Security Snapshot

Vanguard Long-Term Corporate Bond Index Fund - Common Stock (VCLT) Institutional Ownership

CUSIP: 92206C813

13F Institutional Holders and Ownership History from Q1 2014 to Q1 2026

Latest Period

Q1 2026

Institutions Reporting

347

Shares (Excl. Options)

65,443,115

Price

$74.72

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Latest holder snapshot 5 signals
Portfolio coverage rank
0.02%
Share change
+12,391,346
Value change
+$925,656,084
Number of holders
347
Issuer context Names, identifiers, and filing context for this profile. 2 identity fields
Shares outstanding
124,525,800
SEC-reported price per share
$74.49
13F Shares, Excluding Options vs Price
13F Value, Excluding Options
Total Investors

Key facts

  • VCLT - Vanguard Long-Term Corporate Bond Index Fund - Common Stock is tracked under CUSIP 92206C813.
  • 347 institutions reported positions in Q1 2026.
  • 1 significant owner is listed from Schedule 13D/13G reporting.

Change

  • Holder count moved from 362 to 347 between Q4 2025 and Q1 2026.
  • SEC-reported value moved from $4,008,896,635 to $4,891,342,042.

Research use

  • You can quickly see who holds this security, then open quarter and manager detail pages for full evidence.
  • 13F and Schedule 13D/13G sections are kept together so you can cross-check institutional and beneficial ownership context.

Evidence

Source: SEC Form 13F

Latest holder context comes from 347 institutions filings for Q1 2026.

Open SEC evidence

Security key

92206C813

Latest holder period

Q1 2026

13F holders

347

13D/G owners

1

CIK / CUSIP context first

13D/G owners

Significant owners

Large-stake holder rows connected to Schedule 13D/G evidence.

Rows
1
Security
VCLT
Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock Portfolio Management LLC 0.5% -96% $47,257,541 -$513,948,653 622,629 -92% BlackRock Portfolio Management LLC 30 Jun 2025

As of 31 Mar 2026, 347 institutional investors reported holding 65,443,115 shares of Vanguard Long-Term Corporate Bond Index Fund - Common Stock (VCLT). This represents 53% of the company’s total 124,525,800 outstanding shares.

13F concentration

Top 25 institutional shareholders

Largest 13F positions for this security by reported shares and value.

Top holder share
38%
Institution Ownership % Shares Held Share Change % Portfolio % Holdings Value
MORGAN STANLEY 13% 16,328,911 +124% 0.07% $1,220,096,246
State of Tennessee, Department of Treasury 2.5% 3,152,697 +1.3% 0.79% $235,569,520
Meiji Yasuda Life Insurance Co 2.3% 2,833,000 0% 7.2% $211,681,760
Allianz SE 1.9% 2,416,012 0% 2% $180,524,417
BANK OF AMERICA CORP /DE/ 1.9% 2,413,529 -8.8% 0.01% $180,338,884
UBS Group AG 1.9% 2,407,338 +181% 0.03% $179,876,295
COUNTRY TRUST BANK 1.5% 1,868,793 0% 2.7% $139,636,213
WELLS FARGO & COMPANY/MN 1.4% 1,709,153 -0.61% 0.03% $127,707,884
Varma Mutual Pension Insurance Co 1.3% 1,600,000 0% 0.7% $119,552,000
BNP PARIBAS FINANCIAL MARKETS 1.2% 1,501,253 0% 0.07% $112,173,624
NORTHWESTERN MUTUAL INVESTMENT MANAGEMENT COMPANY, LLC 1.1% 1,335,590 +5.5% 1.5% $99,795,285
ROYAL BANK OF CANADA 0.68% 852,628 +33% 0.01% $63,708,000
GDS Wealth Management 0.67% 834,243 +12% 3.7% $62,334,637
LPL Financial LLC 0.66% 818,695 +14% 0.02% $61,172,913
STATE STREET CORP 0.6% 751,858 +171% 0% $56,178,830
Angeles Investment Advisors, LLC 0.57% 712,400 0% 3.6% $53,230,528
Davidson Capital Management Inc. 0.57% 706,011 +67% 9.6% $52,753,142
GLOBE LIFE INC. 0.57% 704,500 0% 14% $52,640,240
PNC FINANCIAL SERVICES GROUP, INC. 0.55% 681,612 +296% 0.03% $50,930,080
ALLIANCEBERNSTEIN L.P. 0.54% 674,116 +20% 0.02% $51,131,699
NYL Investors LLC 0.52% 643,022 +0.66% 18% $48,046,604
Sanctuary Advisors, LLC 0.48% 594,398 +3.8% 0.24% $44,413,423
BlackRock, Inc. 0.46% 570,850 0% 0% $42,653,912
JANE STREET GROUP, LLC 0.45% 555,938 +280% 0.04% $41,539,687
Advisory Alpha, LLC 0.42% 527,959 -1.8% 1.1% $39,452,542

Quarter history

Institutional holders across reporting periods

Holder count, reported shares/value, and median price by quarter.

Periods
49
Latest
Q1 2026
Rows shown
1-25 of 49
Period 13F Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2026 Q1 65,443,115 $4,891,342,042 +$925,656,084 $74.72 347
2025 Q4 52,831,239 $4,008,896,635 +$158,812,302 $75.85 362
2025 Q3 52,576,539 $4,081,970,326 -$2,890,054,683 $77.65 335
2025 Q2 90,694,452 $6,883,305,460 -$3,384,612,534 $75.90 321
2025 Q1 135,847,645 $10,301,811,149 -$343,816,941 $75.91 334
2024 Q4 141,430,551 $10,574,080,016 +$571,720,580 $74.78 347
2024 Q3 132,177,047 $10,730,048,086 +$3,414,831,351 $81.23 326
2024 Q2 90,397,757 $6,854,732,990 +$1,645,299,403 $75.86 306
2024 Q1 69,143,822 $5,404,475,205 +$1,040,668,156 $78.23 300
2023 Q4 55,950,696 $4,483,434,337 -$506,157,402 $80.15 279
2023 Q3 60,202,599 $4,312,349,057 +$519,068,074 $71.62 239
2023 Q2 54,198,620 $4,254,085,486 +$268,425,879 $78.49 246
2023 Q1 50,898,323 $4,057,476,740 +$340,532,763 $79.72 224
2022 Q4 44,846,330 $3,395,590,631 +$136,259,953 $75.71 223
2022 Q3 43,201,042 $3,165,214,535 +$180,344,747 $73.24 206
2022 Q2 40,717,418 $3,303,099,665 +$167,494,875 $81.11 212
2022 Q1 38,511,062 $3,606,045,111 +$426,058,013 $93.67 219
2021 Q4 33,595,095 $3,549,384,581 -$30,606,912 $105.84 216
2021 Q3 32,362,620 $3,416,927,870 +$46,926,113 $105.58 193
2021 Q2 31,930,382 $3,414,542,949 +$86,430,165 $106.94 197
2021 Q1 31,192,567 $3,158,227,323 +$97,406,579 $101.25 200
2020 Q4 27,738,665 $3,080,614,018 +$312,313,555 $111.07 204
2020 Q3 24,827,290 $2,653,663,128 +$510,166,824 $106.88 186
2020 Q2 20,002,751 $2,126,181,542 -$13,947,855 $106.29 176
2020 Q1 20,403,707 $1,984,253,540 +$3,388,544 $97.13 165
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