VANGUARD FIXED INCOME SECURITIES FUNDS (VGHY)

Management Company · CBSX · Series S000095284 · View on SEC EDGAR ↗

Sept. 16, 2025
Inception
Net assets
$247.6M
Holdings
522
As of
April 30, 2026 stale
Expense ratio
0.22% (Low)
Top 10 holdings weight
9.09%
Effective number of positions
277.2
Positions above 1%
2
On this page

Fund flows (SEC-reported)

Last month (Apr 2026)
+$21.4M
Quarter ending Apr 2026
+$57.9M
Trailing 9 months
+$248.3M

Aug 2025 – Apr 2026

Based on the fund's own SEC Form N-PORT monthly flow disclosures (Item C.9 "Flow Information") — sales minus redemptions, reinvested distributions excluded. This is a different, independent metric from the "Net flows" estimate above (which is derived from daily shares-outstanding changes). SEC N-PORT filing lag is up to ~60 days; the most recent month/quarter may not yet be fully reflected.

Full composition 522 holdings

NameCUSIP Value % Balance Category Country
Tenet Healthcare Corp 88033GDW7 $1.1M 0.43 1,075,000 DBT US
VENTURE GLOBAL PLAQUE 922966AF3 $1.0M 0.42 995,000 DBT US
Wynn Macau Ltd 98313RAL0 $1.0M 0.41 1,025,000 DBT KY
Valaris Ltd 91889FAC5 $1.0M 0.41 975,000 DBT BM
CCO Holdings LLC / CCO Holdings Capital Corp 1248EPCQ4 $1.0M 0.41 1,130,000 DBT US
United States Treasury Note/Bond 91282CNU1 $1.0M 0.41 1,015,000 DBT US
OneMain Finance Corp 682691AA8 $986K 0.40 1,072,000 DBT US
Hudson Pacific Properties LP 44409MAD8 $986K 0.40 1,010,000 DBT US
DaVita Inc 23918KAT5 $973K 0.39 1,049,000 DBT US
JetBlue Airways Corp / JetBlue Loyalty LP 476920AA1 $966K 0.39 1,039,000 DBT N/A
WR Grace Holdings LLC 92943GAA9 $964K 0.39 1,010,000 DBT US
Gray Television Inc 389375AN6 $959K 0.39 943,000 DBT US
Whirlpool Corp 963320BE5 $952K 0.38 994,000 DBT US
Six Flags Entertainment Corp/Canada's Wonderland Co/Millennium Operations LLC 83003AAA8 $951K 0.38 935,000 DBT US
MPT Operating Partnership LP / MPT Finance Corp $946K 0.38 800,000 DBT US
Darling Ingredients Inc 237266AH4 $940K 0.38 940,000 DBT US
QXO Building Products Inc 74825NAA5 $939K 0.38 920,000 DBT US
CHS/Community Health Systems Inc 12543DBH2 $932K 0.38 938,000 DBT US
United States Treasury Note/Bond 91282CFF3 $922K 0.37 1,000,000 DBT US
SM Energy Co 78454LAY6 $918K 0.37 895,000 DBT US
Melco Resorts Finance Ltd 58547DAJ8 $906K 0.37 915,000 DBT KY
Service Properties Trust 44106MAX0 $902K 0.36 930,000 DBT US
Clean Harbors Inc 184496AP2 $901K 0.36 907,000 DBT US
BWX Technologies Inc 05605HAB6 $886K 0.36 900,000 DBT US
Rocket Cos Inc 77311WAA9 $883K 0.36 870,000 DBT US
PR RNO Property Owner 1 LLC 69393LAA1 $877K 0.35 885,000 DBT US
ARC Falcon I Inc / Arclin USA LLC / New Arclin US Holding Corp 03881HAA8 $863K 0.35 880,000 DBT US
NRG Energy Inc 629377CX8 $855K 0.35 845,000 DBT US
OneMain Finance Corp 682691AH3 $850K 0.34 835,000 DBT US
Endo Finance Holdings LP 29280UAD5 $845K 0.34 855,657 LON US
Advance Auto Parts Inc 00751YAK2 $842K 0.34 816,000 DBT US
Olympus Water US Holding Corp 681639AD2 $839K 0.34 834,000 DBT US
WULF Compute LLC 982911AA7 $835K 0.34 795,000 DBT US
United States Treasury Note/Bond 91282CLG4 $824K 0.33 825,000 DBT US
Ameritex Holdco Intermediate LLC 030727AB7 $821K 0.33 790,000 DBT US
BWX Technologies Inc 05605HAC4 $820K 0.33 844,000 DBT US
Ardagh Metal Packaging Finance USA LLC / Ardagh Metal Packaging Finance PLC $818K 0.33 700,000 DBT N/A
Charles River Laboratories International Inc 159864AG2 $818K 0.33 855,000 DBT US
WR Grace Holdings LLC 92943GAE1 $807K 0.33 799,000 DBT US
Paramount Global 92556HAD9 $799K 0.32 915,000 DBT US
AthenaHealth Group Inc 60337JAA4 $799K 0.32 838,000 DBT US
UKG Inc 90279XAA0 $793K 0.32 815,000 DBT US
KeHE Distributors LLC / KeHE Finance Corp / NextWave Distribution Inc 487526AC9 $785K 0.32 750,000 DBT US
Chemours Co/The 163851AJ7 $784K 0.32 760,000 DBT US
Diamond Foreign Asset Co / Diamond Finance LLC 25260WAD3 $783K 0.32 742,000 DBT KY
Studio City Finance Ltd 86389QAG7 $782K 0.32 820,000 DBT VG
Bath & Body Works Inc 501797AL8 $775K 0.31 785,000 DBT US
CNX Resources Corp 12653CAK4 $768K 0.31 745,000 DBT US
Men's Wearhouse LLC/The 587118AF7 $767K 0.31 725,000 DBT US
TransDigm Inc 89364MCE2 $762K 0.31 761,175 LON US
Page 2 of 11

Sector breakdown

Other/Unmapped
100.0%

Daily changes (30d)

DateType Ticker Change
June 30, 2026 Increased AAL — American Airlines Inc./AAdvantage Loyalty IP Ltd.
00253XAB7
Units/share: 0.005704 → 0.006199 (8.7%)
June 30, 2026 Exited AAL
023771T32
Position exited — was 0.004285 units/share
June 30, 2026 Trimmed AAP — Advance Auto Parts Inc.
00751YAG1
Units/share: 0.0004089 → 0.0003744 (-8.4%)
June 30, 2026 Trimmed ACACN — Air Canada
008911BK4
Units/share: 0.004968 → 0.004548 (-8.4%)
June 30, 2026 Trimmed ACI — Albertsons Cos. Inc / Safeway Inc / New Albertsons LP / Albertsons LLC
01309QAA6
Units/share: 0.0002845 → 0.0002604 (-8.4%)
June 30, 2026 Trimmed ALSN — Allison Transmission Inc.
019736AG2
Units/share: 0.001316 → 0.001205 (-8.4%)
June 30, 2026 Trimmed AMPBEV — Ardagh Metal Packaging Finance USA LLC / Ardagh Metal Packaging Finance plc
03969YAB4
Units/share: 0.0016 → 0.0004883 (-69.5%)
June 30, 2026 Trimmed ATHENA — AthenaHealth Group Inc.
60337JAA4
Units/share: 0.00298 → 0.002728 (-8.4%)
June 30, 2026 Trimmed BALL — Ball Corp.
058498AW6
Units/share: 0.0007823 → 0.0007162 (-8.4%)
June 30, 2026 Trimmed BBWI — Bath & Body Works Inc.
501797AL8
Units/share: 0.002791 → 0.002718 (-2.6%)
June 30, 2026 Trimmed BBWI — Bath & Body Works Inc.
501797AR5
Units/share: 0.001422 → 0.001302 (-8.4%)
June 30, 2026 Trimmed BBWI — Bath & Body Works Inc.
501797AW4
Units/share: 0.002038 → 0.001865 (-8.4%)
June 30, 2026 Trimmed BCULC — 1011778 BC ULC / New Red Finance Inc.
68245XAH2
Units/share: 0.001895 → 0.001735 (-8.4%)
June 30, 2026 Trimmed BCULC — 1011778 BC ULC / New Red Finance Inc.
68245XAM1
Units/share: 0.002134 → 0.002116 (-0.8%)
June 30, 2026 Increased BIGBRS — Big River Steel LLC / BRS Finance Corp.
08949LAB6
Units/share: 0.002027 → 0.002832 (39.7%)
June 30, 2026 Trimmed BIGSKY — Boyne USA Inc.
103557AC8
Units/share: 0.00128 → 0.001172 (-8.4%)
June 30, 2026 Trimmed BLCOCN — Bausch + Lomb Corp.
071705AA5
Units/share: 0.0001778 → 0.0001628 (-8.4%)
June 30, 2026 Trimmed BLD — TopBuild Corp.
89055FAB9
Units/share: 0.0005689 → 0.0005209 (-8.4%)
June 30, 2026 Trimmed BLD — TopBuild Corp.
89055FAC7
Units/share: 0.0003911 → 0.0003581 (-8.4%)
June 30, 2026 New BLDR — Builders FirstSource Inc.
12008RAN7
New position — 0.001139 units/share
June 30, 2026 Trimmed BLDR — Builders FirstSource Inc.
12008RAP2
Units/share: 0.001991 → 0.001823 (-8.4%)
June 30, 2026 Increased BMCAUS — Standard Industries Inc./NY
853496AG2
Units/share: 0.0007467 → 0.00166 (122.3%)
June 30, 2026 Trimmed BWXT — BWX Technologies Inc.
05605HAB6
Units/share: 0.0032 → 0.00293 (-8.4%)
June 30, 2026 Trimmed BWXT — BWX Technologies Inc.
05605HAC4
Units/share: 0.003001 → 0.002748 (-8.4%)
June 30, 2026 Trimmed CABO — Cable One Inc.
12685JAC9
Units/share: 0.002422 → 0.002217 (-8.4%)
June 30, 2026 Trimmed CACC — Credit Acceptance Corp.
225310AQ4
Units/share: 0.001974 → 0.00197 (-0.2%)
June 30, 2026 Increased CANPCK — Canpack SA / Canpack US LLC
13806CAA0
Units/share: 0.002205 → 0.003158 (43.2%)
June 30, 2026 Trimmed CC — Chemours Co.
163851AF5
Units/share: 0.0005334 → 0.0004883 (-8.4%)
June 30, 2026 Trimmed CDK — Central Parent LLC / CDK Global II LLC / CDK Financing Co. Inc.
154915AA0
Units/share: 0.00224 → 0.002051 (-8.4%)
June 30, 2026 Trimmed CHDN — Churchill Downs Inc.
12511VAA6
Units/share: 0.0008534 → 0.0007813 (-8.4%)
June 30, 2026 Trimmed CHDN — Churchill Downs Inc.
171484AE8
Units/share: 0.0009601 → 0.000879 (-8.4%)
June 30, 2026 Increased CHDN — Churchill Downs Inc.
171484AG3
Units/share: 0.00416 → 0.00459 (10.3%)
June 30, 2026 Trimmed CHDN — Churchill Downs Inc.
171484AJ7
Units/share: 0.0002845 → 0.0002604 (-8.4%)
June 30, 2026 Trimmed CHTR — CCO Holdings LLC / CCO Holdings Capital Corp.
1248EPBT9
Units/share: 0.0003165 → 0.0002897 (-8.4%)
June 30, 2026 Trimmed CHTR — CCO Holdings LLC / CCO Holdings Capital Corp.
1248EPBX0
Units/share: 0.0006045 → 0.0005534 (-8.4%)
June 30, 2026 Trimmed CHTR — CCO Holdings LLC / CCO Holdings Capital Corp.
1248EPCD3
Units/share: 0.006084 → 0.00557 (-8.4%)
June 30, 2026 Trimmed CHTR — CCO Holdings LLC / CCO Holdings Capital Corp.
1248EPCE1
Units/share: 0.001209 → 0.001107 (-8.4%)
June 30, 2026 Increased CHTR — CCO Holdings LLC / CCO Holdings Capital Corp.
1248EPCN1
Units/share: 0.01006 → 0.01019 (1.3%)
June 30, 2026 Trimmed CHTR — CCO Holdings LLC / CCO Holdings Capital Corp.
1248EPCQ4
Units/share: 0.005103 → 0.004672 (-8.4%)
June 30, 2026 Trimmed CIVI — SM Energy Co.
17888HAB9
Units/share: 0.003652 → 0.003343 (-8.4%)
June 30, 2026 Trimmed CLH — Clean Harbors Inc.
184496AP2
Units/share: 0.003225 → 0.002953 (-8.4%)
June 30, 2026 Trimmed CLH — Clean Harbors Inc.
184496AQ0
Units/share: 0.0004267 → 0.0003907 (-8.4%)
June 30, 2026 Increased CMC — Commercial Metals Co.
201723AQ6
Units/share: 0.001458 → 0.002311 (58.5%)
June 30, 2026 Increased CNC — Centene Corp.
15135BAT8
Units/share: 0.001013 → 0.001091 (7.6%)
June 30, 2026 Trimmed CNC — Centene Corp.
15135BAY7
Units/share: 0.004018 → 0.003842 (-4.4%)
June 30, 2026 Trimmed CNX — CNX Resources Corp.
12653CAK4
Units/share: 0.002649 → 0.002425 (-8.4%)
June 30, 2026 Increased CRL — Charles River Laboratories International Inc.
159864AE7
Units/share: 0.0001778 → 0.0009441 (431.0%)
June 30, 2026 Trimmed CRL — Charles River Laboratories International Inc.
159864AG2
Units/share: 0.00304 → 0.002783 (-8.4%)
June 30, 2026 Trimmed CSCHLD — CSC Holdings LLC
126307AS6
Units/share: 0.0006756 → 0.0006185 (-8.4%)
June 30, 2026 Trimmed CSCHLD — CSC Holdings LLC
126307BB2
Units/share: 0.002987 → 0.002735 (-8.4%)
June 30, 2026 Trimmed CSCHLD — CSC Holdings LLC
126307BF3
Units/share: 0.0008712 → 0.0007976 (-8.4%)
June 30, 2026 Trimmed CSCHLD — CSC Holdings LLC
126307BH9
Units/share: 0.001173 → 0.001074 (-8.4%)
June 30, 2026 Trimmed CWENA — Clearway Energy Operating LLC
18539UAC9
Units/share: 0.002503 → 0.002292 (-8.4%)
June 30, 2026 Increased CYH — CHS/Community Health Systems Inc.
12543DBH2
Units/share: 0.003335 → 0.003444 (3.3%)
June 30, 2026 Trimmed CZR — Caesars Entertainment Inc.
12769GAA8
Units/share: 0.0009245 → 0.0008464 (-8.4%)
June 30, 2026 Trimmed CZR — Caesars Entertainment Inc.
12769GAB6
Units/share: 0.0002845 → 0.0002604 (-8.4%)
June 30, 2026 Trimmed DAR — Darling Ingredients Inc.
237266AH4
Units/share: 0.003343 → 0.00306 (-8.4%)
June 30, 2026 Trimmed DISH — DISH Network Corp.
25470MAG4
Units/share: 0.004374 → 0.004004 (-8.4%)
June 30, 2026 Exited DO
25260WAD3
Position exited — was 0.002638 units/share
June 30, 2026 Exited DUM6
Xc86b10f84ae
Position exited — was -0.002199 units/share
June 30, 2026 New DUU6 — EURO-SCHATZ FUT Sep26
Xac80083af39
New position — -0.003153 units/share
June 30, 2026 Trimmed DVA — DaVita Inc.
23918KAT5
Units/share: 0.003232 → 0.002959 (-8.4%)
June 30, 2026 Trimmed ENR — Energizer Holdings Inc.
29272WAC3
Units/share: 0.0009814 → 0.0008985 (-8.4%)
June 30, 2026 Trimmed ENR — Energizer Holdings Inc.
29272WAD1
Units/share: 0.005369 → 0.004916 (-8.4%)
June 30, 2026 Trimmed ENTG — Entegris Inc.
29362UAC8
Units/share: 0.001369 → 0.001253 (-8.4%)
