Vanguard Short-Term Investment-Grade Inv (VFSTX)

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Issue Coupon Maturity Date Amount Owned % of Fund
CMT Market Liquidity Rate 0 $2,147,483,647 6.51
US Treasury Note 1% 1 2012-03-31 $579,500,000 1.52
US Treasury Note 1.375% 1.38 2013-01-15 $390,000,000 1.02
Deutsche Bk Ag 2.375% 2.38 2013-01-11 $343,225,000 0.9
Cs First Boston Ny Brh Sr Mtn 5% 5 2013-05-15 $244,448,000 0.68
Cap One Cc Tr 2007-2a FRN 5.4 2019-12-15 $261,055,000 0.66
Barclays Bk 2.5% 2.5 2013-01-23 $233,215,000 0.62
US Treasury Note 1.375% 1.38 2012-02-15 $234,500,000 0.61
Credit Suisse New York Branch 5.5% 5.5 2014-05-01 $195,360,000 0.56
Verizon Wireless Cap 5.55% 5.55 2014-02-01 $185,155,000 0.53
US Treasury Note 1.25% 1.25 2014-03-15 $200,000,000 0.52
US Treasury Note 1.375% 1.38 2013-03-15 $194,500,000 0.51
US Treasury Note 1.375% 1.38 2013-02-15 $194,000,000 0.51
Wachovia Corp Global Mtn 5.5% 5.5 2013-05-01 $177,727,000 0.5
General Elec 5% 5 2013-02-01 $178,423,000 0.49
Citibank Ccit 2008-A5 4.85% 4.85 2015-04-22 $171,870,000 0.48
Discover Card Exe Tr 2010-2 FRN 0.84 2018-03-15 $181,400,000 0.47
Bank of Nova Scotia 2.25% 2.25 2013-01-22 $163,800,000 0.43
General Elec Cap Corp Mtn Be 5.25% 5.25 2012-10-19 $154,355,000 0.42
Cap One Cc Tr 2007-5a FRN 5.36 2020-07-15 $166,795,000 0.42
Berkshire Hathaway Inc Del 2.125% 2.12 2013-02-11 $152,600,000 0.4
Arkle Master Issuer 2010-1 CMO 1.56 2060-05-17 $156,300,000 0.4
US Treasury Note 0.75% 0.75 2013-03-31 $150,000,000 0.39
Shell Intl Fin Bv 4% 4 2014-03-21 $138,195,000 0.38
Discover Card Exe Tr 2007-2a FRN 5.52 2015-06-15 $146,150,000 0.38