VCLT

Vanguard Long-Term Corporate Bond Index Fund VCLT

78.98 $ 0.13 %

Market capitalization

$ 8.562 B

Ratio P/E

0.00

Volume

5.597 M

Beta

2.06

EPS

0.00

Dividend

$ 4.1786

Price History

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Inside Vanguard Long-Term Corporate Bond Index Fund

Symbol Name Share number Weight Value
ORCL Oracle Corp 197310000 2.058 % 173.480 M $
T AT&T Inc 209499000 1.968 % 165.956 M $
UNH UnitedHealth Group Inc 155054000 1.707 % 143.921 M $
CMCSA Comcast Corp 175344000 1.526 % 128.628 M $
VZ Verizon Communications Inc 154725000 1.417 % 119.478 M $
BAC Bank of America Corp 129974000 1.356 % 114.349 M $
JPM JPMorgan Chase & Co 129007000 1.342 % 113.113 M $
AAPL Apple Inc 145603000 1.302 % 109.751 M $
CHTR Charter Communications Operating LLC / Charter Communications Operating Capital 135005000 1.294 % 109.069 M $
GS Goldman Sachs Group Inc/The 101723000 1.194 % 100.702 M $
ABBV AbbVie Inc 107623000 1.157 % 97.515 M $
CVS CVS Health Corp 101880000 1.132 % 95.453 M $
WFC Wells Fargo & Co 100135000 1.079 % 91.006 M $
AMGN Amgen Inc 92453000 1.008 % 85.016 M $
MSFT Microsoft Corp 119302000 0.989 % 83.380 M $
BA Boeing Co/The 78611000 0.967 % 81.520 M $
BMY Bristol-Myers Squibb Co 84045000 0.897 % 75.638 M $
ET Energy Transfer LP 78975000 0.889 % 74.927 M $
INTC Intel Corp 89307000 0.877 % 73.912 M $
BNSF Burlington Northern Santa Fe LLC 80635900 0.876 % 73.889 M $
HD Home Depot Inc/The 81674000 0.869 % 73.251 M $
AMZN Amazon.com Inc 91504000 0.838 % 70.614 M $
TMUS T-Mobile USA Inc 83389000 0.827 % 69.696 M $
AVGO Broadcom Inc 72551000 0.798 % 67.270 M $
MS Morgan Stanley 68970000 0.777 % 65.527 M $
EPD Enterprise Products Operating LLC 72501000 0.758 % 63.936 M $
ABIBB Anheuser-Busch InBev Worldwide Inc 59087000 0.737 % 62.166 M $
RTX RTX Corp 65173000 0.716 % 60.374 M $
LLY Eli Lilly & Co 62739000 0.682 % 57.491 M $
C Citigroup Inc 55778000 0.671 % 56.555 M $
META Meta Platforms Inc 58864000 0.668 % 56.309 M $
MRK Merck & Co Inc 67759000 0.649 % 54.677 M $
ABIBB Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc 56781000 0.644 % 54.290 M $
PCG Pacific Gas and Electric Co 60847000 0.641 % 54.030 M $
LOW Lowe's Cos Inc 63931000 0.638 % 53.763 M $
HCA HCA Inc 58925000 0.627 % 52.839 M $
UNP Union Pacific Corp 66213000 0.612 % 51.636 M $
NEE Florida Power & Light Co 58535000 0.61 % 51.426 M $
ELV Elevance Health Inc 55792000 0.598 % 50.393 M $
OKE ONEOK Inc 52357000 0.59 % 49.763 M $
DIS Walt Disney Co/The 59202000 0.587 % 49.473 M $
PFE Pfizer Investment Enterprises Pte Ltd 51430000 0.586 % 49.437 M $
ED Consolidated Edison Co of New York Inc 50416000 0.566 % 47.700 M $
D Virginia Electric and Power Co 53850000 0.558 % 47.062 M $
CI Cigna Group/The 49904000 0.557 % 46.980 M $
GILD Gilead Sciences Inc 54232000 0.552 % 46.554 M $
EIX Southern California Edison Co 54360000 0.549 % 46.309 M $
UPS United Parcel Service Inc 40859000 0.489 % 41.225 M $
XOM Exxon Mobil Corp 48879000 0.486 % 40.959 M $
JNJ Johnson & Johnson 47277000 0.486 % 40.943 M $
LMT Lockheed Martin Corp 43842000 0.467 % 39.369 M $
DUK Duke Energy Carolinas LLC 42976000 0.463 % 39.037 M $
BRK Berkshire Hathaway Finance Corp 48206000 0.456 % 38.459 M $
HSBC HSBC Holdings PLC 35610000 0.455 % 38.355 M $
KO Coca-Cola Co/The 46214000 0.441 % 37.195 M $
CSX CSX Corp 42854000 0.439 % 37.025 M $
PFE Pfizer Inc 38073000 0.431 % 36.375 M $
MET MetLife Inc 37045000 0.425 % 35.821 M $
MO Altria Group Inc 39008000 0.422 % 35.592 M $
IBM International Business Machines Corp 41362000 0.419 % 35.326 M $
MCD McDonald's Corp 39115000 0.413 % 34.790 M $
CSCO Cisco Systems Inc 33306000 0.409 % 34.446 M $
WMT Walmart Inc 35495000 0.398 % 33.519 M $
MPLX MPLX LP 36641000 0.393 % 33.162 M $
DUK Duke Energy Corp 37668000 0.384 % 32.336 M $
KHC Kraft Heinz Foods Co 34585000 0.38 % 32.011 M $
ABT Abbott Laboratories 31553000 0.37 % 31.210 M $
PEP PepsiCo Inc 40043000 0.364 % 30.670 M $
PM Philip Morris International Inc 31873000 0.357 % 30.124 M $
BATSLN BAT Capital Corp 29814000 0.353 % 29.786 M $
