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
+6.54%
1 Year Return
+25.19%
3 Year Return
+103.99%
5 Year Return
+190.29%
10 Year Return
+458.75%
AUM
$1.39T
AUM Growth
+$1.39T
Cap. Flow
+$42.1B
Cap. Flow %
3.03%
Top 10 Hldgs %
13.01%
Holding
4,106
New
94
Increased
3,131
Reduced
558
Closed
60

Sector Composition

1 Technology 13.86%
2 Financials 13.79%
3 Healthcare 13.18%
4 Industrials 10.8%
5 Consumer Discretionary 8.82%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
LOXO
3776
DELISTED
Loxo Oncology, Inc
LOXO
$420K ﹤0.01% +35,707 New +$420K
ACUR
3777
DELISTED
Acura Pharmaceuticals Inc
ACUR
$420K ﹤0.01% 933,064 -27,355 -3% -$12.3K
NETE
3778
DELISTED
NETEGRITY INC
NETE
$420K ﹤0.01% 372,095 +151,195 +68% +$171K
PLXP
3779
DELISTED
PLx Pharma Inc. Common Stock
PLXP
$419K ﹤0.01% 36,791 +8,210 +29% +$93.5K
ESSX
3780
DELISTED
ESSEX RENTAL CORP. COMMON STOCK
ESSX
$416K ﹤0.01% 314,983 +2,200 +0.7% +$2.91K
KINS icon
3781
Kingstone Companies
KINS
$190M
$415K ﹤0.01% 51,050 +24,096 +89% +$196K
NETI
3782
DELISTED
Eneti Inc.
NETI
$412K ﹤0.01% 209,348 +4,778 +2% +$9.4K
MEA
3783
DELISTED
METALICO INC
MEA
$411K ﹤0.01% 1,208,824 +63,151 +6% +$21.5K
FGEN icon
3784
FibroGen
FGEN
$47.8M
$409K ﹤0.01% +14,971 New +$409K
APEN
3785
DELISTED
Apollo Endosurgery, Inc.
APEN
$402K ﹤0.01% 142,457 +1,600 +1% +$4.52K
STAB
3786
DELISTED
Statera Biopharma, Inc. Common Stock
STAB
$402K ﹤0.01% 1,412,048 -30,867 -2% -$8.79K
ORKA
3787
Oruka Therapeutics, Inc. Common Stock
ORKA
$554M
$401K ﹤0.01% 420,952 +16,700 +4% +$15.9K
OIBR.C
3788
DELISTED
OI S.A. American Depositary Shares, each representing five shares of common stock
OIBR.C
$400K ﹤0.01% 119,261 -977,970 -89% -$3.28M
ICLR icon
3789
Icon
ICLR
$13.8B
$398K ﹤0.01% 7,800
IDSA
3790
DELISTED
Industrial Services of America
IDSA
$397K ﹤0.01% 67,237 +400 +0.6% +$2.36K
PARAA
3791
DELISTED
Paramount Global Class A
PARAA
$394K ﹤0.01% 6,982 -355 -5% -$20K
IROQ icon
3792
IF Bancorp
IROQ
$81.7M
$392K ﹤0.01% 23,646 +42 +0.2% +$696
TAYD icon
3793
Taylor Devices
TAYD
$154M
$392K ﹤0.01% 37,710 +300 +0.8% +$3.12K
CASM
3794
DELISTED
CAS Medical Systems, Inc.
CASM
$388K ﹤0.01% 235,366 +3,200 +1% +$5.28K
VIA
3795
DELISTED
Viacom Inc. Class A
VIA
$388K ﹤0.01% 5,137 -4 -0.1% -$302
KOF icon
3796
Coca-Cola Femsa
KOF
$17.9B
$383K ﹤0.01% 4,426 -100 -2% -$8.65K
STRS icon
3797
Stratus Properties
STRS
$157M
$383K ﹤0.01% 28,145
DIT icon
3798
AMCON Distributing
DIT
$77.4M
$381K ﹤0.01% 4,767 +300 +7% +$24K
TRNX
3799
DELISTED
Taronis Technologies, Inc. Common Stock
TRNX
$377K ﹤0.01% 546,882
EVFM
3800
DELISTED
Evofem Biosciences, Inc. Common Stock
EVFM
$374K ﹤0.01% +50,000 New +$374K