VCIT

Vanguard Intermediate-Term Corporate Bond ETF

Down$91.62
$-0.06
(-0.07%)
As of 2:38:46 PM EDT | 8/22/19  |  Market Open

VCIT Trading Data

Open

$91.56

Low Price

$91.52

High Price

$91.73

Previous Last Price

$91.68

Bid Size

$91.62 X 1300

Ask Size

$91.63 X 1400

VCIT Portfolio Data

AUM

$23,868,384,000

Shares

260,359

PE Ratio

0

Price / Book Ratio

0

Expense Ratio

0.07

Net Asset Value

$91.68

Volume

Volume

821,157

Avg. Volume (YDT)

2,005,034

Dollar Volume

$230,151,996

Weekly Avg. Volume

1,405,389

Monthly Avg. Volume

2,655,372

Quarterly Avg. Volume

2,235,590

VCIT Fund Description

The Vanguard Intermediate-Term Corporate Bond ETF seeks the performance of the Bloomberg Barclays U.S. 5-10 Year Corporate Bond Index.

VCIT Chart

VCIT Summary

Fund Family

Vanguard Group

Tracks This Index

Vanguard Intermediate-Term Corporate Bond ETF

Inception Date

2009-11-19

Asset Class

Fixed Income

Asset Class Size

Bonds

VCIT Classification

Region (General)

Global

Region (Specific)

Sector

Equity Index

Leveraged Family

VCIT Holdings

Top 10 Holdings

SOUTHERN CALIFORNIA EDISON Co.
0.02%
PHILIP MORRIS INTERNATIONAL Inc.
0.02%
US AIRWAYS 2013-1 CLASS A
1%
PACIFICORP
1%
BOEING CO
0.02%
LAZARD GROUP LLC
0.03%
HEXCEL Corp.
0.03%
MISSISSIPPI POWER Co.
1%
HUDSON PACIFIC PROPERTIES Inc.
1%
HOST HOTELS & RESORTS LP
0.04%

Total VCIT Holdings

Total Holdings: 1783

SOUTHERN CALIFORNIA EDISON Co.
0.02%
PHILIP MORRIS INTERNATIONAL Inc.
0.02%
US AIRWAYS 2013-1 CLASS A
1%
PACIFICORP
1%
BOEING CO
0.02%
LAZARD GROUP LLC
0.03%
HEXCEL Corp.
0.03%
MISSISSIPPI POWER Co.
1%
HUDSON PACIFIC PROPERTIES Inc.
1%
HOST HOTELS & RESORTS LP
0.04%
UNITED TECHNOLOGIES Corp.
0.04%
ANHEUSER-BUSCH INBEV FINANCE Inc.
1%
TCI COMMUNICATIONS Inc.
1%
Fidelity National Financial Inc.
1%
AMERICAN EXPRESS Co.
0.03%
HOSPITALITY PROPERTIES TRUST
0.01%
APPLE Inc.
0.08%
GATX Corp.
0.01%
PROGRESSIVE Corp.
1%
Assured Guaranty US Holdings Inc.
1%
BNSF FUNDING TRUST I
1%
MARSH & MCLENNAN Cos. Inc.
0.02%
ENTERGY ARKANSAS Inc.
0.03%
SOUTHERN CALIFORNIA GAS CO
1%
Marathon Petroleum Corp.
1%
DELL INTERNATIONAL LLC/EMC Corp.
0.11%
NORFOLK SOUTHERN Corp.
0.02%
AHOLD FINANCE USA LLC
1%
MUNICH RE AMERICA Corp.
1%
LLOYDS BANK PLC
1%
BANK OF AMERICA Corp.
0.02%
CORPORATE OFFICE PROPERTIES LP
0.01%
APPALACHIAN POWER CO
0.01%
CVS/CAREMARK Corp.
1%
AMERICAN AIRLINES PASS THROUGH TRU
1%
US AIRWAYS 2012-2 CLASS A PASS THR
1%
DDR Corp.
0.02%
GEORGIA-PACIFIC LLC
1%
AVANGRID Inc.
0.04%
FEDEX Corp.
0.03%
DUKE ENERGY CAROLINAS LLC
0.02%
DTE ENERGY CO
1%
REPUBLIC SERVICES Inc.
0.02%
MONDELEZ INTERNATIONAL Inc.
0.05%
NSTAR ELECTRIC CO
0.04%
AMERICAN AIRLINES 15-1 B PTT
1%
VIRGINIA ELECTRIC AND POWER COMPAN
0.02%
UNITEDHEALTH GROUP Inc.
0.02%
CONOCOPHILLIPS CO
0.03%
BHP BILLITON FINANCE (USA) Ltd.
1%
MOODYS Corp.
0.04%
LIBERTY PROPERTY LP
0.02%
CITIGROUP Inc.
0.04%
LASMO (USA) Inc.
1%
ELI LILLY AND CO
1%
APOLLO INVESTMENT Corp.
1%
LOWES Cos. INC.
1%
NATIONAL RETAIL PROPERTIES Inc.
0.02%
TANGER PROPERTIES Ltd. PARTNERS
1%
AMPHENOL Corp.
1%
CIGNA Corp.
0.02%
CENTERPOINT ENERGY HOUSTON ELECTRI
0.01%
MID-AMERICA APARTMENTS LP
0.02%
MARRIOTT INTERNATIONAL Inc.
0.01%
INTERNATIONAL BUSINESS MACHINES CO
0.01%
KOHLS Corp.
0.04%
SOUTHWEST AIRLINES CO 2007-1 PASS
1%
FIDELITY NATIONAL INFORMATION SERV
0.06%
US AIRWAYS 2012-1A PASS THROUGH TR
1%
WEYERHAEUSER Co.
0.01%
SELECT INCOME REIT
0.02%
UNILEVER NV
1%
WACHOVIA Corp.
0.01%
ASSOCIATED BANC-CORP
1%
KANSAS CITY POWER & LIGHT Co.
1%
ONCOR ELECTRIC DELIVERY COMPANY LL
0.01%
BRISTOL-MYERS SQUIBB CO
0.13%
FIRSTMERIT BANK NA/AKRON OH
1%
DELTA AIR LINES 2015-1 CLASS AA PA
1%
BANK OF NEW YORK MELLON Corp.
0.02%
WHOLE FOODS MARKET Inc.
1%
HERSHEY FOODS Corp.
1%
COMERICA Inc.
1%
POTASH CORPORATION OF SASKATCHEWAN
1%
DOMINION ENERGY Inc.
0.03%
CSX TRANSPORTATION Inc.
1%
BPCE SA
0.02%
TOTAL CAPITAL INTERNATIONAL SA
0.02%
HSBC HOLDINGS PLC
0.1%
BP CAPITAL MARKETS PLC
0.03%
MORGAN STANLEY
0.07%
GOOGLE Inc.
1%
COVIDIEN INTERNATIONAL FINANCE SA
1%
MCDONALDS Corp.
0.06%
WAL-MART STORES Inc.
0.03%
CVS HEALTH Corp.
0.14%
ANHEUSER-BUSCH INBEV WORLDWIDE Inc.
0.14%
VERIZON COMMUNICATIONS Inc.
0.05%
TREASURY NOTE
0.32%
BROADCOM Corp.
0.05%
ANHEUSER-BUSCH Cos. / ANHEUSE
0.31%
COMCAST Corp.
0.06%
MICROSOFT Corp.
0.1%
AT&T Inc.
0.04%
VISA Inc.
0.03%
CHARTER COMMUNICATIONS OPERATING L
0.03%
Citigroup Inc.
0.25%
ABBVIE Inc.
0.09%
VODAFONE GROUP PLC
0.09%
GOLDMAN SACHS GROUP Inc.
0.08%
WELLS FARGO & Co.
0.13%
BAT CAPITAL Corp.
0.13%
WALMART Inc.
0.05%
ORACLE Corp.
0.13%
ALTRIA GROUP Inc.
0.03%
JPMORGAN CHASE & CO
0.07%
DOWDUPONT Inc.
0.08%
ACTAVIS FUNDING SCS
0.19%
FISERV Inc.
0.07%
SHIRE ACQUISITIONS INVESTMENTS IRE
0.19%
GILEAD SCIENCES Inc.
0.09%
AMAZON.COM Inc.
0.08%
BROADCOM Inc.
0.13%
BERKSHIRE HATHAWAY Inc.
0.18%
HEWLETT PACKARD ENTERPRISE CO
0.18%
CREDIT SUISSE NEW YORK NY
0.17%
REYNOLDS AMERICAN Inc.
0.17%
MITSUBISHI UFJ FINANCIAL GROUP Inc.
0.04%
WELLS FARGO & CO
0.17%
EXXON MOBIL Corp.
0.11%
ALIBABA GROUP HOLDING Ltd.
0.16%
ASTRAZENECA PLC
0.03%
INTEL Corp.
0.05%
JP MORGAN CHASE & CO
0.16%
Credit Suisse Group Funding Guernsey Ltd.
0.15%
SHELL INTERNATIONAL FINANCE BV
0.07%
QUALCOMM Inc.
0.09%
J P MORGAN & CO Inc.
0.15%
CREDIT SUISSE GROUP FUNDING GUERNS
0.15%
MERCK & CO Inc.
0.12%
TAKEDA PHARMACEUTICAL CO Ltd.
0.14%
BARCLAYS PLC
0.07%
MYLAN NV
0.14%
LOCKHEED MARTIN Corp.
0.05%
FOX Corp.
0.14%
SUMITOMO MITSUI FINANCIAL GROUP IN
0.03%
ROYAL BANK OF SCOTLAND GROUP PLC
0.06%
FIRSTENERGY Corp.
0.14%
HCA Inc.
0.08%
KEURIG DR PEPPER Inc.
0.06%
VALE OVERSEAS Ltd.
0.13%
KRAFT HEINZ FOODS CO
0.07%
CHEVRON Corp.
0.06%
Alibaba Group Holding Ltd.
0.13%
CELGENE Corp.
0.07%
BP CAPITAL MARKETS AMERICA INC.
0.04%
WESTPAC BANKING Corp.
0.03%
SANDS CHINA Ltd.
0.12%
LLOYDS BANKING GROUP PLC
0.04%
HALLIBURTON Co.
0.13%
SABINE PASS LIQUEFACTION LLC
0.09%
JOHNSON & JOHNSON
0.05%
PEPSICO Inc.
0.03%
COOPERATIEVE RABOBANK UA
0.12%
DISCOVERY COMMUNICATIONS LLC
0.02%
ZIMMER BIOMET HOLDINGS Inc.
0.12%
NORTHROP GRUMMAN Corp.
0.05%
MOLSON COORS BREWING CO
0.12%
NEWELL RUBBERMAID Inc.
0.04%
WALGREENS BOOTS ALLIANCE Inc.
0.1%
SUZANO PAPEL E CELULOSE SA
0.12%
BECTON DICKINSON AND Co.
0.01%
NOVARTIS CAPITAL Corp.
0.07%
ALPHABET Inc.
0.12%
CONOCOPHILLIPS HOLDING CO
0.12%
ABBOTT LABORATORIES
0.04%
ING GROEP NV
0.07%
PNC FINANCIAL SERVICES GROUP Inc. (
0.05%
ELI LILLY AND Co.
0.04%
BIOGEN Inc.
0.11%
CAPITAL ONE FINANCIAL Corp.
0.05%
GE CAPITAL INTERNATIONAL FUNDING C
0.11%
GENERAL MOTORS FINANCIAL CO Inc.
0.02%
EXPRESS SCRIPTS HOLDING CO
0.1%
ANTHEM Inc.
0.06%
MEDTRONIC Inc.
0.11%
PFIZER Inc.
0.04%
AMERICAN EXPRESS CREDIT CORPORATIO
0.11%
LOWES Cos. Inc.
0.02%
OMNICOM GROUP Inc.
0.1%
STARBUCKS Corp.
0.03%
CONAGRA BRANDS Inc.
0.08%
GLAXOSMITHKLINE CAPITAL PLC
0.04%
UNION PACIFIC Corp.
0.02%
TYSON FOODS Inc.
0.04%
OCCIDENTAL PETROLEUM Corp.
0.02%
CHUBB INA HOLDINGS Inc.
0.06%
ENERGY TRANSFER OPERATING LP
0.02%
PNC BANK NATIONAL Assn.
0.03%
TELEFONICA EMISIONES SAU
0.1%
MIZUHO FINANCIAL GROUP Inc.
0.01%
HONEYWELL INTERNATIONAL Inc.
0.02%
US BANK NA/CINCINNATI OH
0.1%
SOUTHERN COMPANY (THE)
0.1%
KINDER MORGAN Inc.
0.06%
RIO TINTO FINANCE (USA) Ltd.
0.04%
GLAXOSMITHKLINE CAPITAL Inc.
0.09%
MPLX LP
0.05%
CSX Corp.
0.03%
AMERICAN INTERNATIONAL GROUP Inc.
0.04%
SHERWIN-WILLIAMS COMPANY (THE)
0.02%
SANTANDER HOLDINGS USA Inc.
0.08%
WALT DISNEY CO
0.03%
BANCO SANTANDER SA
0.03%
WILLIAMS PARTNERS LP
0.05%
NXP BV/NXP FUNDING LLC
0.09%
INTERCONTINENTAL EXCHANGE Inc.
0.02%
ROCKWELL COLLINS INC.
0.09%
FORD MOTOR Co.
0.05%
BRANCH BANKING AND TRUST Co.
0.09%
U.S. BANCORP
0.09%
TRANSCANADA PIPELINES Ltd.
0.04%
KLA-TENCOR Corp.
0.06%
CARDINAL HEALTH Inc.
0.03%
CANADIAN NATURAL RESOURCES Ltd.
0.04%
MARATHON OIL Corp.
0.04%
Home Depot Inc.
0.08%
BANK ONE Corp.
0.05%
TRANSCONTINENTAL GAS PIPE LINE COM
0.02%
BECTON DICKINSON AND CO
0.08%
SUNOCO LOGISTICS PARTNERS OPERATIO
0.02%
VALERO ENERGY Corp.
0.04%
DUKE ENERGY Corp.
0.02%
AMGEN Inc.
0.05%
PRECISION CASTPARTS Corp.
0.08%
TJX Cos. Inc.
0.08%
WESTINGHOUSE AIR BRAKE TECHNOLOGIE
