ETF Components for VCEB - Vanguard ESG U.S. Corporate 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
DT D 2.70 0.19
MTB A 1.45 0.07
TJX A 0.03 0.07
MOS F 2.40 0.06
WEST C 6.60 0.06
DD C 1.10 0.06
PGR A 2.50 0.05
AFL B 1.35 0.05
MDT D 0.75 0.05
EQH C 0.15 0.05
MCHP F 1.63 0.04
LEN C 0.59 0.04
KMB C 0.48 0.04
GWW B 1.35 0.04
OTIS C 0.26 0.04
NOW A 2.29 0.04
STLA F -0.43 0.04
AZO C 0.63 0.04
CTAS B 1.25 0.04
CPT B 1.19 0.04
VRSK A 1.18 0.04
MMC B 1.11 0.04
EXPE B 2.46 0.04
FTV C 1.58 0.03
EQR C 1.53 0.03
DGX A 1.59 0.03
VRSN C 1.92 0.03
CMA B 1.50 0.03
BWA D 1.35 0.03
BG D 0.33 0.03
SJM D 1.61 0.03
ROP B 0.88 0.03
RF A 1.83 0.03
EG C 2.20 0.03
PWR A 2.31 0.03
PPG F 1.15 0.03
DOC C 1.31 0.03
ORLY B 1.33 0.03
AMP A 1.57 0.03
ACGL C 3.01 0.03
NVR D 0.00 0.03
LH B 0.98 0.03
K A 0.30 0.03
IFF D 1.06 0.03
HAS D 0.10 0.03
LLY F -1.66 0.03
NTRS A 0.98 0.03
BHF C 0.90 0.03
SYF B 1.15 0.03
CFG B 2.14 0.03
GIS D 0.50 0.03
DG F 0.89 0.03
WAB B 1.85 0.03
ITW B 1.30 0.03
ADP A 2.00 0.03
MU D 4.46 0.03
BDX F 1.38 0.03
ETN A 2.91 0.03
EQIX A 0.51 0.03
ZBH C -0.80 0.03
MA B 1.10 0.03
ALLY C 4.67 0.03
BMY B 0.60 0.03
ABT B -0.01 0.03
VOD D -0.45 0.03
ABBV F 1.14 0.03
HUN F 1.03 0.02
HST C 2.70 0.02
HRL D 0.93 0.02
HIG B 1.21 0.02
MKC C 1.06 0.02
MCK A 1.15 0.02
LEA F 3.00 0.02
AJG A 2.22 0.02
NTAP C 2.62 0.02
A D 2.71 0.02
QRVO F 3.37 0.02
APH A 3.61 0.02
RL C 2.46 0.02
BEN C 0.37 0.02
BAX F 1.10 0.02
VTR B 0.28 0.02
VMC B 1.21 0.02
UHS D 0.05 0.02
TT A 1.03 0.02
CAH B 2.56 0.02
XRAY F 0.65 0.02
CSL C 2.27 0.02
CMI A 2.19 0.02
EMN C 1.08 0.02
VFC C 0.48 0.02
CF A 0.81 0.02
RJF A 0.99 0.02
AWK C 0.67 0.02
O C 0.90 0.02
MLM C 0.91 0.02
HBAN A 0.86 0.02
BLK B 0.32 0.02
SWK D 2.63 0.02
REGN F 0.01 0.02
TRV B 1.30 0.02
EFX F 2.36 0.02
DLTR F 4.08 0.02
DE B 8.05 0.02
CME B -0.63 0.02
WBA F 0.73 0.02
ADM D 0.32 0.02
BR A 1.19 0.02
BKNG A 3.88 0.02
SHW B 3.13 0.02
SBUX A 1.83 0.02
CPB D 1.48 0.02
GLW B 1.03 0.02
OMC C 2.89 0.02
NEM D 0.77 0.02
APD A 0.31 0.02
FITB B 1.75 0.02
CRM B 4.17 0.02
BABA D -1.37 0.02
DB C 0.42 0.02
CSCO B 0.10 0.02
CARR C 2.03 0.02
IBM C 3.63 0.02
HCA F -0.23 0.02
GOOGL C -6.03 0.02
HSBC A 0.19 0.02
AVGO D 0.42 0.02
GSK F 1.05 0.02
AZN F 1.68 0.02
V A 0.82 0.02
ORCL A 0.88 0.02
BAC A 1.78 0.02
CHTR C -1.36 0.02
VZ C 0.66 0.02
EXP B 2.94 0.01
ADI D 1.40 0.01
GLPI C 0.22 0.01
EA A 0.76 0.01
WM B 1.26 0.01
WB D -2.29 0.01
MRVL B 3.43 0.01
MDLZ F 0.57 0.01
GPN B 1.31 0.01
PLD F 0.08 0.01
PH A 1.77 0.01
AMAT F 3.33 0.01
MSI B 0.45 0.01
RSG A 0.68 0.01
AON A 0.67 0.01
BRX A 0.34 0.01
EBAY C 1.46 0.01
MMM D -0.41 0.01
MAR A 1.39 0.01
KEY B 1.05 0.01
RPRX D 0.69 0.01
ARE F 1.51 0.01
SCHW B 0.42 0.01
DLR B 0.79 0.01
DHR F 0.84 0.01
ZTS D 0.59 0.01
TXN C 0.01 0.01
NXPI D 1.92 0.01
MET A 3.14 0.01
KO D 1.22 0.01
KLAC F 1.56 0.01
HUM C 0.58 0.01
USB A 1.28 0.01
TSN B 0.82 0.01
BXP C 1.52 0.01
BSX A 1.47 0.01
TMO F 0.64 0.01
BMO A 0.63 0.01
BK A 1.30 0.01
BERY C 2.80 0.01
STT B 1.05 0.01
AXP A 1.84 0.01
PYPL B 0.15 0.01
FIS C -0.47 0.01
WELL A 0.35 0.01
CM A 0.49 0.01
CCI C 0.12 0.01
AER A 2.59 0.01
ADBE C 0.99 0.01
NVDA B 0.53 0.01
NKE F 2.37 0.01
MRK D 2.48 0.01
LOW C 0.83 0.01
KDP F 0.62 0.01
HPQ B 1.83 0.01
CB C 0.80 0.01
CAT B 2.12 0.01
CAG F 0.18 0.01
BNS A -0.14 0.01
SYY D 1.97 0.01
SPG A 0.49 0.01
PRU A 1.42 0.01
