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VFSTX

Vanguard Short-Term Investment-Grade Fund Investor Shares
1W: -0.1% 1M: -1.4% 3M: -2.2% YTD: -2.7% 1Y: -2.8% 3Y: +12.9% 5Y: +7.4%
$10.15
-0.01 (-0.10%)
 
Weekly Expected Move ±0.3%
$10 $10 $10 $10 $10
ETF NASDAQ · AUM $54.5B
Total Changes (90d)
4
New Holdings
1
Removed Holdings
2
641 changes · Page 1 of 13
Date Holding Name Ticker Change Type Old Value New Value
2026-09-16 SVC SVC shares 41350 64100
2026-08-17 ALCPB.PA ALCPB.PA New — 628100 shares
2026-07-16 ALCPB.PA ALCPB.PA Removed 325210 shares —
2026-07-16 CSIQ CSIQ Removed 3554 shares —
2026-05-21 ALCPB.PA ALCPB.PA shares 32521000 325210
2026-05-21 SVC SVC shares 4135000 41350
2026-05-21 CSIQ CSIQ shares 7107 3554
2026-05-18 ALCPB.PA ALCPB.PA New — 32521000 shares
2026-04-18 SVC SVC shares 3475000 4135000
2026-04-11 CSIQ CSIQ shares 3554 7107
2026-03-14 WDC WDC Removed 63349558 shares —
2026-03-14 GIS GIS Removed 38584000 shares —
2026-03-14 DTE DTE Removed 202694000 shares —
2026-03-14 SWKS SWKS Removed 85903000 shares —
2026-03-14 JEF JEF Removed 27782000 shares —
2026-03-14 EBAY EBAY Removed 35349000 shares —
2026-03-14 PNC PNC Removed 389729000 shares —
2026-03-14 DGX DGX Removed 54944000 shares —
2026-03-14 WDAY WDAY Removed 47776000 shares —
2026-03-14 EFX EFX Removed 24126000 shares —
2026-03-14 ICE ICE Removed 120589000 shares —
2026-03-14 LW LW Removed 4030000 shares —
2026-03-14 FOX FOX Removed 69890000 shares —
2026-03-14 CIVI CIVI Removed 7765000 shares —
2026-03-14 MTB MTB Removed 255429000 shares —
2026-03-14 MHK MHK Removed 10964000 shares —
2026-03-14 RPRX RPRX Removed 25604000 shares —
2026-03-14 GS GS Removed 651866000 shares —
2026-03-14 SO SO Removed 107827000 shares —
2026-03-14 XEL XEL Removed 81762000 shares —
2026-03-14 CM CM Removed 311477000 shares —
2026-03-14 UNH UNH Removed 120056000 shares —
2026-03-14 TRGP TRGP Removed 60873000 shares —
2026-03-14 RPM RPM Removed 35898000 shares —
2026-03-14 CI CI Removed 108617000 shares —
2026-03-14 STT STT Removed 56224000 shares —
2026-03-14 BMO BMO Removed 3653000 shares —
2026-03-14 NTRS NTRS Removed 24603000 shares —
2026-03-14 KMI KMI Removed 71581000 shares —
2026-03-14 285A.T 285A.T Removed 1000000 shares —
2026-03-14 8316.T 8316.T Removed 189302000 shares —
2026-03-14 ENR ENR Removed 3764000 shares —
2026-03-14 UBSG.SW UBSG.SW Removed 443829000 shares —
2026-03-14 8604.T 8604.T Removed 159038000 shares —
2026-03-14 AES AES Removed 14173000 shares —
2026-03-14 MGM MGM Removed 4585000 shares —
2026-03-14 015760.KS 015760.KS Removed 36562000 shares —
2026-03-14 HII HII Removed 94164000 shares —
2026-03-14 PHNX.L PHNX.L Removed 1256000 shares —
2026-03-14 ABG ABG Removed 456000 shares —
1 2 3 ... 13 Next →

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