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VBIRX

Vanguard Short-Term Bond Index Fund Admiral Shares
1W: +0.0% 1M: -1.2% 3M: -1.9% YTD: -2.9% 1Y: -2.7% 3Y: +9.7% 5Y: +3.5%
$9.99
-0.01 (-0.10%)
 
Weekly Expected Move ±0.3%
$10 $10 $10 $10 $10
ETF NASDAQ · AUM $68.8B
Total Changes (90d)
0
New Holdings
0
Removed Holdings
0
894 changes · Page 1 of 18
Date Holding Name Ticker Change Type Old Value New Value
2026-03-14 GM GM Removed 13979000 shares —
2026-03-14 TGT TGT Removed 22422000 shares —
2026-03-14 DE DE Removed 2905000 shares —
2026-03-14 RPRX RPRX Removed 6650000 shares —
2026-03-14 EW EW Removed 4400000 shares —
2026-03-14 GS GS Removed 247723000 shares —
2026-03-14 GIB GIB Removed 4545000 shares —
2026-03-14 OHI OHI Removed 11589000 shares —
2026-03-14 KPN.AS KPN.AS Removed 3000000 shares —
2026-03-14 TU TU Removed 5570000 shares —
2026-03-14 7267.T 7267.T Removed 26757000 shares —
2026-03-14 SNA SNA Removed 2051000 shares —
2026-03-14 AFL AFL Removed 5940000 shares —
2026-03-14 DG DG Removed 15852000 shares —
2026-03-14 KVUE KVUE Removed 7887000 shares —
2026-03-14 AL AL Removed 24625000 shares —
2026-03-14 AMG AMG Removed 2135000 shares —
2026-03-14 ABT ABT Removed 13448000 shares —
2026-03-14 APD APD Removed 5561000 shares —
2026-03-14 REGN REGN Removed 7328000 shares —
2026-03-14 HUM HUM Removed 19783000 shares —
2026-03-14 AMD AMD Removed 2650000 shares —
2026-03-14 EIX EIX Removed 23057000 shares —
2026-03-14 EMR EMR Removed 9995000 shares —
2026-03-14 FIS FIS Removed 2558000 shares —
2026-03-14 BRO BRO Removed 12823000 shares —
2026-03-14 WCN WCN Removed 5760000 shares —
2026-03-14 9988.HK 9988.HK Removed 19645000 shares —
2026-03-14 NOKIA.HE NOKIA.HE Removed 4716000 shares —
2026-03-14 MMC MMC Removed 21240000 shares —
2026-03-14 SOLV SOLV Removed 5458000 shares —
2026-03-14 THG THG Removed 1500000 shares —
2026-03-14 MCK MCK Removed 8552000 shares —
2026-03-14 9898.HK 9898.HK Removed 4267000 shares —
2026-03-14 NFLX NFLX Removed 41549000 shares —
2026-03-14 INGR INGR Removed 3065000 shares —
2026-03-14 A A Removed 3988000 shares —
2026-03-14 CMS CMS Removed 2870000 shares —
2026-03-14 ESNT ESNT Removed 2820000 shares —
2026-03-14 BIO BIO Removed 4063000 shares —
2026-03-14 OC OC Removed 4515000 shares —
2026-03-14 ORCL ORCL Removed 105885000 shares —
2026-03-14 FOXA FOXA Removed 17181000 shares —
2026-03-14 PM PM Removed 111988000 shares —
2026-03-14 WPC WPC Removed 2421000 shares —
2026-03-14 SRE SRE Removed 25253000 shares —
2026-03-14 ATO ATO Removed 8564000 shares —
2026-03-14 CNC CNC Removed 58921000 shares —
2026-03-14 MCD MCD Removed 37022000 shares —
2026-03-14 AVY AVY Removed 4018000 shares —
1 2 3 ... 18 Next →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms