Vanguard Mega Cap Value Index Fund
MGV
#225
ETF rank
โ‚น1.061 T
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
โ‚น13,886
Share price
0.27%
Change (1 day)
24.15%
Change (1 year)

Vanguard Mega Cap Value Index Fund - Holdings

Etf holdings as of January 31, 2026Number of holdings: 123

Full holdings list

Weight %NameTickerISINShares Held
4.13%
JPMorgan Chase & Co.JPMUS46625H10051547498
3.40%
Berkshire Hathaway Inc. Class BBRK.BUS0846707026810360
3.07%
Exxon Mobil Corp.XOMUS30231G10222491006
2.82%
Johnson & JohnsonJNJUS47816010461423149
2.69%
Walmart Inc.WMTUS93114210392590261
2.41%
Micron Technology Inc.MUUS5951121038664744
2.15%
Costco Wholesale Corp.COSTUS22160K1051261782
2.03%
AbbVie Inc.ABBVUS00287Y10911043979
1.92%
Home Depot Inc.HDUS4370761029588040
1.83%
Procter & Gamble Co.PGUS74271810911380293
1.75%
Bank of America Corp.BACUS06050510463780209
1.74%
Chevron Corp.CVXUS16676410051129859
1.58%
General Electric Co.GEUS3696043013591929
1.48%
International Business Machines Corp.IBMUS4592001014552146
1.46%
Wells Fargo & Co.WFCUS94974610151854241
1.44%
Philip Morris International Inc.PMUS7181721090919481
1.44%
Cisco Systems Inc.CSCOUS17275R10232100502
1.44%
Caterpillar Inc.CATUS1491231015250238
1.41%
Merck & Co. Inc.MRKUS58933Y10551466073
1.40%
Goldman Sachs Group Inc.GSUS38141G1040171599
1.39%
RTX Corp.RTXUS75513E1010792010
1.34%
UnitedHealth Group Inc.UNHUS91324P1021535064
1.33%
Coca-Cola Co.KOUS19121610072032705
1.32%
Applied Materials Inc.AMATUS0382221051470577
1.19%
Berkshire Hathaway Inc. Class ABRK.AUS0846701086188
1.12%
Morgan StanleyMSUS6174464486704111
1.12%
Thermo Fisher Scientific Inc.TMOUS8835561023221982
1.10%
Linde plcLINIE000S9YS762275804
1.08%
PepsiCo Inc.PEPUS7134481081807633
1.04%
Walt Disney Co.DISUS25468710601054534
1.03%
Citigroup Inc.CUS17296742421021945
1.01%
Texas Instruments Inc.TXNUS8825081040536716
0.98%
Abbott LaboratoriesABTUS00282410001027120
0.97%
Intel Corp.INTCUS45814010012394980
0.96%
AT&T Inc.TUS00206R10234187160
0.95%
Amgen Inc.AMGNUS0311621009318068
0.94%
NextEra Energy Inc.NEEUS65339F10121230190
0.91%
Gilead Sciences Inc.GILDUS3755581036732847
0.90%
Charles Schwab Corp.SCHWUS8085131055997154
0.88%
American Express Co.AXPUS0258161092284830
0.87%
Verizon Communications Inc.VZUS92343V10442241132
0.85%
Accenture plc Class AACNIE00B4BNMY34367904
0.84%
QUALCOMM Inc.QCOMUS7475251036632626
0.81%
Blackrock Inc.BLKUS09290D101982480
0.78%
Analog Devices Inc.ADIUS0326541051289238
0.77%
Pfizer Inc.PFEUS71708110353358015
0.77%
Lowe's Cos. Inc.LOWUS5486611073331343
0.76%
Lockheed Martin Corp.LMTUS5398301094136683
0.74%
Honeywell International Inc.HONUS4385161066375006
0.72%
Union Pacific Corp.UNPUS9078181081350337
0.72%
Capital One Financial Corp.COFUS14040H1059375507
0.72%
Danaher Corp.DHRUS2358511028375433
0.70%
Eaton Corp. plcETNIE00B8KQN827229420
0.70%
Deere & Co.DEUS2441991054151693
0.68%
Medtronic plcMDTIE00BTN1Y115757246
0.66%
ConocoPhillipsCOPUS20825C1045729830
0.66%
Stryker Corp.SYKUS8636671013203291
0.63%
Progressive Corp.PGRUS7433151039346362
0.62%
Prologis Inc.PLDUS74340W1036547055
