CMS C 0.00 0.01
AVY D 0.31 0.01
ADSK A 2.36 0.01
CFG B 1.47 0.01
BIDU D -7.11 0.01
APD A 0.17 0.01
UPS C -0.08 0.01
TGT F 0.38 0.01
WELL A 0.10 0.01
TXT D 2.22 0.01
TT A 1.37 0.01
SUI C 0.00 0.01
VFC C 0.70 0.01
TJX A -0.20 0.01
WM B 0.84 0.01
PM A 1.04 0.01
SJM D 0.34 0.01
RPRX D 1.39 0.01
ROP C 0.39 0.01
PSA D 0.99 0.01
SO C -0.09 0.01
NNN C -0.25 0.01
LNC B 1.60 0.01
LH B 0.70 0.01
LEA F 0.81 0.01
NTAP C 3.48 0.01
MPC C 0.77 0.01
KEY B 2.18 0.01
HUM C 0.43 0.01
GLPI C 0.26 0.01
GL C 0.52 0.01
JEF A 2.97 0.01
HAS D 0.08 0.01
H B 0.94 0.01
KMB C 0.84 0.01
ESS B 1.41 0.01
ES C 1.02 0.01
EQR C 0.45 0.01
EL F 1.56 0.01
FNF D 0.24 0.01
CSL C 2.12 0.01
EVRG A -0.53 0.01
ETR A 0.77 0.01
AZO C 0.00 0.01
CNA C 0.57 0.01
AWK C 0.56 0.01
CLX A 0.14 0.01
BRX A 0.19 0.01
AES F -0.04 0.01
A F 2.01 0.01
BG D 1.04 0.01
CBOE C 0.33 0.01
AN D 3.75 0.01
TXN C -0.05 0.01
VTR B 0.33 0.01
SWK F 1.96 0.01
ZTS D 0.47 0.01
STLD B 0.67 0.01
PSX C 0.58 0.01
RGA B 0.86 0.01
SPGI D 1.49 0.01
AZN F 1.00 0.01
AFL C 1.52 0.01
AER B 2.27 0.01
BLK B 1.11 0.01
BK B 1.12 0.01
BHF B 0.84 0.01
APH B 3.85 0.01
CCI C 0.10 0.01
AMAT F 3.14 0.01
LEN D 0.81 0.01
MSI A 0.59 0.01
GPN C 1.50 0.01
GIS D 0.09 0.01
ICE D 1.46 0.01
EQNR C 1.53 0.01
EQIX A 1.05 0.01
FDX B 1.50 0.01
ECL D 0.50 0.01
NKE F 1.37 0.01
PAA B 1.03 0.01
MKC C 1.10 0.01
MA B 0.98 0.01
LYB F 0.32 0.01
MMM D 0.41 0.01
OHI C 0.78 0.01
O D 0.49 0.01
NXPI F 1.29 0.01
HRL D 0.23 0.01
UNP D 1.46 0.01
TDY B 1.99 0.01
STT A 1.07 0.01
VLO C 0.83 0.01
TMO D -0.47 0.01
WEST C 4.06 0.01
WHR B 1.01 0.01
PLD D 0.26 0.01
RSG A 0.57 0.01
PG C 1.07 0.01
FANG C 1.91 0.01
CSX C 1.33 0.01
BXP D 1.62 0.01
XEL A 1.11 0.01
SRE A 0.88 0.01
PRU B 1.77 0.01
PEG A 1.03 0.01
SBUX B 1.65 0.01
SPG A 0.51 0.01
AEP C 0.42 0.01
AON B 0.44 0.01
GM B 1.30 0.01
EQH B 0.32 0.01
DTE C 0.87 0.01
FIS C 0.05 0.01
CAT C 1.71 0.01
STZ D -0.17 0.01
EPD A 1.65 0.01
DG F 0.45 0.01
DB D 0.33 0.01
COF B 1.63 0.01
MO A 0.44 0.01
OTIS D 0.25 0.01
OKE A 3.28 0.01
LHX B 1.24 0.01
MDLZ F 0.50 0.01
KDP D -0.06 0.01
WMB A 1.77 0.01
V A 0.93 0.01
SHW C 1.77 0.01
PEP F 0.34 0.01
DUK C 0.70 0.01
EXC C 0.88 0.01
AMT D 0.26 0.01
COP B 0.89 0.01
USB A 2.37 0.01
HON B -0.46 0.01
JNJ D 0.93 0.01
HD C 1.51 0.01
D C 0.62 0.01
CVX A 0.50 0.01
MAR B 1.36 0.01
LUV B 1.00 0.01
CPT C 0.27 0.01
AMGN D 0.03 0.01
TFC B 1.97 0.01
PFE F -0.04 0.01
SCHW A 0.70 0.01
BKNG A 2.04 0.01
ARE F 0.86 0.01
ABT B 0.24 0.01
INTC C 2.19 0.01
HES B 0.85 0.01
KO D 0.48 0.01
PNC B 1.69 0.01
DIS B 1.09 0.01
LOW C 0.59 0.01
UNH B -0.13 0.01
AIG D 1.06 0.01
KMI A 1.79 0.01
WMT A 1.14 0.01
AAPL C -0.08 0.01
BDX F 1.19 0.01
DELL C 3.49 0.01
NEE C 0.60 0.01
XOM A 1.13 0.01
CI D 0.80 0.01
COST A 2.36 0.01
RTX D 1.35 0.01
IBM C 2.79 0.01
UAL A -0.59 0.01
ORCL A 1.95 0.01
PCG A 0.66 0.01
AVGO D 1.18 0.01
CVS D 0.10 0.01
GS B 2.44 0.01
T A 0.85 0.01
JPM B 1.26 0.01
HSBC A 0.24 0.01
VZ C 0.66 0.01
BMY B 0.13 0.01
CMCSA B 1.01 0.01
BA D -1.54 0.01
C B 1.37 0.01
BAC A 2.04 0.01

Recent News for Vanguard Intermediate-Term Bond ETF & its Holdings

Date Stock Title
Nov 21 APH Nvidia's results seen as positive for Arista Networks, Amphenol, others: Evercore
Nov 21 T SurgePays Teams Up With AT&T For Affordable Wireless Solutions Nationwide; Stock Gains
Nov 21 PCG Divert, Inc. and PG&E Announce First-of-its-Kind Interconnection in California to Address the Wasted Food Crisis
Nov 21 CMA Comerica Bank Statement on Direct Express Program Transition
Nov 21 CMA BNY gains Treasury's Direct Express benefits contract
Nov 21 GOOGL DOJ Seeks Google Sale Of Chrome In Antitrust Case. Will Trump Make A Difference?
Nov 21 GOOGL Why Alphabet Stock Was Sliding Today
Nov 21 PFE Major companies that are also popular short-selling stocks
Nov 21 AVGO Major companies that are also popular short-selling stocks
Nov 21 NVDA Major companies that are also popular short-selling stocks
Nov 21 ABT Major companies that are also popular short-selling stocks
Nov 21 NVDA Nvidia: Blackwell Ramp Hit Gross Margin, Expecting Low 70s
Nov 21 NVDA A Recap of Nvidia's Recent Developments
Nov 21 NTAP Dell Q3 results should provide optimism heading into 2025
Nov 21 NVDA Tesla Stock Is Down After Nvidia Earnings, European EV Sales
Nov 21 NVDA Consumer sector will 'rule sentiment' in 2025: Strategist
Nov 21 COST Consumer sector will 'rule sentiment' in 2025: Strategist
Nov 21 GOOGL US Justice Department Seeks Google Chrome Sale to Curb Monopoly
Nov 21 NVDA Nvidia Pops, Then Drops. But This Cheap Stock May Be A 'Wise' Pick.
Nov 21 KO Warren Buffett Is Set To Collect $776 Million In Coca-Cola Dividends – But Daughter Says His Wife Buys Him The Soda 'On Sale'
The investment seeks the performance of a market-weighted bond index with an intermediate-term dollar-weighted average maturity. The fund employs an indexing investment approach designed to track the performance of the Barclays U.S. 5-10 Year Government/Credit Float Adjusted Index. This Index includes all medium and larger issues of U.S. government, investment-grade corporate, and investment-grade international dollar-denominated bonds that have maturities between 5 and 10 years and are publicly issued. All of the fund's investments will be selected through the sampling process, and at least 80% of the fund's assets will be invested in bonds held in the index.
Exchange Traded Fund ETF Bond U.S. Government Bond Fund Bloomberg Barclays Us Aggregate Bond Index Bond Market Indices Merrill Lynch Year Government
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