June 30, 2026 Trimmed ENTG — Entegris Inc.
29362UAD6
Units/share: 0.0001422 → 0.0001302 (-8.4%)
June 30, 2026 Trimmed ESI — Element Solutions Inc.
28618MAA4
Units/share: 0.0016 → 0.001465 (-8.4%)
June 30, 2026 Trimmed FAIRIC — Fair Isaac Corp.
303250AF1
Units/share: 0.001753 → 0.001605 (-8.4%)
June 30, 2026 Trimmed FMC — FMC Corp.
302491AU9
Units/share: 0.0007467 → 0.0006837 (-8.4%)
June 30, 2026 Trimmed FMC — FMC Corp.
302491AX3
Units/share: 0.002631 → 0.002409 (-8.4%)
June 30, 2026 Trimmed FRSTST — First Student Bidco Inc / First Transit Parent Inc
337120AA7
Units/share: 0.001725 → 0.001579 (-8.4%)
June 30, 2026 Trimmed FUN — Six Flags Entertainment Corp / Canada's Wonderland Co. / Magnum Management Corp
150190AE6
Units/share: 0.0003556 → 0.0003256 (-8.4%)
June 30, 2026 Trimmed FVU6 — US 5YR NOTE (CBT) Sep26
X683c0289f93
Units/share: 0.01754 → 0.01673 (-4.6%)
June 30, 2026 Trimmed GGAMFI — GGAM Finance Ltd.
36170JAC0
Units/share: 0.001138 → 0.001042 (-8.4%)
June 30, 2026 Trimmed GPK — Graphic Packaging International LLC
38869AAA5
Units/share: 0.00261 → 0.00239 (-8.4%)
June 30, 2026 Trimmed GPK — Graphic Packaging International LLC
38869AAB3
Units/share: 0.0003734 → 0.0003418 (-8.4%)
June 30, 2026 Trimmed GPK — Graphic Packaging International LLC
38869AAD9
Units/share: 0.002987 → 0.002897 (-3.0%)
June 30, 2026 Trimmed GRA — WR Grace Holdings LLC
92943GAA9
Units/share: 0.003591 → 0.003288 (-8.4%)
June 30, 2026 Trimmed GRA — WR Grace Holdings LLC
92943GAE1
Units/share: 0.001543 → 0.001413 (-8.4%)
June 30, 2026 Trimmed GT — Goodyear Tire & Rubber Co.
382550BG5
Units/share: 0.001138 → 0.001042 (-8.4%)
June 30, 2026 Trimmed GT — Goodyear Tire & Rubber Co.
382550BN0
Units/share: 0.00192 → 0.0009767 (-49.1%)
June 30, 2026 Trimmed GT — Goodyear Tire & Rubber Co.
382550BR1
Units/share: 0.002098 → 0.001921 (-8.4%)
June 30, 2026 Trimmed GTN — Gray Media Inc.
389286AA3
Units/share: 0.0004089 → 0.0003744 (-8.4%)
June 30, 2026 Trimmed GTN — Gray Media Inc.
389375AL0
Units/share: 0.00005334 → 0.00004883 (-8.4%)
June 30, 2026 Trimmed GWCN — Garda World Security Corp.
36485MAM1
Units/share: 0.001173 → 0.001074 (-8.4%)
June 30, 2026 Trimmed HBMCN — Hudbay Minerals Inc.
443628AH5
Units/share: 0.001707 → 0.001563 (-8.4%)
June 30, 2026 Increased HLT — Hilton Worldwide Finance LLC / Hilton Worldwide Finance Corp.
432891AK5
Units/share: 0.001191 → 0.001546 (29.8%)
June 30, 2026 Trimmed HNDLIN — Novelis Corp.
670001AE6
Units/share: 0.007478 → 0.007237 (-3.2%)
June 30, 2026 Trimmed HNDLIN — Novelis Corp.
670001AH9
Units/share: 0.0001849 → 0.0001693 (-8.4%)
June 30, 2026 Trimmed IM — Ingram Micro Inc.
45258LAA5
Units/share: 0.005615 → 0.00514 (-8.4%)
June 30, 2026 Trimmed IQV — Quintiles IMS Inc.
449934AD0
Units/share: 0.007556 → 0.006918 (-8.4%)
June 30, 2026 Trimmed IQV — IQVIA Inc.
46266TAA6
Units/share: 0.0004978 → 0.0004558 (-8.4%)
June 30, 2026 Trimmed LAD — Lithia Motors Inc.
536797AE3
Units/share: 0.0003556 → 0.0003256 (-8.4%)
June 30, 2026 Trimmed LAMR — Lamar Media Corp.
513075BR1
Units/share: 0.0007467 → 0.0006837 (-8.4%)
June 30, 2026 Trimmed LW — Lamb Weston Holdings Inc.
513272AC8
Units/share: 0.001227 → 0.001123 (-8.4%)
June 30, 2026 Increased LW — Lamb Weston Holdings Inc.
513272AD6
Units/share: 0.002702 → 0.003451 (27.7%)
June 30, 2026 Trimmed LYV — Live Nation Entertainment Inc.
538034AV1
Units/share: 0.001458 → 0.001335 (-8.4%)
June 30, 2026 Trimmed MCFE — McAfee Corp.
579063AB4
Units/share: 0.003186 → 0.002917 (-8.4%)