0.08%
DIGITAL REALTY TRUST LP
0.03%
WELLTOWER Inc.
0.03%
NIKE Inc.
0.08%
ENERGY TRANSFER PARTNERS LP
0.08%
BOSTON PROPERTIES LP
0.03%
DOLLAR TREE Inc.
0.06%
CROWN CASTLE INTERNATIONAL Corp.
0.03%
FORD MOTOR CREDIT COMPANY LLC
0.01%
ENTERPRISE PRODUCTS OPERATING LLC
0.03%
MANULIFE FINANCIAL Corp.
0.04%
CONCHO RESOURCES Inc.
0.03%
VMWARE Inc.
0.08%
AMERICAN TOWER Corp.
0.02%
SEMPRA ENERGY
0.02%
ILLINOIS TOOL WORKS Inc.
0.08%
BNP PARIBAS SA
0.08%
AERCAP IRELAND CAPITAL DAC
0.03%
BRIGHTHOUSE FINANCIAL Inc.
0.08%
ANADARKO PETROLEUM Corp.
0.08%
HOME DEPOT Inc.
0.02%
PRUDENTIAL FINANCIAL Inc.
0.02%
US BANCORP
0.03%
COCA-COLA CO
0.02%
DISCOVER BANK
0.02%
CHARLES SCHWAB CORPORATION (THE)
0.02%
STATE STREET Corp.
0.02%
EXPEDIA Inc.
0.03%
THERMO FISHER SCIENTIFIC Inc.
0.02%
CISCO SYSTEMS Inc.
0.03%
EOG RESOURCES Inc.
0.02%
COLUMBIA PIPELINE GROUP Inc.
0.07%
WASTE MANAGEMENT Inc.
0.03%
BB&T Corp.
0.03%
AXA EQUITABLE HOLDINGS Inc.
0.02%
SYNCHRONY FINANCIAL
0.04%
CONTINENTAL RESOURCES Inc.
0.07%
EQUINIX Inc.
0.06%
PRICELINE GROUP Inc.
0.03%
L3HARRIS TECHNOLOGIES Inc.
0.03%
AMERICA MOVIL SAB DE CV
0.07%
SUNTRUST BANK
0.07%
WILLIS NORTH AMERICA Inc.
0.07%
SEAGATE HDD CAYMAN
0.04%
EXELON Corp.
0.05%
NEWFIELD EXPLORATION Co.
0.07%
PHARMACIA LLC
0.07%
NATIONAL RURAL UTILITIES COOPERATI
0.02%
HOLLYFRONTIER Corp.
0.07%
SALESFORCE.COM INC.
0.07%
ENEL CHILE SA
0.07%
AMERISOURCEBERGEN Corp.
0.03%
BROOKFIELD FINANCE Inc.
0.03%
BOSTON SCIENTIFIC Corp.
0.04%
ANALOG DEVICES Inc.
0.04%
BANK OF NOVA SCOTIA
0.05%
JEFFERIES GROUP LLC
0.07%
APPLIED MATERIALS Inc.
0.05%
NEXTERA ENERGY CAPITAL HOLDINGS IN
0.02%
TOTAL CAPITAL SA
0.07%
PLAINS ALL AMERICAN PIPELINE LP /
0.07%
UNILEVER CAPITAL Corp.
0.03%
CBS Corp.
0.03%
NXP BV
0.03%
AON PLC
0.02%
HESS Corp.
0.07%
CINTAS CORPORATION NO 2
0.07%
TORONTO-DOMINION BANK
0.06%
COOPERATIEVE CENTRALE RAIFFEISEN-B
0.06%
ROYAL BANK OF CANADA
0.06%
CAMDEN PROPERTY TRUST
0.02%
STRYKER Corp.
0.03%
ADOBE SYSTEMS Inc.
0.06%
AIR LEASE Corp.
0.03%
SOUTHWESTERN ELECTRIC POWER COMPAN
0.02%
APACHE Corp.
0.06%
KINDER MORGAN ENERGY PARTNERS LP
0.06%
AUTOMATIC DATA PROCESSING Inc.
0.06%
KEYBANK NA
0.04%
KELLOGG Co.
0.02%
MCDONALD S Corp.
0.06%
VERISK ANALYTICS Inc.
0.03%
LABORATORY CORPORATION OF AMERICA
0.03%
PARKER HANNIFIN Corp.
0.03%
SUNTRUST BANK/ATLANTA GA
0.02%
NVIDIA Corp.
0.06%
PROGRESSIVE CORPORATION (THE)
0.02%
ATHENE HOLDING Ltd.
0.06%
CENOVUS ENERGY Inc.
0.06%
ENBRIDGE Inc.
0.05%
RELX CAPITAL Inc.
0.06%
BANK OF MONTREAL
0.06%
SANTANDER UK GROUP HOLDINGS PLC
0.06%
EMERA US FINANCE LP
0.06%
ARCHER DANIELS MIDLAND CO
0.06%
BAKER HUGHES A GE COMPANY LLC
0.06%
GLP CAPITAL LP / GLP FINANCING II
0.03%
CAMPBELL SOUP Co.
0.04%
HUSKY ENERGY INC.
0.06%
UNITED PARCEL SERVICE Inc.
0.03%
LAM RESEARCH Corp.
0.03%
DOW CHEMICAL COMPANY (THE)
0.02%
SYSCO Corp.
0.03%
SIMON PROPERTY GROUP LP
0.03%
TELUS Corp.
0.06%
ERP OPERATING LP
0.02%
EQT Corp.
0.06%
MICRON TECHNOLOGY Inc.
0.04%
HCP Inc.
0.03%
PLAINS ALL AMERICAN PIPELINE LP
0.05%
BRIXMOR OPERATING PARTNERSHIP LP
0.01%
EQT MIDSTREAM PARTNERS LP
0.03%
INTERPUBLIC GROUP OF Cos. Inc.
0.06%
BAXALTA Inc.
0.06%
FIFTH THIRD BANK/CINCINATI OH
0.06%
EASTMAN CHEMICAL CO
0.06%
TESORO LOGISTICS LP/TESORO LOGISTI
0.06%
CONSTELLATION BRANDS Inc.
0.02%
MOTOROLA SOLUTIONS Inc.
0.05%
GENERAL MILLS Inc.
0.05%
ROPER TECHNOLOGIES Inc.
0.02%
