corporate bonds

18 articles
The Motley FoolThe Motley Fool··Andy Gould

AXXCESS Exits $60M VTC Position: Strategic Rebalancing or Bond Market Signal?

AXXCESS Wealth Management exits entire $60M VTC stake; maintains corporate bond exposure through other holdings, suggesting strategic consolidation rather than sector retreat.
AGGVTCfixed incomeinterest rates
The Motley FoolThe Motley Fool··Robert Izquierdo

Investment Advisor Builds $4.7M Position in SLQD as Short-Term Bonds Gain Favor

Investment advisor NDWM acquired $4.71M in iShares short-term corporate bond ETF SLQD, signaling bullish outlook on defensive fixed-income strategies amid economic uncertainty.
SLQDETFdividend yield
The Motley FoolThe Motley Fool··Andy Gould

Capital Asset Advisory Trims $7M VTC Position as Bond ETF Demand Remains Steady

Capital Asset Advisory reduced its $VTC stake by $6.96 million, trimming its position from 2.5% to 2.1% of AUM in routine portfolio rebalancing.
VTCportfolio rebalancingdividend yield
The Motley FoolThe Motley Fool··Robert Izquierdo

Corporate Bonds Beat Treasuries: State Street's SPLB Outpaces iShares TLT

State Street's SPLB corporate bond ETF outperforms iShares TLT Treasury bonds with 8.8% vs 4.0% returns and higher yields, offering compelling value for income investors.
TLTSPLBdividend yieldincome investing
The Motley FoolThe Motley Fool··Jonathan Ponciano

Bond Ladder Play: $3.4M Buy Signals Shift to Income-Focused Positioning

Asset manager Clark expands corporate bond ETF position to $16M, reflecting strategic income focus through 2031 maturity ladder.
BSCVfixed incomeinvestment grade
The Motley FoolThe Motley Fool··Jonathan Ponciano

Asset Manager Bets Big on 2030 Bonds as 4%+ Yields Attract Strategic Laddering

Clark Asset Management invested $3.48M in BSCU bond ETF to lock in 4.55% yields through strategic bond laddering approach.
BSCUSEC filingfixed income
The Motley FoolThe Motley Fool··Sara Appino

Same Fee, Different Risk: How VCSH and BSV Chase Yield in Bond Market

Vanguard's VCSH and BSV offer identical 0.03% fees but diverge strategically: VCSH focuses on corporate bonds (4.4% yield), while BSV blends Treasuries and corporates (3.9% yield).
BSVVCSHportfolio diversificationinvestment grade
The Motley FoolThe Motley Fool··Jonathan Ponciano

Clark Asset Management Expands Bond Ladder Strategy With $4.57M BSCT Purchase

Clark Asset Management acquired $4.57M of BSCT corporate bonds as part of a multi-year ladder strategy spanning 2027-2031 maturities, signaling institutional appetite for structured yield certainty.
BSCTfixed incomeinvestment-grade bonds
Investing.comInvesting.com··Brett Owens

Market Turmoil Creates Bargain Window: Five CEFs Offer Yields Up to 12.9% at Deep Discounts

Five closed-end funds trading at 12% discounts to NAV offer yields up to 12.9%, creating bargain opportunities amid market volatility.
NVDAMSFTGOOGGOOGLCSQmarket volatilityincome investing
The Motley FoolThe Motley Fool··Seena Hassouna

Major Wealth Manager Doubles Down on Corporate Bonds With $16M VTC Bet

Wedmont Private Capital adds $16M to Vanguard Total Corporate Bond ETF ($VTC), signaling institutional confidence in investment-grade credit and corporate bond yields.
VTCportfolio allocationdividend yield
The Motley FoolThe Motley Fool··Jonathan Ponciano

Avior Wealth Trims Bond ETF Position as Yield Environment Stabilizes

Avior Wealth Management sold $3.45M in $BSCR bond ETF shares in Q1, reflecting routine portfolio rebalancing amid stabilizing yields, not credit concerns.
BSCRportfolio reallocationfixed income
The Motley FoolThe Motley Fool··Jonathan Ponciano

Major Investor Builds $5M Position in 2028 Bond ETF Amid Yield Hunt

Red Spruce Capital significantly increased its stake in the Invesco BulletShares 2028 Corporate Bond ETF, now representing 3.67% of fund assets through a deliberate fixed-income ladder strategy.
GOOGGOOGLABBVAMATBSCScapital preservationfixed income
The Motley FoolThe Motley Fool··Jonathan Ponciano

Red Spruce Capital Deepens Bond Ladder With $4M Bet on 2027 Maturity ETF

Red Spruce Capital deployed $4.03 million in Invesco's 2027 corporate bond ETF, expanding its fixed-income ladder strategy with a 4.21% portfolio allocation to secure predictable cash flows.
GOOGGOOGLABBVAMATBSCRfixed incomeinvestment grade
The Motley FoolThe Motley Fool··Jonathan Ponciano

Red Spruce Boosts 2029 Bond ETF Position by $3.35M, Signals Confidence in Fixed Income

Red Spruce Capital increased Invesco 2029 Bond ETF holdings by $3.35M, reflecting institutional preference for defined-maturity fixed-income with predictable 4.5% yields.
GOOGGOOGLABBVAMATBSCTcapital preservationfixed income
The Motley FoolThe Motley Fool··Sarah Sidlow

VCIT vs. MUB: Comparing Two Low-Cost Bond ETF Strategies

VCIT offers higher yields through corporate bonds with greater volatility, while MUB provides tax-free municipal income with lower drawdowns and 6,000+ bond diversification.
VCITMUBdividend yieldfixed income
The Motley FoolThe Motley Fool··John Ballard

Gallagher Fiduciary Deepens Bond Bet With $40M Vanguard ETF Purchase

Gallagher Fiduciary increases $VCLT holdings by $40M in Q4, now totaling $64M position, reflecting 2026 rate-cut expectations.
DALMCDVTIPCGPCGpA+9institutional investinginterest rates
The Motley FoolThe Motley Fool··Sarah Sidlow

IGSB vs. VGSH: Navigating the Short-Term Bond ETF Landscape

$IGSB offers higher yields through diverse corporate bonds, while $VGSH provides lower costs, stability, and tax advantages via Treasury holdings.
IGSBdividend yieldexpense ratio
The Motley FoolThe Motley Fool··John Ballard

BSV Expands Short-Term Fixed Income Reach Beyond Treasury Holdings

Vanguard's BSV short-term bond ETF expands beyond Treasuries into corporate and international bonds, offering higher yield potential than its Treasury-focused peer VGSH for diversified fixed-income investors.
VGSHBSVdividend yieldfixed income