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
+0.01%
1 Year Return
+25.19%
3 Year Return
+103.99%
5 Year Return
+190.29%
10 Year Return
+458.75%
AUM
$1.48T
AUM Growth
+$1.48T
Cap. Flow
+$23.9B
Cap. Flow %
1.61%
Top 10 Hldgs %
12.61%
Holding
4,259
New
106
Increased
3,360
Reduced
599
Closed
68

Sector Composition

1 Healthcare 14.24%
2 Financials 14.23%
3 Technology 13.67%
4 Industrials 10.48%
5 Consumer Discretionary 9.19%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
OCC icon
3851
Optical Cable Corp
OCC
$57.2M
$522K ﹤0.01% 151,964 -2,500 -2% -$8.59K
BSMX
3852
DELISTED
Banco Santander México, S, A., Institución de Banca Múltiple, Grupo Financiero Santander México
BSMX
$521K ﹤0.01% 56,886
CIZN
3853
DELISTED
Citizens Holding Co.
CIZN
$513K ﹤0.01% 24,666 -1,000 -4% -$20.8K
USEG icon
3854
US Energy Corp
USEG
$40.5M
$508K ﹤0.01% 960,509 -11,595 -1% -$6.13K
NCOM
3855
DELISTED
National Commerce Corporation
NCOM
$508K ﹤0.01% +19,684 New +$508K
QCCO
3856
DELISTED
QC HLDGS INC
QCCO
$503K ﹤0.01% 269,037 -8,800 -3% -$16.5K
ACER
3857
DELISTED
Acer Therapeutics Inc. Common Stock (DE)
ACER
$501K ﹤0.01% 1,124,854 +214,077 +24% +$95.3K
CWBC
3858
DELISTED
Community West BanCshares
CWBC
$500K ﹤0.01% 75,645
CRNT icon
3859
Ceragon Networks
CRNT
$181M
$499K ﹤0.01% 433,666
NTP
3860
DELISTED
Nam Tai Property Inc.
NTP
$498K ﹤0.01% +103,244 New +$498K
APPF icon
3861
AppFolio
APPF
$9.9B
$494K ﹤0.01% +35,000 New +$494K
INTT icon
3862
inTEST
INTT
$89.6M
$490K ﹤0.01% 112,337 +3,210 +3% +$14K
PNRG icon
3863
PrimeEnergy Resources
PNRG
$248M
$490K ﹤0.01% 8,617
DTRM
3864
DELISTED
Determine, Inc. Common Stock
DTRM
$489K ﹤0.01% 93,152 -1,200 -1% -$6.3K
DVCR
3865
DELISTED
Diversicare Healthcare Services Inc
DVCR
$488K ﹤0.01% 37,818 -1,131 -3% -$14.6K
BVSN
3866
DELISTED
Broadvision Inc Com
BVSN
$486K ﹤0.01% 80,852
GOGL
3867
DELISTED
Golden Ocean Group
GOGL
$483K ﹤0.01% +125,622 New +$483K
ASUR icon
3868
Asure Software
ASUR
$230M
$481K ﹤0.01% 79,389 +200 +0.3% +$1.21K
CBFV icon
3869
CB Financial Services
CBFV
$165M
$479K ﹤0.01% 24,077
TAYD icon
3870
Taylor Devices
TAYD
$153M
$479K ﹤0.01% 38,210 +500 +1% +$6.27K
KEQU icon
3871
Kewaunee Scientific
KEQU
$170M
$478K ﹤0.01% 29,096 +214 +0.7% +$3.52K
LTBR icon
3872
Lightbridge
LTBR
$403M
$477K ﹤0.01% 426,427 +5,025 +1% +$5.62K
PRZM
3873
DELISTED
Prism Technologies Group, Inc
PRZM
$477K ﹤0.01% 157,863 +439 +0.3% +$1.33K
NSPH
3874
DELISTED
NANOSPHERE INC. COM NEW
NSPH
$475K ﹤0.01% 146,576 -2,620,988 -95% -$8.49M
OXFD
3875
DELISTED
Oxford Immunotec Global PLC Ordinary Shares
OXFD
$474K ﹤0.01% 34,249 +7,276 +27% +$101K