Titelia

Holdings of VANGUARD RUSSELL 1000 INDEX FUND

VANGUARD SCOTTSDALE FUNDS ·1007 declared positions · as of Feb 28, 2026

Original filing · Net assets 10.6B $ · Ten largest lines: 33.6 % of the equity sleeve

Sector breakdown

  • Technology 29.8 %
  • Financials 11.3 %
  • Communication 10.0 %
  • Consumer discretionary 9.2 %
  • Health care 9.2 %
  • Industrials 8.6 %
  • Consumer staples 4.8 %
  • Energy 2.7 %
  • Utilities 2.3 %
  • Materials 2.3 %
  • Real estate 1.5 %
  • Unattributed 8.3 %

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

  • US 99.2 %
  • IE 0.2 %
  • GB 0.2 %
  • BM 0.1 %
  • KY 0.0 %
  • NL 0.0 %
  • CA 0.0 %
  • SG 0.0 %
  • CH 0.0 %
  • LU 0.0 %
  • JE 0.0 %
  • GG 0.0 %

Shares computed on the equity sleeve.

CountryLinesValueShare
US97310.5B $99.23 %
IE526.2M $0.25 %
GB416.7M $0.16 %
BM815.4M $0.15 %
KY55.1M $0.05 %
NL24.2M $0.04 %
CA24.1M $0.04 %
SG13.9M $0.04 %
CH11.8M $0.02 %
LU21.6M $0.02 %
JE31.5M $0.01 %
GG11.2M $0.01 %

Positions

CompanySharesValueWeight
NVIDIA Corp 3,914,824693.7M $6.56 %
Apple Inc 2,438,538644.2M $6.09 %
Microsoft Corp 1,240,507487.2M $4.61 %
Amazon.com Inc 1,604,725337M $3.19 %
Alphabet Inc 972,583303.2M $2.87 %
Broadcom Inc 772,545246.9M $2.33 %
Alphabet Inc 791,438246.5M $2.33 %
Meta Platforms Inc 365,252236.7M $2.24 %
Tesla Inc 472,061190M $1.80 %
Berkshire Hathaway Inc 308,438155.7M $1.47 %
Eli Lilly & Co 134,015141M $1.33 %
JPMorgan Chase & Co 426,650128.1M $1.21 %
Exxon Mobil Corp 706,786107.8M $1.02 %
Johnson & Johnson 402,473100M $0.95 %
Walmart Inc 727,63893.1M $0.88 %
Visa Inc 281,57490.1M $0.85 %
Micron Technology Inc 186,93077.1M $0.73 %
Costco Wholesale Corp 74,23875M $0.71 %
Mastercard Inc 134,54869.6M $0.66 %
AbbVie Inc 296,34168.8M $0.65 %
Netflix Inc 709,17468.3M $0.65 %
Procter & Gamble Co/The 392,95165.7M $0.62 %
Home Depot Inc/The 166,61663.4M $0.60 %
General Electric Co 174,00859.6M $0.56 %
Chevron Corp 313,50458.6M $0.55 %
Caterpillar Inc 77,47757.6M $0.54 %
Advanced Micro Devices Inc 269,43353.9M $0.51 %
Coca-Cola Co/The 650,30353M $0.50 %
Cisco Systems, Inc. 665,46152.9M $0.50 %
Bank of America Corp 1,060,19652.8M $0.50 %
Merck & Co Inc 421,70152.2M $0.49 %
Palantir Technologies Inc 365,49250.1M $0.47 %
Applied Materials Inc 134,21250M $0.47 %
Lam Research Corp 210,08149.1M $0.46 %
Philip Morris International Inc. 260,69548.7M $0.46 %
RTX Corp 223,72245.3M $0.43 %
UnitedHealth Group Inc 152,30444.7M $0.42 %
Wells Fargo & Co 525,89642.8M $0.41 %
Oracle Corp 281,69141M $0.39 %
McDonald's Corp. 119,53640.8M $0.39 %
Goldman Sachs Group Inc/The 46,79740.2M $0.38 %
GE Vernova Inc 45,74640M $0.38 %
Linde PLC 78,57939.9M $0.38 %
PepsiCo Inc 229,33538.9M $0.37 %
International Business Machines Corp. 155,67437.4M $0.35 %
Verizon Communications Inc 706,78835.4M $0.34 %
Amgen Inc 90,01834.9M $0.33 %
Abbott Laboratories 289,69633.7M $0.32 %
Intel Corp 738,31733.7M $0.32 %
KLA Corp 22,02333.6M $0.32 %
Thermo Fisher Scientific Inc 63,23233M $0.31 %
NextEra Energy Inc 348,98732.7M $0.31 %
AT&T Inc 1,156,38132.4M $0.31 %
Texas Instruments Inc 152,07932.3M $0.31 %
Walt Disney Co/The 303,06632.1M $0.30 %
Morgan Stanley 192,75032.1M $0.30 %
Gilead Sciences Inc 208,43631M $0.29 %
Citigroup Inc 279,96530.8M $0.29 %
Salesforce Inc 156,38130.5M $0.29 %
TJX Cos Inc/The 187,21330.3M $0.29 %
Amphenol Corp 204,14929.8M $0.28 %
Intuitive Surgical Inc 59,07629.7M $0.28 %
Analog Devices Inc 83,04129.5M $0.28 %
Boeing Co/The 125,09028.5M $0.27 %
American Express Co 90,39927.9M $0.26 %
Charles Schwab Corp/The 285,74627.2M $0.26 %
Blackrock Inc 25,56027.2M $0.26 %
Union Pacific Corp 100,08826.5M $0.25 %
Pfizer Inc 949,40326.3M $0.25 %
Honeywell International Inc 106,53526M $0.25 %
Deere & Co 40,91925.8M $0.24 %
QUALCOMM Inc 180,84525.7M $0.24 %
Uber Technologies Inc 337,10925.4M $0.24 %
Lowe's Cos Inc 93,92624.9M $0.23 %
Eaton Corp PLC 65,63924.7M $0.23 %
Newmont Corp 184,04623.9M $0.23 %
Welltower Inc 115,05423.8M $0.23 %
ConocoPhillips 209,81523.8M $0.23 %
Arista Networks Inc 172,63323M $0.22 %
Booking Holdings Inc 5,43523M $0.22 %
Lockheed Martin Corp 34,53322.7M $0.21 %
S&P Global Inc 50,77422.4M $0.21 %
Stryker Corp 57,61522.3M $0.21 %
Danaher Corp 105,54722.2M $0.21 %
Prologis Inc 155,24922.1M $0.21 %
Accenture PLC 104,85921.9M $0.21 %
Vertex Pharmaceuticals Inc 43,07521.4M $0.20 %
Parker-Hannifin Corp 21,17621.4M $0.20 %
Bristol-Myers Squibb Co 340,52821.2M $0.20 %
Medtronic PLC 214,70321M $0.20 %
Progressive Corp/The 98,12221M $0.20 %
Chubb Ltd 61,20420.9M $0.20 %
McKesson Corp 21,01420.7M $0.20 %
Capital One Financial Corp 105,39220.6M $0.19 %
Corning Inc 130,80319.7M $0.19 %
Altria Group, Inc. 282,58119.5M $0.18 %
Palo Alto Networks Inc 130,65619.5M $0.18 %
CME Group Inc 60,25019.2M $0.18 %
Boston Scientific Corp 247,19519M $0.18 %
ServiceNow Inc 173,18318.7M $0.18 %