Titelia

Portefeuille de VANGUARD U.S. MINIMUM VOLATILITY ETF

VANGUARD WELLINGTON FUND · 189 positions déclarées · au 28 févr. 2026

Document d’origine · Actif net 389,3 M $ · Dix premières lignes : 15.3 % de la poche actions

Répartition par pays

Parts calculées sur la poche actions, seule partie couverte par ce site.

PaysLignesValeur (USD)Part
US 183374,4 M $96,52 %
IE 25,2 M $1,34 %
KY 14,2 M $1,07 %
GG 13 M $0,77 %
BM 1972,6 k $0,25 %
PR 1165,7 k $0,04 %

La répartition sectorielle n’est publiée dans aucun document réglementaire : ni les formulaires N-PORT ni le référentiel LEI ne portent de code d’activité. Elle est absente plutôt qu’estimée.

Positions

SociétéTitresValeur (USD)Poids
Keysight Technologies Inc 24 0327,4 M $1,90 %
Analog Devices Inc 17 0726,1 M $1,56 %
TJX Cos Inc/The 37 1026 M $1,54 %
Johnson & Johnson 23 9345,9 M $1,53 %
Republic Services Inc 25 7165,9 M $1,51 %
Coca-Cola Co/The 71 1715,8 M $1,49 %
Microsoft Corp 14 5825,7 M $1,47 %
Berkshire Hathaway Inc 11 0495,6 M $1,43 %
Apple Inc 21 0165,6 M $1,43 %
Lam Research Corp 22 7645,3 M $1,37 %
Texas Instruments Inc 24 6825,2 M $1,34 %
CME Group Inc 16 3295,2 M $1,34 %
General Dynamics Corp 13 8875 M $1,27 %
Cisco Systems, Inc. 62 1154,9 M $1,27 %
Meta Platforms Inc 7 5854,9 M $1,26 %
Loews Corp 44 0574,8 M $1,25 %
Verizon Communications Inc 94 8864,8 M $1,22 %
Exxon Mobil Corp 31 1724,8 M $1,22 %
Royalty Pharma PLC 102 0714,7 M $1,21 %
Monster Beverage Corp 54 9904,7 M $1,20 %
LTC Properties Inc 117 0234,6 M $1,19 %
Realty Income Corp 68 8884,6 M $1,19 %
ITT Inc 22 7844,6 M $1,18 %
Morgan Stanley 26 8954,5 M $1,15 %
Dolby Laboratories Inc 65 0514,3 M $1,11 %
Hilton Worldwide Holdings Inc 13 5904,2 M $1,09 %
AT&T Inc 151 1094,2 M $1,09 %
Fresh Del Monte Produce Inc 96 8264,2 M $1,07 %
Procter & Gamble Co/The 24 6404,1 M $1,06 %
Chevron Corp 22 0494,1 M $1,06 %
Atlanta Braves Holdings Inc 93 9904,1 M $1,06 %
Southern Co/The 42 1254,1 M $1,05 %
Airbnb Inc 30 2154,1 M $1,05 %
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 16 2644 M $1,04 %
Alphabet Inc 12 7404 M $1,02 %
Roper Technologies Inc 11 2263,9 M $1,01 %
QUALCOMM Inc 27 3963,9 M $1,00 %
PTC Inc 24 7823,9 M $1,00 %
Church & Dwight Co Inc 35 9103,8 M $0,97 %
Diebold Nixdorf Inc 46 5683,7 M $0,96 %
Altria Group, Inc. 53 1363,7 M $0,94 %
Cardinal Health, Inc. 15 7463,6 M $0,93 %
American Electric Power Co Inc 26 5583,6 M $0,91 %
Getty Realty Corp 105 7183,5 M $0,89 %
Duke Energy Corp 25 7923,4 M $0,87 %
Chubb Ltd 9 6623,3 M $0,85 %
SEI Investments Co 40 3713,3 M $0,84 %
Abbott Laboratories 27 8173,2 M $0,83 %
Northrop Grumman Corp 4 3413,1 M $0,81 %
NVIDIA Corp 17 3943,1 M $0,79 %
Ensign Group Inc/The 14 3223,1 M $0,79 %
