VUG
Vanguard Growth ETFVanguardLarge cap growthHoldings as of Jul 31, 2026StaleSource: Vanguard
These holdings are from Jul 31, 2026, more than 45 days old: this fund's source has not published newer holdings. Weights and share counts will have moved since.
Positions
146
146 identified
Top 10 weight
63.6%
of the fund
Concentration (HHI)
564
0 to 10,000; higher is more concentrated
Identified weight
99.7%
of net assets, with a usable identifier
Sector Allocation
Percent of the fund, for holdings that are companies we cover. 1.3% of the reported weight is not classified (holdings outside our coverage, cash and futures).
Top 10 holdings
- 12.81%
- 12.59%
- 9.59%
- 5.80%
- 5.15%
- 4.62%
- 4.46%
- 3.41%
- 2.72%
- 2.44%
Holdings146 positions
| # | |||||
|---|---|---|---|---|---|
| 1 | NVDA | NVIDIA Corp. | 12.81% | 237,739,522 | $47.7B |
| 2 | AAPL | Apple Inc. | 12.59% | 151,898,867 | $46.9B |
| 3 | MSFT | Microsoft Corp. | 9.59% | 76,887,459 | $35.7B |
| 4 | GOOGL | Alphabet Inc. Class A | 5.80% | 60,654,219 | $21.6B |
| 5 | AMZN | Amazon.com Inc. | 5.15% | 70,659,570 | $19.2B |
| 6 | GOOG | Alphabet Inc. Class C | 4.62% | 48,323,532 | $17.2B |
| 7 | AVGO | Broadcom Inc. | 4.46% | 42,712,192 | $16.6B |
| 8 | META | Facebook Inc. Class A | 3.41% | 22,794,935 | $12.7B |
| 9 | LLY | Eli Lilly & Co. | 2.72% | 8,812,291 | $10.1B |
| 10 | TSLA | Tesla Inc. | 2.44% | 29,255,724 | $9.1B |
| 11 | AMD | Advanced Micro Devices Inc. | 2.17% | 16,968,213 | $8.1B |
| 12 | V | Visa Inc. Class A | 1.66% | 16,895,052 | $6.2B |
| 13 | MA | Mastercard Inc. Class A | 1.27% | 8,285,652 | $4.7B |
| 14 | COST | Costco Wholesale Corp. | 1.19% | 4,650,110 | $4.4B |
| 15 | AMAT | Applied Materials Inc. | 1.13% | 8,310,737 | $4.2B |
| 16 | LRCX | Lam Research Corp. | 1.03% | 13,091,402 | $3.8B |
| 17 | NFLX | Netflix Inc. | 0.85% | 44,343,769 | $3.2B |
| 18 | PANW | Palo Alto Networks Inc. | 0.77% | 8,661,186 | $2.9B |
| 19 | PLTR | Palantir Technologies Inc. Class A | 0.76% | 23,031,981 | $2.8B |
| 20 | GEV | GE Vernova LLC | 0.75% | 2,838,118 | $2.8B |
| 21 | KLAC | KLA Corp. | 0.68% | 13,766,888 | $2.5B |
| 22 | ORCL | Oracle Corp. | 0.63% | 18,180,778 | $2.4B |
| 23 | APH | Amphenol Corp. Class A | 0.57% | 13,115,188 | $2.1B |
| 24 | ANET | Arista Networks Inc. | 0.55% | 11,454,228 | $2.1B |
| 25 | MCD | McDonald's Corp. | 0.55% | 7,570,624 | $2.0B |
| 26 | STX | Seagate Technology Holdings plc | 0.55% | 2,377,636 | $2.0B |
| 27 | GE | General Electric Co. | 0.54% | 5,572,587 | $2.0B |
| 28 | CRWD | Crowdstrike Holdings Inc. Class A | 0.53% | 10,377,673 | $2.0B |
| 29 | WDC | Western Digital Corp. | 0.53% | 3,652,382 | $2.0B |
| 30 | INTC | Intel Corp. | 0.52% | 21,307,503 | $1.9B |
| 31 | SNDK | Sandisk Corp. | 0.51% | 1,563,074 | $1.9B |
| 32 | TJX | TJX Cos. Inc. | 0.50% | 11,823,039 | $1.9B |
| 33 | BA | Boeing Co. | 0.49% | 8,433,969 | $1.8B |
| 34 | MRVL | Marvell Technology Inc. | 0.48% | 9,495,134 | $1.8B |
| 35 | WELL | Welltower Inc. | 0.48% | 7,610,069 | $1.8B |
| 36 | BKNG | Booking Holdings Inc. | 0.43% | 8,387,632 | $1.6B |
| 37 | ISRG | Intuitive Surgical Inc. | 0.36% | 3,821,961 | $1.4B |
| 38 | TXN | Texas Instruments Inc. | 0.36% | 4,918,317 | $1.4B |
| 39 | SBUX | Starbucks Corp. | 0.35% | 12,432,566 | $1.3B |
| 40 | VRTX | Vertex Pharmaceuticals Inc. | 0.35% | 2,765,176 | $1.3B |
| 41 | NOW | ServiceNow Inc. | 0.34% | 11,339,440 | $1.3B |
| 42 | HWM | Howmet Aerospace Inc. | 0.33% | 4,365,545 | $1.2B |
| 43 | APP | AppLovin Corp. Class A | 0.32% | 2,979,491 | $1.2B |
| 44 | EQIX | Equinix Inc. | 0.30% | 1,079,223 | $1.1B |
| 45 | FTNT | Fortinet Inc. | 0.30% | 6,889,937 | $1.1B |
| 46 | PWR | Quanta Services Inc. | 0.29% | 1,642,289 | $1.1B |
| 47 | SNOW | Snowflake Inc. | 0.29% | 3,682,300 | $1.1B |
| 48 | CDNS | Cadence Design Systems Inc. | 0.28% | 3,018,046 | $1.0B |
| 49 | DDOG | Datadog Inc. Class A | 0.27% | 3,708,221 | $993.7M |
| 50 | NET | Cloudflare Inc. Class A | 0.27% | 3,591,180 | $1.0B |
Showing 50 of 146 positions (the largest 100 are loaded).
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