ACTIVISION BLIZZARD Inc.
0.02%
DUKE ENERGY PROGRESS LLC
0.03%
3M CO
0.03%
WRKCO Inc.
0.03%
MARSH & MCLENNAN Inc.
0.05%
S&P Global Inc.
0.05%
INGERSOLL-RAND LUXEMBOURG FINANCE
0.02%
NATIONAL AUSTRALIA BANK Ltd. ( NEW
0.05%
MEAD JOHNSON NUTRITION CO
0.05%
FIFTH THIRD BANK (OHIO)
0.05%
GENERAL DYNAMICS Corp.
0.03%
AFLAC Inc.
0.02%
JM Smucker Co.
0.05%
OREILLY AUTOMOTIVE Inc.
0.03%
MASTERCARD Inc.
0.05%
CIMAREX ENERGY CO.
0.03%
BANK OF NEW YORK MELLON
0.05%
INTERNATIONAL PAPER CO
0.03%
COSTCO WHOLESALE Corp.
0.05%
WESTLAKE CHEMICAL Corp.
0.05%
SASOL FINANCING USA LLC
0.05%
PROCTER & GAMBLE Co.
0.04%
KROGER CO
0.02%
OMEGA HEALTHCARE INVESTORS Inc.
0.04%
NISOURCE FINANCE Corp.
0.05%
LYB INTERNATIONAL FINANCE II BV
0.05%
PPL CAPITAL FUNDING Inc.
0.05%
DISCOVER FINANCIAL SERVICES
0.03%
CENTERPOINT ENERGY Inc.
0.05%
VENTAS REALTY LP
0.02%
EMBRAER NETHERLANDS FINANCE BV
0.04%
BLACKROCK Inc.
0.04%
CITIZENS FINANCIAL GROUP Inc.
0.04%
BURLINGTON NORTHERN SANTA FE LLC
0.01%
DELTA AIR LINES Inc.
0.05%
JOHN DEERE CAPITAL Corp.
0.01%
DUKE ENERGY OHIO Inc.
0.05%
VEREIT OPERATING PARTNERSHIP LP
0.04%
DUKE ENERGY PROGRESS Inc.
0.05%
GENERAL MOTORS CO
0.02%
JB HUNT TRANSPORT SERVICES Inc.
0.05%
FIBRIA OVERSEAS FINANCE Ltd.
0.04%
TARGET Corp.
0.05%
WASTE CONNECTIONS Inc.
0.01%
AMERIPRISE FINANCIAL Inc.
0.03%
DUKE ENERGY FLORIDA LLC
0.03%
ONEOK Inc.
0.03%
SPIRIT AEROSYSTEMS Inc.
0.04%
FORTIVE Corp.
0.05%
OMNICOM GROUP INC.
0.05%
PPG INDUSTRIES Inc.
0.05%
SUNCOR ENERGY Inc.
0.05%
AMERICAN HONDA FINANCE Corp.
0.01%
MOSAIC CO
0.05%
MCCORMICK & COMPANY Inc.
0.03%
AMERICAN ELECTRIC POWER COMPANY IN
0.02%
KEYCORP
0.02%
MYLAN Inc.
0.05%
ANDEAVOR LOGISTICS LP
0.05%
PRAXAIR Inc.
0.03%
REALTY INCOME Corp.
0.03%
PHILLIPS 66
0.05%
WHIRLPOOL Corp.
0.02%
KIMBERLY-CLARK Corp.
0.02%
CME GROUP Inc.
0.03%
CBRE SERVICES Inc.
0.03%
NOBLE ENERGY Inc.
0.04%
ECOLAB Inc.
0.04%
ENTERGY LOUISIANA LLC
0.02%
IHS MARKIT Ltd.
0.04%
INDIANA MICHIGAN POWER CO
0.05%
ZOETIS Inc.
0.04%
MARTIN MARIETTA MATERIALS Inc.
0.02%
TOTAL SYSTEM SERVICES Inc.
0.03%
S&P GLOBAL Inc.
0.02%
WPP FINANCE 2010
0.04%
ESSEX PORTFOLIO LP
0.02%
UNION PACIFIC RAILROAD CO
0.04%
LEAR Corp.
0.03%
HEALTHCARE TRUST OF AMERICA HOLDIN
0.02%
BRITISH TELECOMMUNICATIONS PLC
0.04%
HARRIS Corp.
0.03%
DOLLAR GENERAL Corp.
0.03%
KEYSIGHT TECHNOLOGIES Inc.
0.04%
TOYOTA MOTOR CREDIT Corp.
0.02%
AMERICAN AIRLINES 2015-1 CLASS A P
0.04%
FORTIS Inc.
0.04%
RABOBANK NEDERLAND (NY BRANCH)
0.04%
ARCELORMITTAL
0.03%
MAGELLAN MIDSTREAM PARTNERS LP
0.04%
BRANCH BANKING AND TRUST CO
0.04%
AEP TEXAS Inc.
0.04%
WABTEC Corp.
0.04%
DR PEPPER SNAPPLE GROUP Inc.
0.01%
VALERO ENERGY PARTNERS LP
0.03%
NUTRIEN Ltd.
0.03%
UNITED AIRLINES 2014-2 CLASS A PAS
0.04%
NATIONAL AUSTRALIA BANK Ltd. (N
0.04%
BUNGE Ltd. FINANCE Corp.
0.04%
EDISON INTERNATIONAL
0.03%
ITC HOLDINGS Corp.
0.04%
AMERICAN HOMES 4 RENT
0.04%
MAGNA INTERNATIONAL Inc.
0.04%
TC PIPELINES LP
0.04%
AMERICAN WATER CAPITAL Corp.
0.01%
ARROW ELECTRONICS Inc.
0.02%
EATON Corp.
0.04%
SPECTRA ENERGY PARTNERS LP
0.03%
NUCOR Corp.
0.04%
COLUMBIA PROPERTY TRUST OPERATING
0.02%
CATERPILLAR FINANCIAL SERVICES COR
0.02%
ABB FINANCE USA Inc.
0.04%
QUEST DIAGNOSTICS Inc.
0.03%
DTE ENERGY Co.
0.04%
ALEXANDRIA REAL ESTATE EQUITIES IN
0.02%
TOYOTA MOTOR Corp.
0.02%
FEDERAL REALTY INVESTMENT TRUST
0.01%
NATIONAL RURAL UTILITIES COOP FINA