Innoviva Inc 133 4513,1 M $0,79 %
Amdocs Ltd 42 8823 M $0,77 %
O'Reilly Automotive Inc 31 2592,9 M $0,75 %
Broadcom Inc 9 1162,9 M $0,75 %
Four Corners Property Trust Inc 111 1082,8 M $0,73 %
Ingredion Inc 23 6332,8 M $0,71 %
Cirrus Logic Inc 19 6242,8 M $0,71 %
Ventas Inc 31 0132,7 M $0,69 %
Willis Towers Watson PLC 8 6202,6 M $0,68 %
Johnson Controls International plc 17 8752,6 M $0,66 %
Fox Corp 49 8292,6 M $0,66 %
Trimble Inc 38 3322,6 M $0,66 %
News Corp 105 1902,6 M $0,66 %
T-Mobile US Inc 11 6372,5 M $0,65 %
Tyler Technologies Inc 7 0832,5 M $0,65 %
Teledyne Technologies Inc 3 6752,5 M $0,64 %
Jack Henry & Associates Inc 15 1632,5 M $0,63 %
Automatic Data Processing Inc 11 4122,4 M $0,63 %
CenterPoint Energy Inc 56 1202,4 M $0,63 %
Agree Realty Corp 30 1232,4 M $0,62 %
RTX Corp 11 6902,4 M $0,61 %
American States Water Co 31 5752,4 M $0,60 %
FirstEnergy Corp 42 8142,2 M $0,56 %
International Business Machines Corp. 8 7932,1 M $0,54 %
TKO Group Holdings Inc 9 3022,1 M $0,53 %
Walmart Inc 16 2092,1 M $0,53 %
McKesson Corp 2 0982,1 M $0,53 %
Yelp Inc 90 1172 M $0,52 %
Simon Property Group Inc 9 8302 M $0,51 %
Mondelez International Inc 31 7642 M $0,50 %
Skyworks Solutions Inc 32 5071,9 M $0,50 %
New York Times Co/The 23 9471,9 M $0,49 %
Motorola Solutions Inc 3 8461,9 M $0,48 %
Expeditors International of Washington Inc 12 7851,9 M $0,48 %
Becton Dickinson & Co 10 2921,8 M $0,47 %
Consolidated Edison Inc 16 0671,8 M $0,46 %
Encompass Health Corp 16 6471,8 M $0,46 %
Costco Wholesale Corp 1 7581,8 M $0,46 %
Progressive Corp/The 8 0471,7 M $0,44 %
Marsh & McLennan Cos Inc 9 1721,7 M $0,44 %
Match Group Inc 52 2951,7 M $0,42 %
Lockheed Martin Corp 2 4991,6 M $0,42 %
Rollins Inc 26 9581,6 M $0,42 %
STERIS PLC 6 4801,6 M $0,42 %
IDT Corp 32 0721,6 M $0,42 %
Alphabet Inc 5 1691,6 M $0,41 %
Yext Inc 282 6101,6 M $0,41 %
Cintas Corp 7 7741,6 M $0,40 %
Waste Management Inc 6 3091,5 M $0,39 %
Qnity Electronics Inc 11 5851,5 M $0,38 %
HP Inc 76 9971,5 M $0,38 %
AMETEK Inc 6 0951,5 M $0,37 %
Coupang Inc 75 0341,4 M $0,37 %
CMS Energy Corp 16 6491,3 M $0,33 %
Cencora Inc 3 4601,3 M $0,33 %
L3Harris Technologies Inc 3 4831,3 M $0,33 %
NetApp Inc 12 4031,2 M $0,32 %
McDonald's Corp. 3 5941,2 M $0,31 %
Cargurus Inc 39 2431,2 M $0,31 %
Walt Disney Co/The 11 2131,2 M $0,31 %
AMERISAFE Inc 36 5061,2 M $0,31 %
WEC Energy Group Inc 10 1331,2 M $0,30 %
MGE Energy Inc 13 5191,1 M $0,28 %
AbbVie Inc 4 7151,1 M $0,28 %
York Water Co/The 32 0831,1 M $0,27 %
GPGI INC 46 7631 M $0,27 %
Atlanta Braves Holdings Inc 21 6861 M $0,27 %
KLA Corp 6761 M $0,26 %
Box Inc 43 7271 M $0,26 %
White Mountains Insurance Group Ltd 438972,6 k $0,25 %
Indivior Pharmaceuticals Inc 29 050950,5 k $0,24 %
