ETF · holdings as filed 2026-03-31
What's inside VBCJ? VANGUARD TARGET MATURITY 2036 CORPORATE BOND ETF
Holdings 132 positions in the fund
Expense ratio 0.08% net, per year
Fund size $6M total net assets Top 20 holdings Rank Logo Ticker / Name Weight 1 G GOOGL 4.8 02.15.36 ALPHABET INC
2.97% 2 O ORCL 5.7 02.04.36 ORACLE CORP
2.69% 3 G GS V5.065 01.21.37 GOLDMAN SACHS GROUP INC
2.59% 4 M MS V5.073 01.30.37 MORGAN STANLEY
2.26% 5 J JPM V5.193 02.05.37 JPMORGAN CHASE & CO
2.24% 6 B BAC V5.045 02.06.37 BANK OF AMERICA CORP
2.20% 7 A ABIBB 4.7 02.01.36 * ANHEUSER-BUSCH CO/INBEV
2.14% 8 W WFC V4.96 01.23.37 WELLS FARGO & COMPANY
2.04% 9 V VZ 4.272 01.15.36 VERIZON COMMUNICATIONS
1.72% 10 T TELEFO 7.045 06.20.36 TELEFONICA EMISIONES SAU
1.61% 11 A AVGO 3.187 11.15.36 144A BROADCOM INC
1.53% 12 O OXY 6.45 09.15.36 OCCIDENTAL PETROLEUM COR
1.36% 13 A AVGO 4.8 02.15.36 BROADCOM INC
1.31% 14 D DELL 8.1 07.15.36 DELL INT LLC / EMC CORP
1.29% 15 E EPD 5.2 01.15.36 ENTERPRISE PRODUCTS OPER
1.26% 16 A ABT 4.75 11.30.36 ABBOTT LABORATORIES
1.23% 17 G GM 6.6 04.01.36 GENERAL MOTORS CO
1.23% 18 A AMGN 4.85 02.19.36 AMGEN INC
1.22% 19 M MUFG V5.057 01.14.37 MITSUBISHI UFJ FIN GRP
1.20% 20 B BACR V5.207 02.24.37 BARCLAYS PLC
1.17%
Show more (20 more)
Sectors
› 1 Bonds & Fixed Income 99.8% › Top holdings — Bonds & Fixed Income
Your 10 largest positions in this sector
1
G GOOGL 4.8 02.15.36 ALPHABET INC
2.97% 2
O ORCL 5.7 02.04.36 ORACLE CORP
2.69% 3
G GS V5.065 01.21.37 GOLDMAN SACHS GROUP INC
2.59% 4
M MS V5.073 01.30.37 MORGAN STANLEY
2.26% 5
J JPM V5.193 02.05.37 JPMORGAN CHASE & CO
2.24% 6
B BAC V5.045 02.06.37 BANK OF AMERICA CORP
2.20% 7
A ABIBB 4.7 02.01.36 * ANHEUSER-BUSCH CO/INBEV
2.14% 8
W WFC V4.96 01.23.37 WELLS FARGO & COMPANY
2.04% 9
V VZ 4.272 01.15.36 VERIZON COMMUNICATIONS
1.72% 10
T TELEFO 7.045 06.20.36 TELEFONICA EMISIONES SAU
1.61% Top holdings — United States
Your 10 largest positions in this country
1
G GOOGL 4.8 02.15.36 ALPHABET INC
2.97% 2
O ORCL 5.7 02.04.36 ORACLE CORP
2.69% 3
G GS V5.065 01.21.37 GOLDMAN SACHS GROUP INC
2.59% 4
M MS V5.073 01.30.37 MORGAN STANLEY
2.26% 5
J JPM V5.193 02.05.37 JPMORGAN CHASE & CO
2.24% 6
B BAC V5.045 02.06.37 BANK OF AMERICA CORP
2.20% 7
A ABIBB 4.7 02.01.36 * ANHEUSER-BUSCH CO/INBEV
2.14% 8
W WFC V4.96 01.23.37 WELLS FARGO & COMPANY
2.04% 9
V VZ 4.272 01.15.36 VERIZON COMMUNICATIONS
1.72% 10
T TELEFO 7.045 06.20.36 TELEFONICA EMISIONES SAU
1.61% Geography reflects each issuer's registered business address per SEC EDGAR filings where available, falling back to the exchange or listing where no SEC filing exists — not necessarily where a company's stock is primarily listed (e.g. TSMC is classified as Taiwan even though its ADR trades on the NYSE).
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Unwrap your portfolio → Data source: official SEC Form N-PORT filings (as of 2026-03-31); expense ratio from SEC prospectus (risk/return) filings. Fund holdings are disclosed quarterly and may reflect a 60-day reporting delay. Informational and educational only — not investment advice.