0.02%
CANADIAN PACIFIC RAILWAY Co.
0.04%
FEDERAL EXPRESS Corp.
0.04%
CITRIX SYSTEMS Inc.
0.04%
MUFG AMERICAS HOLDINGS Corp.
0.04%
FIFTH THIRD BANCORP
0.04%
MIDAMERICAN ENERGY Co.
0.03%
CNA FINANCIAL Corp.
0.03%
CBOE HOLDINGS Inc.
0.04%
PERRIGO FINANCE UNLIMITED CO
0.03%
Devon Energy Corp.
0.04%
KIRBY Corp.
0.04%
MARATHON PETROLEUM Corp.
0.02%
COACH Inc.
0.03%
FLUOR Corp.
0.03%
NASDAQ Inc.
0.04%
CH ROBINSON WORLDWIDE Inc.
0.04%
ENABLE MIDSTREAM PARTNERS LP
0.04%
EBAY Inc.
0.04%
REINSURANCE GROUP OF AMERICA INCOR
0.04%
PUGET ENERGY Inc.
0.04%
CELULOSA ARAUCO Y CONSTITUCION SA
0.03%
STANLEY BLACK & DECKER Inc.
0.03%
ORIX Corp.
0.03%
BERKSHIRE HATHAWAY ENERGY CO
0.03%
HUNTINGTON INGALLS INDUSTRIES Inc.
0.04%
AUTOZONE Inc.
0.02%
THOMSON REUTERS Corp.
0.04%
FAIRFAX FINANCIAL HOLDINGS Ltd.
0.04%
KIMCO REALTY Corp.
0.02%
CVS CAREMARK Corp.
0.04%
PROLOGIS LP
0.02%
TORCHMARK Corp.
0.04%
NORTHERN TRUST Corp.
0.02%
TD AMERITRADE HOLDING Corp.
0.04%
PACKAGING Corp. OF AMERICA
0.04%
MASCO Corp.
0.02%
PHILLIPS 66 PARTNERS LP
0.03%
ENERSIS AMERICAS SA
0.04%
INTERSTATE POWER AND LIGHT CO
0.01%
HUNTINGTON NATIONAL BANK (THE)
0.04%
HUMANA Inc.
0.03%
CNO FINANCIAL GROUP Inc.
0.03%
MANUFACTURERS AND TRADERS TRUST CO
0.03%
KAISER FOUNDATION HOSPITALS
0.04%
EPR PROPERTIES
0.02%
AEGON NV
0.04%
LINCOLN NATIONAL Corp.
0.03%
FRANKLIN RESOURCES Inc.
0.04%
ARES CAPITAL Corp.
0.04%
HUNTSMAN INTERNATIONAL LLC
0.04%
APTIV PLC
0.02%
UNITED AIRLINES 2016-1 CLASS AA PA
0.04%
HARLEY-DAVIDSON Inc.
0.04%
BROWN & BROWN Inc.
0.02%
JM SMUCKER CO
0.04%
DOMINION RESOURCES Inc./VA
0.03%
NEVADA POWER Co.
0.04%
EVERSOURCE ENERGY
0.02%
CLECO CORPORATE HOLDINGS LLC
0.04%
ENTERGY Corp.
0.04%
Keysight Technologies Inc.
0.04%
XYLEM Inc.
0.04%
CANADIAN NATIONAL RAILWAY Co.
0.02%
AUSTRALIA AND NEW ZEALAND BANKING
0.04%
EDWARDS LIFESCIENCES Corp.
0.04%
BOARDWALK PIPELINES LP
0.03%
HUNTINGTON BANCSHARES Inc.
0.04%
CANADIAN PACIFIC RAILWAY CO
0.04%
AVERY DENNISON Corp.
0.03%
QVC Inc.
0.03%
INVESCO FINANCE PLC
0.03%
FLORIDA POWER AND LIGHT CO
0.02%
KINROSS GOLD Corp.
0.03%
AUTODESK Inc.
0.02%
OWENS CORNING
0.01%
CARLISLE Cos. Inc.
0.03%
TRIMBLE Inc.
0.03%
RPM INTERNATIONAL Inc.
0.02%
GRUPO TELEVISA SAB
0.03%
ARCH CAPITAL FINANCE LLC
0.03%
TRINITY ACQUISITION PLC
0.03%
PIONEER NATURAL RESOURCES Co.
0.03%
PATTERSON-UTI ENERGY INC.
0.03%
AVALONBAY COMMUNITIES Inc.
0.01%
ONEOK PARTNERS LP
0.03%
ALLSTATE CORPORATION (THE)
0.03%
PNC BANK NA
0.02%
FORTUNE BRANDS HOME & SECURITY Inc.
0.03%
LOEWS Corp.
0.03%
CLOROX Co.
0.02%
GENERAL ELECTRIC CAPITAL CORPORATI
0.03%
XCEL ENERGY Inc.
0.03%
AON Corp.
0.02%
MCKESSON Corp.
0.02%
LEGGETT & PLATT Inc.
0.02%
PHYSICIANS REALTY LP
0.02%
SOUTHERN COMPANY GAS CAPITAL Corp.
0.03%
SIERRA PACIFIC POWER Co.
0.03%
OLD REPUBLIC INTERNATIONAL CORPORA
0.03%
PRINCIPAL FINANCIAL GROUP Inc.
0.01%
LEGRAND FRANCE SA
0.03%
CNH INDUSTRIAL NV
0.03%
SOUTHERN COPPER Corp.
0.03%
NVENT FINANCE SARL
0.03%
ATMOS ENERGY Corp.
0.03%
AIRCASTLE Ltd.
0.03%
BEST BUY CO Inc.
0.03%
CONSOLIDATED EDISON COMPANY OF NEW
0.02%
SABRA HEALTH CARE LP
0.03%
DEUTSCHE BANK AG (NEW YORK BRANCH)
0.03%
DXC TECHNOLOGY CO
0.03%
KILROY REALTY LP
0.03%
ESTEE LAUDER Cos. INC. (THE)
0.03%
AIR PRODUCTS AND CHEMICALS Inc.
0.03%
WESTERN GAS PARTNERS LP
0.01%
BAIDU Inc.
0.03%
ROGERS COMMUNICATIONS Inc.
0.02%
SOVRAN ACQUISITION LP
