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Regular session · ET · Market data may be delayed.
As a component of the Vanguard Target Maturity Corporate Bond series, VBCE distinguishes itself by functioning more like a standalone bond than a conventional bond fund. Rather than offering continuous exposure to a segment of the US corporate investment-grade bond market, this fund provides a specific, "bullet" maturity date of December 15, 2031. As this target date approaches, the fund's remaining maturity, duration, and yield-to-maturity will gradually diminish. On its predetermined expiration date, VBCE will liquidate, distributing all capital back to its investors. This particular design makes it an excellent tool for constructing bond ladders. In essence, VBCE presents an efficient way to gain exposure to a diverse collection of high-quality US corporate bonds, all while replicating the natural progression of an individual bond's existence.
Fund facts updated Oct 9, 2026.
Day range
Current $72.9817
52-week range
Current $72.9817
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ETF data may be delayed, incomplete, or revised. Holdings and exposures change over time. Historical performance does not guarantee future results. This page is for informational and educational purposes only and does not constitute investment advice or a recommendation.

NASDAQ Global MarketETF
$72.9817
+$0.0817 · +0.11%
At close: Oct 8, 4:00 PM ET
$72.9817
$0.00 · 0.00%
After hours · As of Oct 8, 4:15 PM ET
1 month
-1.55%
3 months
-2.90%
Since inception
-2.33%
Cumulative price changes exclude distributions and investor-specific taxes, trading costs, and cash flows.
Showing 15 of 593 reported holdings
Displayed portfolio weight: 10.49%
Holdings data updated Oct 7, 2026.
Oct 1, 2026
Oct 1, 2026
Oct 5, 2026
$0.2794
Monthly
Sep 1, 2026
Sep 1, 2026
Sep 3, 2026
$0.2784
Monthly
Aug 3, 2026
Aug 3, 2026
Aug 5, 2026
$0.2753
Monthly
Jul 1, 2026
Jul 1, 2026
Jul 6, 2026
$0.2736
Monthly
Jun 1, 2026
Jun 1, 2026
Jun 3, 2026
$0.2571
Monthly
May 1, 2026
May 1, 2026
May 5, 2026
$0.0951
Irregular
Amounts are shown per share in the ETF trading currency and adjusted for splits when the provider supplies an adjusted value; otherwise the reported amount is used.