Vanguard Group

Vanguard Group Portfolio holdings

AUM $6.18T
 

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
+6.04%
1 Year Return
+25.19%
3 Year Return
+103.99%
5 Year Return
+190.29%
10 Year Return
+458.75%
AUM
$1.95T
AUM Growth
+$1.95T
Cap. Flow
+$67.8B
Cap. Flow %
3.49%
Top 10 Hldgs %
13.15%
Holding
4,133
New
54
Increased
3,470
Reduced
345
Closed
64

Sector Composition

1 Financials 15.37%
2 Technology 14.43%
3 Healthcare 12.42%
4 Industrials 10.7%
5 Consumer Discretionary 9%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
INOD icon
3726
Innodata
INOD
$1.21B
$567K ﹤0.01% 257,728
VCSH icon
3727
Vanguard Short-Term Corporate Bond ETF
VCSH
$35.4B
$564K ﹤0.01% 7,079 -150 -2% -$12K
EGAN icon
3728
eGain
EGAN
$172M
$562K ﹤0.01% 387,443
ATEC icon
3729
Alphatec Holdings
ATEC
$2.35B
$559K ﹤0.01% 239,963 +5,257 +2% +$12.2K
JASN
3730
DELISTED
Jason Industries, Inc.
JASN
$559K ﹤0.01% 377,649 -29,662 -7% -$43.9K
TCFC
3731
DELISTED
The Community Financial Corporation Common Stock
TCFC
$553K ﹤0.01% 15,354
TNK icon
3732
Teekay Tankers
TNK
$1.7B
$552K ﹤0.01% 269,522 +22,398 +9% +$45.9K
VDC icon
3733
Vanguard Consumer Staples ETF
VDC
$7.6B
$551K ﹤0.01% 3,916 +448 +13% +$63K
IMI
3734
DELISTED
Intermolecular, Inc.
IMI
$549K ﹤0.01% 589,983
MULE
3735
DELISTED
MuleSoft, Inc.
MULE
$547K ﹤0.01% +22,500 New +$547K
TRNX
3736
DELISTED
Taronis Technologies, Inc. Common Stock
TRNX
$544K ﹤0.01% 1,234,018 +57,642 +5% +$25.4K
LOV
3737
DELISTED
Spark Networks SE American Depositary Shares
LOV
$543K ﹤0.01% 527,684 -3,150 -0.6% -$3.24K
ERS
3738
DELISTED
Empire Resources, Inc.
ERS
$543K ﹤0.01% 78,365
EMMS
3739
DELISTED
Emmis Communications Corp
EMMS
$542K ﹤0.01% 221,176 +1,850 +0.8% +$4.53K
CHMA
3740
DELISTED
Chiasma, Inc. Common Stock
CHMA
$541K ﹤0.01% 318,135 +16,670 +6% +$28.3K
PSTV icon
3741
Plus Therapeutics
PSTV
$45.3M
$539K ﹤0.01% 336,651 +55,948 +20% +$89.6K
LODE icon
3742
Comstock
LODE
$120M
$529K ﹤0.01% 2,363,222 -146,730 -6% -$32.8K
SCPX
3743
DELISTED
Scorpius Holdings, Inc.
SCPX
$526K ﹤0.01% 591,098 +336,744 +132% +$300K
SIF icon
3744
SIFCO Industries
SIF
$43.8M
$524K ﹤0.01% 63,905 -12,800 -17% -$105K
DXR icon
3745
Daxor
DXR
$54.6M
$520K ﹤0.01% 71,676 -9,466 -12% -$68.7K
SVRA icon
3746
Savara
SVRA
$567M
$518K ﹤0.01% 4,190,038 +1,161,386 +38% +$144K
BSMX
3747
DELISTED
Banco Santander México, S, A., Institución de Banca Múltiple, Grupo Financiero Santander México
BSMX
$514K ﹤0.01% 56,886
CYCC icon
3748
Cyclacel Pharmaceuticals
CYCC
$18.4M
$501K ﹤0.01% 146,505 +58,314 +66% +$199K
IOTS
3749
DELISTED
Adesto Technologies Corporation Common Stock
IOTS
$499K ﹤0.01% 120,157 +45,579 +61% +$189K
SAUC
3750
DELISTED
Diversified Restaurant Holdings, Inc. Common stock
SAUC
$493K ﹤0.01% 214,608