June 30, 2026 Trimmed MPW — MPT Operating Partnership LP / MPT Finance Corp.
55342UAJ3
Units/share: 0.001255 → 0.001149 (-8.4%)
June 30, 2026 Trimmed MPW — MPT Operating Partnership LP / MPT Finance Corp.
55342UAM6
Units/share: 0.0004445 → 0.0004069 (-8.4%)
June 30, 2026 Trimmed MTCH — Match Group Holdings II LLC
57665RAN6
Units/share: 0.0002134 → 0.0001953 (-8.4%)
June 30, 2026 New MWA — Mueller Water Products Inc.
624758AF5
New position — 0.0001628 units/share
June 30, 2026 Trimmed NAVI — Navient Corp.
63938CAM0
Units/share: 0.002702 → 0.002474 (-8.4%)
June 30, 2026 New NAVI — Navient Corp.
63938CAN8
New position — 0.0003256 units/share
June 30, 2026 Trimmed NAVI — Navient Corp.
78442FAZ1
Units/share: 0.001529 → 0.0014 (-8.4%)
June 30, 2026 Trimmed NCLH — NCL Corp. Ltd.
62886HBG5
Units/share: 0.0002667 → 0.0002442 (-8.4%)
June 30, 2026 Trimmed NEP — NextEra Energy Operating Partners LP
65342QAB8
Units/share: 0.001867 → 0.001709 (-8.4%)
June 30, 2026 Trimmed NRG — NRG Energy Inc.
629377CQ3
Units/share: 0.0003556 → 0.0003256 (-8.4%)
June 30, 2026 Trimmed NRG — NRG Energy Inc.
629377CR1
Units/share: 0.001209 → 0.001107 (-8.4%)
June 30, 2026 Trimmed NWL — Newell Brands Inc.
651229BC9
Units/share: 0.0008356 → 0.000765 (-8.4%)
June 30, 2026 Trimmed NWL — Newell Brands Inc.
651229BD7
Units/share: 0.001316 → 0.001205 (-8.4%)
June 30, 2026 Exited OEM6
Xf5b6f3abd4e
Position exited — was -0.008668 units/share
June 30, 2026 New OEU6 — EURO-BOBL FUTURE Sep26
X4cceab1ac71
New position — -0.01159 units/share
June 30, 2026 Trimmed OGN — Organon & Co. / Organon Foreign Debt Co-Issuer BV
68622TAA9
Units/share: 0.000889 → 0.0008139 (-8.4%)
June 30, 2026 Trimmed OI — Owens-Brockway Glass Container Inc.
69073TAU7
Units/share: 0.004313 → 0.003949 (-8.4%)
June 30, 2026 Trimmed OMF — OneMain Finance Corp.
682691AB6
Units/share: 0.001458 → 0.001335 (-8.4%)
June 30, 2026 Trimmed PARA — CBS Corp.
124857AZ6
Units/share: 0.00176 → 0.001611 (-8.4%)
June 30, 2026 Trimmed PARA — CBS Corp.
925524AH3
Units/share: 0.001085 → 0.0009929 (-8.4%)
June 30, 2026 Trimmed PARA — CBS Corp.
925524AV2
Units/share: 0.001031 → 0.0009441 (-8.4%)
June 30, 2026 Trimmed PARA — Viacom Inc.
92553PAP7
Units/share: 0.0006223 → 0.0005697 (-8.4%)
June 30, 2026 Trimmed PARA — Viacom Inc.
92553PAU6
Units/share: 0.002596 → 0.002377 (-8.4%)
June 30, 2026 Trimmed PARA — Paramount Global
92556HAB3
Units/share: 0.0001067 → 0.00009767 (-8.4%)
June 30, 2026 Trimmed PARA — Paramount Global
92556HAC1
Units/share: 0.00112 → 0.001025 (-8.4%)
June 30, 2026 Trimmed PARA — Paramount Global
92556HAD9
Units/share: 0.0007645 → 0.0005046 (-34.0%)
June 30, 2026 Trimmed PFGC — Performance Food Group Inc.
71376LAE0
Units/share: 0.0009957 → 0.0009115 (-8.4%)
June 30, 2026 Increased POST — Post Holdings Inc.
737446AR5
Units/share: 0.0003556 → 0.0006511 (83.1%)
June 30, 2026 Trimmed RBC — Roller Bearing Co. of America Inc.
775631AD6
Units/share: 0.0003556 → 0.0003256 (-8.4%)
June 30, 2026 Trimmed RIG — Transocean International Ltd.
893830AT6
Units/share: 0.001422 → 0.001302 (-8.4%)
June 30, 2026 Trimmed RIG — Transocean International Ltd.
893830BX6
Units/share: 0.0001493 → 0.0001367 (-8.4%)
June 30, 2026 Trimmed RKTRM — Rocket Mortgage LLC / Rocket Mortgage Co-Issuer Inc.
74841CAA9
Units/share: 0.002166 → 0.001983 (-8.4%)
June 30, 2026 Exited RKTRM
77313LAA1
Position exited — was 0.002898 units/share
June 30, 2026 Trimmed RRC — Range Resources Corp.
75281ABK4
Units/share: 0.001849 → 0.001693 (-8.4%)
June 30, 2026 Exited RXM6
X6222c1bc666
