Vanguard Mega Cap Growth Index Fund
MGK
#80
ETF rank
A$49.29 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
A$627.20
Share price
0.12%
Change (1 day)
15.57%
Change (1 year)

Vanguard Mega Cap Growth Index Fund - Holdings

Etf holdings as of October 31, 2025

Number of holdings: 66

Full holdings list

Weight %NameTickerISINShares Held
14.28%NVIDIA Corp.NVDAUS67066G104023301595
12.20%Apple Inc.AAPLUS037833100514908346
11.73%Microsoft Corp.MSFTUS59491810457482459
4.84%Alphabet Inc. Class AGOOGLUS02079K30595681630
4.53%Broadcom Inc.AVGOUS11135F10124050460
4.32%Amazon.com Inc.AMZNUS02313510675838275
4.22%Tesla Inc.TSLAUS88160R10143051950
3.85%Alphabet Inc. Class CGOOGUS02079K10794508027
3.54%Facebook Inc. Class AMETAUS30303M10271802681
2.53%Eli Lilly & Co.LLYUS5324571083970162
1.90%Visa Inc. Class AVUS92826C83941842220
1.66%Netflix Inc.NFLXUS64110L1061489312
1.58%Palantir Technologies Inc. Class APLTRUS69608A10882597932
1.57%Advanced Micro Devices Inc.AMDUS00790310782027867
1.57%Mastercard Inc. Class AMAUS57636Q1040937993
0.90%salesforce.com Inc.CRMUS79466L30241147447
0.87%Oracle Corp.ORCLUS68389X10541091274
0.85%Lam Research Corp.LRCXUS51280730621785493
0.82%McDonald's Corp.MCDUS5801351017903750
0.79%Uber Technologies Inc.UBERUS90353T10072717149
0.78%Costco Wholesale Corp.COSTUS22160K1051283041
0.77%Intuitive Surgical Inc.ISRGUS46120E6023478271
0.75%ServiceNow Inc.NOWUS81762P1021270913
0.74%Intuit Inc.INTUUS4612021034364112
0.72%Amphenol Corp. Class AAPHUS03209510171709630
0.70%KLA Corp.KLACUS4824801009190274
0.68%AppLovin Corp. Class AAPPUS03831W1080353996
0.66%Arista Networks Inc.ANETUS04041320541388242
0.66%Booking Holdings Inc.BKNGUS09857L108942715
0.65%GE Vernova LLCGEVUS36828A1016367846
0.64%TJX Cos. Inc.TJXUS87254010901511633
0.63%Palo Alto Networks Inc.PANWUS6974351057943050
0.61%S&P Global Inc.SPGIUS78409V1044416517
0.61%Boeing Co.BAUS09702310581001611
0.61%Boston Scientific Corp.BSXUS10113710771997961
0.60%Adobe Inc.ADBEUS00724F1012581683
0.59%Crowdstrike Holdings Inc. Class ACRWDUS22788C1053360451
0.54%Welltower Inc.WELLUS95040Q1040981933
0.50%Vertex Pharmaceuticals Inc.VRTXUS92532F1003387235
0.43%Cadence Design Systems Inc.CDNSUS1273871087419036
0.42%T-Mobile US Inc.TMUSUS8725901040658481
0.42%Equinix Inc.EQIXUS29444U7000162602
0.39%American Tower Corp.AMTUS03027X1000726631
0.38%O'Reilly Automotive Inc.ORLYUS67103H10771334824
0.38%Sherwin-Williams Co.SHWUS8243481061360320
0.37%Synopsys Inc.SNPSUS8716071076272752
0.37%Moody's Corp.MCOUS6153691059252564
0.35%Texas Instruments Inc.TXNUS8825081040724565
0.34%Ecolab Inc.ECLUS2788651006436906
0.34%MicroStrategy Inc. Class AMSTRUS5949724083415624
0.33%Autodesk Inc.ADSKUS0527691069366271
0.33%Marvell Technology Inc.MRVLUS57387410411171136
0.32%Stryker Corp.SYKUS8636671013298302
0.32%Marriott International Inc./MD Class AMARUS5719032022401760
0.31%Workday Inc. Class AWDAYUS98138H1014426297
0.30%Snowflake Inc.SNOWUS8334451098359744
0.30%Airbnb Inc. Class AABNBUS0090661010775527
0.29%Monster Beverage Corp.MNSTUS61174X10901449828
0.29%Blackstone Group LPBXUS09260D1072658064
0.29%Automatic Data Processing Inc.ADPUS0530151036368151
0.24%Chipotle Mexican Grill Inc. Class ACMGUS16965610592526748
0.24%Fortinet Inc.FTNTUS34959E1091918233
0.23%Hilton Worldwide Holdings Inc.HLTUS43300A2033290763
0.22%Cintas Corp.CTASUS1729081059402784
0.22%Zoetis Inc.ZTSUS98978V1035506592
0.22%AutoZone Inc.AZOUS053332102419584