VFT

Vanguard Fiduciary Trust Portfolio holdings

AUM $396B
This Fund
S&P 500
This Quarter Est. Return
1 Year Est. Return
3 Year Est. Return
5 Year Est. Return
10 Year Est. Return
AUM
$396B
AUM Growth
Cap. Flow
Cap. Flow %
Top 10 Hldgs %
Holding
4,063
New
Increased
Reduced
Closed

Top Buys

1 +$25.4B
2 +$21.9B
3 +$17.8B
4
AMZN icon
Amazon
AMZN
+$12.3B
5
GOOGL icon
Alphabet (Google) Class A
GOOGL
+$10.4B

Top Sells

No sells this quarter

Sector Composition

1 Technology 29.76%
2 Financials 13.74%
3 Healthcare 10.06%
4 Consumer Discretionary 9.73%
5 Industrials 9.71%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
NLY icon
526
Annaly Capital Management
NLY
$15.9B
$94M 0.02%
+4,446,410
LVS icon
527
Las Vegas Sands
LVS
$33.9B
$94M 0.02%
+1,744,160
EQX icon
528
Equinox Gold
EQX
$10.4B
$93.9M 0.02%
+6,503,308
ALAB icon
529
Astera Labs
ALAB
$39.9B
$93.4M 0.02%
+851,761
LULU icon
530
lululemon athletica
LULU
$13.8B
$93.1M 0.02%
+608,058
AKAM icon
531
Akamai
AKAM
$21.9B
$93M 0.02%
+809,674
SATS icon
532
EchoStar
SATS
$39.8B
$92.8M 0.02%
+792,672
WPC icon
533
W.P. Carey
WPC
$16.2B
$92.6M 0.02%
+1,361,945
FFIV icon
534
F5
FFIV
$20.5B
$92M 0.02%
+318,122
SUI icon
535
Sun Communities
SUI
$14.8B
$92M 0.02%
+730,287
ROL icon
536
Rollins
ROL
$25.7B
$91.2M 0.02%
+1,708,017
EWBC icon
537
East-West Bancorp
EWBC
$16.4B
$91.1M 0.02%
+853,378
ZS icon
538
Zscaler
ZS
$25.9B
$91.1M 0.02%
+649,305
MDLN
539
Medline Inc
MDLN
$30.6B
$90.8M 0.02%
+2,040,266
AG icon
540
First Majestic Silver
AG
$10.1B
$90.7M 0.02%
+4,230,575
TLN
541
Talen Energy Corp
TLN
$15.2B
$90.7M 0.02%
+284,008
KTOS icon
542
Kratos Defense & Security Solutions
KTOS
$9.77B
$90.4M 0.02%
+1,282,442
MTSI icon
543
MACOM Technology Solutions
MTSI
$28.7B
$90.1M 0.02%
+405,532
JLL icon
544
Jones Lang LaSalle
JLL
$13.4B
$89.5M 0.02%
+294,156
INCY icon
545
Incyte
INCY
$19B
$89.3M 0.02%
+948,295
JBHT icon
546
JB Hunt Transport Services
JBHT
$24.7B
$89.2M 0.02%
+421,128
BALL icon
547
Ball Corp
BALL
$14.7B
$89M 0.02%
+1,505,455
AMCR icon
548
Amcor
AMCR
$17B
$88.8M 0.02%
+2,234,950
CDW icon
549
CDW
CDW
$13B
$88.8M 0.02%
+733,749
CLH icon
550
Clean Harbors
CLH
$16.1B
$88.8M 0.02%
+309,653