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All 182 VFMV (VANGUARD U.S. MINIMUM VOLATILITY ETF ETF SHARES) Holdings

There are 182 VFMV holdings. Top 10 companies weight: 15.28%.

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Total Market Cap: $40T
Rank
Average(182 stocks)+30.59%27.9422.600.66+21.36%+22.67%1.11
1
CRUSCirrus Logic Inc1.61%$136.79$7.04BSemiconductorsTechnology+23.20%17.1514.331.96N/AN/A65+32.87%$182+10.08%1.33
2
ROSTRoss Stores Inc1.56%$235.78$73BApparel RetailConsumer Cyclical+24.14%31.4930.402.33N/AN/A69+8.65%$256+15.42%0.66
3
TJXTjx Companies Inc1.54%$155.70$167BApparel RetailConsumer Cyclical+32.99%28.9129.671.36N/AN/A73+14.08%$178+19.93%0.40
4
BRK-BBerkshire Hathaway Inc Class B1.52%$491.37$1.05TInsurance - DiversifiedFinancial Services-5.35%14.5623.2610.06N/AN/A75+5.89%$520+11.91%0.41
5
DLBDolby Laboratories Inc Class A1.51%$50.62$4.68BSpecialty Business ServicesIndustrials+0.84%16.4410.763.04N/AN/A75+54.74%$78-11.05%0.72
6
KOCoca-cola Co1.51%$82.11$355BBeverages - Non-alcoholicConsumer Defensive+11.51%24.0425.130.85N/AN/A74+6.59%$88+10.98%N/A
7
TXNTexas Instruments Inc1.51%$284.07$274BSemiconductorsTechnology+0.60%50.8637.5930.21N/AN/A61+6.77%$303+10.99%1.38
8
JNJJohnson & Johnson1.51%$248.94$595BDrug Manufacturers - GeneralHealthcare+11.59%22.0921.744.95N/AN/A70+8.44%$270+11.07%N/A
9
NVDANvidia Corp1.51%$203.28$5.16TSemiconductorsTechnology+110.48%38.1823.150.30N/AN/A77+48.72%$302+60.07%1.99
10
MSFTMicrosoft Corp1.50%$402.29$2.94TSoftware - InfrastructureTechnology+17.83%23.4820.280.79N/AN/A79+38.76%$558+8.30%0.88
11
ADIAnalog Devices Inc1.50%$372.46$190BSemiconductorsTechnology+9.90%57.6725.640.69N/AN/A75+22.81%$457+19.72%1.62
12
AAPLApple Inc1.49%$326.59$4.80TConsumer ElectronicsTechnology+12.93%39.3834.971.37N/AN/A65-2.55%$318+18.17%1.10
13
COSTCostco Wholesale Corp1.49%$935.80$406BDiscount StoresConsumer Defensive+13.27%46.0041.493.63N/AN/A64+15.08%$1.08K+18.93%0.39
14
ENSGEnsign Group Inc1.48%$172.04$9.78BMedical Care FacilitiesHealthcare+13.75%26.7322.681.67N/AN/A75+26.60%$218+15.02%0.33
15
LLoews Corp1.48%$114.62$23BInsurance - Property & CasualtyFinancial Services+15.75%14.6612.200.97N/AN/AN/A-47.65%$60+16.60%0.46
16
TRMBTrimble Inc1.48%$53.21$12BScientific & Technical InstrumentsTechnology+1.84%26.8514.711.46N/AN/A82+54.58%$82-8.38%1.29
17
CVXChevron Corp1.47%$189.68$360BOil & Gas IntegratedEnergy+33.45%28.4013.040.75N/AN/A72+12.82%$214+18.47%0.38
18
RSGRepublic Services Inc1.46%$220.53$67BWaste ManagementIndustrials+17.20%31.9630.964.90N/AN/A66+10.87%$245+15.38%0.17
19
PTCPtc Inc1.46%$124.83$14BSoftware - ApplicationTechnology+41.11%11.6615.290.06N/AN/A67+42.19%$178-3.15%0.84
20
KEYSKeysight Technologies Inc1.39%$314.03$55BScientific & Technical InstrumentsTechnology+16.61%51.3825.191.86N/AN/A71+23.46%$388+14.66%1.45
21
METAMeta Platforms Inc Class A1.39%$645.85$1.73TInternet Content & InformationCommunication Services+36.87%26.7120.751.20N/AN/A75+27.38%$823+13.48%1.39
22
INGRIngredion Inc1.38%$102.53$6.27BPackaged FoodsConsumer Defensive+12.94%9.029.435.24N/AN/A60+18.18%$121+6.04%0.27
23
XOMExxon Mobil Corp1.37%$148.36$604BOil & Gas IntegratedEnergyN/A24.4413.401.20N/AN/A63+12.50%$167+25.29%0.24
24
AMEAmetek Inc1.28%$235.39$54BSpecialty Industrial MachineryIndustrials+12.87%36.3230.963.07N/AN/A70+11.90%$263+12.16%0.82
25
LRCXLam Research Corp1.26%$306.76$419BSemiconductor Equipment & MaterialsTechnology+17.26%62.8739.531.32N/AN/A72+19.47%$366+38.35%2.20
26
CSCOCisco Systems Inc1.25%$110.70$440BCommunication EquipmentTechnology+4.61%36.8823.581.60N/AN/A68+17.64%$130+18.77%0.92
27
RPRXRoyalty Pharma Plc Class A1.25%$57.30$25BBiotechnologyHealthcareN/A28.6948.081.32N/AN/A75+4.53%$60+9.29%0.25
28
GDGeneral Dynamics Corp1.24%$370.53$99BAerospace & DefenseIndustrials+7.36%23.4822.571.03N/AN/A65+6.80%$396+16.51%0.52
29
VZVerizon Communications Inc1.24%$43.50$180BTelecom ServicesCommunication Services+1.58%9.098.780.61N/AN/A63+17.82%$51+1.32%N/A
30
CAHCardinal Health Inc1.23%$225.83$53BMedical DistributionHealthcare+10.18%29.5519.230.37N/AN/A73+10.53%$250+33.87%0.27
31
CMECme Group Inc Class A1.23%$245.11$88BFinancial Data & Stock ExchangesFinancial Services+14.51%21.8020.041.16N/AN/A62+14.83%$281+7.36%N/A
32
QCOMQualcomm Inc1.22%$170.32$188BSemiconductorsTechnology+5.61%19.1115.240.56N/AN/A56+30.77%$223+5.94%1.68
33
MSMorgan Stanley1.15%$210.96$361BCapital MarketsFinancial Services+7.84%20.0217.700.70N/AN/A59+9.91%$232+21.81%1.33
34
BATRKAtlanta Braves Holdings Inc Class C1.14%$51.23$3.28BEntertainmentCommunication ServicesN/AN/A232.56N/AN/AN/A65+20.24%$62+13.05%0.48
35
TAt&t Inc1.14%$21.95$150BTelecom ServicesCommunication Services+4.03%6.979.440.06N/AN/A69+33.08%$29+7.13%N/A
36
LTCLtc Properties Inc1.13%$41.92$1.99BReit - Healthcare FacilitiesReal Estate+16.50%16.1112.450.58N/AN/A56-1.17%$41+7.66%0.12
37
GOOGAlphabet Inc Class C1.11%$351.37$4.49TInternet Content & InformationCommunication Services+28.33%27.9624.510.61N/AN/A77+21.74%$428+21.73%1.11
38
ORealty Income Corp1.09%$65.18$59BReit - RetailReal Estate+6.21%51.8641.154.26N/AN/A59+4.65%$68+4.36%0.11
39
HLTHilton Worldwide Holdings Inc1.07%$323.43$75BLodgingConsumer CyclicalN/A49.4635.8416.52N/AN/A65+8.13%$350+21.28%0.89
40
ROPRoper Technologies Inc1.05%$362.84$36BSoftware - ApplicationTechnology+7.99%21.5016.750.96N/AN/A60+22.90%$446-5.37%0.57
41
SOSouthern Co1.05%$94.46$106BUtilities - Regulated ElectricUtilities+3.88%19.8320.792.61N/AN/A55+7.40%$101+12.79%N/A
42
MNSTMonster Beverage Corp1.03%$95.45$95BBeverages - Non-alcoholicConsumer Defensive+8.71%46.9342.731.36N/AN/A65-2.19%$93+15.38%0.31
43
ABNBAirbnb Inc Ordinary Shares Class A0.99%$144.94$89BTravel ServicesConsumer CyclicalN/A38.9628.011.37N/AN/A64+8.15%$157+0.80%1.26
44
DBDDiebold Nixdorf Inc Ordinary Shares- New0.98%$85.29$2.94BSoftware - ApplicationTechnologyN/A28.0512.17N/AN/AN/A83+15.30%$980.00%1.09
45
CTASCintas Corp0.97%$201.80$77BSpecialty Business ServicesIndustrials+15.38%39.8637.454.15N/AN/A62+6.29%$215+16.78%0.57
46
CBChubb Ltd0.96%$352.56$131BInsurance - Property & CasualtyFinancial Services+18.31%11.7513.000.32N/AN/A56+1.78%$359+17.51%0.14
47
ITTItt Inc0.94%$191.19$17BSpecialty Industrial MachineryIndustrials+24.50%36.5224.632.01N/AN/A66+27.98%$245+15.95%1.25
48
PGProcter & Gamble Co0.92%$149.13$345BHousehold & Personal ProductsConsumer Defensive+7.03%20.6421.053.00N/AN/A69+9.54%$163+4.00%0.07
49
MOAltria Group Inc0.91%$74.66$118BTobaccoConsumer Defensive+15.68%14.7913.241.65N/AN/A51-5.38%$71+18.41%N/A
50
AEPAmerican Electric Power Co Inc0.90%$131.05$72BUtilities - Regulated ElectricUtilities+11.39%17.7820.700.89N/AN/A65+11.37%$146+13.12%N/A

VFMV (VANGUARD U.S. MINIMUM VOLATILITY ETF ETF SHARES) Sector Allocation

INFORMATION TECHNOLOGY
27.60%
COMMUNICATION SERVICES
11.90%
HEALTHCARE
10.60%
CONSUMER STAPLES
10.00%
INDUSTRIALS
10.00%
FINANCIALS
8.70%
CONSUMER DISCRETIONARY
7.70%
UTILITIES
7.10%
REAL ESTATE
6.80%
ENERGY
4.10%
MATERIALS
0.00%