Vanguard Mid-Cap Growth Index Fund ETF Shares
VOT
#154
ETF rank
$17.11 B
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
$266.77
Share price
1.35%
Change (1 day)
8.16%
Change (1 year)

Vanguard Mid-Cap Growth Index Fund ETF Shares - Holdings

Etf holdings as of February 28, 2026Number of holdings: 119

Full holdings list

Weight %NameTickerISINShares Held
2.76%
Howmet Aerospace Inc.HWMUS44320110823338326
2.69%
Constellation Energy Corp.CEGUS21037T10972593911
2.55%
Vertiv Holdings Co. Class AVRTUS92537N10813174561
2.28%
Seagate Technology Holdings plcSTXIE00BKVD2N491773174
2.20%
Quanta Services Inc.PWRUS74762E10291238115
2.10%
Motorola Solutions Inc.MSIUS62007630751382907
2.00%
Royal Caribbean Cruises Ltd.RCLLR00088628682037906
1.92%
TransDigm Group Inc.TDGUS8936411003467611
1.75%
Ross Stores Inc.ROSTUS77829610382700347
1.61%
Realty Income Corp.OUS75610910497637965
1.59%
DoorDash Inc. Class ADASHUS25809K10512867725
1.56%
Robinhood Markets Inc. Class AHOODUS77070010276529123
1.54%
Vistra Energy Corp.VSTUS92840M10272813272
1.44%
AMETEK Inc.AMEUS03110010041911386
1.38%
Fastenal Co.FASTUS31190010449532160
1.37%
IDEXX Laboratories Inc.IDXXUS45168D1046663003
1.36%
Monolithic Power Systems Inc.MPWRUS6098391054377885
1.35%
WW Grainger Inc.GWWUS3848021040375068
1.35%
Cloudflare Inc. Class ANETUS18915M10712486648
1.32%
Targa Resources Corp.TRGPUS87612G10131782324
1.31%
Edwards Lifesciences Corp.EWUS28176E10824818223
1.22%
Yum! Brands Inc.YUMUS98849810132305349
1.17%
Carvana Co. Class ACVNAUS14686910271115530
1.15%
Waste Connections Inc.WCNCA94106B10132125747
1.15%
Alnylam Pharmaceuticals Inc.ALNYUS02043Q10761096943
1.12%
ROBLOX Corp.RBLXUS77104910335165402
1.08%
Garmin Ltd.GRMNCH01144053241357416
1.07%
Vulcan Materials Co.VMCUS92916010971097087
1.07%
MSCI Inc. Class AMSCIUS55354G1004592695
1.07%
Martin Marietta Materials Inc.MLMUS5732841060500732
1.06%
Axon Enterprise Inc.AXONUS05464C1018622434
1.06%
Ventas Inc.VTRUS92276F10033900179
1.05%
Microchip Technology Inc.MCHPUS59501710424487334
1.00%
Old Dominion Freight Line Inc.ODFLUS67958010091562529
1.00%
Coinbase Global Inc. Class ACOINUS19260Q10761799713
0.98%
ResMed Inc.RMDUS76115210781211957
0.97%
Take-Two Interactive Software Inc.TTWOUS87405410941457506
0.95%
Datadog Inc. Class ADDOGUS23804L10352702162
0.95%
Hilton Worldwide Holdings Inc.HLTUS43300A2033964954
0.92%
Marvell Technology Inc.MRVLUS57387410413579016
0.91%
Square Inc.XYZUS85223410364547296
0.90%
Agilent Technologies Inc.AUS00846U10162350198
0.90%
Cintas Corp.CTASUS17290810591418089
0.87%
Copart Inc.CPRTUS21720410617233693
0.87%
Carnival Corp.CCLPA14365830068724704
0.84%
Extra Space Storage Inc.EXRUS30225T10251762295
0.84%
Teledyne Technologies Inc.TDYUS8793601050389832
0.83%
Fair Isaac Corp.FICOUS3032501047187015
0.82%
Xylem Inc./NYXYLUS98419M10092021528
0.82%
Waters Corp.WATUS9418481035813019
0.82%
AutoZone Inc.AZOUS053332102469052
0.80%
Ulta Beauty Inc.ULTAUS90384S3031372292
0.79%
Paychex Inc.PAYXUS70432610792689369
0.79%
Interactive Brokers Group Inc.IBKRUS45841N10723512981
0.76%
Verisk Analytics Inc. Class AVRSKUS92345Y10641157208
0.75%
