Titelia

Holdings of VANGUARD RUSSELL 1000 GROWTH INDEX FUND

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

Net assets
47.2B $ including 47.1B $ in equities, 99.8 %
Positions
390 in 8 countries
Top ten
57.9 % of net assets
Filed on
Feb 28, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
1NVIDIA Corp 32,456,7985.8B $12.20 %
2Apple Inc 20,273,1175.4B $11.36 %
3Microsoft Corp 10,387,3904.1B $8.65 %
4Broadcom Inc 6,783,8822.2B $4.60 %
5Amazon.com Inc 9,729,9362B $4.33 %
6Meta Platforms Inc 2,737,0801.8B $3.76 %
7Alphabet Inc 5,437,9741.7B $3.60 %
8Tesla Inc 4,196,3211.7B $3.58 %
9Eli Lilly & Co 1,318,8781.4B $2.94 %
10Alphabet Inc 4,427,8981.4B $2.92 %
11Visa Inc 2,625,919840.7M $1.78 %
12Costco Wholesale Corp 730,897738.8M $1.57 %
13Mastercard Inc 1,325,354685.5M $1.45 %
14AbbVie Inc 2,916,307676.8M $1.44 %
15Netflix Inc 6,977,768671.5M $1.42 %
16General Electric Co 1,712,116586M $1.24 %
17Palantir Technologies Inc 3,596,214493.4M $1.05 %
18Lam Research Corp 2,067,077483.5M $1.03 %
19Home Depot Inc/The 1,249,597475.7M $1.01 %
20Oracle Corp 2,770,917402.9M $0.85 %
21GE Vernova Inc 450,620393.7M $0.83 %
22KLA Corp 216,155329.5M $0.70 %
23Advanced Micro Devices Inc 1,550,442310.4M $0.66 %
24Amphenol Corp 2,008,230293.3M $0.62 %
25Intuitive Surgical Inc 581,569292.8M $0.62 %
26Coca-Cola Co/The 3,128,092255.1M $0.54 %
27Amgen Inc 652,994253.5M $0.54 %
28Uber Technologies Inc 3,315,102250M $0.53 %
29Arista Networks Inc 1,698,214226.7M $0.48 %
30Booking Holdings Inc 50,165212.7M $0.45 %
31Vertex Pharmaceuticals Inc 423,372210.3M $0.45 %
32Palo Alto Networks Inc 1,284,254191.3M $0.41 %
33McKesson Corp 191,153188.7M $0.40 %
34Intuit Inc 450,092184.1M $0.39 %
35ServiceNow Inc 1,701,788183.8M $0.39 %
36Adobe Inc 687,747180.5M $0.38 %
37Howmet Aerospace Inc 660,816173.5M $0.37 %
38AppLovin Corp 392,333170.6M $0.36 %
39Trane Technologies PLC 367,692170M $0.36 %
40Vertiv Holdings Co 625,590159.5M $0.34 %
41Crowdstrike Holdings Inc 407,063151.4M $0.32 %
42TJX Cos Inc/The 921,360148.9M $0.32 %
43American Tower Corp 769,800147.7M $0.31 %
44Waste Management Inc 608,432146.5M $0.31 %
45Applied Materials Inc 374,519139.4M $0.30 %
46Blackstone Inc 1,221,079138.4M $0.29 %
47Cadence Design Systems Inc 449,812135.6M $0.29 %
48Automatic Data Processing Inc 621,637133.3M $0.28 %
49Spotify Technology SA 253,909130.7M $0.28 %
50Texas Instruments Inc 612,728130M $0.28 %
51Royal Caribbean Cruises Ltd 417,679129.9M $0.28 %
52Sherwin-Williams Co/The 344,083124.8M $0.26 %
53Moody's Corp 256,335122.4M $0.26 %
54O'Reilly Automotive Inc 1,274,273119.6M $0.25 %
55Hilton Worldwide Holdings Inc 375,394117M $0.25 %
56Cintas Corp 566,357113.9M $0.24 %
57Cencora Inc 302,208112.5M $0.24 %
