Titelia

Holdings of VANGUARD MID-CAP GROWTH INDEX FUND

VANGUARD INDEX FUNDS · Original filing · Compare with another fund · Report an error

Net assets
29.2B $ including 29.2B $ in equities, 99.9 %
Positions
130 in 1 countries
Top ten
20.2 % of net assets
Filed on
Mar 31, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
1Vertiv Holdings Co 2,910,083729.2M $2.49 %
2Howmet Aerospace Inc 3,049,588702.8M $2.40 %
3Constellation Energy Corp. 2,342,695654.2M $2.24 %
4Seagate Technology Holdings PLC 1,658,684649.8M $2.22 %
5Quanta Services Inc 1,138,022624.8M $2.14 %
6Motorola Solutions Inc 1,260,016546.8M $1.87 %
7Ross Stores Inc 2,460,155532.9M $1.82 %
8Royal Caribbean Cruises Ltd 1,851,899509.6M $1.74 %
9TransDigm Group Inc 429,545497.8M $1.70 %
10Cloudflare Inc 2,294,738473.5M $1.62 %
11Realty Income Corp 7,092,233433.9M $1.48 %
12Robinhood Markets Inc 6,009,233416.4M $1.42 %
13Targa Resources Corp 1,634,942409.9M $1.40 %
14Fastenal Co 8,734,302405.3M $1.39 %
15DoorDash Inc 2,650,509398M $1.36 %
16Vistra Corp 2,577,138387.4M $1.32 %
17Monolithic Power Systems Inc 351,963384.8M $1.32 %
18WW Grainger Inc 342,310373.4M $1.28 %
19AMETEK Inc 1,741,621373.3M $1.28 %
20Edwards Lifesciences Corp 4,417,623353.8M $1.21 %
21Teradyne Inc 1,190,779353M $1.21 %
22Western Digital Corp 1,289,378348.8M $1.19 %
23Zoetis Inc 2,889,669341.6M $1.17 %
24IDEXX Laboratories Inc 605,627340.3M $1.16 %
25Alnylam Pharmaceuticals Inc 1,008,744333.8M $1.14 %
26Marvell Technology Inc 3,318,929328.7M $1.12 %
27Yum! Brands Inc 2,102,555326.9M $1.12 %
28Carvana Co 1,031,382324.2M $1.11 %
29Chipotle Mexican Grill Inc 9,906,356317.1M $1.08 %
30Waste Connections Inc 1,944,735315.9M $1.08 %
31Ventas Inc 3,612,631295.4M $1.01 %
32Datadog Inc 2,496,890294.8M $1.01 %
33Garmin Ltd 1,244,428288.7M $0.99 %
34MSCI Inc 530,909286.2M $0.98 %
35Coinbase Global Inc 1,611,651281.4M $0.96 %
36Old Dominion Freight Line Inc 1,426,775278.8M $0.95 %
37Vulcan Materials Co 993,209270.5M $0.92 %
38ROBLOX Corp 4,780,843270.4M $0.92 %
39Martin Marietta Materials Inc 458,739270.1M $0.92 %
40Microchip Technology Inc 4,115,928265.9M $0.91 %
41Hilton Worldwide Holdings Inc 872,007265.2M $0.91 %
42Take-Two Interactive Software Inc 1,338,037264.3M $0.90 %
43Block Inc 4,165,608250.7M $0.86 %
44ResMed Inc 1,108,045248.7M $0.85 %
45Axon Enterprise Inc 580,937246.7M $0.84 %
46Agilent Technologies Inc 2,151,308245.2M $0.84 %
47Paychex Inc 2,457,307226.4M $0.77 %
48Waters Corp 746,171222.2M $0.76 %
49Xylem Inc/NY 1,849,359221M $0.76 %
50Copart Inc 6,626,552220M $0.75 %
51Carnival Corp 8,465,861219.1M $0.75 %
52Cintas Corp 1,292,682218.6M $0.75 %
53Iron Mountain Inc 2,137,646218.3M $0.75 %
54Teledyne Technologies Inc 352,205213.1M $0.73 %
55AutoZone Inc 63,009212.8M $0.73 %
56Extra Space Storage Inc 1,605,936210.6M $0.72 %
57Workday Inc 1,620,096210.5M $0.72 %
58Ciena Corp 537,991208.9M $0.71 %
59Expedia Group Inc 890,000205.5M $0.70 %
60Corning Inc 1,468,268199.6M $0.68 %
61Verisk Analytics Inc 1,049,199199.1M $0.68 %
62Veeva Systems Inc 1,125,275197.7M $0.68 %
63Mettler-Toledo International Inc 154,596195M $0.67 %
64Electronic Arts Inc 951,729194M $0.66 %
65Coterra Energy Inc 5,501,536193.3M $0.66 %
66Autodesk Inc 806,244193M $0.66 %
67Lumentum Holdings Inc 271,539190.8M $0.65 %
68Live Nation Entertainment Inc 1,250,147190.7M $0.65 %
69Snowflake Inc 1,236,333186.5M $0.64 %
70Comfort Systems USA Inc 133,770184.5M $0.63 %
71Fortinet Inc 2,251,174184M $0.63 %
72Dexcom Inc 2,927,322183.8M $0.63 %
73LPL Financial Holdings Inc 609,097183.2M $0.63 %
74Fair Isaac Corp 171,412183M $0.63 %
75Tractor Supply Co 4,003,481181.4M $0.62 %
76Ulta Beauty Inc 337,422176.4M $0.60 %
77Ares Management Corp 1,596,195174.1M $0.60 %
78Apollo Global Management Inc 1,539,372171.5M $0.59 %
79CoreWeave Inc 2,204,253170.8M $0.58 %
80Coherent Corp 713,003169.8M $0.58 %
81Church & Dwight Co Inc 1,800,318168M $0.57 %
82Equifax Inc 914,784164.7M $0.56 %
83Veralto Corp 1,790,864158.3M $0.54 %
84VeriSign Inc 627,730155.9M $0.53 %
85Rockwell Automation Inc 427,302153.4M $0.52 %
86EQT Corp 2,374,140151.1M $0.52 %
87Corpay Inc 505,501147.1M $0.50 %
88Broadridge Financial Solutions Inc 888,000144.3M $0.49 %
89MongoDB Inc 588,118144M $0.49 %
90Brown & Brown Inc 2,200,878143.5M $0.49 %
91SBA Communications Corp 810,403139.5M $0.48 %
92Rocket Lab Corp 2,158,023138.6M $0.47 %
93Bloom Energy Corp 1,013,591137.3M $0.47 %
94West Pharmaceutical Services Inc 547,804137.3M $0.47 %
95Reddit Inc 1,009,078135.9M $0.46 %
96Insmed Inc 819,756134M $0.46 %
97CoStar Group Inc 3,192,988128.8M $0.44 %
98Rollins Inc 2,378,503127M $0.43 %
99Lululemon Athletica Inc 810,664124.1M $0.42 %
100Las Vegas Sands Corp 2,299,777123.9M $0.42 %

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Sector breakdown

  • Industrials 21.4 %
  • Technology 21.2 %
  • Consumer discretionary 13.8 %
  • Health care 9.9 %
  • Financials 6.9 %
  • Real estate 3.7 %
  • Utilities 3.6 %
  • Communication 3.1 %
  • Energy 2.6 %
  • Materials 1.8 %
  • Consumer staples 0.8 %
  • Unattributed 11.1 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • United States 100.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1United States13029.2B $100.00 %
Cite this page

Titelia. "Holdings of VANGUARD MID-CAP GROWTH INDEX FUND". https://titelia.com/en/funds/S000012756