AMT C 0.96 0.01
FDX B 1.39 0.01
DOW F 1.01 0.01
DFS B 1.65 0.01
PNC B 0.88 0.01
PFE F -0.13 0.01
PEP F 1.01 0.01
AL B 3.92 0.01
LUV C 0.06 0.01
LRCX F 4.40 0.01
ICE C 1.66 0.01
HPE B 2.64 0.01
GM C 1.48 0.01
COF C 1.08 0.01
CI D 2.07 0.01
TGT F -0.11 0.01
TD D -0.07 0.01
BIIB F 1.29 0.01
SYK B 1.16 0.01
VTRS B 0.15 0.01
UNH B -0.50 0.01
TFC A 1.36 0.01
PG C 1.09 0.01
AMGN F 0.71 0.01
NWG A -0.05 0.01
MUFG B 0.43 0.01
JNJ C 1.56 0.01
UPS C -0.55 0.01
QCOM F 0.77 0.01
AIG B 1.77 0.01
MCD D -0.84 0.01
INTC C 1.79 0.01
HD B 2.61 0.01
GILD C 1.27 0.01
RY A 2.71 0.01
C A 0.98 0.01
FOXA A 2.06 0.01
DIS B 0.40 0.01
AMZN C -2.22 0.01
CMCSA B 1.19 0.01
DELL B 3.70 0.01
JPM A 1.65 0.01
AAPL C -0.21 0.01
TMUS B 0.47 0.01
GS A 2.44 0.01
T A 0.68 0.01
MSFT D -0.43 0.01
MS A 2.51 0.01
CVS D 0.48 0.01

Recent News for Vanguard ESG U.S. Corporate Bond ETF & its Holdings

Date Stock Title
Nov 21 NVDA Dow Jones Futures: Bulls Run Past Google; 7 Stocks In Buy Zones, MicroStrategy Dives
Nov 21 NVDA Asian Equities to Climb After Wall Street Advances: Markets Wrap
Nov 21 NVDA Nvidia handily beat Q3 estimates, but 'investors want more': Analyst
Nov 21 NVDA Where will the next market catalyst come from?
Nov 21 PEP Center for Employment Opportunities Denver Named a Top 100 Nonprofit in North America, Awarded PepsiCo Foundation Community Impact Award
Nov 21 NVDA Why IonQ Stock Skyrocketed Today
Nov 21 MSFT OpenAI ponders releasing web browser to challenge Google: report
Nov 21 TMUS T-Mobile Declares Quarterly Cash Dividend
Nov 21 NVDA Nvidia Insiders Plan Big Stock Sales. CEO Jensen Huang Isn’t One of Them.
Nov 21 NVDA Nvidia's Stock Was Down Despite Its Amazing Earnings. Here's What History Says Is Coming Next
Nov 21 NKE NIKE, Inc. Announces Second Quarter Fiscal 2025 Earnings and Conference Call
Nov 21 NVDA Nvidia: The Most Profitable Company (Ever)?
Nov 21 DE S&P 500 Gains and Losses Today: Stocks Rise After Nvidia Earnings; Alphabet Falls
Nov 21 NVDA S&P 500 Gains and Losses Today: Stocks Rise After Nvidia Earnings; Alphabet Falls
Nov 21 NVDA Equities Mostly Rise as Markets Analyze Nvidia Results, Macro Data
Nov 21 NVDA Nvidia Guidance Called Conservative As Blackwell AI Chip Production Ramps
Nov 21 NVDA Nvidia Q3 Earnings: A Tale Of Blackwell, Jetson, And The Omniverse
Nov 21 NVDA Nvidia's Challenge: Meeting Sky-High Expectations
Nov 21 NVDA Cloudflare, IBD Stock Of The Day, Rides AI, Crypto App Developer Growth
Nov 21 NVDA Supermicro, Dell, and Other Nvidia Partners' Stocks Pop After Chipmaker's Earnings
The investment seeks to track the performance of the Bloomberg Barclays MSCI US Corporate SRI Select Index (the ?index?). The index excludes bonds with maturities of 1 year or less and with less than $750 million outstanding, and is screened for certain environmental, social, and governance (ESG) criteria by the index provider, which is independent of Vanguard. All of the fund?s investments will be selected through the sampling process, and under normal circumstances, at least 80% of the fund?s assets will be invested in bonds included in the index.
Exchange Traded Fund Bond Investment Management Environmental Social And Corporate Governance Morgan Stanley Ethical Banking
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