Position exited — was -0.002099 units/share
June 30, 2026 New RXU6 — EURO-BUND FUTURE Sep26
X2d02124d455
New position — -0.002842 units/share
June 30, 2026 Trimmed SBAC — SBA Communications Corp.
78410GAD6
Units/share: 0.0009708 → 0.0008888 (-8.4%)
June 30, 2026 Trimmed SCI — Service Corp. International/US
817565CF9
Units/share: 0.0005689 → 0.0005209 (-8.4%)
June 30, 2026 Increased SIRI — Sirius XM Radio Inc.
82967NBA5
Units/share: 0.000889 → 0.0009767 (9.9%)
June 30, 2026 Trimmed SM — SM Energy Co.
78454LAP5
Units/share: 0.003271 → 0.002995 (-8.4%)
June 30, 2026 Trimmed SNFF — SNF Group SACA
7846ELAE7
Units/share: 0.001885 → 0.001725 (-8.4%)
June 30, 2026 Exited SQ
852234AN3
Position exited — was 0.0004623 units/share
June 30, 2026 Increased SSNC — SS&C Technologies Inc.
78466CAC0
Units/share: 0.004587 → 0.005176 (12.8%)
June 30, 2026 Trimmed SSP — Scripps Escrow II Inc.
81105DAA3
Units/share: 0.002091 → 0.001914 (-8.4%)
June 30, 2026 New SUN — Sunoco LP / Sunoco Finance Corp.
86765LAN7
New position — 0.000586 units/share
June 30, 2026 Increased SVC — Service Properties Trust
44106MBB7
Units/share: 0.001486 → 0.001751 (17.8%)
June 30, 2026 Trimmed TDG — TransDigm Inc.
893647BR7
Units/share: 0.0001422 → 0.0001302 (-8.4%)
June 30, 2026 Trimmed TDG — TransDigm Inc.
893647BT3
Units/share: 0.001067 → 0.0009767 (-8.4%)
June 30, 2026 Increased TEVA — Teva Pharmaceutical Finance Netherlands III BV
88167AAE1
Units/share: 0.0008356 → 0.001091 (30.5%)
June 30, 2026 New THC — Tenet Healthcare Corp.
88033GDK3
New position — 0.002311 units/share
June 30, 2026 Trimmed THC — Tenet Healthcare Corp.
88033GDM9
Units/share: 0.0009957 → 0.0009115 (-8.4%)
June 30, 2026 Trimmed THC — Tenet Healthcare Corp.
88033GDU1
Units/share: 0.00117 → 0.001071 (-8.4%)
June 30, 2026 Trimmed THYELE — TK Elevator US Newco Inc.
92537RAA7
Units/share: 0.0007112 → 0.0006511 (-8.4%)
June 30, 2026 Trimmed TIBX — Cloud Software Group Inc.
18912UAA0
Units/share: 0.005441 → 0.005144 (-5.5%)
June 30, 2026 Trimmed TIBX — Cloud Software Group Inc.
88632QAE3
Units/share: 0.0005156 → 0.000472 (-8.4%)
June 30, 2026 Trimmed TNOTE — United States Treasury Note/Bond
91282CAD3
Units/share: 0.005697 → 0.005215 (-8.4%)
June 30, 2026 Trimmed TNOTE — United States Treasury Note/Bond
91282CEE7
Units/share: 0.002816 → 0.002578 (-8.4%)
June 30, 2026 Trimmed TNOTE — United States Treasury Note/Bond
91282CEV9
Units/share: 0.001998 → 0.00183 (-8.4%)
June 30, 2026 Trimmed TNOTE — United States Treasury Note/Bond
91282CFL0
Units/share: 0.01067 → 0.009767 (-8.4%)
June 30, 2026 New TNOTE — United States Treasury Note/Bond
91282CFU0
New position — 0.002113 units/share
June 30, 2026 Exited TNOTE
91282CFY2
Position exited — was 0.001067 units/share
June 30, 2026 Trimmed TNOTE — United States Treasury Note/Bond
91282CGS4
Units/share: 0.01067 → 0.009767 (-8.4%)
June 30, 2026 Increased TUU6 — US 2YR NOTE (CBT) Sep26
X2256bc0304f
Units/share: 0.0235 → 0.02483 (5.6%)
June 30, 2026 Increased TYU6 — US 10YR NOTE (CBT)Sep26
Xdb6583507ac
Units/share: -0.002343 → -0.002147 (-8.4%)
June 30, 2026 Trimmed UNSEAM — Allied Universal Holdco LLC / Allied Universal Finance Corp.
019576AC1
Units/share: 0.0005974 → 0.0005469 (-8.4%)
June 30, 2026 Trimmed UNSEAM — Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 Sarl
019579AA9
Units/share: 0.0002667 → 0.0002442 (-8.4%)
June 30, 2026 Trimmed URI — United Rentals North America Inc.
911365BN3
Units/share: 0.0001067 → 0.00009767 (-8.4%)
June 30, 2026 Trimmed USFOOD — US Foods Inc.
