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

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / Common Stock
Symbol
VCLT
Shares outstanding
139,509,830
Price per share
$75.85
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
52,546,403
Total reported value
$4,079,630,292
% of total 13F portfolios
0.03%
Share change
-38,237,737
Value change
-$2,890,145,925
Number of holders
335
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Vanguard Long-Term Corporate Bond Index Fund - Common Stock (VCLT) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock Portfolio Management LLC 0.5% -95% $45,588,895 -$1,860,211,578 622,629 -98% BlackRock Portfolio Management LLC 30 Jun 2025

As of 30 Sep 2025, 335 institutional investors reported holding 52,546,403 shares of Vanguard Long-Term Corporate Bond Index Fund - Common Stock (VCLT). This represents 38% of the company’s total 139,509,830 outstanding shares.

Top 25 Institutional Shareholders

The largest institutional shareholders of Vanguard Long-Term Corporate Bond Index Fund - Common Stock (VCLT) together control 26% of the company’s outstanding shares — a level of ownership often associated with strong institutional conviction and long‑term capital commitment.

Institution Ownership % Shares Held Share Change % Portfolio % Holdings Value
MORGAN STANLEY 6.1% 8,560,538 +61% 0.04% $664,725,816
State of Tennessee, Department of Treasury 2.1% 2,876,267 +1.7% 0.74% $223,342,133
Meiji Yasuda Life Insurance Co 2% 2,833,000 0% 6.3% $219,982,450
BANK OF AMERICA CORP /DE/ 2% 2,728,943 +14% 0.02% $211,902,443
Allianz Investment Management U.S. LLC 1.7% 2,416,012 0% 7% $187,603,332
COUNTRY TRUST BANK 1.4% 1,932,495 3.3% $150,058,237
WELLS FARGO & COMPANY/MN 1.2% 1,662,164 +4.4% 0.03% $129,066,962
Varma Mutual Pension Insurance Co 1.1% 1,600,000 0% 0.8% $124,240,000
NORTHWESTERN MUTUAL INVESTMENT MANAGEMENT COMPANY, LLC 0.87% 1,214,290 +343% 1.4% $94,289,619
MILLENNIUM MANAGEMENT LLC 0.87% 1,212,092 0.07% $94,118,944
Angeles Investment Advisors, LLC 0.79% 1,100,900 -31% 5.6% $85,484,885
GLOBE LIFE INC. 0.5% 704,500 +48% 14% $54,704,425
UBS Group AG 0.49% 681,134 +4.8% 0.01% $52,890,055
GDS Wealth Management 0.47% 656,579 +16% 3.4% $50,983,359
NYL Investors LLC 0.45% 629,928 +0.69% 16% $48,913,909
JANE STREET GROUP, LLC 0.45% 629,448 +151% 0.06% $48,876,637
BlackRock, Inc. 0.45% 622,203 -0.07% 0% $48,314,063
LPL Financial LLC 0.45% 622,123 -4.2% 0.01% $48,307,812
RAYMOND JAMES FINANCIAL INC 0.43% 600,115 -14% 0.01% $46,598,984
ROYAL BANK OF CANADA 0.42% 580,906 -2.4% 0.01% $45,108,000
AMERIPRISE FINANCIAL INC 0.4% 560,521 -23% 0.01% $43,524,944
ALLIANCEBERNSTEIN L.P. 0.39% 550,333 +1.5% 0.01% $42,733,357
Sanctuary Advisors, LLC 0.38% 528,657 +11% 0.23% $41,050,249
Advisory Alpha, LLC 0.37% 520,521 +3.4% 1.1% $40,522,801
Employees' Retirement Fund of the City of Fort Worth 0.35% 484,100 +16% 18% $37,590,365

