VOT holdings

All 127 positions of Vanguard Morningstar Mid-Cap Growth ETF.

Positions
127
Top 10 weight
21.3%
Effective holdings
81.9
1 / sum of squared weights
In stocks
99.9%
In bonds
0.0%
Outside the US
0.0%

Asset mix

  • Equity99.9%
  • Cash0.4%

Sectors

100% of stocks classified
  • Technology39.4%
  • Industrials23.7%
  • Consumer Discretionary10.7%
  • Health Care5.8%
  • Utilities5.7%
  • Financials5.5%
  • Real Estate4.1%
  • Materials4.0%
  • Consumer Staples0.7%
  • Communication Services0.3%
  • Energy0.2%

Countries

  • United States99.9%

Holdings

#HoldingTypeWeightValueShares / parCountry
1VRTVertiv Holdings Co Class A Common StockEquity2.83%$985M2,942,659US
2WDCWestern Digital Corp.Equity2.42%$843M1,320,313US
3STXSeagate Technology Holdings PLC Ordinary Shares (Ireland)Equity2.38%$829M859,383US
4PWRQuanta Services, Inc.Equity2.38%$828M1,149,628US
5HWMHowmet Aerospace Inc.Equity2.37%$824M3,065,290US
6DDOGDatadog, Inc. Class A Common StockEquity1.90%$660M2,534,490US
7BEBloom Energy CorporationEquity1.80%$627M2,069,814US
8CEGConstellation Energy Corporation Common StockEquity1.77%$617M2,484,258US
9HOODRobinhood Markets, Inc. Class A Common StockEquity1.75%$608M6,061,374US
10NETCloudflare, Inc. Class A common stock, par value $0.001 per shareEquity1.72%$600M2,447,872US
11COHRCoherent Corp.Equity1.70%$591M1,498,683US
12RCLRoyal Caribbean GroupEquity1.69%$587M1,849,227US
13TERTeradyne, Inc. Common StockEquity1.67%$580M1,199,240US
14TDGTransDigm Group IncorporatedEquity1.64%$571M428,526US
15FIXComfort Systems USA, Inc.Equity1.53%$534M269,569US
16CIENCiena CorporationEquity1.53%$531M1,082,892US
17MSIMotorola Solutions, Inc. NewEquity1.52%$528M1,271,637US
18ROSTRoss Stores IncEquity1.51%$525M2,468,007US
19DASHDoorDash, Inc. Class A Common StockEquity1.50%$523M2,836,119US
20LITELumentum Holdings Inc. Common StockEquity1.47%$511M596,020US
21MPWRMonolithic Power Systems, Inc.Equity1.42%$494M357,562US
22GWWW.W. Grainger, Inc.Equity1.34%$467M343,636US
23RKLBRocket Lab Corporation Common StockEquity1.29%$451M4,432,569US
24ORealty Income CorporationEquity1.27%$443M7,144,323US
25TRGPTarga Resources Corp.Equity1.27%$441M1,644,434US
26AMEAmetek, Inc.Equity1.22%$425M1,755,982US
27FASTFastenal CoEquity1.21%$422M8,795,544US
28VSTVistra Corp.Equity1.18%$410M2,583,243US
29AZOAutoZone, Inc.Equity1.16%$403M126,198US
30EWEdwards Lifesciences CorpEquity1.15%$399M4,411,246US
31MCHPMicrochip Technology IncEquity1.09%$379M4,152,990US
32FTNTFortinet, Inc.Equity1.05%$366M2,385,421US
33CVNACarvana Co.Equity0.99%$343M5,213,196US
34TTWOTake-Two Interactive Software IncEquity0.97%$338M1,351,312US
35YUMYum! Brands, Inc.Equity0.97%$338M2,111,735US
36CMGChipotle Mexican Grill, Inc.Equity0.96%$334M9,827,600US
37VTRVentas, Inc.Equity0.95%$331M3,724,526US
38AXONAxon Enterprise, Inc. Common StockEquity0.94%$329M586,625US
39WCNWaste Connections, Inc.Equity0.94%$326M1,955,403US
40SNOWSnowflake Inc.Equity0.92%$321M1,261,261US
41IDXXIdexx Laboratories IncEquity0.91%$318M604,333US
42ADSKAutodesk IncEquity0.90%$314M1,617,164US
43XYZBlock, Inc.Equity0.89%$312M4,100,141US
44ODFLOld Dominion Freight LineEquity0.89%$311M1,433,902US
45ALNYAlnylam Pharmaceuticals, Inc.Equity0.88%$308M1,022,888US
46GRMNGarmin LtdEquity0.86%$298M1,255,883US
47MSCIMSCI, Inc.Equity0.86%$298M532,150US
48VMCVulcan Materials Company(Holding Company)Equity0.84%$293M994,053US
49CRWVCoreWeave, Inc. Class A Common StockEquity0.83%$290M2,914,209US
50HLTHilton Worldwide Holdings Inc.Equity0.83%$288M872,023US
51AAgilent Technologies Inc.Equity0.82%$287M2,162,223US
52ALABAstera Labs, Inc. Common StockEquity0.82%$285M590,578US
53WATWaters CorpEquity0.81%$282M752,232US
54IRMIron Mountain Inc.Equity0.79%$274M2,165,376US
55CCLCarnival Corporation Ltd.Equity0.78%$273M9,553,340US
56MLMMartin Marietta MaterialsEquity0.76%$266M461,634US
57RBLXRoblox CorporationEquity0.76%$266M4,887,914US