0.61%
Parker-Hannifin Corp.PHUS701094104274539
0.58%
McDonald's Corp.MCDUS5801351017210328
0.58%
Bristol-Myers Squibb Co.BMYUS11012210831202593
0.57%
Chubb Ltd.CBCH0044328745209237
0.56%
Comcast Corp. Class ACMCSAUS20030N10192146378
0.54%
Blackstone Group LPBXUS09260D1072436192
0.54%
Starbucks Corp.SBUXUS8552441094671639
0.54%
CME Group Inc.CMEUS12572Q1058212997
0.54%
Altria Group Inc.MOUS02209S1033991492
0.53%
McKesson Corp.MCKUS58155Q103172909
0.51%
Automatic Data Processing Inc.ADPUS0530151036238864
0.51%
Intercontinental Exchange Inc.ICEUS45866F1049336773
0.51%
Northrop Grumman Corp.NOCUS666807102984303
0.51%
Southern Co.SOUS8425871071649830
0.49%
CVS Health Corp.CVSUS1266501006749823
0.49%
Duke Energy Corp.DUKUS26441C2044459542
0.48%
Trane Technologies plcTTIE00BK9ZQ967130976
0.48%
Marsh & McLennan Cos. Inc.MRSHUS5717481023289361
0.46%
Waste Management Inc.WMUS94106L1098237952
0.45%
PNC Financial Services Group Inc.PNCUS6934751057231619
0.45%
US BancorpUSBUS9029733048918072
0.45%
Freeport-McMoRan Inc.FCXUS35671D8570848166
0.44%
General Dynamics Corp.GDUS3695501086143608
0.43%
Bank of New York Mellon Corp.BKUS0640581007411935
0.43%
Emerson Electric Co.EMRUS2910111044331857
0.42%
3M Co.MMMUS88579Y1010313774
0.40%
United Parcel Service Inc. Class BUPSUS9113121068436251
0.40%
HCA Healthcare Inc.HCAUS40412C101894355
0.39%
KKR & Co. Inc. Class AKKRUS48251W1045394864
0.39%
Anthem Inc.ELVUS0367521038130072
0.39%
Mondelez International Inc. Class AMDLZUS6092071058762747
0.38%
NIKE Inc. Class BNKEUS6541061031702460
0.38%
Cigna Corp.CIUS1255231003157822
0.37%
Colgate-Palmolive Co.CLUS1941621039476051
0.37%
Regeneron Pharmaceuticals Inc.REGNUS75886F107557954
0.37%
Illinois Tool Works Inc.ITWUS4523081093162833
0.37%
Aon plc Class AAONIE00BLP1HW54120606
0.36%
CSX Corp.CSXUS12640810351099815
0.34%
Truist Financial Corp.TFCUS89832Q1094756085
0.34%
Norfolk Southern Corp.NSCUS6558441084132524
0.33%
American Electric Power Co. Inc.AEPUS0255371017315465
0.33%
Travelers Cos. Inc.TRVUS89417E1091131758
0.31%
EOG Resources Inc.EOGUS26875P1012320796
0.31%
Air Products & Chemicals Inc.APDUS0091581068131526
0.23%
T-Mobile US Inc.TMUSUS8725901040132627
0.22%
Republic Services Inc. Class ARSGUS7607591002118834
0.22%
American Tower Corp.AMTUS03027X1000138365
0.22%
Sherwin-Williams Co.SHWUS824348106169535
0.21%
Williams Cos. Inc.WMBUS9694571004360551
0.19%
Dell Technologies Inc.DELLUS24703L2025189039
0.19%
Johnson Controls International plcJCIIE00BY7QL619180489
0.18%
FedEx Corp.FDXUS31428X106362931
0.15%
Simon Property Group Inc.SPGUS828806109191575
0.15%
Aflac Inc.AFLUS0010551028154844
0.15%
Kinder Morgan Inc./DEKMIUS49456B1017558845
0.15%
Sempra EnergySREUS8168511090192723
0.14%
Apollo Global Management Inc.APOUS03769M1062119980
0.13%
Zoetis Inc.ZTSUS98978V1035117388
0.12%
PayPal Holdings Inc.PYPLUS70450Y1038257893
0.10%
Roper Technologies Inc.ROPUS776696106131775
0.05%
MicroStrategy Inc. Class AMSTRUS594972408339617
0.00%
Paychex Inc.PAYXUS70432610791
0.00%
MetLife Inc.METUS59156R10861
0.00%
Fiserv Inc.FISVUS33773810881