VCPA holdings
As of , VCPA (Vanguard USD Corporate Bond UCITS ETF Accum Unhedged USD, ISIN IE00BGYWFK87) has 1,445 holdings on our record, together 100.5% of the fund; the ten largest make up 12.7%. Vanguard reports 8,885 positions in all. Weights are shares of the whole fund.
Largest holdings
| Rank# | Holding | Weight as a percentage of the fund |
|---|---|---|
| 1 | JPMorgan ChaseJPM | 1.84% |
| 2 | Morgan StanleyMS | 1.73% |
| 3 | Bank of AmericaBAC | 1.71% |
| 4 | Goldman Sachs Group Inc/TheGS | 1.41% |
| 5 | OracleORCL | 1.11% |
| 6 | Wells FargoWFC | 1.09% |
| 7 | AmazonAMZN | 1.07% |
| 8 | HSBCHSBC | 0.94% |
| 9 | AT&TT | 0.91% |
| 10 | CitigroupC | 0.87% |
Source: Vanguard, holdings as published, as of
All holdings
The fund publishes 8,885 holdings; the ten largest make up 12.7% of it.
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Where it invests
By sector
- Financials24.7%
- Health Care6.7%
- Information Technology6.1%
- Communication Services5.6%
- Industrials5.1%
- Utilities4.5%
- Consumer Discretionary4.3%
- Energy4.2%
- Consumer Staples3.5%
- Materials1.7%
- Real Estate1.3%
- Unclassified33.1%
By country
- United States79.2%
- United Kingdom3.5%
- Canada2.7%
- Japan2.5%
- France1.7%
- Netherlands1.4%
- Cayman Islands1.3%
- Australia1.1%
- Ireland0.7%
- Switzerland0.7%
- Spain0.7%
- Mexico0.5%
- Singapore0.4%
- Bermuda0.4%
- Luxembourg0.3%
- Chile0.3%
- Italy0.3%
- South Korea0.3%
- Germany0.3%
- Hong Kong0.2%
- Norway0.2%
- VG0.2%
- India0.2%
- Sweden0.1%
- New Zealand0.1%
- MULT0.1%
- LR0.1%
- Austria0.1%
- Peru0.1%
- United Arab Emirates0.1%
- Jersey0.1%
- Thailand0.1%
- Israel0.1%
- Belgium0.1%
- Finland0.1%
- Philippines0.1%
- Denmark0.0%
- Indonesia0.0%
- Czech Republic0.0%
- MH0.0%
- Saudi Arabia0.0%
- BS0.0%
- Brazil0.0%
- Guernsey0.0%
- Kazakhstan0.0%
- Malaysia0.0%
- Oman0.0%
- Panama0.0%
- Poland0.0%
- Qatar0.0%
- Unclassified0.2%
By type of asset
- Bonds100.5%
- Cash and money market0.2%
More:VCPA: key facts, returns and chargesCompare what it holds with another fundHoldings overlapHow overlap is measured
Holdings and weights are as published by Vanguard on 31/08/2026 and change as the fund trades.