58PAYXPaychex IncEquity0.70%$243M2,470,511US
59TDYTeledyne Technologies IncorporatedEquity0.68%$237M354,867US
60COINCoinbase Global, Inc. Class A Common StockEquity0.68%$237M1,618,807US
61EXRExtra Space Storage, Inc.Equity0.68%$235M1,618,537US
62FLEXFlex Ltd. Ordinary SharesEquity0.65%$227M1,402,344US
63EXPEExpedia Group, Inc. Common StockEquity0.64%$224M877,185US
64CTASCintas CorpEquity0.64%$222M1,302,778US
65RMDResMed Inc.Equity0.62%$217M1,111,305US
66XYLXylem IncEquity0.62%$215M1,821,078US
67ROKRockwell Automation, Inc.Equity0.61%$211M426,230US
68ZTSZOETIS INC.Equity0.60%$208M2,890,747US
69LYVLive Nation Entertainment Inc.Equity0.58%$203M1,106,151US
70FICOFair Isaac CorporationEquity0.58%$202M168,782US
71VEEVVeeva Systems Inc.Equity0.57%$200M1,124,661US
72DXCMDexCom, Inc.Equity0.57%$199M2,956,203US
73MTDMettler-Toledo InternationalEquity0.57%$198M154,824US
74EAElectronic Arts IncEquity0.57%$197M960,633US
75MDBMongoDB, Inc. Class AEquity0.57%$197M585,861US
76WSTWest Pharmaceutical Services, Inc.Equity0.56%$194M541,243US
77WDAYWorkday, Inc. Class A Common StockEquity0.54%$189M1,539,894US
78CPRTCopart IncEquity0.54%$187M6,642,341US
79APOApollo Global Management, Inc.Equity0.53%$183M1,545,816US
80VRSKVerisk Analytics, Inc. Common StockEquity0.52%$180M1,003,827US
81ARESAres Management Corporation Class A Common StockEquity0.52%$180M1,615,825US
82RDDTReddit, Inc.Equity0.52%$179M1,033,199US
83CHDChurch & Dwight Co., Inc.Equity0.51%$176M1,815,418US
84LPLALPL Financial Holdings Inc.Equity0.50%$173M612,719US
85VLTOVeralto CorporationEquity0.48%$167M1,881,632US
86RSGRepublic Services Inc.Equity0.47%$163M765,698US
87CPAYCorpay, Inc.Equity0.46%$159M475,694US
88VRSNVeriSign IncEquity0.45%$158M627,477US
89ULTAUlta Beauty, Inc. Common StockEquity0.43%$151M333,724US
90HEI.AHEICO CORP CL AEquity0.43%$150M580,893US
91EFXEquifax, IncorporatedEquity0.42%$145M912,228US
92SBACSBA Communications CorpEquity0.41%$143M812,542US
93BROBrown & Brown, Inc.Equity0.41%$142M2,206,901US
94SMCISuper Micro Computer, Inc. Common StockEquity0.35%$124M4,212,335US
95IRIngersoll Rand Inc. Common StockEquity0.35%$123M1,498,995US
96SUNBSunbelt Rentals Holdings, Inc.Equity0.34%$118M1,583,110US
97ZSZscaler, Inc. Common StockEquity0.33%$114M805,227US
98HEIHEICO CorporationEquity0.33%$113M318,402US
99RKTRocket Companies, Inc.Equity0.32%$112M7,135,974US
100Vanguard Cmt Funds-Vanguard Market Liquidity FundCash0.31%$107M1,071,728US
101LVSLas Vegas Sands Corp.Equity0.30%$106M2,284,503US
102ROLRollins, Inc.Equity0.29%$100M2,397,758US
103TPLTexas Pacific Land CorporationEquity0.28%$98M224,586US
104ASTSAST SpaceMobile, Inc. Class A Common StockEquity0.28%$97M1,086,469US
105TEAMAtlassian Corporation Class A Common StockEquity0.27%$95M1,222,960US
106FSLRFirst Solar, Inc.Equity0.26%$92M391,007US
107MKLMarkel Group Inc.Equity0.26%$89M45,607US
108TWTradeweb Markets Inc. Class A Common StockEquity0.25%$89M888,847US
109INSMInsmed, Inc.Equity0.25%$89M830,249US
110STESTERIS plcEquity0.23%$79M375,677US
111BURLBURLINGTON STORES, INC.Equity0.22%$76M241,076US
112ELThe Estee Lauder Companies Inc. Class AEquity0.21%$75M947,265US
113EQTEQT CORPEquity0.18%$64M1,198,776US
114BRBroadridge Financial Solutions IncEquity0.17%$61M443,313US
115FLUTFlutter Entertainment plcEquity0.16%$55M533,436US
116HUBBHubbell IncorporatedEquity0.15%$53M101,192US
117CBRSCerebras Systems Inc. Class A Common StockEquity0.15%$51M229,833US
118Vanguard Cmt Funds-Vanguard Market Liquidity FundCash0.14%$49M490,906US
119TKOTKO Group Holdings, Inc.Equity0.13%$46M229,717US
120LULUlululemon athletica inc.Equity0.13%$46M400,384US
121CSGPCoStar Group IncEquity0.13%$44M1,565,081US
122TSCOTractor Supply CoEquity0.09%$32M1,006,282US
123SYMSymbotic Inc. Class A Common StockEquity0.03%$11M252,977US
124VGVenture Global, Inc.Equity0.03%$11M987,126US
125N/ADerivative0.00%$1.3M157,000
126N/ADerivative0.00%$150K17
127N/ADerivative0.00%$85K15