BPLN BP Capital Markets America Inc 44034000 0.349 % 29.410 M $
NSC Norfolk Southern Corp 35083000 0.349 % 29.444 M $
VOD Vodafone Group PLC 30453000 0.345 % 29.047 M $
BRKHEC PacifiCorp 28626000 0.337 % 28.381 M $
COP ConocoPhillips Co 32732000 0.335 % 28.245 M $
KR Kroger Co/The 30014000 0.332 % 27.994 M $
TELEFO Telefonica Emisiones SA 28055000 0.327 % 27.569 M $
MMC Marsh & McLennan Cos Inc 29048000 0.327 % 27.592 M $
NOC Northrop Grumman Corp 30625000 0.323 % 27.234 M $
PRU Prudential Financial Inc 30703000 0.323 % 27.251 M $
DTE DTE Electric Co 31931000 0.321 % 27.080 M $
RDSALN Shell International Finance BV 27648000 0.319 % 26.882 M $
KMI Kinder Morgan Inc 29826000 0.318 % 26.776 M $
RDSALN Shell Finance US Inc 31477800 0.316 % 26.679 M $
BRKHEC Berkshire Hathaway Energy Co 27450000 0.313 % 26.409 M $
BRKHEC MidAmerican Energy Co 31168000 0.312 % 26.334 M $
DOW Dow Chemical Co/The 28357000 0.311 % 26.190 M $
EXC Commonwealth Edison Co 29604000 0.306 % 25.759 M $
ONCRTX Oncor Electric Delivery Co LLC 29132000 0.305 % 25.694 M $
NI NiSource Inc 28176000 0.3 % 25.290 M $
KMI Kinder Morgan Energy Partners LP 24294000 0.297 % 24.999 M $
CP Canadian Pacific Railway Co 32427000 0.296 % 24.944 M $
TRV Travelers Cos Inc/The 25801000 0.293 % 24.721 M $
ATO Atmos Energy Corp 27725000 0.292 % 24.637 M $
ICE Intercontinental Exchange Inc 31117000 0.29 % 24.456 M $
GM General Motors Co 24823000 0.288 % 24.284 M $
WMB Williams Cos Inc/The 25151000 0.288 % 24.260 M $
XEL Northern States Power Co/MN 24920000 0.281 % 23.706 M $
FDX FedEx Corp 27472000 0.281 % 23.676 M $
HAL Halliburton Co 23463000 0.28 % 23.571 M $
V Visa Inc 30805000 0.28 % 23.616 M $
BACR Barclays PLC 26222000 0.279 % 23.541 M $
EXC Exelon Corp 24290000 0.277 % 23.340 M $
XEL Public Service Co of Colorado 24208000 0.275 % 23.148 M $
AZN AstraZeneca PLC 21566000 0.264 % 22.257 M $
RCICN Rogers Communications Inc 25201000 0.262 % 22.109 M $
CHTR Time Warner Cable LLC 22555000 0.259 % 21.869 M $
BABA Alibaba Group Holding Ltd 24645000 0.252 % 21.269 M $
PARA Paramount Global 26751000 0.252 % 21.252 M $
NOVNVX Novartis Capital Corp 25776000 0.251 % 21.151 M $
T United States Treasury Note/Bond 20985000 0.25 % 21.051 M $
KPERM Kaiser Foundation Hospitals 27913000 0.25 % 21.117 M $
QCOM QUALCOMM Inc 21605000 0.245 % 20.619 M $
GOOGL Alphabet Inc 28905000 0.245 % 20.664 M $
AWK American Water Capital Corp 22835000 0.243 % 20.517 M $
TTEFP TotalEnergies Capital SA 20734000 0.242 % 20.404 M $
PEG Public Service Electric and Gas Co 22251000 0.241 % 20.307 M $
OXY Occidental Petroleum Corp 19617000 0.228 % 19.245 M $
CEG Constellation Energy Generation LLC 18309000 0.228 % 19.182 M $
TXN Texas Instruments Inc 20627000 0.222 % 18.719 M $
MKTLIQ 187112.064 0.222 % 18.711 M $
TGT Target Corp 22471000 0.215 % 18.089 M $
ETR Entergy Louisiana LLC 20249000 0.214 % 18.079 M $
SPG Simon Property Group LP 19366000 0.213 % 17.944 M $
JBSSBZ JBS USA Holding Lux Sarl / JBS USA Foods Group Holdings Inc / JBS USA Food Co 17547000 0.213 % 17.974 M $
MA Mastercard Inc 22125000 0.21 % 17.739 M $
DELL Dell International LLC / EMC Corp 19091000 0.209 % 17.624 M $
NKE NIKE Inc 22093000 0.205 % 17.301 M $
PSX Phillips 66 17908000 0.203 % 17.130 M $
AEP AEP Transmission Co LLC 19732000 0.201 % 16.947 M $
AMXLMM America Movil SAB de CV 17856000 0.201 % 16.912 M $
SRE San Diego Gas & Electric Co 17369000 0.198 % 16.712 M $
MMM 3M Co 19938000 0.197 % 16.583 M $
BATSLN Reynolds American Inc 16584000 0.197 % 16.616 M $
SO Georgia Power Co 20470000 0.195 % 16.441 M $
CMS Consumers Energy Co 22457000 0.195 % 16.421 M $
CB Chubb INA Holdings LLC 20226000 0.195 % 16.480 M $
CAT Caterpillar Inc 20087000 0.194 % 16.381 M $
SO Alabama Power Co 20637000 0.193 % 16.241 M $
RIOLN Rio Tinto Finance USA PLC 15863000 0.193 % 16.285 M $
DE Deere & Co 19520000 0.193 % 16.242 M $
FANG Diamondback Energy Inc 17916000 0.192 % 16.147 M $
JBSSBZ JBS USA Holding Lux Sarl/ JBS USA Food Co/ JBS Lux Co Sarl 14783000 0.191 % 16.128 M $
BHP BHP Billiton Finance USA Ltd 16402000 0.19 % 16.016 M $
RABOBK Cooperatieve Rabobank UA 16006000 0.188 % 15.823 M $
TACHEM Takeda Pharmaceutical Co Ltd 20388000 0.185 % 15.591 M $
EOG EOG Resources Inc 15496000 0.184 % 15.487 M $
SUMIBK Sumitomo Mitsui Financial Group Inc 14834000 0.184 % 15.536 M $
TRPCN TransCanada PipeLines Ltd 13672000 0.184 % 15.474 M $
BNCN Brookfield Finance Inc 15647000 0.179 % 15.103 M $
VTRS Viatris Inc 20937000 0.177 % 14.912 M $
SCCO Southern Copper Corp 14335000 0.176 % 14.851 M $
PLD Prologis LP 16035000 0.175 % 14.745 M $
KVUE Kenvue Inc 15678000 0.175 % 14.790 M $
MASSIN Massachusetts Institute of Technology 16101000 0.174 % 14.678 M $
EXC PECO Energy Co 16423000 0.174 % 14.641 M $
NTRCN Nutrien Ltd 14784000 0.174 % 14.679 M $
ENBCN Enbridge Inc 15888000 0.172 % 14.495 M $
DD DuPont de Nemours Inc 14260000 0.17 % 14.327 M $
SBUX Starbucks Corp 18273000 0.169 % 14.255 M $
PPL Kentucky Utilities Co 16422000 0.169 % 14.223 M $
HON Honeywell International Inc 14277000 0.168 % 14.193 M $
VALEBZ Vale Overseas Ltd 12932000 0.165 % 13.879 M $
DUK Duke Energy Florida LLC 14571000 0.165 % 13.930 M $
IP International Paper Co 14855000 0.164 % 13.793 M $
HUM Humana Inc 15093000 0.162 % 13.635 M $
SO Southern Co/The 15531000 0.162 % 13.660 M $
MPC Marathon Petroleum Corp 13959000 0.162 % 13.629 M $
GSK GlaxoSmithKline Capital Inc 11831000 0.158 % 13.300 M $
LYB LYB International Finance III LLC 18779000 0.158 % 13.310 M $
DVN Devon Energy Corp 14683000 0.158 % 13.323 M $
D Dominion Energy Inc 13613000 0.158 % 13.353 M $
PSD Puget Sound Energy Inc 14138000 0.157 % 13.210 M $
CARR Carrier Global Corp 14562000 0.156 % 13.156 M $
CCI Crown Castle Inc 17572000 0.154 % 12.966 M $
AJG Arthur J Gallagher & Co 12571000 0.152 % 12.836 M $
PNW Arizona Public Service Co 14309000 0.151 % 12.770 M $
CNP CenterPoint Energy Houston Electric LLC 16316000 0.15 % 12.632 M $
TRGP Targa Resources Corp 12809000 0.15 % 12.661 M $
TTEFP TotalEnergies Capital International SA 17931000 0.149 % 12.545 M $
CNRCN Canadian National Railway Co 15727000 0.148 % 12.508 M $
AIG American International Group Inc 14099000 0.147 % 12.389 M $
HPE Hewlett Packard Enterprise Co 12324000 0.145 % 12.240 M $
TMO Thermo Fisher Scientific Inc 15032000 0.144 % 12.116 M $
DUK Duke Energy Progress LLC 13722000 0.14 % 11.814 M $
AEE Ameren Illinois Co 12942000 0.139 % 11.695 M $
SRE Southern California Gas Co 11450000 0.138 % 11.660 M $
ARE Alexandria Real Estate Equities Inc 14503000 0.138 % 11.664 M $
ORAFP Orange SA 11579000 0.137 % 11.559 M $
AET Aetna Inc 10230200 0.134 % 11.266 M $
AEE Union Electric Co 13318000 0.133 % 11.255 M $
WES Western Midstream Operating LP 12839000 0.133 % 11.191 M $
CRM Salesforce Inc 16279000 0.13 % 10.920 M $
WFC Wells Fargo Bank NA 10142000 0.13 % 10.978 M $
BIIB Biogen Inc 13706000 0.13 % 10.968 M $
LLOYDS Lloyds Banking Group PLC 13465000 0.129 % 10.908 M $
ATH Athene Holding Ltd 11758000 0.129 % 10.891 M $
PFE Wyeth LLC 9872000 0.127 % 10.694 M $
PH Parker-Hannifin Corp 11304000 0.126 % 10.597 M $
PPL PPL Electric Utilities Corp 10646000 0.126 % 10.624 M $
SNPS Synopsys Inc 10358000 0.124 % 10.453 M $
AON Aon North America Inc 10281000 0.123 % 10.360 M $
VLO Valero Energy Corp 10099000 0.122 % 10.265 M $
APTV Aptiv Swiss Holdings Ltd 14158000 0.119 % 10.035 M $
AMAT Applied Materials Inc 10648000 0.119 % 10.021 M $
CAG Conagra Brands Inc 10522000 0.117 % 9.851 M $
EXC Baltimore Gas and Electric Co 11421000 0.117 % 9.877 M $
COP ConocoPhillips 8708000 0.117 % 9.837 M $
UBS UBS Group AG 10418000 0.116 % 9.773 M $
PAA Plains All American Pipeline LP / PAA Finance Corp 11107000 0.115 % 9.695 M $
GE General Electric Co 9103000 0.115 % 9.712 M $
SHW Sherwin-Williams Co/The 11212000 0.114 % 9.621 M $
EBAY eBay Inc 11999000 0.112 % 9.424 M $
FI Fiserv Inc 11315000 0.111 % 9.337 M $
RPRX Royalty Pharma PLC 11579000 0.111 % 9.396 M $
TAP Molson Coors Beverage Co 11494000 0.111 % 9.348 M $
CATMED CommonSpirit Health 11067000 0.11 % 9.268 M $
NDAQ Nasdaq Inc 9786000 0.11 % 9.307 M $
SUCN Suncor Energy Inc 9203000 0.11 % 9.311 M $
MAR Marriott International Inc/MD 9018000 0.109 % 9.201 M $
