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
BIV icon
3901
Vanguard Intermediate-Term Bond ETF
BIV
$24.1B
$355K ﹤0.01% 4,125 +1,631 +65% +$140K
KOF icon
3902
Coca-Cola Femsa
KOF
$17.9B
$353K ﹤0.01% 4,426
VIA
3903
DELISTED
Viacom Inc. Class A
VIA
$353K ﹤0.01% 5,137
ABCW
3904
DELISTED
ANCHOR BANCORP WISCONSIN INC COMMON STOCK
ABCW
$352K ﹤0.01% 10,116 -29 -0.3% -$1.01K
EBMT icon
3905
Eagle Bancorp Montana
EBMT
$139M
$349K ﹤0.01% 31,830 +100 +0.3% +$1.1K
YTEN
3906
DELISTED
Yield10 Bioscience, Inc. Common Stock
YTEN
$349K ﹤0.01% 562,678 +24,047 +4% +$14.9K
VIDE
3907
DELISTED
VIDEO DISPLAY CORP
VIDE
$349K ﹤0.01% 146,785
KBIO
3908
DELISTED
KALOBIOS PHARMACEUTICALS INC COM STK NEW (DE)
KBIO
$349K ﹤0.01% 713,106 +109,425 +18% +$53.6K
PED icon
3909
PEDEVCO
PED
$55.9M
$345K ﹤0.01% 421,865 +1,500 +0.4% +$1.23K
ASC icon
3910
Ardmore Shipping
ASC
$473M
$342K ﹤0.01% 33,975 +5,416 +19% +$54.5K
ASML icon
3911
ASML
ASML
$292B
$341K ﹤0.01% 3,375
DARE icon
3912
Dare Bioscience
DARE
$27.2M
$340K ﹤0.01% 37,781 +7,800 +26% +$70.2K
VYFC
3913
DELISTED
VALLEY FINL CORP (VA)
VYFC
$339K ﹤0.01% 16,698 +2,600 +18% +$52.8K
ERS
3914
DELISTED
Empire Resources, Inc.
ERS
$331K ﹤0.01% 78,065
ACFN
3915
DELISTED
ACORN ENERGY INC COM STK
ACFN
$329K ﹤0.01% 672,444
IMAX icon
3916
IMAX
IMAX
$1.54B
$327K ﹤0.01% +9,700 New +$327K
WPRT
3917
Westport Fuel Systems
WPRT
$48.4M
$327K ﹤0.01% 83,026 +38,026 +85% +$150K
NOTV icon
3918
Inotiv
NOTV
$58.1M
$326K ﹤0.01% 160,743
CSTM icon
3919
Constellium
CSTM
$2.02B
$325K ﹤0.01% +16,000 New +$325K
SNOA icon
3920
Sonoma Pharmaceuticals
SNOA
$7.31M
$324K ﹤0.01% 386,041 +136,061 +54% +$114K
LPSB
3921
DELISTED
LAPORTE BANCORP INC MD COM STK
LPSB
$319K ﹤0.01% 23,874 +138 +0.6% +$1.84K
RSOL
3922
DELISTED
REAL GOODS SOLAR, INC. CL A COM
RSOL
$318K ﹤0.01% 1,181,948 +73,600 +7% +$19.8K
DFBG
3923
DELISTED
Differential Brands Group Inc
DFBG
$317K ﹤0.01% 1,491,491 +18,300 +1% +$3.89K
SDPI
3924
DELISTED
Superior Drilling Products Inc.
SDPI
$312K ﹤0.01% 101,224 +50,400 +99% +$155K
GOL
3925
DELISTED
Gol Linhas Aéreas Inteligentes S.A. American Depositary Shares (Each representing Ten Preferred Shares)
GOL
$312K ﹤0.01% 128,200