0.03%
JABIL Inc.
0.03%
ALBEMARLE Corp.
0.03%
PUBLIC SERVICE ELECTRIC AND GAS CO
0.02%
AERCAP IRELAND CAPITAL DAC / AERCA
0.02%
AVNET Inc.
0.03%
AMERICAN CAMPUS COMMUNITIES OPERAT
0.02%
LAS VEGAS SANDS Corp.
0.02%
JD.COM Inc.
0.03%
METLIFE Inc.
0.03%
ELECTRONIC ARTS Inc.
0.03%
PUBLIC STORAGE
0.02%
CLOROX CO
0.03%
NATIONAL FUEL GAS Co.
0.01%
DIAGEO CAPITAL PLC
0.03%
NORDSTROM Inc.
0.01%
AUTONATION Inc.
0.01%
DUKE REALTY LP
0.01%
WESTAR ENERGY Inc.
0.03%
AMEREN ILLINOIS Co.
0.02%
STEELCASE INC.
0.03%
HUBBELL Inc.
0.02%
ROCKWELL AUTOMATION Inc.
0.01%
DANAHER Corp.
0.03%
HERSHEY COMPANY THE
0.02%
UNITED AIRLINES 2014-1 CLASS A PAS
0.03%
KEMPER Corp.
0.03%
CONTINENTAL AIRLINES 2012-1 CLASS
0.03%
INGREDION Inc.
0.03%
DARDEN RESTAURANTS Inc.
0.03%
HASBRO Inc.
0.03%
HIGHWOODS REALTY LP
0.02%
CMS ENERGY Corp.
0.02%
VORNADO REALTY LP
0.03%
XLIT Ltd.
0.03%
TENNESSEE GAS PIPELINE CO
0.01%
UNITED AIRLINES 2015-1 CLASS AA PA
0.03%
VULCAN MATERIALS Co.
0.03%
BAXTER INTERNATIONAL Inc.
0.03%
REGENCY CENTERS LP
0.02%
BRANDYWINE OPERATING PARTNERSHIP L
0.03%
UNITED AIRLINES 2013-1 CLASS A PAS
0.03%
VOYA FINANCIAL Inc.
0.02%
SANOFI SA
0.03%
LEGG MASON Inc.
0.03%
UNION ELECTRIC CO
0.02%
WEC ENERGY GROUP Inc.
0.03%
Helmerich & Payne Inc.
0.03%
STORE CAPITAL Corp.
0.02%
E TRADE FINANCIAL Corp.
0.03%
LIFE STORAGE LP
0.02%
THE KROGER CO
0.03%
SAN DIEGO GAS & ELECTRIC CO
0.03%
INGERSOLL-RAND GLOBAL HOLDING COMP
0.03%
AMERICAN FINANCIAL GROUP Inc.
0.03%
WP CAREY Inc.
0.01%
AXIS SPECIALTY FINANCE PLC
0.03%
AEP TRANSMISSION COMPANY LLC
0.03%
BANKUNITED Inc.
0.03%
COMPASS BANK
0.03%
TIMKEN Co.
0.03%
TEXAS INSTRUMENTS Inc.
0.03%
DPL Inc.
0.03%
UNUM GROUP
0.03%
GEORGIA POWER Co.
0.02%
AMERICAN AIRLINES 2016-1 CLASS AA
0.03%
SOUTHWEST AIRLINES CO
0.02%
TRIMBLE NAVIGATION Ltd.
0.03%
AMERICAN AIRLINES 2016-2 PASS THRO
0.03%
CONAGRA FOODS INC.
0.03%
ENTERGY MISSISSIPPI Inc.
0.03%
CHURCH & DWIGHT CO Inc.
0.03%
PACKAGING CORPORATION OF AMERICA
0.03%
RALPH LAUREN Corp.
0.03%
HYATT HOTELS Corp.
0.02%
OLD REPUBLIC INTERNATIONAL Corp.
0.03%
BROADRIDGE FINANCIAL SOLUTIONS Inc.
0.03%
RAYMOND JAMES FINANCIAL INC.
0.03%
HARMAN INTERNATIONAL INDUSTRIES IN
0.03%
FLEX Ltd.
0.03%
ALLEGION US HOLDING CO Inc.
0.02%
AETNA Inc.
0.03%
ALLIED WORLD ASSURANCE CO HOLDINGS
0.03%
COMMONWEALTH EDISON Co.
0.02%
SOUTHERN CALIFORNIA GAS Co.
0.02%
SPIRIT REALTY LP
0.03%
IPALCO ENTERPRISES Inc.
0.02%
CINCINNATI FINANCIAL Corp.
0.02%
KEYBANK NATIONAL Assn.
0.02%
CITIZENS BANK NA/ PROVIDENCE RI
0.02%
GULF POWER Co.
0.02%
PARTNERRE FINANCE B LLC
0.02%
ROYAL CARIBBEAN CRUISES Ltd.
0.01%
OKLAHOMA GAS AND ELECTRIC Co.
0.02%
CUBESMART LP
0.01%
PUBLIC SERVICE COMPANY OF COLORADO
0.02%
JOHNSON CONTROLS INTERNATIONAL PLC
0.02%
PIEDMONT NATURAL GAS COMPANY Inc.
0.02%
MARVELL TECHNOLOGY GROUP LTD.
0.02%
MERCURY GENERAL Corp.
0.02%
PECO ENERGY CO
0.02%
EASTMAN CHEMICAL Co.
0.02%
TEXTRON Inc.
0.02%
NETAPP Inc.
0.02%
SOUTH CAROLINA ELECTRIC & GAS COMP
0.02%
UDR Inc.
0.02%
ENSTAR GROUP Ltd.
0.02%
BLOCK FINANCIAL LLC
0.02%
CARDINAL HEALTH
0.02%
SOUTHERN POWER CO
0.02%
AFFILIATED MANAGERS GROUP Inc.
0.02%
TECH DATA Corp.
0.02%
SVB FINANCIAL GROUP
0.02%
TYCO ELECTRONICS GROUP SA
0.02%
BORGWARNER Inc.
0.02%
EATON VANCE Corp.
0.02%
CENTERPOINT ENERGY RESOURCES CORPO
0.02%
AMERICAN AIRLINES 2017-1 CLASS AA
0.02%
ENTERGY GULF STATES LOUISIANA LLC
