Vanguard Long-Term Treasury Index Fund ETF Shares
VGLT
#234
ETF rank
ยฃ7.95 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
ยฃ40.98
Share price
-0.34%
Change (1 day)
-3.69%
Change (1 year)

Vanguard Long-Term Treasury Index Fund ETF Shares - Holdings

Etf holdings as of February 28, 2026Number of holdings: 98

Full holdings list

Weight %NameTickerISINCoupon Rate Maturity DateShares Held
2.29%
United States Treasury Note/BondUS912810UK244.75005/15/20550
2.29%
United States Treasury Note/BondUS912810UM894.75008/15/20550
2.25%
United States Treasury Note/BondUS912810UG124.62502/15/20550
2.24%
United States Treasury Note/BondUS912810UP114.62511/15/20550
2.24%
United States Treasury Note/BondUS912810UA424.62505/15/20540
2.19%
United States Treasury Note/BondUS912810UE634.50011/15/20540
2.18%
United States Treasury Note/BondTBONDUS912810TV084.75011/15/20530
2.10%
United States Treasury Note/BondUS912810TX634.25002/15/20540
2.10%
United States Treasury Note/BondUS912810UC084.25008/15/20540
1.88%
United States Treasury Note/BondTBONDUS912810TT514.12508/15/20530
1.67%
United States Treasury Note/BondTBONDUS912810TL264.00011/15/20520
1.59%
United States Treasury Note/BondTBONDUS912810SX722.37505/15/20510
1.59%
United States Treasury Note/BondTBONDUS912810TA601.75008/15/20410
1.56%
United States Treasury Note/BondTBONDUS912810TR953.62505/15/20530
1.55%
United States Treasury Note/BondTBONDUS912810TN813.62502/15/20530
1.47%
United States Treasury Note/BondTBONDUS912810TC272.00011/15/20410
1.45%
United States Treasury Note/BondUS912810UL075.00005/15/20450
1.44%
United States Treasury Note/BondTBONDUS912810SZ212.00008/15/20510
1.42%
United States Treasury Note/BondTBONDUS912810SW991.87502/15/20410
1.42%
United States Treasury Note/BondWITUS912810TW804.75011/15/20430
1.42%
United States Treasury Note/BondUS912810UN624.87508/15/20450
1.41%
United States Treasury Note/BondTBONDUS912810SU341.87502/15/20510
1.41%
United States Treasury Note/BondTBONDUS912810TG312.87505/15/20520
1.40%
United States Treasury Note/BondUS912810UJ504.75002/15/20450
1.39%
United States Treasury Note/BondUS912810UB254.62505/15/20440
1.38%
United States Treasury Note/BondUS912810UF394.62511/15/20440
1.38%
United States Treasury Note/BondTBONDUS912810TJ793.00008/15/20520
1.37%
United States Treasury Note/BondUS912810TZ124.50002/15/20440
1.36%
United States Treasury Note/BondUS912810UQ934.62511/15/20450
1.35%
United States Treasury Note/BondTBONDUS912810TU254.37508/15/20430
1.30%
United States Treasury Note/BondTBONDUS912810TB441.87511/15/20510
1.30%
United States Treasury Note/BondTBONDUS912810TD002.25002/15/20520
1.29%
United States Treasury Note/BondUS912810UD804.12508/15/20440
1.20%
United States Treasury Note/BondTBONDUS912810TM094.00011/15/20420
1.20%
United States Treasury Note/BondTBONDUS912810ST601.37511/15/20400
1.19%
United States Treasury Note/BondTBONDUS912810TF572.37502/15/20420
1.19%
United States Treasury Note/BondTNOTEUS912810TQ133.87502/15/20430
1.18%
United States Treasury Note/BondTBONDUS912810SS871.62511/15/20500
1.17%
United States Treasury Note/BondTBONDUS912810TS783.87505/15/20430
1.17%
United States Treasury Note/BondTBONDUS912810TH143.25005/15/20420
1.16%
United States Treasury Note/BondTBONDUS912810SY552.25005/15/20410
1.16%
United States Treasury Note/BondTBONDUS912810SE913.37511/15/20480
1.16%
United States Treasury Note/BondTBONDUS912810SF663.00002/15/20490
1.12%
United States Treasury Note/BondTBONDUS912810SP491.37508/15/20500
1.10%
United States Treasury Note/BondTBONDUS912810SD193.00008/15/20480
1.10%
United States Treasury Note/BondTBONDUS912810TK433.37508/15/20420
1.08%
United States Treasury Note/BondTBONDUS912810SH232.87505/15/20490
1.02%
United States Treasury Note/BondTBONDUS912810SQ221.12508/15/20400
1.01%
United States Treasury Note/BondTBONDUS912810SL352.00002/15/20500
1.01%
United States Treasury Note/BondTBONDUS912810SC363.12505/15/20480
0.95%
United States Treasury Note/BondTBONDUS912810SN901.25005/15/20500
0.93%
United States Treasury Note/BondTBONDUS912810SJ882.25008/15/20490
0.92%
United States Treasury Note/BondTBONDUS912810SA793.00002/15/20480
0.89%
United States Treasury Note/BondTBONDUS912810SK512.37511/15/20490
0.83%
United States Treasury Note/BondUS912810UR764.75002/15/20560
0.80%
United States Treasury Note/BondTBONDUS912810RB612.87505/15/20430
0.79%
United States Treasury Note/BondTBONDUS912810SR051.12505/15/20400
0.79%
United States Treasury Note/BondTBONDUS912810RZ302.75011/15/20470
0.78%
United States Treasury Note/BondTBONDUS912810RK602.50002/15/20450
0.77%
United States Treasury Note/BondTBONDUS912810RY642.75008/15/20470
0.76%
United States Treasury Note/BondTBONDUS912810RH323.12508/15/20440
0.70%
United States Treasury Note/BondTBONDUS912810RT792.25008/15/20460
0.68%
United States Treasury Note/BondTBONDUS912810RE013.62502/15/20440
0.66%
United States Treasury Note/BondTBONDUS912810RD283.75011/15/20430
0.64%
United States Treasury Note/BondTBONDUS912810RJ973.00011/15/20440
0.64%
United States Treasury Note/BondTBONDUS912810RC453.62508/15/20430
0.61%
United States Treasury Note/BondTBONDUS912810RG583.37505/15/20440
0.58%
United States Treasury Note/BondTBONDUS912810QY732.75011/15/20420
0.57%
United States Treasury Note/BondTBONDUS912810RS962.50005/15/20460
0.56%
United States Treasury Note/BondTBONDUS912810RV263.00002/15/20470
0.56%
United States Treasury Note/BondTBONDUS912810RQ312.50002/15/20460
0.52%
United States Treasury Note/BondUS912810UT334.62502/15/20460
0.52%
United States Treasury Note/BondTBONDUS912810QZ493.12502/15/20430
0.49%
United States Treasury Note/BondTBONDUS912810RX813.00005/15/20470
0.48%
United States Treasury Note/BondTBONDUS912810RN002.87508/15/20450
0.47%
United States Treasury Note/BondTBONDUS912810QN194.75002/15/20410
0.45%
United States Treasury Note/BondTBONDUS912810QE104.62502/15/20400
0.43%
United States Treasury Note/BondTBONDUS912810QD374.37511/15/20390
0.42%
United States Treasury Note/BondTBONDUS912810QL524.25011/15/20400
0.42%
United States Treasury Note/BondTBONDUS912810QC534.50008/15/20390
0.41%
United States Treasury Note/BondTBONDUS912810QH414.37505/15/20400
0.41%
United States Treasury Note/BondTBONDUS912810QK793.87508/15/20400
0.40%
United States Treasury Note/BondTBONDUS912810QU513.12502/15/20420
0.40%
United States Treasury Note/BondTBONDUS912810QQ404.37505/15/20410
0.40%
United States Treasury Note/BondTBONDUS912810QX902.75008/15/20420
0.39%
United States Treasury Note/BondTBONDUS912810QS063.75008/15/20410
0.39%
United States Treasury Note/BondTBONDUS912810RM273.00005/15/20450
0.38%
United States Treasury Note/BondTBONDUS912810QB704.25005/15/20390
0.38%
United States Treasury Note/BondTBONDUS912810QT883.12511/15/20410
0.36%
United States Treasury Note/BondTBONDUS912810QW183.00005/15/20420
0.31%
United States Treasury Note/BondTBONDUS912810RP573.00011/15/20450
0.29%
United States Treasury Note/BondTBONDUS912810RU432.87511/15/20460
0.24%
United States Treasury Note/BondTBONDUS912810QA973.50002/15/20390
0.23%
United States Treasury Note/BondTBONDUS912810PX004.50005/15/20380
0.20%
United States Treasury Note/BondTBONDUS912810PW274.37502/15/20380
0.18%
United States Treasury Note/BondTBONDUS912810PU605.00005/15/20370
0.13%
United States Treasury Note/BondTBONDUS912810PT974.75002/15/20370
0.00%
United States Treasury Note/BondTBONDUS912810FT084.50002/15/20360