FCX Freeport-McMoRan Inc 9536000 0.109 % 9.169 M $
SJM J M Smucker Co/The 8264000 0.108 % 9.068 M $
NEE NextEra Energy Capital Holdings Inc 10579000 0.108 % 9.117 M $
KMB Kimberly-Clark Corp 7718000 0.107 % 8.996 M $
WSTP Westpac Banking Corp 11178000 0.107 % 9.055 M $
AEP Appalachian Power Co 8674000 0.107 % 9.004 M $
OGE Oklahoma Gas and Electric Co 9738000 0.106 % 8.962 M $
TAISEM TSMC Arizona Corp 10577000 0.105 % 8.824 M $
F Ford Motor Co 11137000 0.105 % 8.880 M $
STZ Constellation Brands Inc 10725000 0.103 % 8.699 M $
OVV Ovintiv Inc 8065000 0.102 % 8.593 M $
HIG Hartford Insurance Group Inc/The 9448000 0.101 % 8.541 M $
KDP Keurig Dr Pepper Inc 12066000 0.101 % 8.522 M $
PGR Progressive Corp/The 10233500 0.1 % 8.389 M $
TE Tampa Electric Co 9967000 0.099 % 8.339 M $
MKL Markel Group Inc 8957000 0.099 % 8.325 M $
CNQCN Canadian Natural Resources Ltd 8755000 0.099 % 8.313 M $
AEP AEP Texas Inc 9319000 0.099 % 8.365 M $
WLK Westlake Corp 11797000 0.099 % 8.340 M $
BDX Becton Dickinson & Co 9810000 0.099 % 8.329 M $
ABIBB Anheuser-Busch InBev Finance Inc 8826000 0.099 % 8.311 M $
AER AerCap Ireland Capital DAC / AerCap Global Aviation Trust 9984000 0.098 % 8.282 M $
TSN Tyson Foods Inc 8818000 0.097 % 8.154 M $
SYY Sysco Corp 7269000 0.096 % 8.077 M $
SPGI S&P Global Inc 11437000 0.096 % 8.072 M $
TELVIS Grupo Televisa SAB 10530000 0.096 % 8.125 M $
GLW Corning Inc 8307000 0.095 % 7.992 M $
CHCOCH Cheniere Corpus Christi Holdings LLC 9483000 0.095 % 7.971 M $
HPQ HP Inc 7648000 0.094 % 7.904 M $
ITW Illinois Tool Works Inc 8706000 0.094 % 7.903 M $
NYPRES New York and Presbyterian Hospital/The 10375500 0.094 % 7.920 M $
DGELN Diageo Capital PLC 8076000 0.094 % 7.958 M $
DHR Danaher Corp 12232000 0.093 % 7.861 M $
BSX Boston Scientific Corp 8015000 0.093 % 7.804 M $
AMT American Tower Corp 11822000 0.092 % 7.776 M $
ALL Allstate Corp/The 9229000 0.092 % 7.751 M $
NVDA NVIDIA Corp 10081000 0.092 % 7.736 M $
IBM IBM International Capital Pte Ltd 7992000 0.091 % 7.650 M $
MDT Medtronic Inc 8342000 0.091 % 7.664 M $
ROK Rockwell Automation Inc 10658000 0.091 % 7.709 M $
LHX L3Harris Technologies Inc 7360000 0.09 % 7.586 M $
PYPL PayPal Holdings Inc 7991000 0.09 % 7.558 M $
HES Hess Corp 7310000 0.09 % 7.588 M $
XEL Southwestern Public Service Co 8544000 0.089 % 7.487 M $
KLAC KLA Corp 8005000 0.089 % 7.511 M $
HARVRD President and Fellows of Harvard College 9274000 0.088 % 7.449 M $
WM Waste Management Inc 7632000 0.087 % 7.351 M $
BCECN Bell Telephone Co of Canada or Bell Canada 8284000 0.087 % 7.320 M $
NUE Nucor Corp 7992000 0.087 % 7.377 M $
MUFG Mitsubishi UFJ Financial Group Inc 8276000 0.086 % 7.264 M $
CMI Cummins Inc 7241000 0.085 % 7.206 M $
BRKHEC Nevada Power Co 7798000 0.084 % 7.067 M $
LNT Interstate Power and Light Co 8416000 0.084 % 7.119 M $
PFG Principal Financial Group Inc 7658000 0.084 % 7.118 M $
BHI Baker Hughes Holdings LLC 7128000 0.083 % 6.998 M $
GEHC GE HealthCare Technologies Inc 6180000 0.081 % 6.814 M $
BLK BlackRock Funding Inc 6943000 0.08 % 6.776 M $
FFHCN Fairfax Financial Holdings Ltd 6339000 0.08 % 6.704 M $
TT Trane Technologies Holdco Inc 6719000 0.08 % 6.727 M $
RSG Republic Services Inc 7364000 0.079 % 6.699 M $
NWUNI Northwestern University 8650000 0.079 % 6.700 M $
OGLETH Oglethorpe Power Corp 7255000 0.078 % 6.567 M $
PRNCTN Trustees of Princeton University/The 6444000 0.077 % 6.531 M $
FOXA Fox Corp 6482000 0.077 % 6.508 M $
PHIANA Koninklijke Philips NV 5766000 0.077 % 6.510 M $
BRO Brown & Brown Inc 6050000 0.076 % 6.366 M $
ASCHEA Ascension Health 7863000 0.076 % 6.439 M $
GRWASH George Washington University/The 7193000 0.074 % 6.261 M $
AEP Southwestern Electric Power Co 9080000 0.074 % 6.213 M $
CRBG Corebridge Financial Inc 7479000 0.073 % 6.182 M $
TACHEM Takeda US Financing Inc 5985000 0.073 % 6.169 M $
WTW Willis North America Inc 7260000 0.073 % 6.194 M $
ORHLTH Orlando Health Obligated Group 7160000 0.073 % 6.123 M $
FITB Fifth Third Bancorp 4943000 0.073 % 6.116 M $
MFCCN Manulife Financial Corp 6155000 0.073 % 6.148 M $
OTIS Otis Worldwide Corp 8225000 0.073 % 6.138 M $