0.02%
SUTTER HEALTH
0.02%
SSM HEALTH CARE Corp.
0.02%
BLACK HILLS Corp.
0.02%
EAGLE MATERIALS Inc.
0.02%
HANOVER INSURANCE GROUP Inc.
0.02%
DOVER Corp.
0.02%
MAXIM INTEGRATED PRODUCTS Inc.
0.02%
DOMINION RESOURCES Inc.
0.02%
RENAISSANCERE FINANCE Inc.
0.02%
VULCAN MATERIALS CO
0.02%
DTE ELECTRIC CO
0.02%
COCA-COLA BOTTLING CO. CONSOLIDATE
0.02%
ENBRIDGE ENERGY PARTNERS LP
0.02%
JUNIPER NETWORKS Inc.
0.02%
BUCKEYE PARTNERS LP
0.01%
ENI SPA
0.02%
CONTINENTAL AIRLINES 2012-2 CLASS
0.02%
FLOWERS FOODS Inc.
0.02%
AMERICAN AIRLINES 2014-1 CLASS A P
0.02%
AMERICAN AIRLINES 2016-3 PASS THRO
0.02%
ASSURANT Inc.
0.02%
DOMINION GAS HOLDINGS LLC
0.02%
AMEREN Corp.
0.02%
BROWN-FORMAN Corp.
0.02%
CA Inc.
0.02%
CHRISTUS HEALTH
0.02%
LATAM AIRLINES 2015-1 PASS THROUGH
0.02%
JEFFERIES GROUP Inc.
0.02%
CONSUMERS ENERGY Co.
0.02%
CADENCE DESIGN SYSTEMS Inc.
0.02%
EMERSON ELECTRIC CO
0.02%
BROOKFIELD ASSET MANAGEMENT Inc.
0.02%
AGILENT TECHNOLOGIES Inc.
0.02%
AXIS SPECIALTY FINANCE LLC
0.02%
CONNECTICUT LIGHT AND POWER COMPAN
0.02%
TOLEDO HOSPITAL
0.02%
ARIZONA PUBLIC SERVICE CO
0.02%
CAMPBELL SOUP CO
0.02%
HEALTHCARE REALTY TRUST Inc.
0.02%
LOUISVILLE GAS AND ELECTRIC COMPAN
0.02%
WEBSTER FINANCIAL Corp.
0.02%
CABOT Corp.
0.02%
Oncor Electric Delivery Co. LLC
0.02%
JANUS CAPITAL GROUP Inc.
0.02%
KROGER CO (THE)
0.02%
KENNAMETAL Inc.
0.02%
INTERNATIONAL FLAVORS & FRAGRANCES
0.02%
RENAISSANCERE HOLDINGS Ltd.
0.02%
HUDSON PACIFIC PROPERTIES LP
0.02%
KITE REALTY GROUP LP
0.02%
RAYTHEON CO
0.02%
TANGER PROPERTIES LP
0.01%
BEMIS COMPANY Inc.
0.02%
ADVOCATE HEALTH AND HOSPITALS Corp.
0.02%
COMERICA BANK
0.02%
MARKEL Corp.
0.02%
METHANEX Corp.
0.02%
Yamana Gold Inc.
0.02%
SNAP-ON Inc.
0.02%
Flex Ltd.
0.02%
SOUTHWEST GAS Corp.
0.02%
MERCY HEALTH FKA SISTERS OF MERCY
0.02%
VENTAS LP REALTY LLC
0.02%
ERP OPERATING Ltd. PARTNERSHIP
0.02%
TIMKEN CO
0.02%
AMERICAN HOMES 4 RENT LP
0.02%
OSHKOSH Corp.
0.02%
ROHM AND HAAS Co.
0.02%
UNITED AIRLINES Inc. 2016-1 A
0.02%
W. P. CAREY Inc.
0.01%
ATLANTIC CITY ELECTRIC CO
0.01%
WISCONSIN POWER AND LIGHT Co.
0.01%
AQUA AMERICA Inc.
0.01%
SWISS RE SOLUTIONS HOLDING Corp.
0.01%
CLEVELAND ELECTRIC ILLUMINATING CO
0.01%
AMERICAN AIRLINES 2016-2 CLASS A P
0.01%
TUCSON ELECTRIC POWER CO
0.01%
PROVIDENCE ST JOSEPH HEALTH
0.01%
UNITED TECHNOLOGIES CORP.
0.01%
TCI COMMUNICATIONS INC.
0.01%
BALTIMORE GAS AND ELECTRIC CO
0.01%
RENAISSANCERE FINANCE Inc. / RENAIS
0.01%
TC PIPELINES LP
0.01%
SCOTTISH POWER Ltd.
0.01%
UNITED AIRLINES 2016-2 CLASS AA PA
0.01%
FIRST AMERICAN FINANCIAL Corp.
0.01%
AMERICAN AIRLINES 2015-2 CLASS AA
0.01%
RAYTHEON Co.
0.01%
UNITED UTILITIES PLC
0.01%
AMERICAN AIRLINES 2013-1 CLASS A P
0.01%
SUMITOMO MITSUI BANKING CORPORATIO
0.01%
SPIRIT AIRLINES CLASS A PASS THROU
0.01%
COMMONWEALTH BANK OF AUSTRALIA
0.01%
BOSTON PROPERTIES Inc.
0.01%
Vanguard Market Liquidity Fund
0.01%
Vanguard Intermediate-Term Corporate Bond ETF (VCIT)
0%

VCIT Technicals

Alpha

1.17

Beta

0.03

Leverage

Long

Standard Deviation

1.69

VCIT Dividends

Dividend Date

2019-08-01

Latest Dividend

0.274

Annual Dividend

3.1

Annual Dividend Rate

3.1

Annual Dividend Yield

3.38

VCIT Performance

YTD Return

10.57%

1 Year Return

8.68%

3 Year Return

2.48%

5 Year Return

5.2%

10 Year Return

20.73%

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