DexCom Inc.DXCMUS25213110743238311
0.73%
Mettler-Toledo International Inc.MTDUS5926881054169621
0.72%
Tractor Supply Co.TSCOUS89235610674387335
0.71%
Snowflake Inc.SNOWUS83344510981336202
0.70%
Veeva Systems Inc. Class AVEEVUS92247510841228375
0.70%
Live Nation Entertainment Inc.LYVUS53803410901364342
0.68%
Zoetis Inc.ZTSUS98978V10351646582
0.67%
Equifax Inc.EFXUS29442910511016245
0.66%
MongoDB Inc.MDBUS60937P1066641733
0.66%
Expedia Group Inc.EXPEUS30212P3038971524
0.66%
Church & Dwight Co. Inc.CHDUS17134010241993799
0.66%
Electronic Arts Inc.EAUS28551210991038312
0.66%
Teradyne Inc.TERUS8807701029650160
0.65%
Fortinet Inc.FTNTUS34959E10912624168
0.64%
Chipotle Mexican Grill Inc. Class ACMGUS16965610595489442
0.64%
CoreWeave Inc. Class ACRWVUS21873S10872566638
0.63%
LPL Financial Holdings Inc.LPLAUS50212V1008664556
0.60%
Ares Management Corp. Class AARESUS03990B10171710513
0.60%
Veralto Corp.VLTOUS92338C10361958525
0.60%
Rockwell Automation Inc.ROKUS7739031091466107
0.58%
Cabot Oil & Gas Corp.CTRAUS12709710396005723
0.57%
Broadridge Financial Solutions Inc.BRUS11133T1034969182
0.56%
Corpay Inc.CPAYUS2199481068551825
0.56%
SBA Communications Corp. Class ASBACUS78410G1040884654
0.56%
Apollo Global Management Inc.APOUS03769M10621686746
0.54%
Brown & Brown Inc.BROUS11523610102409591
0.52%
Lululemon Athletica Inc.LULUUS5500211090895019
0.50%
Rollins Inc.ROLUS77571110492615509
0.50%
EQT Corp.EQTUS26884L10982590840
0.50%
Reddit Inc. Class ARDDTUS75734B10081087145
0.50%
VeriSign Inc.VRSNUS92343E1029692721
0.49%
CoStar Group Inc.CSGPUS22160N10903519011
0.49%
Ingersoll Rand Inc.IRUS45687V10611640318
0.48%
West Pharmaceutical Services Inc.WSTUS9553061055597351
0.47%
HEICO Corp. Class AHEI.AUS4228062083628122
0.45%
Las Vegas Sands Corp.LVSUS51783410702526281
0.44%
Flutter Entertainment plcFLUTIE00BWT6H8941307446
0.44%
Rocket Cos. Inc. Class ARKTUS77311W10187627652
0.43%
Super Micro Computer Inc.SMCIUS86800U30234213165
0.42%
Insmed Inc.INSMUS4576693075885401
0.40%
Texas Pacific Land Corp.TPLUS88262P1021243272
0.40%
Tyler Technologies Inc.TYLUS9022521051357254
0.40%
Zscaler Inc.ZSUS98980G1022860663
0.40%
Iron Mountain Inc.IRMUS46284V10171165794
0.38%
Tradeweb Markets Inc. Class ATWUS8926721064967200
0.37%
Workday Inc. Class AWDAYUS98138H1014884273
0.34%
HEICO Corp.HEIUS4228061093342837
0.34%
HubSpot Inc.HUBSUS4435731009413210
0.33%
Atlassian Corp. Class ATEAMUS04946810101395258
0.32%
Markel Corp.MKLUS570535104849733
0.32%
STERIS plcSTEIE00BFY8C754407451
0.31%
GoDaddy Inc. Class AGDDYUS38023710761122078
0.30%
Estee Lauder Cos. Inc. Class AELUS5184391044877365
0.27%
Trade Desk Inc. Class ATTDUS88339J10513655983
0.26%
First Solar Inc.FSLRUS3364331070423216
0.25%
Pinterest Inc. Class APINSUS72352L10614699901
0.25%
Burlington Stores Inc.BURLUS1220171060261247
0.23%
Insulet Corp.PODDUS45784P1012292048
0.21%
Trimble Inc.TRMBUS8962391004987740
0.10%
TransUnionTRUUS89400J1079403216
0.09%
Blue Owl Capital Inc. Class AOWLUS09581B10352759026
0.07%
Gartner Inc.ITUS3666511072142137
0.05%
Symbotic Inc. Class ASYMUS87151X1019274130
0.02%
Venture Global Inc. Class AVGUS92333F1012496334