58Aon PLC 319,892107.3M $0.23 %
59Quanta Services Inc 188,524106.2M $0.23 %
60DoorDash Inc 590,247104.2M $0.22 %
61Monster Beverage Corp 1,149,08098M $0.21 %
62Vistra Corp 556,63796.8M $0.21 %
63Marriott International Inc/MD 282,83996.7M $0.21 %
64Airbnb Inc 700,10894.6M $0.20 %
65Synopsys Inc 223,49092.5M $0.20 %
66Walmart Inc 715,72591.6M $0.19 %
67Snowflake Inc 540,22091M $0.19 %
68American Express Co 291,66990.1M $0.19 %
69Cloudflare Inc 516,54288.9M $0.19 %
70Monolithic Power Systems Inc 76,68287.6M $0.19 %
71Autodesk Inc 351,42486.4M $0.18 %
72IDEXX Laboratories Inc 131,07086.1M $0.18 %
73Fortinet Inc 1,046,97582.7M $0.18 %
74NU Holdings Ltd/Cayman Islands 5,507,50982.5M $0.18 %
75Targa Resources Corp 349,30082.4M $0.17 %
76Gilead Sciences Inc 552,12482.2M $0.17 %
77Comfort Systems USA Inc 56,48180.7M $0.17 %
78Chipotle Mexican Grill Inc 2,167,02480.7M $0.17 %
79Zoetis Inc 586,05776.8M $0.16 %
80Carvana Co 223,04574.5M $0.16 %
81Fastenal Co 1,551,58871.4M $0.15 %
82WW Grainger Inc 61,80170.7M $0.15 %
83ROBLOX Corp 1,021,50070.1M $0.15 %
84Caterpillar Inc 94,18770M $0.15 %
85Alnylam Pharmaceuticals Inc 208,96069.6M $0.15 %
86Axon Enterprise Inc 123,49667M $0.14 %
87Ameriprise Financial Inc 139,62565.6M $0.14 %
88Lockheed Martin Corp 94,81162.4M $0.13 %
89Colgate-Palmolive Co 627,98462.3M $0.13 %
90QUALCOMM Inc 406,61557.9M $0.12 %
91Datadog Inc 514,54257.6M $0.12 %
92Stryker Corp 145,80656.5M $0.12 %
93Motorola Solutions Inc 115,38755.6M $0.12 %
94NRG Energy Inc 309,80555.4M $0.12 %
95Citigroup Inc 492,08354.2M $0.12 %
96PepsiCo Inc 308,99252.4M $0.11 %
97Copart Inc 1,355,54851.6M $0.11 %
98FTAI Aviation Ltd 167,22951.1M $0.11 %
99Texas Pacific Land Corp 95,21249.9M $0.11 %
100Apollo Global Management Inc 472,60849.4M $0.10 %

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Sector breakdown

  • Technology 47.4 %
  • Consumer discretionary 12.4 %
  • Communication 12.3 %
  • Health care 8.2 %
  • Industrials 6.3 %
  • Financials 5.5 %
  • Consumer staples 3.0 %
  • Materials 0.4 %
  • Real estate 0.4 %
  • Utilities 0.3 %
  • Energy 0.3 %
  • Unattributed 3.4 %

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 99.9 %
  • Bermuda 0.0 %
  • Switzerland 0.0 %
  • United Kingdom 0.0 %
  • Cayman Islands 0.0 %
  • Canada 0.0 %
  • Jersey 0.0 %
  • Luxembourg 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1United States38147B $99.87 %
2Bermuda122.4M $0.05 %
3Switzerland117.1M $0.04 %
4United Kingdom112.8M $0.03 %
5Cayman Islands34.3M $0.01 %
6Canada11.8M $0.00 %
7Jersey11.1M $0.00 %
8Luxembourg1309K $0.00 %
Cite this page

Titelia. "Holdings of VANGUARD RUSSELL 1000 GROWTH INDEX FUND". https://titelia.com/en/funds/S000030002