Find which other funds hold a stock by opening it and choosing "ETFs holding".

Position changes between reports

ActionHoldingWeight beforeWeight afterShares vs flowsBetween reports
IncreaseBEBloom Energy Corp0.47%1.80%+102.8%Mar 31, 2026 → Jun 30, 2026 SEC
ExitMRVLMarvell Technology Inc1.12%——Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseCOHRCoherent Corp0.58%1.70%+108.7%Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseFIXComfort Systems USA Inc0.63%1.53%+100.1%Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseRKLBRocket Lab Corp0.47%1.29%+104.0%Mar 31, 2026 → Jun 30, 2026 SEC
New positionALABAstera Labs Inc—0.82%—Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseLITELumentum Holdings Inc0.65%1.47%+118.0%Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseCIENCiena Corp0.71%1.53%+99.9%Mar 31, 2026 → Jun 30, 2026 SEC
ExitGLWCorning Inc0.68%——Mar 31, 2026 → Jun 30, 2026 SEC
ExitCTRACoterra Energy Inc0.66%——Mar 31, 2026 → Jun 30, 2026 SEC
New positionFLEXFlex Ltd—0.65%—Mar 31, 2026 → Jun 30, 2026 SEC
DecreaseTSCOTractor Supply Co0.62%0.09%−75.0%Mar 31, 2026 → Jun 30, 2026 SEC
New positionRSGRepublic Services Inc—0.47%—Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseAZOAutoZone Inc0.73%1.16%+98.9%Mar 31, 2026 → Jun 30, 2026 SEC
ExitIBKRInteractive Brokers Group Inc0.37%——Mar 31, 2026 → Jun 30, 2026 SEC
DecreaseEQTEQT Corp0.52%0.18%−49.9%Mar 31, 2026 → Jun 30, 2026 SEC
DecreaseBRBroadridge Financial Solutions Inc0.49%0.17%−50.4%Mar 31, 2026 → Jun 30, 2026 SEC
DecreaseCSGPCoStar Group Inc0.44%0.13%−51.3%Mar 31, 2026 → Jun 30, 2026 SEC
DecreaseLULULululemon Athletica Inc0.42%0.13%−50.9%Mar 31, 2026 → Jun 30, 2026 SEC
New positionASTSAST SpaceMobile Inc—0.28%—Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseCRWVCoreweave Inc0.58%0.83%+31.3%Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseADSKAutodesk Inc0.66%0.90%+99.2%Mar 31, 2026 → Jun 30, 2026 SEC
ExitNVRNVR Inc0.23%——Mar 31, 2026 → Jun 30, 2026 SEC
DecreaseFLUTFlutter Entertainment PLC0.37%0.16%−50.3%Mar 31, 2026 → Jun 30, 2026 SEC
ExitPODDInsulet Corp0.19%——Mar 31, 2026 → Jun 30, 2026 SEC
ExitTYLTyler Technologies Inc0.19%——Mar 31, 2026 → Jun 30, 2026 SEC
ExitHUBSHubSpot Inc0.16%——Mar 31, 2026 → Jun 30, 2026 SEC
New positionCBRSCerebras Systems Inc—0.15%—Mar 31, 2026 → Jun 30, 2026 SEC
ExitGDDYGoDaddy Inc0.14%——Mar 31, 2026 → Jun 30, 2026 SEC
ExitPINSPinterest Inc0.13%——Mar 31, 2026 → Jun 30, 2026 SEC
ExitTTDTrade Desk Inc/The0.13%——Mar 31, 2026 → Jun 30, 2026 SEC
