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
+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
+$1.47T
Cap. Flow
+$73.4B
Cap. Flow %
4.98%
Top 10 Hldgs %
12.47%
Holding
4,229
New
183
Increased
3,477
Reduced
316
Closed
76

Sector Composition

1 Healthcare 13.67%
2 Technology 13.65%
3 Financials 13.57%
4 Industrials 10.64%
5 Consumer Discretionary 9.16%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
BGMD
3751
DELISTED
BG MEDICINE INC COM STK NEW
BGMD
$658K ﹤0.01% 812,347 +94,625 +13% +$76.6K
PRTS icon
3752
CarParts.com
PRTS
$45.3M
$656K ﹤0.01% 301,857
DVD
3753
DELISTED
Dover Motorsports
DVD
$647K ﹤0.01% 273,123 -272,783 -50% -$646K
CASM
3754
DELISTED
CAS Medical Systems, Inc.
CASM
$644K ﹤0.01% 482,600 +247,234 +105% +$330K
QADB
3755
DELISTED
QAD Inc. Class B
QADB
$642K ﹤0.01% 32,119 +398 +1% +$7.96K
NSPH
3756
DELISTED
NANOSPHERE INC. COM NEW
NSPH
$642K ﹤0.01% 2,767,564 +413,891 +18% +$96K
HNR
3757
DELISTED
Harvest Natural Resources
HNR
$635K ﹤0.01% 1,419,781 +74,777 +6% +$33.4K
MSN icon
3758
Emerson Radio
MSN
$8.42M
$628K ﹤0.01% 479,685 +100 +0% +$131
FRST icon
3759
Primis Financial Corp
FRST
$282M
$623K ﹤0.01% 51,343 +1,600 +3% +$19.4K
BSMX
3760
DELISTED
Banco Santander México, S, A., Institución de Banca Múltiple, Grupo Financiero Santander México
BSMX
$621K ﹤0.01% 56,886
NAUH
3761
DELISTED
National American University Holdings, Inc.
NAUH
$621K ﹤0.01% 187,995
SWSH
3762
DELISTED
SWISHER HYGIENE INC COM STK NEW (DE)
SWSH
$621K ﹤0.01% 336,008
EMWP
3763
DELISTED
Eros Media World PLC
EMWP
$619K ﹤0.01% 35,474 +344 +1% +$6K
QCCO
3764
DELISTED
QC HLDGS INC
QCCO
$619K ﹤0.01% 277,837 +400 +0.1% +$891
UPI
3765
DELISTED
UROPLASTY INC-NEW
UPI
$617K ﹤0.01% 506,090 +3,800 +0.8% +$4.63K
GEVO icon
3766
Gevo
GEVO
$418M
$615K ﹤0.01% 3,060,769 +1,147,279 +60% +$231K
DTRM
3767
DELISTED
Determine, Inc. Common Stock
DTRM
$613K ﹤0.01% 94,352
ICLR icon
3768
Icon
ICLR
$13.8B
$607K ﹤0.01% 8,600 +800 +10% +$56.5K
OCC icon
3769
Optical Cable Corp
OCC
$52.2M
$607K ﹤0.01% 154,464 +2,000 +1% +$7.86K
VXRT
3770
DELISTED
Vaxart
VXRT
$607K ﹤0.01% 263,928 +48,052 +22% +$111K
PBCP
3771
DELISTED
POLONIA BANCORP INC MD
PBCP
$607K ﹤0.01% 47,225
CCU icon
3772
Compañía de Cervecerías Unidas
CCU
$2.29B
$602K ﹤0.01% 29,000
XTNT icon
3773
Xtant Medical Holdings
XTNT
$83.3M
$602K ﹤0.01% 146,917
AIRI icon
3774
Air Industries Group
AIRI
$15.2M
$601K ﹤0.01% 60,266 +1,400 +2% +$14K
ICLD
3775
DELISTED
INTERCLOUD SYSTEMS, INC. COMMON STOCK
ICLD
$601K ﹤0.01% 272,972 +10,682 +4% +$23.5K