90290MAD3
Units/share: 0.0004623 → 0.0004232 (-8.4%)
June 30, 2026 Increased USU6 — US LONG BOND(CBT) Sep26
X638db6c1bec
Units/share: 0.002394 → 0.002587 (8.0%)
June 30, 2026 Trimmed UVN — Univision Communications Inc.
914906AV4
Units/share: 0.0005689 → 0.0005209 (-8.4%)
June 30, 2026 Trimmed UVN — Univision Communications Inc.
914906AX0
Units/share: 0.0006045 → 0.0005534 (-8.4%)
June 30, 2026 Trimmed UXYU6 — US 10yr Ultra Fut Sep26
X54e7229dad0
Units/share: 0.004782 → 0.004028 (-15.8%)
June 30, 2026 Trimmed VAL — Valaris Ltd.
91889FAC5
Units/share: 0.003467 → 0.003174 (-8.4%)
June 30, 2026 Trimmed VENLNG — Venture Global LNG Inc.
92332YAC5
Units/share: 0.003805 → 0.003483 (-8.4%)
June 30, 2026 Trimmed VENLNG — Venture Global LNG Inc.
92332YAD3
Units/share: 0.004296 → 0.003265 (-24.0%)
June 30, 2026 Exited VENTGL
92328MAA1
Position exited — was 0.0000889 units/share
June 30, 2026 Trimmed VMED — Virgin Media Secured Finance plc
92769XAP0
Units/share: 0.0006045 → 0.0005534 (-8.4%)
June 30, 2026 Trimmed VMED — Virgin Media Secured Finance plc
92769XAR6
Units/share: 0.002738 → 0.002507 (-8.4%)
June 30, 2026 Trimmed WH — Wyndham Hotels & Resorts Inc.
98311AAB1
Units/share: 0.0001067 → 0.00009767 (-8.4%)
June 30, 2026 Trimmed WNU6 — US ULTRA BOND CBT Sep26
X4f865e3655a
Units/share: 0.0008136 → 0.0007563 (-7.0%)
June 30, 2026 Trimmed WYNMAC — Wynn Macau Ltd.
98313RAH9
Units/share: 0.00192 → 0.001758 (-8.4%)
June 30, 2026 Trimmed YUM — Yum! Brands Inc.
988498AN1
Units/share: 0.0001067 → 0.00009767 (-8.4%)
June 30, 2026 Trimmed ZIGGO — VZ Secured Financing BV
91845AAA3
Units/share: 0.002027 → 0.001856 (-8.4%)
June 30, 2026 Trimmed ZIGGO — Ziggo BV
98955DAA8
Units/share: 0.0004623 → 0.0004232 (-8.4%)
June 30, 2026 Increased — A&K Travel Group Holdings Ltd.
00039UAA6
Units/share: 0.002151 → 0.003728 (73.3%)
June 30, 2026 New — ADI Escrow Issuer LLC
00092YAA2
New position — 0.000586 units/share
June 30, 2026 Trimmed — ADT Security Corp.
00109LAB9
Units/share: 0.0008001 → 0.0007325 (-8.4%)
June 30, 2026 Trimmed — AMC Global Media Inc.
00164VAF0
Units/share: 0.001796 → 0.001644 (-8.4%)
June 30, 2026 Increased — Academy Ltd.
00401YAB6
Units/share: 0.001671 → 0.001986 (18.8%)
June 30, 2026 Trimmed — Acushnet Co.
005095AB0
Units/share: 0.00112 → 0.001025 (-8.4%)
June 30, 2026 New — Advance Auto Parts Inc.
00751YAE6
New position — 0.001416 units/share
June 30, 2026 Trimmed — Advance Auto Parts Inc.
00751YAK2
Units/share: 0.002902 → 0.002657 (-8.4%)
June 30, 2026 Trimmed — Advance Auto Parts Inc.
00751YAL0
Units/share: 0.00171 → 0.001126 (-34.1%)
June 30, 2026 Increased — Albertsons Cos. Inc / Safeway Inc / New Albertsons LP / Albertsons LLC
01309QAC2
Units/share: 0.00336 → 0.004053 (20.6%)
June 30, 2026 Trimmed — Albertsons Cos. Inc / Safeway Inc / New Albertsons LP / Albertsons LLC
01309QAD0
Units/share: 0.001316 → 0.001205 (-8.4%)
June 30, 2026 New — ATI Inc.
01741RAP7
New position — 0.0003907 units/share
June 30, 2026 Trimmed — Allied Universal Holdco LLC
019576AD9
Units/share: 0.001849 → 0.001693 (-8.4%)
June 30, 2026 Trimmed — Allison Transmission Inc.
019736AH0
Units/share: 0.0006223 → 0.0005697 (-8.4%)
June 30, 2026 Trimmed — Altice France SA
02090DAB4
Units/share: 0.0009227 → 0.0008448 (-8.4%)
June 30, 2026 Trimmed — Altice France SA
02090DAD0
Units/share: 0.004617 → 0.004227 (-8.4%)
June 30, 2026 New — Altice France SA
02090DAE8
New position — 0.0003907 units/share
June 30, 2026 New — American Airlines Inc
02376CBR5
New position — 0.001112 units/share

