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ETF
Vanguard Intermediate-Term Bond Index Fund ETF Shares
BIV
• NYSE ARCA
$75.76
+$0.24
(
0.32%
)
Overview
Dividends
Holdings
β
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Top 10 holdings (
0.96%
)
show more
WIT - Wipro Limited ADR
0.35%
DT - Dynatrace, Inc
0.11%
FNMA - Federal National Mortgage Association
0.1%
MSFT - Microsoft Corporation
0.1%
FHLB - Friendly Hills Bank
0.07%
ABBV - AbbVie Inc
0.05%
AXP - American Express Company
0.05%
DD - DuPont de Nemours, Inc
0.05%
BIIB - Biogen Inc
0.04%
MS - Morgan Stanley
0.04%
Classes
WIT - Wipro Limited ADR
0.35%
DT - Dynatrace, Inc
0.11%
FNMA - Federal National Mortgage Association
0.1%
MSFT - Microsoft Corporation
0.1%
FHLB - Friendly Hills Bank
0.07%
ABBV - AbbVie Inc
0.05%
AXP - American Express Company
0.05%
DD - DuPont de Nemours, Inc
0.05%
BIIB - Biogen Inc
0.04%
MS - Morgan Stanley
0.04%
TMUS - T-Mobile US, Inc
0.04%
WFC - Wells Fargo & Company
0.04%
BABA - Alibaba Group Holding Limited
0.03%
BMO - Bank of Montreal
0.03%
BWA - BorgWarner Inc
0.03%
CAH - Cardinal Health, Inc
0.03%
CB - Chubb Limited
0.03%
DLTR - Dollar Tree, Inc
0.03%
ESGR - Enstar Group Limited
0.03%
KOF - Coca-Cola FEMSA, S.A.B. de C.V
0.03%
NOW - ServiceNow, Inc
0.03%
NVDA - NVIDIA Corporation
0.03%
RJF - Raymond James Financial, Inc
0.03%
SLB - Schlumberger Limited
0.03%
TSN - Tyson Foods, Inc
0.03%
AMZN - Amazon.com, Inc
0.02%
BSX - Boston Scientific Corporation
0.02%
CAG - Conagra Brands, Inc
0.02%
CARR - Carrier Global Corporation
0.02%
CHTR - Charter Communications, Inc
0.02%
CRM - salesforce.com, inc
0.02%
DFS - Discover Financial Services
0.02%
ET - Energy Transfer LP
0.02%
FISV_OLD - Fiserv Inc
0.02%
FOXA - Fox Corporation
0.02%
GD - General Dynamics Corporation
0.02%
GE - GE Aerospace
0.02%
GOOGL - Alphabet Inc
0.02%
HCA - HCA Healthcare, Inc
0.02%
MMC - Marsh & McLennan Companies, Inc
0.02%
MPLX - MPLX LP
0.02%
MRK - Merck & Co., Inc
0.02%
MUFG - Mitsubishi UFJ Financial Group Inc
0.02%
NOC - Northrop Grumman Corporation
0.02%
NWG - Natwest Group PLC
0.02%
PYPL - PayPal Holdings, Inc
0.02%
QCOM - QUALCOMM Incorporated
0.02%
SYY - Sysco Corporation
0.02%
VOD - Vodafone Group Plc
0.02%
VTRS - Viatris Inc
0.02%