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Not Investment Advice

VWEHX

Vanguard High-Yield Corporate Fund Investor Shares
1W: -0.9% 1M: -3.1% 3M: -3.8% YTD: -4.5% 1Y: -4.0% 3Y: +19.2% 5Y: +12.1%
$5.29
+0.01 (+0.19%)
 
Weekly Expected Move ±0.4%
$5 $5 $5 $5 $5
ETF NASDAQ · AUM $25.1B
ETF-Level Metrics
AUM$25.1B
Holdings—
Top 10 Wt—%
Beta0.63
% Profitable—%
Coverage—%
Portfolio Valuation
P/E—
P/B—
P/S—
EV/EBITDA—
P/FCF—
PEG—
Profitability & Returns
Gross Margin—%
Net Margin—%
ROE—%
ROA—%
ROIC—%
Div Yield—%
Leverage & Liquidity
Debt/Equity—
Debt/Assets—
Net Debt/EBITDA—x
Interest Cov—x
Current Ratio—
Quick Ratio—
Growth (YoY)
Revenue—%
Net Income—%
EPS—%
FCF—%
EBITDA—%
Rev CAGR 3Y—%
Quality Scores
Piotroski F—
Altman Z—
IS Quality—
IS Overall—
IS Value—
Median P/E—

Sector Breakdown

1 sectors
Sector # Holdings Total Weight % Avg P/E
Other 1027 99.1% —

Smart Money Overlap

0 holdings with signals
No holdings with active convergence signals
Showing 50 of 1027 holdings · Page 1 of 21
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 United States Treasury Note/Bond Bond — 0.67% $171.0M 173,265,000 — — —
2 United States Treasury Note/Bond Bond — 0.64% $164.2M 165,500,000 — — —
3 JP Morgan Securities LLC Private — 0.60% $155.0M 155,000,000 — — —
4 Ingram Micro Inc Private — 0.60% $154.8M 157,582,000 — — —
5 JP Morgan Securities LLC Private — 0.59% $150.4M 150,400,000 — — —
6 Credit Agricole Private — 0.56% $143.9M 143,900,000 — — —
7 Nomura Securities International, Inc. Private — 0.55% $140.0M 140,000,000 — — —
8 Vanguard Cmt Funds-Vanguard Market Liquidity Fund Private — 0.50% $129.1M 129,089,111 — — —
9 1011778 BC ULC / New Red Finance Inc Private — 0.46% $117.9M 123,929,000 — — —
10 CCO Holdings LLC / CCO Holdings Capital Corp Private — 0.46% $117.7M 129,720,000 — — —
11 1261229 BC LTD Private — 0.45% $116.4M 112,737,000 — — —
12 United States Treasury Note/Bond Bond — 0.44% $112.9M 113,811,000 — — —
13 United States Treasury Note/Bond Bond — 0.40% $102.4M 102,362,000 — — —
14 EMRLD Borrower LP / Emerald Co-Issuer Inc Private — 0.40% $101.4M 98,955,000 — — —
15 SS&C Technologies Inc Private — 0.40% $101.4M 101,428,000 — — —
16 CCO Holdings LLC / CCO Holdings Capital Corp Private — 0.38% $97.9M 104,905,000 — — —
17 Meridian Arc Holdco LLC Private — 0.37% $95.3M 95,325,000 — — —
18 CCO Holdings LLC / CCO Holdings Capital Corp Private — 0.37% $95.3M 108,393,000 — — —
19 McAfee Corp Private — 0.36% $92.6M 114,276,000 — — —
20 WULF Compute LLC Private — 0.35% $90.7M 86,340,000 — — —
21 Nokia of America Corp Private — 0.35% $90.3M 88,727,000 — — —
22 Cloud Software Group Inc Private — 0.35% $89.8M 92,171,000 — — —
23 Acrisure LLC / Acrisure Finance Inc Private — 0.34% $86.7M 90,825,000 — — —
24 ZF North America Capital Inc Private — 0.34% $86.6M 86,305,000 — — —
25 Asurion LLC/ Asurion Co-Issuer Inc Private — 0.34% $86.5M 82,790,000 — — —
26 Clearway Energy Operating LLC Private — 0.34% $86.4M 92,260,000 — — —
27 Shift4 Payments LLC / Shift4 Payments Finance Sub Inc Private — 0.33% $85.4M 85,532,000 — — —
28 Boyd Gaming Corp Private — 0.33% $84.8M 85,160,000 — — —
29 Star Parent Inc Private — 0.32% $82.6M 78,907,000 — — —
30 Univision Communications Inc Private — 0.32% $82.5M 81,306,000 — — —
31 Buckeye Partners LP Private — 0.32% $81.4M 82,078,000 — — —
32 United States Treasury Note/Bond Bond — 0.31% $80.6M 81,000,000 — — —
33 Frontier Communications Holdings LLC Private — 0.31% $79.4M 79,371,000 — — —
34 Block Inc Private — 0.31% $79.2M 77,670,000 — — —
35 SM Energy Co Private — 0.30% $77.9M 75,982,000 — — —
36 AthenaHealth Group Inc Private — 0.30% $77.9M 81,700,000 — — —
37 Venture Global LNG Inc Private — 0.30% $77.2M 71,989,000 — — —
38 First Student Bidco Inc / First Transit Parent Inc Swap — 0.30% $76.8M 80,351,000 — — —
39 Olympus Water US Holding Corp Private — 0.30% $76.0M 75,627,000 — — —
40 Medline Borrower LP Private — 0.29% $74.1M 74,444,000 — — —
41 Focus Financial Partners LLC Private — 0.29% $73.9M 72,505,000 — — —
42 Cloud Software Group Inc Private — 0.29% $73.4M 77,251,000 — — —
43 Froneri Lux FinCo SARL Private — 0.29% $73.3M 74,127,000 — — —
44 NextEra Energy Operating Partners LP Private — 0.29% $73.3M 70,442,000 — — —
45 Cloud Software Group Inc Private — 0.28% $72.9M 74,298,000 — — —
46 TransDigm Inc Private — 0.28% $72.8M 71,776,000 — — —
47 Discovery Global Holdings Inc Private — 0.28% $72.1M 79,571,000 — — —
48 JetBlue Airways Corp / JetBlue Loyalty LP Private — 0.28% $70.8M 76,126,000 — — —
49 Rocket Cos Inc Private — 0.27% $70.2M 69,140,000 — — —
50 Discovery Global Holdings Inc Private — 0.27% $70.1M 97,656,000 — — —
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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms