VANGUARD INDEX FUNDS (VUG)

Management Company · ARCX · Series S000002842 · View on SEC EDGAR ↗

Jan. 26, 2004
Inception
Net assets
$223.2B
Holdings
148
As of
June 30, 2026
Expense ratio
0.03% (Ultra-low)
On this page

Fund flows (SEC-reported)

Last month (Mar 2026)
-$233.3M
Quarter ending Mar 2026
+$2.5B
Trailing 12 months
+$10.5B

Apr 2025 – Mar 2026

Based on the fund's own SEC Form N-PORT monthly flow disclosures (Item C.9 "Flow Information") — sales minus redemptions, reinvested distributions excluded. This is a different, independent metric from the "Net flows" estimate above (which is derived from daily shares-outstanding changes). SEC N-PORT filing lag is up to ~60 days; the most recent month/quarter may not yet be fully reflected.

Full composition 148 holdings

IssuerTicker Weight % Market value Shares CUSIP Units/share TypeCurrency
Datadog Inc. Class A DDOG 0.26 ≈$580.3M 3,731,437 23804L103 0.001509 EQUITY
Snowflake Inc. SNOW 0.25 ≈$558.0M 3,704,514 833445109 0.001498 EQUITY
Synopsys Inc. SNPS 0.25 ≈$558.0M 2,133,397 871607107 0.0008627 EQUITY
Bloom Energy Corp. Class A BE 0.24 ≈$535.7M 3,040,799 093712107 0.00123 EQUITY
Cloudflare Inc. Class A NET 0.23 ≈$513.4M 3,612,809 18915M107 0.001461 EQUITY
Coherent Corp. COHR 0.23 ≈$513.4M 2,208,101 19247G107 0.0008929 EQUITY
Marriott International Inc./MD Class A MAR 0.23 ≈$513.4M 2,360,430 571903202 0.0009546 EQUITY
O'Reilly Automotive Inc. ORLY 0.23 ≈$513.4M 9,362,496 67103H107 0.003786 EQUITY
Robinhood Markets Inc. Class A HOOD 0.23 ≈$513.4M 8,852,166 770700102 0.00358 EQUITY
Teradyne Inc. TER 0.23 ≈$513.4M 1,789,168 880770102 0.0007235 EQUITY
Hilton Worldwide Holdings Inc. HLT 0.22 ≈$491.0M 2,555,362 43300A203 0.001033 EQUITY
TransDigm Group Inc. TDG 0.22 ≈$491.0M 631,604 893641100 0.0002554 EQUITY
Uber Technologies Inc. UBER 0.22 ≈$491.0M 11,512,203 90353T100 0.004655 EQUITY
Ciena Corp. CIEN 0.21 ≈$468.7M 1,621,315 171779309 0.0006557 EQUITY
Comfort Systems USA Inc. FIX 0.21 ≈$468.7M 400,141 199908104 0.0001618 EQUITY
DoorDash Inc. Class A DASH 0.21 ≈$468.7M 4,247,615 25809K105 0.001718 EQUITY
Ecolab Inc. ECL 0.21 ≈$468.7M 2,878,783 278865100 0.001164 EQUITY
Motorola Solutions Inc. MSI 0.21 ≈$468.7M 1,890,602 620076307 0.0007646 EQUITY
Lumentum Holdings Inc. LITE 0.20 ≈$446.4M 884,756 55024U109 0.0003578 EQUITY
Monster Beverage Corp. MNST 0.20 ≈$446.4M 7,838,165 61174X109 0.00317 EQUITY
Moody's Corp. MCO 0.20 ≈$446.4M 1,688,577 615369105 0.0006829 EQUITY
Monolithic Power Systems Inc. MPWR 0.19 ≈$424.1M 530,842 609839105 0.0002147 EQUITY
WW Grainger Inc. GWW 0.19 ≈$424.1M 516,704 384802104 0.000209 EQUITY
Cintas Corp. CTAS 0.18 ≈$401.8M 3,925,216 172908105 0.001587 EQUITY
Rocket Lab Corp. RKLB 0.18 ≈$401.8M 6,628,913 773121108 0.002681 EQUITY
Targa Resources Corp. TRGP 0.18 ≈$401.8M 2,485,144 87612G101 0.001005 EQUITY
Airbnb Inc. Class A ABNB 0.17 ≈$379.4M 4,598,066 009066101 0.001859 EQUITY
Fastenal Co. FAST 0.17 ≈$379.4M 13,409,545 311900104 0.005423 EQUITY
Stryker Corp. SYK 0.17 ≈$379.4M 2,013,205 863667101 0.0008141 EQUITY
AutoZone Inc. AZO 0.16 ≈$357.1M 192,961 053332102 0.00007803 EQUITY
Axon Enterprise Inc. AXON 0.14 ≈$312.5M 952,836 05464C101 0.0003853 EQUITY
Blackstone Group LP BX 0.14 ≈$312.5M 4,391,317 09260D107 0.001776 EQUITY
Carvana Co. Class A CVNA 0.14 ≈$312.5M 8,128,076 146869102 0.003287 EQUITY
Chipotle Mexican Grill Inc. Class A CMG 0.14 ≈$312.5M 15,414,703 169656105 0.006234 EQUITY
Take-Two Interactive Software Inc. TTWO 0.14 ≈$312.5M 2,124,204 874054109 0.000859 EQUITY
Waste Connections Inc. WCN 0.14 ≈$312.5M 3,080,395 94106B101 0.001246 EQUITY
Yum! Brands Inc. YUM 0.14 ≈$312.5M 3,296,658 988498101 0.001333 EQUITY
Adobe Inc. ADBE 0.13 ≈$290.2M 2,438,454 00724F101 0.0009861 EQUITY
Alnylam Pharmaceuticals Inc. ALNY 0.13 ≈$290.2M 1,622,377 02043Q107 0.0006561 EQUITY
Autodesk Inc. ADSK 0.13 ≈$290.2M 2,538,105 052769106 0.001026 EQUITY
IDEXX Laboratories Inc. IDXX 0.13 ≈$290.2M 941,361 45168D104 0.0003807 EQUITY
Old Dominion Freight Line Inc. ODFL 0.13 ≈$290.2M 2,249,301 679580100 0.0009096 EQUITY
Sherwin-Williams Co. SHW 0.13 ≈$290.2M 1,429,186 824348106 0.000578 EQUITY
Square Inc. XYZ 0.13 ≈$290.2M 6,473,682 852234103 0.002618 EQUITY
Astera Labs Inc. ALAB 0.12 ≈$267.8M 978,905 04626A103 0.0003959 EQUITY
CoreWeave Inc. Class A CRWV 0.12 ≈$267.8M 4,529,951 21873S108 0.001832 EQUITY
MSCI Inc. Class A MSCI 0.12 ≈$267.8M 833,177 55354G100 0.0003369 EQUITY
Royal Caribbean Cruises Ltd. RCL 0.12 ≈$267.8M 1,474,546 V7780T103 0.0005963 EQUITY
Vulcan Materials Co. VMC 0.12 ≈$267.8M 1,573,732 929160109 0.0006364 EQUITY
Intuit Inc. INTU 0.11 ≈$245.5M 1,668,122 461202103 0.0006746 EQUITY

