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All 260 VO (VANGUARD MID-CAP INDEX FUND ETF SHARES) Holdings

There are 260 VO holdings. Top 10 companies weight: 10.63%.

Screener with all companies

Total Market Cap: $9.24T
Rank
Average(260 stocks)+14.72%25.2218.730.72+13.28%+15.95%1.03
151
SBACSba Communications Corp Class A0.24%$196.58$21BReit - SpecialtyReal Estate+19.68%64.6122.881.64N/AN/A66+19.60%$235-7.42%0.09
152
PHMPultegroup Inc0.24%$117.21$23BResidential ConstructionConsumer Cyclical+23.57%11.4211.741.06N/AN/A67+17.31%$138+16.66%0.77
153
PPGPpg Industries Inc0.24%$111.39$25BSpecialty ChemicalsBasic Materials+5.77%15.3914.141.72N/AN/A63+10.20%$123-7.48%0.94
154
ULTAUlta Beauty Inc0.24%$471.21$22BSpecialty RetailConsumer Cyclical+52.59%19.6317.6124.00N/AN/A70+44.07%$679+7.19%0.89
155
RKLBRocket Lab Corp0.24%$114.70$87BAerospace & DefenseIndustrialsN/AN/AN/AN/AN/AN/A72-9.41%$1040.00%2.51
156
TROWT. Rowe Price Group Inc0.23%$104.01$23BAsset ManagementFinancial Services+3.28%10.7310.563.80N/AN/A36-6.34%$97-7.67%1.14
157
DXCMDexcom Inc0.23%$72.77$27BMedical DevicesHealthcare+9.47%29.3028.820.38N/AN/AN/AN/AN/A-5.34%N/A
158
DRIDarden Restaurants Inc0.23%$198.20$24BRestaurantsConsumer Cyclical+12.07%21.2917.540.99N/AN/A66+13.62%$225+11.74%0.59
159
FICOFair Isaac Corp0.23%$1,175.20$30BSoftware - ApplicationTechnology+27.34%39.8823.091.11N/AN/A72+30.32%$1.53K+19.10%0.95
160
CHDChurch & Dwight Co Inc0.23%$92.90$23BHousehold & Personal ProductsConsumer Defensive+8.05%29.3225.250.69N/AN/A59+10.08%$102+2.66%0.04
161
VEEVVeeva Systems Inc Class A0.23%$178.69$26BHealth Information ServicesHealthcare+24.84%28.5521.280.77N/AN/A74+47.00%$263-8.92%0.65
162
NTAPNetapp Inc0.22%$181.08$28BSoftware - InfrastructureTechnology+17.86%23.4620.242.53N/AN/A60-9.95%$163+20.31%1.25
163
VRSNVerisign Inc0.22%$297.08$27BSoftware - InfrastructureTechnology+10.44%32.4731.753.14N/AN/A50+3.09%$306+6.58%0.37
164
WSTWest Pharmaceutical Services Inc0.22%$316.31$22BMedical Instruments & SuppliesHealthcare+5.74%41.2936.762.40N/AN/A73+10.85%$351-0.79%0.61
165
STZConstellation Brands Inc Class A0.22%$135.40$25BBeverages - BrewersConsumer Defensive-1.25%14.9911.402.66N/AN/A61+30.52%$177-9.16%0.36
166
SNOWSnowflake Inc Ordinary Shares0.22%$241.28$59BSoftware - ApplicationTechnologyN/AN/A144.93N/AN/AN/A75+16.59%$281-0.11%1.47
167
DGXQuest Diagnostics Inc0.22%$193.76$21BDiagnostics & ResearchHealthcare+8.13%21.6217.891.49N/AN/A65+15.32%$223+10.64%0.20
168
PFGPrincipal Financial Group Inc0.22%$101.19$23BAsset ManagementFinancial Services+3.72%14.679.390.30N/AN/A52+0.31%$102+12.89%1.04
169
MKLMarkel Group Inc0.21%$1,781.15$23BInsurance - Property & CasualtyFinancial Services-3.83%17.7511.831.79N/AN/A50+12.59%$2.01K+7.72%0.60
170
VLTOVeralto Corp0.21%$84.67$21BPollution & Treatment ControlsIndustrialsN/A21.5819.682.00N/AN/A69+27.62%$1080.00%N/A
171
STESteris Plc0.21%$210.19$21BMedical DevicesHealthcare+7.27%29.5418.900.57N/AN/A65+22.20%$257+2.57%0.53
172
EFXEquifax Inc0.21%$170.11$20BConsulting ServicesIndustrials+2.95%28.4620.581.74N/AN/A72+31.51%$224-5.41%0.95
173
LHLabcorp Holdings Inc0.21%$259.03$21BDiagnostics & ResearchHealthcare-15.91%22.6614.390.74N/AN/A73+19.72%$310+3.57%0.54
174
CPAYCorpay Inc0.21%$352.25$23BSoftware - InfrastructureTechnology+15.06%20.5614.061.15N/AN/A76+10.66%$390+4.92%1.27
175
MDBMongodb Inc Class A0.20%$368.32$24BSoftware - InfrastructureTechnologyN/AN/A67.111.67N/AN/A73+5.12%$387+3.16%1.65
