Vanguard Group

Vanguard Group Portfolio holdings

AUM $6.18T
1-Year Return 25.19%
 

The Vanguard Group, founded in 1975 by John C. Bogle, is one of the world's largest investment management companies, headquartered in Malvern, Pennsylvania. As of recent years, it manages trillions in assets, offering a wide range of mutual funds, ETFs, and retirement products, catering to both individual and institutional investors. Its philosophy emphasizes low fees, diversification, and a buy-and-hold strategy, making it a dominant player in the passive investing revolution.

This Quarter Return
+2.57%
1 Year Return
+25.19%
3 Year Return
+103.99%
5 Year Return
+190.29%
10 Year Return
+458.75%
AUM
$1.47T
AUM Growth
+$86B
Cap. Flow
+$66.6B
Cap. Flow %
4.52%
Top 10 Hldgs %
12.47%
Holding
4,229
New
183
Increased
3,458
Reduced
315
Closed
76

Sector Composition

1 Healthcare 13.67%
2 Technology 13.65%
3 Financials 13.57%
4 Industrials 10.62%
5 Consumer Discretionary 9.16%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
UMH
3001
UMH Properties
UMH
$1.29B
$4.97M ﹤0.01%
493,542
+22,062
+5% +$222K
VXUS icon
3002
Vanguard Total International Stock ETF
VXUS
$103B
$4.95M ﹤0.01%
98,399
+46,782
+91% +$2.36M
RNWK
3003
DELISTED
RealNetworks Inc
RNWK
$4.95M ﹤0.01%
735,995
-302,495
-29% -$2.04M
DSCI
3004
DELISTED
Derma Sciences, Inc. Common Stock (DE)
DSCI
$4.94M ﹤0.01%
582,976
+39,335
+7% +$333K
CLUB
3005
DELISTED
Town Sports International Holdings, Inc.
CLUB
$4.92M ﹤0.01%
723,107
+7,580
+1% +$51.6K
MN
3006
DELISTED
MANNING & NAPIER, INC.
MN
$4.92M ﹤0.01%
378,154
+25,232
+7% +$328K
OMCC
3007
Old Market Capital Corporation Common Stock
OMCC
$36.8M
$4.89M ﹤0.01%
349,210
-1,448
-0.4% -$20.3K
CASC
3008
DELISTED
Cascadian Therapeutics, Inc.
CASC
$4.89M ﹤0.01%
500,227
+121,280
+32% +$1.19M
AE
3009
DELISTED
Adams Resources & Energy Inc.
AE
$4.87M ﹤0.01%
72,403
+2,685
+4% +$180K
ESI
3010
DELISTED
ITT EDUCATIONAL SERVICES INC
ESI
$4.86M ﹤0.01%
715,443
+14,891
+2% +$101K
PZN
3011
DELISTED
Pzena Investment Management, Inc. Class A
PZN
$4.81M ﹤0.01%
524,861
+11,844
+2% +$109K
UTMD icon
3012
Utah Medical Products
UTMD
$201M
$4.81M ﹤0.01%
80,328
+2,667
+3% +$160K
LWAY icon
3013
Lifeway Foods
LWAY
$495M
$4.81M ﹤0.01%
224,720
+569
+0.3% +$12.2K
COB
3014
DELISTED
CommunityOne Bancorp
COB
$4.8M ﹤0.01%
487,762
+1,269
+0.3% +$12.5K
MODN
3015
DELISTED
MODEL N, INC.
MODN
$4.8M ﹤0.01%
400,889
+64,018
+19% +$766K
TWIN icon
3016
Twin Disc
TWIN
$192M
$4.79M ﹤0.01%
271,182
+3,799
+1% +$67.1K
EARN
3017
Ellington Residential Mortgage REIT
EARN
$212M
$4.78M ﹤0.01%
291,552
+83,562
+40% +$1.37M
LTM
3018
DELISTED
LATAM Airlines Group S.A American Depositary Shares (Each representing 1 Common Share)
LTM
$4.77M ﹤0.01%
592,107
EZCH
3019
DELISTED
EZCHIP SEMICONDUCTOR LIMITED ORD SHS (IL)
EZCH
$4.76M ﹤0.01%
+248,735
New +$4.76M
DMRC icon
3020
Digimarc
DMRC
$194M
$4.75M ﹤0.01%
216,420
+20,869
+11% +$458K
HSKA
3021
DELISTED
Heska Corp
HSKA
$4.75M ﹤0.01%
184,051
+25,020
+16% +$645K
FRPT icon
3022
Freshpet
FRPT
$2.78B
$4.74M ﹤0.01%
243,856
+6,832
+3% +$133K
HDNG
3023
DELISTED
Hardinge Inc
HDNG
$4.73M ﹤0.01%
407,735
+86,592
+27% +$1M
ANTH
3024
DELISTED
Anthera Pharmaceuticals, Inc.
ANTH
$4.71M ﹤0.01%
131,810
+62,998
+92% +$2.25M
FLXN
3025
DELISTED
Flexion Therapeutics, Inc.
FLXN
$4.69M ﹤0.01%
208,370
+82,313
+65% +$1.85M