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All 158 VUG (VANGUARD GROWTH INDEX FUND ETF SHARES) Holdings

There are 158 VUG holdings. Top 10 companies weight: 64.84%.

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Total Market Cap: $41T
Rank
Average(158 stocks)+35.50%36.6929.870.63+17.98%+27.70%1.39
101
RCLRoyal Caribbean Group0.11%$286.42$74BTravel ServicesConsumer Cyclical+11.52%16.7416.130.61N/AN/A72+17.65%$337+25.65%1.61
102
AXONAxon Enterprise Inc0.10%$481.48$32BAerospace & DefenseIndustrialsN/A152.3959.171.65N/AN/A82+37.50%$662+27.81%1.15
103
EXPEExpedia Group Inc0.10%$225.41$26BTravel ServicesConsumer CyclicalN/A17.9311.590.52N/AN/A60+27.02%$286+5.89%1.40
104
ORealty Income Corp0.10%$59.72$58BReit - RetailReal Estate+6.21%50.9837.174.19N/AN/A59+14.62%$68+2.47%0.14
105
RMDResmed Inc0.10%$186.46$30BMedical Instruments & SuppliesHealthcare+27.03%19.7715.721.20N/AN/A65+45.12%$271-1.03%0.63
106
RKLBRocket Lab Corp0.09%$114.70$87BAerospace & DefenseIndustrialsN/AN/AN/AN/AN/AN/A72-9.41%$1040.00%2.51
107
ARESN/A0.09%$123.20$40BAsset ManagementFinancial Services-11.79%199.8421.051.04N/AN/A72+17.98%$145+20.58%1.61
108
VRSKVerisk Analytics Inc0.09%$178.33$23BConsulting ServicesIndustrials+8.68%25.8124.101.66N/AN/A67+23.63%$220+1.31%0.20
109
WDAYWorkday Inc Class A0.09%$146.90$32BSoftware - ApplicationTechnologyN/A42.4614.811.01N/AN/A67+16.49%$171-8.03%0.86
110
LPLALpl Financial Holdings Inc0.09%$282.67$22BCapital MarketsFinancial Services+13.86%23.0711.050.41N/AN/A78+47.34%$417+15.50%1.10
111
MTDMettler-toledo International Inc0.09%$1,169.50$23BDiagnostics & ResearchHealthcare+10.58%26.9625.328.79N/AN/A67+13.54%$1.33K-1.43%1.04
112
LYVLive Nation Entertainment Inc0.09%$164.22$39BEntertainmentCommunication Services-9.74%124.76454.5515.96N/AN/A72+12.52%$185+12.97%0.95
113
SBACSba Communications Corp Class A0.09%$196.58$21BReit - SpecialtyReal Estate+19.68%64.6122.881.64N/AN/A66+19.60%$235-7.42%0.09
114
VEEVVeeva Systems Inc Class A0.08%$178.69$26BHealth Information ServicesHealthcare+24.84%28.5521.280.77N/AN/A74+47.00%$263-8.92%0.65
115
n/aMktliq 12/31/20490.08%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
116
FICOFair Isaac Corp0.08%$1,175.20$30BSoftware - ApplicationTechnology+27.34%39.8823.091.11N/AN/A72+30.32%$1.53K+19.10%0.95
117
ZTSZoetis Inc Class A0.08%$77.59$33BDrug Manufacturers - Specialty & GenericHealthcare+10.56%12.8911.341.12N/AN/A67+60.57%$125-14.17%0.59
118
DXCMDexcom Inc0.08%$72.77$27BMedical DevicesHealthcare+9.47%29.3028.820.38N/AN/AN/AN/AN/A-5.34%N/A
119
WSTWest Pharmaceutical Services Inc0.08%$316.31$22BMedical Instruments & SuppliesHealthcare+5.74%41.2936.762.40N/AN/A73+10.85%$351-0.79%0.61
120
VRSNVerisign Inc0.08%$297.08$27BSoftware - InfrastructureTechnology+10.44%32.4731.753.14N/AN/A50+3.09%$306+6.58%0.37
121
RDDTReddit Inc Class A Shares0.07%$169.49$30BInternet Content & InformationCommunication ServicesN/A60.3439.061.26N/AN/A70+32.70%$2250.00%2.01
122
MLMMartin Marietta Materials Inc0.07%$583.49$35BBuilding MaterialsBasic Materials+19.24%20.5929.242.69N/AN/A67+17.07%$683+11.34%0.79
123
EQTEqt Corp0.07%$54.48$35BOil & Gas E&pEnergy+32.02%11.9111.862.51N/AN/A71+28.56%$70+22.14%0.68
124
MDBMongodb Inc Class A0.07%$368.32$24BSoftware - InfrastructureTechnologyN/AN/A67.111.67N/AN/A73+5.12%$387+3.16%1.65
125