Quest Diagnostics Inc 4 300911,2 k $0,23 %
Intuit Inc 2 214905,6 k $0,23 %
NVE Corp 12 739877 k $0,23 %
Commerce Bancshares Inc/MO 16 702851,6 k $0,22 %
Colgate-Palmolive Co 8 570849,6 k $0,22 %
Postal Realty Trust Inc 40 691843,5 k $0,22 %
Boston Scientific Corp 10 807830,5 k $0,21 %
EOG Resources Inc 6 336786,2 k $0,20 %
Ennis Inc 35 982759,6 k $0,20 %
US Bancorp 13 645745,8 k $0,19 %
eBay Inc 7 866714,7 k $0,18 %
Evergy Inc 8 097677,4 k $0,17 %
Travelers Cos Inc/The 2 106650 k $0,17 %
Carriage Services Inc 13 381616,5 k $0,16 %
Spok Holdings Inc 50 621614,5 k $0,16 %
HealthStream Inc 28 792611,3 k $0,16 %
Williams Cos Inc/The 8 158609,6 k $0,16 %
ConocoPhillips 5 156585 k $0,15 %
Bank of America Corp 11 400568,1 k $0,15 %
AutoZone Inc 150563,3 k $0,14 %
Visa Inc 1 755561,8 k $0,14 %
Prestige Consumer Healthcare Inc 7 234501,3 k $0,13 %
Phillips Edison & Co Inc 12 660497,3 k $0,13 %
Chemed Corp 1 086445,3 k $0,11 %
Waters Corp 1 392444,6 k $0,11 %
Ameren Corp 3 840435 k $0,11 %
Knowles Corp 15 882431,5 k $0,11 %
Arthur J Gallagher & Co 1 738396,6 k $0,10 %
Mastercard Inc 703363,6 k $0,09 %
GoDaddy Inc 4 045352,6 k $0,09 %
RLI Corp 5 376335 k $0,09 %
Genco Shipping & Trading Ltd 13 504324,8 k $0,08 %
Universal Corp/VA 5 949319,6 k $0,08 %
CCC Intelligent Solutions Holdings Inc 54 737319,1 k $0,08 %
Liberty Media Corp-Liberty Formula One 3 672309,8 k $0,08 %
Safety Insurance Group Inc 3 878301 k $0,08 %
Donegal Group Inc 16 855297 k $0,08 %
Orrstown Financial Services Inc 8 107291,4 k $0,07 %
Welltower Inc 1 368283,3 k $0,07 %
Laureate Education Inc 8 054260,5 k $0,07 %
German American Bancorp Inc 6 287259,9 k $0,07 %
Grand Canyon Education Inc 1 631259,4 k $0,07 %
W R Berkley Corp 3 557255 k $0,07 %
Alliant Energy Corp 3 490252,5 k $0,06 %
Tyson Foods Inc 3 814247,9 k $0,06 %
City Holding Co 1 972236,6 k $0,06 %
Kinder Morgan, Inc. 6 767225,1 k $0,06 %
IDACORP Inc 1 446208,2 k $0,05 %
TFS Financial Corp 14 335201 k $0,05 %
Esquire Financial Holdings Inc 1 892191,1 k $0,05 %
News Corp 7 089189,8 k $0,05 %
QuinStreet Inc 15 758184,7 k $0,05 %
DT Midstream Inc 1 314182,4 k $0,05 %
Tradeweb Markets Inc 1 402172,8 k $0,04 %
OFG Bancorp 4 133165,7 k $0,04 %
Accenture PLC 789164,7 k $0,04 %
First Financial Corp 2 352149 k $0,04 %
Hewlett Packard Enterprise Co 6 274134,7 k $0,03 %
Intercontinental Exchange Inc 747122,6 k $0,03 %
JPMorgan Chase & Co 29488,3 k $0,02 %
Hackett Group Inc/The 5 94081,1 k $0,02 %
Ross Stores Inc 38078,1 k $0,02 %
Unum Group 1 03374,1 k $0,02 %
McCormick & Co Inc/MD 1 04374,1 k $0,02 %
Service Corp International/US 84671,2 k $0,02 %
Peoples Bancorp of North Carolina Inc 1 84870,6 k $0,02 %
Employers Holdings Inc 1 65168,3 k $0,02 %