AXP American Express Co 7023000 0.072 % 6.089 M $
WMB Transcontinental Gas Pipe Line Co LLC 7229000 0.072 % 6.104 M $
ES NSTAR Electric Co 6291000 0.072 % 6.028 M $
Y Alleghany Corp 7939000 0.072 % 6.039 M $
ADI Analog Devices Inc 8995000 0.071 % 5.959 M $
SW Smurfit Kappa Treasury ULC 5861000 0.071 % 5.995 M $
MLM Martin Marietta Materials Inc 6031000 0.071 % 5.986 M $
INTU Intuit Inc 5940000 0.071 % 5.979 M $
KNIGHT Willis-Knighton Medical Center 8498000 0.071 % 5.953 M $
LYB LYB International Finance BV 6852000 0.07 % 5.885 M $
APO Apollo Global Management Inc 5856000 0.07 % 5.932 M $
SRE Sempra 7504000 0.07 % 5.885 M $
RIOLN Rio Tinto Finance USA Ltd 5865000 0.07 % 5.870 M $
EMN Eastman Chemical Co 6832000 0.069 % 5.834 M $
GLPI GLP Capital LP / GLP Financing II Inc 5860000 0.069 % 5.822 M $
RJF Raymond James Financial Inc 6162000 0.068 % 5.697 M $
WEC Wisconsin Electric Power Co 5927000 0.068 % 5.708 M $
SYK Stryker Corp 6693000 0.068 % 5.724 M $
MTNA ArcelorMittal SA 5085000 0.068 % 5.711 M $
DUK Progress Energy Inc 5378000 0.068 % 5.703 M $
LIN Linde Inc/CT 7787000 0.067 % 5.647 M $
USCTRJ University of Southern California 6423000 0.067 % 5.619 M $
ES Connecticut Light and Power Co/The 6978000 0.067 % 5.636 M $
UBER Uber Technologies Inc 5789000 0.067 % 5.613 M $
MCO Moody's Corp 6336000 0.067 % 5.669 M $
LH Laboratory Corp of America Holdings 6287000 0.067 % 5.636 M $
ENBCN Spectra Energy Partners LP 6457000 0.066 % 5.539 M $
OC Owens Corning 5335000 0.065 % 5.502 M $
STNFRD Leland Stanford Junior University/The 6874000 0.065 % 5.440 M $
VTR Ventas Realty LP 5821000 0.065 % 5.502 M $
ETN Eaton Corp 6148000 0.064 % 5.432 M $
CMCSA NBCUniversal Media LLC 6164000 0.064 % 5.387 M $
CSL Carlisle Cos Inc 5315000 0.064 % 5.383 M $
NOVANT Novant Health Inc 7910000 0.063 % 5.331 M $
OKE ONEOK Partners LP 4859000 0.063 % 5.313 M $
EL Estee Lauder Cos Inc/The 7418000 0.063 % 5.339 M $
BRKHEC Eastern Energy Gas Holdings LLC 5375000 0.063 % 5.291 M $
AMD Advanced Micro Devices Inc 6056000 0.062 % 5.204 M $
EQIX Equinix Inc 7961000 0.062 % 5.238 M $
CVX Chevron USA Inc 5050000 0.061 % 5.109 M $
CLR Continental Resources Inc/OK 6307000 0.061 % 5.142 M $
UAL United Airlines 2023-1 Class A Pass Through Trust 4954076.0204 0.061 % 5.123 M $
UAL United Airlines 2024-1 Class AA Pass Through Trust 4914504.2265 0.06 % 5.055 M $
DHR DH Europe Finance II Sarl 6165000 0.06 % 5.044 M $
GTOWNU Georgetown University/The 5888000 0.06 % 5.082 M $
EVRG Evergy Kansas Central Inc 6263000 0.06 % 5.078 M $
IR Ingersoll Rand Inc 4865000 0.059 % 4.951 M $
MU Micron Technology Inc 5040000 0.059 % 4.985 M $
WTRG Essential Utilities Inc 5360000 0.059 % 4.988 M $
LRCX Lam Research Corp 7545000 0.059 % 4.987 M $
CVECN Cenovus Energy Inc 5771000 0.057 % 4.820 M $
CQP Cheniere Energy Partners LP 4700000 0.057 % 4.808 M $
WELL Welltower OP LLC 5130000 0.057 % 4.825 M $
TRICN TR Finance LLC 4540000 0.056 % 4.717 M $
VICI VICI Properties LP 4852000 0.056 % 4.739 M $
BAYCAR BayCare Health System Inc 5915000 0.055 % 4.608 M $
NEM Newmont Corp 4497000 0.054 % 4.521 M $
DUK Duke Energy Indiana LLC 4510000 0.054 % 4.525 M $
CVX Chevron Corp 6539000 0.054 % 4.538 M $
ECL Ecolab Inc 7180000 0.054 % 4.531 M $
ABXCN Barrick PD Australia Finance Pty Ltd 4262000 0.054 % 4.525 M $
VMC Vulcan Materials Co 4354000 0.053 % 4.448 M $
XEL Xcel Energy Inc 5382000 0.053 % 4.469 M $
LNC Lincoln National Corp 3939000 0.053 % 4.487 M $
KD Kyndryl Holdings Inc 5477000 0.053 % 4.428 M $
TJX TJX Cos Inc/The 4921000 0.052 % 4.350 M $
O Realty Income Corp 4385000 0.051 % 4.299 M $
CB Chubb Corp/The 3909000 0.051 % 4.280 M $
FTSCN Tucson Electric Power Co 4297000 0.051 % 4.299 M $
BKH Black Hills Corp 5567000 0.051 % 4.323 M $
IFF International Flavors & Fragrances Inc 4762000 0.05 % 4.189 M $
COR Cencora Inc 5072000 0.05 % 4.226 M $
ABXCN Barrick North America Finance LLC 4090000 0.05 % 4.230 M $
MOS Mosaic Co/The 4429000 0.05 % 4.230 M $
GE GE Capital International Funding Co Unlimited Co 4326000 0.05 % 4.236 M $
EMACN Emera US Finance LP 4864000 0.05 % 4.198 M $
UNANA Unilever Capital Corp 6521000 0.049 % 4.106 M $
BAMCN Brookfield Asset Management Ltd 4000000 0.049 % 4.150 M $
HSBC HSBC Bank USA NA 3515000 0.049 % 4.142 M $
VMI Valmont Industries Inc 4431000 0.049 % 4.154 M $
EQR ERP Operating LP 4781000 0.049 % 4.137 M $
WCNCN Waste Connections Inc 6149000 0.049 % 4.161 M $
DUKUNI Duke University 6001000 0.049 % 4.154 M $
NRUC National Rural Utilities Cooperative Finance Corp 4867000 0.049 % 4.166 M $
COTHEA Cottage Health Obligated Group 5694000 0.048 % 4.044 M $
TCN TELUS Corp 4639000 0.048 % 4.019 M $
UNM Unum Group 4508000 0.047 % 3.949 M $
NYUHOS NYU Langone Hospitals 4002000 0.047 % 3.949 M $
BAX Baxter International Inc 6263000 0.047 % 3.994 M $
EVRG Evergy Metro Inc 4802000 0.047 % 3.931 M $
APD Air Products and Chemicals Inc 5306000 0.047 % 3.961 M $
FRDFND Ford Foundation/The 6604000 0.046 % 3.837 M $
IBESM Iberdrola International BV 3430000 0.046 % 3.892 M $
MDLZ Mondelez International Inc 6428000 0.046 % 3.898 M $
PPL Louisville Gas and Electric Co 3754000 0.046 % 3.862 M $
MAYOCL Mayo Clinic 4713000 0.045 % 3.759 M $
NEM Newmont Corp / Newcrest Finance Pty Ltd 4550000 0.045 % 3.818 M $
KOF Coca-Cola Femsa SAB de CV 3872000 0.045 % 3.772 M $
NNN NNN REIT Inc 5249000 0.044 % 3.671 M $
SOLV Solventum Corp 3520000 0.043 % 3.619 M $
WRB W R Berkley Corp 4582000 0.043 % 3.587 M $
ES Public Service Co of New Hampshire 4186000 0.042 % 3.525 M $
EMBRBZ Embraer Netherlands Finance BV 3539000 0.042 % 3.523 M $
ADM Archer-Daniels-Midland Co 5720000 0.042 % 3.565 M $
SUZANO Suzano Netherlands BV 3539000 0.042 % 3.544 M $
CF CF Industries Inc 3721000 0.042 % 3.581 M $
ETR Entergy Corp 4760000 0.042 % 3.502 M $
UNVMIA University of Miami 4388000 0.042 % 3.540 M $
MEDHEA MedStar Health Inc 4696000 0.041 % 3.456 M $
SO Southern Co Gas Capital Corp 3340000 0.041 % 3.466 M $
ETR Entergy Texas Inc 4157000 0.041 % 3.443 M $
AEP Ohio Power Co 5519000 0.041 % 3.442 M $
ARES Ares Management Corp 3518000 0.04 % 3.393 M $
ETR Entergy Arkansas LLC 4166000 0.04 % 3.409 M $
HLNLN Haleon US Capital LLC 4248000 0.04 % 3.385 M $
HMHLTH Hackensack Meridian Health Inc 3969000 0.04 % 3.346 M $
RE Everest Reinsurance Holdings Inc 5257000 0.04 % 3.394 M $
GD General Dynamics Corp 4115000 0.04 % 3.366 M $
ACGL Arch Capital Group Ltd 4395000 0.039 % 3.281 M $
PSJHOG Providence St Joseph Health Obligated Group 5376000 0.038 % 3.207 M $
WEC Wisconsin Public Service Corp 4271000 0.038 % 3.219 M $
ZTS Zoetis Inc 3506000 0.038 % 3.233 M $
CAH Cardinal Health Inc 3183000 0.038 % 3.191 M $
NOV NOV Inc 4106000 0.038 % 3.207 M $
BHF Brighthouse Financial Inc 4356000 0.037 % 3.108 M $
DUK Duke Energy Ohio Inc 3130000 0.037 % 3.154 M $
DUK Piedmont Natural Gas Co Inc 3745000 0.037 % 3.144 M $
SOBOCN South Bow USA Infrastructure Holdings LLC 3160000 0.037 % 3.083 M $
BRK Berkshire Hathaway Inc 3169000 0.036 % 3.008 M $
PARHC Mass General Brigham Inc 4148000 0.036 % 3.049 M $
SO Mississippi Power Co 4524000 0.036 % 3.051 M $
NXPI NXP BV / NXP Funding LLC / NXP USA Inc 4033000 0.036 % 3.071 M $
FMC FMC Corp 3035000 0.036 % 3.001 M $
STNFHC Stanford Health Care 4466000 0.035 % 2.980 M $
CATMED Dignity Health 3328000 0.035 % 2.963 M $
DOC Healthpeak OP LLC 2626000 0.035 % 2.914 M $
DHI DR Horton Inc 2845000 0.035 % 2.948 M $
RPM RPM International Inc 3155000 0.034 % 2.843 M $
IDA Idaho Power Co 3498000 0.034 % 2.897 M $
UNIVND University of Notre Dame du Lac 3752000 0.034 % 2.830 M $
SWK Stanley Black & Decker Inc 4778000 0.034 % 2.834 M $
JHHSYS Johns Hopkins Health System Corp/The 3554000 0.034 % 2.873 M $
TRIHEA Trinity Health Corp 3948000 0.034 % 2.884 M $
EXC Potomac Electric Power Co 2812000 0.034 % 2.900 M $
DIS TWDC Enterprises 18 Corp 4003000 0.033 % 2.790 M $
ABBNVX ABB Finance USA Inc 3067000 0.033 % 2.762 M $
ALLINA Allina Health System 3890000 0.033 % 2.794 M $
LM Legg Mason Inc 2784000 0.033 % 2.799 M $
CME CME Group Inc 3303000 0.033 % 2.816 M $
GMT GATX Corp 2987000 0.033 % 2.818 M $
WAUNIV Washington University/The 3678000 0.032 % 2.697 M $
SWX Southwest Gas Corp 3376000 0.032 % 2.666 M $