Institutional Holders of Vanguard Long-Term Corporate Bond Index Fund - Common Stock (VCLT) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 971,077 $73,659,133 -$33,724,106 $75.85 25
2025 Q3 52,546,403 $4,079,630,292 -$2,890,145,925 $77.65 335
2025 Q2 90,694,452 $6,883,305,460 -$3,384,612,492 $75.90 321
2025 Q1 135,847,645 $10,301,811,149 -$343,816,893 $75.91 334
2024 Q4 141,400,026 $10,573,030,798 +$569,163,584 $74.78 344
2024 Q3 132,098,096 $10,723,617,705 +$3,413,931,983 $81.23 323
2024 Q2 90,240,034 $6,842,703,876 +$1,645,058,588 $75.86 303
2024 Q1 69,079,271 $5,399,425,380 +$992,235,086 $78.23 301
2023 Q4 213,118 $17,115,986 +$8,324,765 $80.15 4
2023 Q3 58,257,654 $4,173,038,187 +$491,830,989 $71.62 234
2023 Q2 54,127,273 $4,248,547,997 +$267,290,876 $78.49 243
2023 Q1 50,823,723 $4,051,595,115 +$470,235,863 $79.72 221
2022 Q4 44,725,011 $3,386,357,894 +$135,362,242 $75.71 221
2022 Q3 43,141,136 $3,160,812,195 +$180,163,481 $73.24 204
2022 Q2 40,662,377 $3,298,650,701 +$145,010,873 $81.11 211
2022 Q1 38,360,607 $3,591,946,270 +$428,693,643 $93.67 214
2021 Q4 33,547,595 $3,544,376,703 -$55,398,599 $105.84 215
2021 Q3 32,560,494 $3,430,804,034 +$65,095,245 $105.58 195
2021 Q2 31,882,655 $3,409,450,029 +$86,473,144 $106.94 198
2021 Q1 31,144,464 $3,153,374,378 +$93,209,504 $101.25 201
2020 Q4 27,019,222 $3,000,716,189 +$295,904,433 $111.07 201
2020 Q3 23,737,160 $2,537,145,507 +$472,712,192 $106.88 182
2020 Q2 19,909,833 $2,116,326,174 -$6,301,089 $106.29 175
2020 Q1 20,541,812 $1,997,659,272 +$3,450,936 $97.13 164
2019 Q4 20,276,612 $2,055,324,053 +$63,571,993 $101.36 173
2019 Q3 19,419,945 $1,963,737,501 +$156,506,886 $101.14 156
2019 Q2 17,900,083 $1,733,548,238 +$193,115,637 $96.87 139
2019 Q1 15,467,102 $1,404,129,309 +$247,510,877 $91.53 134
2018 Q4 13,051,917 $1,104,978,201 -$34,769,216 $85.18 128
2018 Q3 12,599,057 $1,107,967,913 +$292,929,643 $87.99 125
2018 Q2 10,228,356 $895,817,232 +$136,450,045 $87.57 122
2018 Q1 8,684,894 $793,278,641 -$251,069,717 $91.36 129
2017 Q4 10,898,526 $1,043,617,175 +$200,760,985 $95.75 140
2017 Q3 8,691,247 $818,543,000 +$63,252,617 $94.17 116
2017 Q2 8,024,461 $747,796,713 +$109,709,408 $93.30 110
2017 Q1 6,761,919 $607,943,175 -$233,861,260 $89.90 104
2016 Q4 9,517,539 $850,587,471 +$202,833,216 $89.35 99
2016 Q3 7,129,623 $681,872,115 +$95,503,383 $95.70 98
2016 Q2 6,078,344 $574,687,890 +$33,609,187 $94.54 91
2016 Q1 5,705,869 $510,409,463 -$93,181,361 $89.45 87
2015 Q4 6,867,152 $578,086,583 +$60,014,339 $84.18 82
2015 Q3 6,103,957 $525,069,782 +$86,815,353 $86.03 68
2015 Q2 5,104,360 $435,476,685 -$191,850,439 $85.31 71
2015 Q1 7,271,238 $683,685,034 +$192,998,873 $94.10 78
2014 Q4 5,138,919 $474,921,099 +$46,482,695 $92.42 61
2014 Q3 4,264,588 $381,805,000 -$5,551,936 $89.52 54
2014 Q2 4,319,224 $389,787,000 +$82,362,613 $90.25 55
2014 Q1 3,409,341 $297,456,690 +$24,215,236 $87.26 46