ExitTRMBTrimble Inc0.10%——Mar 31, 2026 → Jun 30, 2026 SEC
ExitOWLBlue Owl Capital Inc0.08%——Mar 31, 2026 → Jun 30, 2026 SEC
DecreaseLYVLive Nation Entertainment Inc0.65%0.58%−12.1%Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseCCLCarnival Corp Ltd0.75%0.78%+12.1%Mar 31, 2026 → Jun 30, 2026 SEC
New positionWDCWestern Digital Corp—1.19%—Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseTERTeradyne Inc0.40%1.21%+99.9%Dec 31, 2025 → Mar 31, 2026 SEC
New positionCIENCiena Corp—0.71%—Dec 31, 2025 → Mar 31, 2026 SEC
New positionGLWCorning Inc—0.68%—Dec 31, 2025 → Mar 31, 2026 SEC
New positionADSKAutodesk Inc—0.66%—Dec 31, 2025 → Mar 31, 2026 SEC
New positionLITELumentum Holdings Inc—0.65%—Dec 31, 2025 → Mar 31, 2026 SEC
New positionFIXComfort Systems USA Inc—0.63%—Dec 31, 2025 → Mar 31, 2026 SEC
New positionCOHRCoherent Corp—0.58%—Dec 31, 2025 → Mar 31, 2026 SEC
DecreaseFLUTFlutter Entertainment PLC0.89%0.37%−10.9%Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseZTSZoetis Inc0.65%1.17%+91.8%Dec 31, 2025 → Mar 31, 2026 SEC
New positionRKLBRocket Lab Corp—0.47%—Dec 31, 2025 → Mar 31, 2026 SEC
New positionBEBloom Energy Corp—0.47%—Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseCMGChipotle Mexican Grill Inc0.64%1.08%+97.2%Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseIRMIron Mountain Inc0.30%0.75%+100.4%Dec 31, 2025 → Mar 31, 2026 SEC
DecreaseHUBSHubSpot Inc0.52%0.16%−49.7%Dec 31, 2025 → Mar 31, 2026 SEC
New positionSUNBSunbelt Rentals Holdings Inc—0.35%—Dec 31, 2025 → Mar 31, 2026 SEC
DecreaseIBKRInteractive Brokers Group Inc0.71%0.37%−50.0%Dec 31, 2025 → Mar 31, 2026 SEC
DecreaseTYLTyler Technologies Inc0.51%0.19%−50.0%Dec 31, 2025 → Mar 31, 2026 SEC
DecreaseTTDTrade Desk Inc/The0.44%0.13%−50.0%Dec 31, 2025 → Mar 31, 2026 SEC
DecreaseGDDYGoDaddy Inc0.44%0.14%−50.7%Dec 31, 2025 → Mar 31, 2026 SEC
DecreasePINSPinterest Inc0.38%0.13%−50.9%Dec 31, 2025 → Mar 31, 2026 SEC
New positionNVRNVR Inc—0.23%—Dec 31, 2025 → Mar 31, 2026 SEC
New positionHUBBHubbell Inc—0.17%—Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseWATWaters Corp0.59%0.76%+64.8%Dec 31, 2025 → Mar 31, 2026 SEC
New positionTKOTKO Group Holdings Inc—0.16%—Dec 31, 2025 → Mar 31, 2026 SEC

Share-count changes are measured after removing what creations and redemptions explain.

Fund data comes from each fund's SEC filings and issuer disclosures and is shown with the date it is as of. SEC portfolio and flow filings become public about 60 days after the period they cover. Nothing here is investment advice; see Terms.