IBKRInteractive Brokers Group Inc Class A0.07%$87.15$144BCapital MarketsFinancial Services+22.71%33.0235.461.05N/AN/A70-0.17%$87+39.33%1.62
126
LVSLas Vegas Sands Corp0.06%$50.87$34BResorts & CasinosConsumer CyclicalN/A18.7116.560.37N/AN/A70+36.54%$69-0.96%0.98
127
CPRTCopart Inc0.06%$30.35$32BSpecialty Business ServicesIndustrials+16.54%20.3919.233.00N/AN/A64+36.54%$41-0.59%0.61
128
WATWaters Corp0.06%$379.77$34BDiagnostics & ResearchHealthcare+15.00%93.8126.181.30N/AN/A68+5.46%$401+3.53%0.95
129
INSMInsmed Inc0.06%$103.86$23BBiotechnologyHealthcare+12.24%N/A16.371.09N/AN/A79+92.57%$200+32.61%0.74
130
SUNBSunbelt Rentals Holdings Inc0.06%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
131
ROLRollins Inc0.06%$45.79$24BPersonal ServicesConsumer Cyclical+11.25%45.9937.044.12N/AN/A72+37.45%$63+8.04%0.31
132
CSGPCostar Group Inc0.05%$33.40$13BReal Estate ServicesReal EstateN/AN/A21.280.12N/AN/AN/AN/AN/A-16.86%N/A
133
TEAMAtlassian Corp Class A0.05%$101.53$23BSoftware - ApplicationTechnologyN/AN/A17.73N/AN/AN/A73+41.02%$143-14.78%1.30
134
BURLBurlington Stores Inc0.05%$328.72$20BApparel RetailConsumer CyclicalN/A33.5926.251.51N/AN/A70+11.67%$367+1.55%1.10
135
TWTradeweb Markets Inc0.05%$100.43$22BCapital MarketsFinancial ServicesN/A31.0230.210.61N/AN/A65+35.49%$136+4.50%0.40
136
HEI-AHeico Corp Class A0.05%$242.25$32BAerospace & DefenseIndustrials+6.25%36.6441.672.14N/AN/A50+32.09%$320+12.37%0.83
137
TPLTexas Pacific Land Corp0.05%$406.76$28BOil & Gas E&pEnergy+22.97%55.6037.745.91N/AN/A50+9.40%$445+21.24%1.15
138
SMCISuper Micro Computer Inc0.05%$47.42$23BComputer HardwareTechnology+63.54%18.3314.752.60N/AN/A51-20.67%$38+66.83%2.33
139
ZSZscaler Inc0.05%$134.37$31BSoftware - InfrastructureTechnology-22.30%N/A33.90N/AN/AN/A74+45.05%$195-6.28%1.27
140
FSLRFirst Solar Inc0.05%$318.25$29BSolarTechnology+26.05%17.6418.550.56N/AN/A70-23.46%$244+33.22%1.05
141
LULULululemon Athletica Inc0.05%$126.03$15BApparel RetailConsumer Cyclical+24.33%9.3710.550.61N/AN/A50+39.68%$176-17.49%1.17
142
FLUTFlutter Entertainment Plc0.04%$100.71$17BGamblingConsumer CyclicalN/AN/A13.760.19N/AN/A75+61.57%$163-11.75%1.06
143
n/aTrs:visa Inc-class A Shares Usd 2026-aug-310.04%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
144
HEIHeico Corp0.04%$329.08$43BAerospace & DefenseIndustrials+6.25%49.2456.822.89N/AN/A69+16.37%$383+17.65%0.84
145
TTDThe Trade Desk Inc Class A0.03%$20.56$11BAdvertising AgenciesCommunication Services+27.66%36.7120.921.94N/AN/A57+23.25%$25-18.58%1.43
146
TKOTko Group Holdings Inc0.03%$198.57$15BEntertainmentCommunication ServicesN/A52.4553.191.42N/AN/A72+18.04%$2340.00%0.75
147
HUBSHubspot Inc0.03%$222.36$10BSoftware - ApplicationTechnologyN/A104.7220.410.32N/AN/A78+25.99%$280-14.62%1.18
148
PODDInsulet Corp0.03%$143.30$10BMedical DevicesHealthcare+50.11%43.3323.871.13N/AN/A73+70.12%$244-12.02%0.72
149
GDDYGodaddy Inc Class A0.03%$83.98$12BSoftware - InfrastructureTechnologyN/A13.599.230.67N/AN/AN/AN/AN/A+0.77%N/A
150
PINSPinterest Inc Class A0.03%$20.67$13BInternet Content & InformationCommunication ServicesN/A220.7511.241.18N/AN/A63+34.11%$28-19.95%1.25

VUG (VANGUARD GROWTH INDEX FUND ETF SHARES) Sector Allocation

INFORMATION TECHNOLOGY
52.70%
COMMUNICATION SERVICES
17.30%
CONSUMER DISCRETIONARY
12.30%
INDUSTRIALS
4.90%
HEALTHCARE
4.60%
FINANCIALS
4.40%
CONSUMER STAPLES
1.50%
REAL ESTATE
1.00%
MATERIALS
0.60%
ENERGY
0.30%
UTILITIES
0.00%