MDC MDC Holdings Inc 2733000 0.031 % 2.597 M $
RF Regions Financial Corp 2251000 0.031 % 2.597 M $
MSI Motorola Solutions Inc 2648000 0.031 % 2.641 M $
UNICHI University of Chicago/The 3630000 0.031 % 2.587 M $
BHI Baker Hughes Holdings LLC / Baker Hughes Co-Obligor Inc 3218000 0.031 % 2.602 M $
SPTHLT Corewell Health Obligated Group 3421000 0.03 % 2.529 M $
DOV Dover Corp 2405000 0.03 % 2.516 M $
ABXCN Barrick Mining Corp 2239000 0.03 % 2.498 M $
ESS Essex Portfolio LP 3092000 0.03 % 2.560 M $
EA Electronic Arts Inc 2789000 0.029 % 2.414 M $
BOSCOL Trustees of Boston College 3452000 0.029 % 2.426 M $
YAHEAL Yale-New Haven Health Services Corp 4059000 0.029 % 2.406 M $
ACGL Arch Capital Finance LLC 2621000 0.029 % 2.441 M $
CPB Campbell's Company/The 3733000 0.029 % 2.460 M $
DG Dollar General Corp 2537000 0.029 % 2.427 M $
FE Cleveland Electric Illuminating Co/The 2326000 0.029 % 2.470 M $
ALB Albemarle Corp 2653000 0.028 % 2.393 M $
CPT Camden Property Trust 3328000 0.028 % 2.372 M $
CNP CenterPoint Energy Resources Corp 2172000 0.027 % 2.241 M $
GWW WW Grainger Inc 2458000 0.027 % 2.236 M $
KIM Kimco Realty OP LLC 2945000 0.027 % 2.312 M $
COMHOS Community Health Network Inc 3525000 0.027 % 2.282 M $
AVB AvalonBay Communities Inc 2683000 0.027 % 2.258 M $
VOYA Voya Financial Inc 2420000 0.026 % 2.171 M $
FRMHLT Franciscan Missionaries of Our Lady Health System Inc 2868000 0.026 % 2.195 M $
APA Apache Corp 2372000 0.026 % 2.181 M $
FE Toledo Edison Co/The 2029000 0.026 % 2.209 M $
SPLLLC Sabine Pass Liquefaction LLC 2046880.95 0.026 % 2.150 M $
UPMCHS UPMC 2245000 0.026 % 2.199 M $
REG Regency Centers LP 2363000 0.025 % 2.067 M $
LEA Lear Corp 2309000 0.025 % 2.079 M $
CHIHOS Children's Hospital Medical Center/Cincinnati OH 2431000 0.025 % 2.136 M $
HRL Hormel Foods Corp 3153000 0.025 % 2.110 M $
EQH Equitable Holdings Inc 2290000 0.025 % 2.102 M $
AMH American Homes 4 Rent LP 2902000 0.025 % 2.104 M $
K Kellanova 2040000 0.024 % 2.062 M $
XL XL Group Ltd 2060000 0.024 % 2.002 M $
RCL Royal Caribbean Cruises Ltd 2050000 0.024 % 2.063 M $
MEHMED Methodist Hospital/The 3265000 0.024 % 2.043 M $
D Dominion Energy South Carolina Inc 1782000 0.023 % 1.958 M $
DRI Darden Restaurants Inc 2344000 0.023 % 1.954 M $
CMS CMS Energy Corp 2114000 0.023 % 1.915 M $
FEMSA Fomento Economico Mexicano SAB de CV 2694000 0.023 % 1.969 M $
AON Aon Corp 1807000 0.023 % 1.977 M $
BFB Brown-Forman Corp 2194000 0.023 % 1.972 M $
SIGI Selective Insurance Group Inc 2123000 0.023 % 1.955 M $
PSX Phillips 66 Co 1866000 0.022 % 1.871 M $
IPG Interpublic Group of Cos Inc/The 1956000 0.022 % 1.821 M $
JEF Jefferies Financial Group Inc 1753000 0.022 % 1.879 M $
AFL Aflac Inc 2120000 0.022 % 1.865 M $
HAS Hasbro Inc 2119000 0.022 % 1.882 M $
MTNITT Mount Nittany Medical Center Obligated Group 2400000 0.022 % 1.823 M $
UPENN Trustees of the University of Pennsylvania/The 2153000 0.022 % 1.823 M $
TXHLTH Texas Health Resources 2623000 0.022 % 1.847 M $
ORI Old Republic International Corp 2550000 0.022 % 1.848 M $
PG Procter & Gamble Co/The 2288000 0.021 % 1.783 M $
LEG Leggett & Platt Inc 2712000 0.021 % 1.778 M $
MAT Mattel Inc 1928000 0.021 % 1.776 M $
AEP Indiana Michigan Power Co 2272000 0.021 % 1.800 M $
BROWNU Brown University 2509000 0.02 % 1.690 M $
UMASSH UMass Memorial Health Care Obligated Group 1781000 0.02 % 1.670 M $
MKC McCormick & Co Inc/MD 2094000 0.02 % 1.711 M $
TPG TPG Operating Group II LP 1700000 0.02 % 1.705 M $
CAENDW California Endowment/The 2788000 0.02 % 1.645 M $
ETR Entergy Mississippi LLC 1625000 0.02 % 1.665 M $
DGX Quest Diagnostics Inc 1848000 0.02 % 1.685 M $
HOWUNI Howard University 1806000 0.019 % 1.604 M $
TOLHOS Toledo Hospital/The 1550000 0.019 % 1.564 M $
OHCMED OhioHealth Corp 2136000 0.019 % 1.580 M $
EMR Emerson Electric Co 1545000 0.019 % 1.573 M $
YALUNI Yale University 2568000 0.019 % 1.562 M $
LNT Wisconsin Power and Light Co 1449000 0.019 % 1.603 M $
L Loews Corp 1751000 0.018 % 1.488 M $
CTRA Coterra Energy Inc 1605000 0.018 % 1.551 M $
AEP American Electric Power Co Inc 1500000 0.018 % 1.503 M $