Showing latest 200 of 1143 changes

Institutional owners (13F) 36 filers

Institutions that report holding this ETF in their quarterly SEC Form 13F. Long positions only; a single filer may appear twice for separate option legs. Large offsetting put/call legs typically reflect market-making or hedged inventory, not directional conviction.

Institution Value % of tracked 13F Shares Type As of
Holos Integrated Wealth LLC $7,938,562 21.69% 106,344 Shares June 30, 2026
SAGE RHINO CAPITAL LLC $3,987,301 10.89% 53,267 Shares June 30, 2026
EVOLVE PRIVATE WEALTH, LLC $3,212,899 8.78% 42,922 Shares June 30, 2026
JANE STREET GROUP, LLC $2,760,428 7.54% 36,877 Shares June 30, 2026
OSAIC HOLDINGS, INC. $2,238,135 6.11% 29,898 Shares June 30, 2026
Buska Wealth Management, LLC $2,189,429 5.98% 29,424 Shares March 31, 2026
Sigma Planning Corp $1,987,601 5.43% 26,553 Shares June 30, 2026
Worth Asset Management, LLC $1,759,317 4.81% 23,503 Shares June 30, 2026
Maridea Wealth Management LLC $1,040,859 2.84% 13,905 Shares June 30, 2026
Collaborative Fund Advisors, LLC $1,030,903 2.82% 13,772 Shares June 30, 2026
CITADEL ADVISORS LLC $944,670 2.58% 12,620 Shares June 30, 2026
Independence Asset Advisors, LLC $935,550 2.56% 12,498 Shares June 30, 2026
ENVESTNET ASSET MANAGEMENT INC $770,770 2.11% 10,297 Shares June 30, 2026
MML INVESTORS SERVICES, LLC $731,397 2.00% 9,771 Shares June 30, 2026
COMMONWEALTH EQUITY SERVICES, LLC $706,600 1.93% 9,440 Shares June 30, 2026
NewEdge Advisors, LLC $670,252 1.83% 8,954 Shares June 30, 2026
MELFA WEALTH MANAGEMENT, INC. $623,168 1.70% 8,325 Shares June 30, 2026
Nicholas Wealth, LLC. $592,883 1.62% 7,920 Shares June 30, 2026
Calder Financial LLC $484,279 1.32% 6,470 Shares June 30, 2026
Mustard Seed Financial, LLC $415,446 1.13% 5,550 Shares June 30, 2026
CHOREO, LLC $350,022 0.96% 4,676 Shares June 30, 2026
Thayer Partners, LLC / MA $322,412 0.88% 4,307 Shares June 30, 2026
JOHNSON INVESTMENT COUNSEL INC $314,391 0.86% 4,200 Shares June 30, 2026
SpringVest Wealth Management LLC $218,845 0.60% 2,924 Shares June 30, 2026
HARBOUR INVESTMENTS, INC. $153,734 0.42% 2,054 Shares June 30, 2026
Farther Finance Advisors, LLC $52,399 0.14% 700 Shares June 30, 2026
EverSource Wealth Advisors, LLC $37,428 0.10% 500 Shares June 30, 2026
Integrated Wealth Concepts LLC $30,835 0.08% 412 Shares June 30, 2026
CVA Family Office, LLC $25,002 0.07% 334 Shares June 30, 2026
Ancora Advisors LLC $25,002 0.07% 334 Shares June 30, 2026
UBS Group AG $18,714 0.05% 250 Shares June 30, 2026
ROYAL BANK OF CANADA $16,000 0.04% 220 Shares June 30, 2026
VSM Wealth Advisory, LLC $15,263 0.04% 204 Shares June 30, 2026
Ankerstar Wealth, LLC $5,240 0.01% 70 Shares June 30, 2026
Cambridge Investment Research Advisors, Inc. $845 0.00% 11,282 Shares June 30, 2026
HRT FINANCIAL LP $263 0.00% 3,518 Shares June 30, 2026

Peer funds

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