176
RDDTReddit Inc Class A Shares0.20%$169.49$30BInternet Content & InformationCommunication ServicesN/A60.3439.061.26N/AN/A70+32.70%$2250.00%2.01
177
SNASnap-on Inc0.20%$377.39$19BTools & AccessoriesIndustrials+8.94%19.3418.422.07N/AN/A55+4.18%$393+11.06%0.75
178
EXPDN/A0.20%$158.78$21BIntegrated Freight & LogisticsIndustrials+4.14%25.8225.259.38N/AN/A39-7.81%$146+6.27%0.62
179
PKGPackaging Corp Of America0.19%$224.39$19BPackaging & ContainersConsumer Cyclical+2.75%23.0521.372.35N/AN/A65+5.13%$236+12.13%0.76
180
LNTAlliant Energy Corp0.19%$70.79$19BUtilities - Regulated ElectricUtilities+4.98%23.1220.452.33N/AN/A67+11.77%$79+7.43%0.15
181
LENLennar Corp Class A0.19%$89.49$22BResidential ConstructionConsumer Cyclical+10.89%12.5214.710.77N/AN/A35+2.25%$92+0.65%0.68
182
HPQHp Inc0.19%$26.07$23BComputer HardwareTechnology+2.11%9.449.782.11N/AN/A42-12.81%$23+0.38%1.10
183
EQTEqt Corp0.19%$54.48$35BOil & Gas E&pEnergy+32.02%11.9111.862.51N/AN/A71+28.56%$70+22.14%0.68
184
GISGeneral Mills Inc0.19%$32.17$18BPackaged FoodsConsumer Defensive+10.62%7.179.9813.42N/AN/A51+22.26%$39-9.55%N/A
185
FTVFortive Corp0.19%$60.60$18BScientific & Technical InstrumentsTechnology-17.00%35.1419.571.29N/AN/A52+4.88%$64+2.26%0.95
186
LLoews Corp0.19%$104.46$22BInsurance - Property & CasualtyFinancial Services+15.75%13.9412.200.93N/AN/AN/A-42.56%$60+12.86%0.51
187
WRBWr Berkley Corp0.19%$65.29$24BInsurance - Property & CasualtyFinancial Services+21.09%13.1213.931.41N/AN/A43+3.20%$67+16.41%0.21
188
ELThe Estee Lauder Companies Inc Class A0.19%$82.06$33BHousehold & Personal ProductsConsumer Defensive-27.12%72.1427.321.43N/AN/A65+16.29%$95-21.84%1.34
189
DLTRDollar Tree Inc0.19%$112.50$19BDiscount StoresConsumer Defensive+2.09%15.1616.671.20N/AN/A52+10.45%$124+2.02%0.62
190
LUVSouthwest Airlines Co0.19%$40.87$22BAirlinesIndustrials-30.83%62.4113.6810.75N/AN/A57+11.67%$46-5.50%1.30
191
KHCThe Kraft Heinz Co0.19%$22.76$29BPackaged FoodsConsumer DefensiveN/AN/A11.520.99N/AN/A42+4.61%$24-8.24%0.22
192
TSCOTractor Supply Co0.19%$29.14$16BSpecialty RetailConsumer Cyclical+7.01%14.9914.7714.41N/AN/A65+60.54%$47-2.55%0.59
193
BROBrown & Brown Inc0.18%$55.13$19BInsurance BrokersFinancial Services+12.98%16.5412.421.51N/AN/A59+32.41%$73+1.74%0.28
194
TSNTyson Foods Inc Class A0.18%$57.09$23BFarm ProductsConsumer Defensive-27.89%56.6713.391.04N/AN/A60+24.51%$71-3.25%0.18
195
ROLRollins Inc0.18%$45.79$24BPersonal ServicesConsumer Cyclical+11.25%45.9937.044.12N/AN/A72+37.45%$63+8.04%0.31
196
BRBroadridge Financial Solutions Inc0.18%$152.59$17BInformation Technology ServicesTechnology+16.10%15.5815.270.39N/AN/A72+35.33%$207+0.64%0.50
197
IFFInternational Flavors & Fragrances Inc0.17%$73.56$20BSpecialty ChemicalsBasic Materials+8.97%23.8216.500.88N/AN/A76+23.86%$91-10.07%0.67
198
IBKRInteractive Brokers Group Inc Class A0.17%$87.15$144BCapital MarketsFinancial Services+22.71%33.0235.461.05N/AN/A70-0.17%$87+39.33%1.62
199
n/aTrs:paypal Holdings Inc Usd 2026-aug-310.17%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
200
LVSLas Vegas Sands Corp0.17%$50.87$34BResorts & CasinosConsumer CyclicalN/A18.7116.560.37N/AN/A70+36.54%$69-0.96%0.98

VO (VANGUARD MID-CAP INDEX FUND ETF SHARES) Sector Allocation

INDUSTRIALS
18.10%
INFORMATION TECHNOLOGY
15.40%
FINANCIALS
14.00%
CONSUMER DISCRETIONARY
8.60%
UTILITIES
8.30%
ENERGY
8.10%
HEALTHCARE
7.50%
CONSUMER STAPLES
4.80%
MATERIALS
4.40%
COMMUNICATION SERVICES
2.80%
REAL ESTATE
0.00%