RKTLN Mead Johnson Nutrition Co 1425000 0.018 % 1.514 M $
BAPHLT Baptist Healthcare System Obligated Group 2100000 0.018 % 1.522 M $
ADVENT Adventist Health System/West 2053000 0.017 % 1.415 M $
MEMHLT Memorial Health Services 2007000 0.017 % 1.444 M $
MAS Masco Corp 2226000 0.017 % 1.443 M $
HOPECA City of Hope 1706000 0.017 % 1.407 M $
QUEENH Queen's Health Systems/The 1490000 0.016 % 1.343 M $
XYL Xylem Inc/NY 1617000 0.016 % 1.372 M $
VRSK Verisk Analytics Inc 1315000 0.016 % 1.327 M $
WAKEMD WakeMed 1997000 0.016 % 1.373 M $
SNA Snap-on Inc 1498000 0.015 % 1.248 M $
NWN Northwest Natural Holding Co 1225000 0.015 % 1.256 M $
ADVHEA Advocate Health & Hospitals Corp 1855000 0.015 % 1.246 M $
MSKCC Memorial Sloan-Kettering Cancer Center 1849000 0.015 % 1.230 M $
AON Aon Global Ltd 1436000 0.015 % 1.295 M $
FE FirstEnergy Corp 1848000 0.015 % 1.288 M $
TT Trane Technologies Financing Ltd 1331000 0.014 % 1.210 M $
CALTEC California Institute of Technology 1865000 0.014 % 1.215 M $
PIEDGA Piedmont Healthcare Inc 1620000 0.014 % 1.154 M $
BOSCHI Children's Hospital Corp/The 1977000 0.014 % 1.222 M $
JD JD.com Inc 1382000 0.014 % 1.138 M $
UAL United Airlines 2024-1 Class A Pass Through Trust 1057245.89 0.013 % 1.078 M $
NEUNIV Northeastern University 1645000 0.013 % 1.123 M $
HOG Harley-Davidson Inc 1382000 0.013 % 1.124 M $
FLO Flowers Foods Inc 1125000 0.013 % 1.116 M $
STLD Steel Dynamics Inc 1058000 0.013 % 1.075 M $
BWA BorgWarner Inc 1286000 0.013 % 1.095 M $
CHOPPA Children's Hospital of Philadelphia/The 1557000 0.012 % 982.694 K $
BAPTST Baptist Health South Florida Obligated Group 1665000 0.012 % 987.762 K $
AVA Avista Corp 1191000 0.012 % 999.570 K $
FE Jersey Central Power & Light Co 1000000 0.012 % 1.011 M $
CHHSDC Children's Hospital/DC 1547000 0.012 % 1.004 M $
ITC ITC Holdings Corp 1078000 0.012 % 1.033 M $
HARTHC Hartford HealthCare Corp 1360000 0.012 % 993.668 K $
CHLDHS Seattle Children's Hospital 1509000 0.011 % 949.270 K $
AFG American Financial Group Inc/OH 1105000 0.011 % 929.637 K $
CELARA Celulosa Arauco y Constitucion SA 975000 0.011 % 897.774 K $
SO Southern Power Co 976000 0.011 % 936.909 K $
HSY Hershey Co/The 1277000 0.011 % 958.478 K $
INUHLT Indiana University Health Inc Obligated Group 1395000 0.011 % 895.974 K $
CMCEDU Claremont Mckenna College 1223000 0.01 % 814.424 K $
SENMED Sentara Health 1247000 0.01 % 802.385 K $
APH Amphenol Corp 800000 0.009 % 799.909 K $
BC Brunswick Corp/DE 942000 0.009 % 755.726 K $
SHARPH Sharp HealthCare 1213000 0.009 % 758.942 K $
RADCHH Rady Children's Hospital-San Diego 1120000 0.009 % 757.714 K $
DARTHH Dartmouth-Hitchcock Health 951000 0.009 % 753.258 K $
FHUTCH Fred Hutchinson Cancer Center 837000 0.009 % 766.664 K $
NATMUT Nationwide Financial Services Inc 733000 0.009 % 740.171 K $
BETHIS Beth Israel Lahey Health Inc 1018000 0.008 % 665.825 K $
APP AppLovin Corp 691000 0.008 % 697.933 K $
EPRT Essential Properties LP 550000 0.007 % 551.883 K $
EE El Paso Electric Co 641000 0.007 % 565.721 K $
WVUHOG West Virginia United Health System Obligated Group 917000 0.007 % 585.587 K $
USD US Dollar -565838.77 0.007 % -565.839 K $
FBINUS Fortune Brands Innovations Inc 666000 0.006 % 546.259 K $
AIZ Assurant Inc 500000 0.006 % 506.440 K $
NATCHI Nationwide Children's Hospital Inc 607000 0.006 % 529.922 K $
HOAMEM Hoag Memorial Hospital Presbyterian 555000 0.005 % 427.707 K $
MAA Mid-America Apartments LP 635000 0.005 % 408.970 K $
SR Spire Missouri Inc 446000 0.004 % 307.807 K $
VALEBZ Vale SA 296000 0.004 % 301.540 K $
Synthetic Cash - ZVGI USD 200000 0.002 % 200.000 K $
BSWHLD Baylor Scott & White Holdings 150000 0.002 % 127.133 K $
JXN Jackson Financial Inc 275000 0.002 % 198.426 K $
MNTEFI Montefiore Obligated Group 81000 0.001 % 54.689 K $
JACTGL Johnsonville Aeroderivative Combustion Turbine Generation LLC 0.0025 0 % 0.000 $
NWMEDI Northwestern Memorial Healthcare Obligated Group 34000 0 % 21.153 K $
AEP Public Service Co of Oklahoma 60000 0 % 39.385 K $
Synthetic Cash - QGS USD 36204.21 0 % 36.204 K $
Synthetic Cash - VGS USD 0.21 0 % 0.210 $