Market value is estimated from each holding's weight and the fund's net assets. Weight and shares are as reported by the fund.

Page 2 of 3

Sector breakdown

Technology
53.7%
Communication Services
15.0%
Retail
6.7%
Industrials
6.6%
Consumer Discretionary
5.9%
Healthcare
4.7%
Financial Services
4.0%
Communications
1.1%
Real Estate
1.0%
Energy
0.3%
Materials
0.3%
Consumer Staples
0.2%
Telecommunication
0.1%
Other/Unmapped
0.4%

Daily changes (30d)

DateType Ticker Change
June 30, 2026 Trimmed AAPL — Apple Inc.
037833100
Units/share: 0.09572 → 0.0618 (-35.4%)
June 30, 2026 Trimmed ABNB — Airbnb Inc. Class A
009066101
Units/share: 0.002739 → 0.001859 (-32.1%)
June 30, 2026 Trimmed ADBE — Adobe Inc.
00724F101
Units/share: 0.002794 → 0.0009861 (-64.7%)
June 30, 2026 Trimmed ADSK — Autodesk Inc.
052769106
Units/share: 0.001512 → 0.001026 (-32.1%)
June 30, 2026 New ALAB — Astera Labs Inc.
04626A103
New position — 0.0003959 units/share
June 30, 2026 Trimmed ALNY — Alnylam Pharmaceuticals Inc.
02043Q107
Units/share: 0.0009704 → 0.0006561 (-32.4%)
June 30, 2026 Increased AMAT — Applied Materials Inc.
038222105
Units/share: 0.002689 → 0.003381 (25.7%)
June 30, 2026 Trimmed AMD — Advanced Micro Devices Inc.
007903107
Units/share: 0.01079 → 0.006903 (-36.0%)
June 30, 2026 Trimmed AMZN — Amazon.com Inc.
023135106
Units/share: 0.04347 → 0.02875 (-33.9%)
June 30, 2026 Trimmed ANET — Arista Networks Inc.
040413205
Units/share: 0.007212 → 0.00466 (-35.4%)
June 30, 2026 Trimmed APH — Amphenol Corp. Class A
032095101
Units/share: 0.008264 → 0.005336 (-35.4%)
June 30, 2026 Trimmed APO — Apollo Global Management Inc.
03769M106
Units/share: 0.002951 → 0.001041 (-64.7%)
June 30, 2026 Trimmed APP — AppLovin Corp. Class A
03831W108
Units/share: 0.001668 → 0.001212 (-27.3%)
June 30, 2026 Trimmed ARES — Ares Management Corp. Class A
03990B101
Units/share: 0.001679 → 0.001096 (-34.7%)
June 30, 2026 New ASTS — AST SpaceMobile Inc. Class A
00217D100
New position — 0.0009112 units/share
June 30, 2026 Trimmed AVGO — Broadcom Inc.
11135F101
Units/share: 0.02804 → 0.01738 (-38.0%)
June 30, 2026 Trimmed AXON — Axon Enterprise Inc.
05464C101
Units/share: 0.0005572 → 0.0003853 (-30.8%)
June 30, 2026 Trimmed AZO — AutoZone Inc.
053332102
Units/share: 0.0001173 → 0.00007803 (-33.5%)
June 30, 2026 Trimmed BA — Boeing Co.
097023105
Units/share: 0.005262 → 0.003431 (-34.8%)
June 30, 2026 Increased BE — Bloom Energy Corp. Class A
093712107
Units/share: 0.001121 → 0.00123 (9.7%)
June 30, 2026 Trimmed BKNG — Booking Holdings Inc.
09857L108
Units/share: 0.005344 → 0.003412 (-36.1%)
June 30, 2026 Trimmed BSX — Boston Scientific Corp.
101137107
Units/share: 0.01014 → 0.003721 (-63.3%)
June 30, 2026 Trimmed BURL — Burlington Stores Inc.
122017106
Units/share: 0.000317 → 0.0002133 (-32.7%)
June 30, 2026 Trimmed BX — Blackstone Group LP
09260D107
Units/share: 0.002715 → 0.001776 (-34.6%)
June 30, 2026 Trimmed CBRS — Cerebras Systems Inc.
15675D103
Units/share: 0.0004389 → 0.000252 (-42.6%)
June 30, 2026 Trimmed CDNS — Cadence Design Systems Inc.
127387108
Units/share: 0.001912 → 0.001228 (-35.8%)
June 30, 2026 Increased CIEN — Ciena Corp.
171779309
Units/share: 0.0005771 → 0.0006557 (13.6%)
June 30, 2026 Trimmed CMG — Chipotle Mexican Grill Inc. Class A
169656105
Units/share: 0.009449 → 0.006234 (-34.0%)
June 30, 2026 Increased COHR — Coherent Corp.
19247G107
Units/share: 0.0007558 → 0.0008929 (18.1%)
June 30, 2026 Trimmed COIN — Coinbase Global Inc. Class A
19260Q107
Units/share: 0.001553 → 0.001051 (-32.4%)
June 30, 2026 Trimmed COST — Costco Wholesale Corp.
22160K105
Units/share: 0.002924 → 0.001892 (-35.3%)
June 30, 2026 Exited CPRT
217204106
Position exited — was 0.003745 units/share
June 30, 2026 Exited CRM
79466L302
Position exited — was 0.003055 units/share
June 30, 2026 Trimmed CRWD — Crowdstrike Holdings Inc. Class A
22788C105
Units/share: 0.001639 → 0.001055 (-35.6%)
June 30, 2026 Trimmed CRWV — CoreWeave Inc. Class A
21873S108
Units/share: 0.002357 → 0.001832 (-22.3%)
June 30, 2026 Trimmed CSGP — CoStar Group Inc.
22160N109
Units/share: 0.003442 → 0.001741 (-49.4%)
June 30, 2026 Trimmed CTAS — Cintas Corp.
172908105
Units/share: 0.002382 → 0.001587 (-33.3%)
June 30, 2026 Trimmed CVNA — Carvana Co. Class A
146869102
Units/share: 0.004954 → 0.003287 (-33.7%)
June 30, 2026 Trimmed DASH — DoorDash Inc. Class A
25809K105
Units/share: 0.00246 → 0.001718 (-30.2%)
June 30, 2026 Trimmed DDOG — Datadog Inc. Class A
23804L103
Units/share: 0.00241 → 0.001509 (-37.4%)
June 30, 2026 Trimmed DXCM — DexCom Inc.
252131107
Units/share: 0.00301 → 0.001999 (-33.6%)
June 30, 2026 Trimmed ECL — Ecolab Inc.
278865100
Units/share: 0.001774 → 0.001164 (-34.4%)
June 30, 2026 Trimmed EQIX — Equinix Inc.
29444U700
Units/share: 0.0006764 → 0.000439 (-35.1%)
June 30, 2026 Trimmed EQT — EQT Corp.
26884L109
Units/share: 0.002586 → 0.001183 (-54.2%)
June 30, 2026 Exited ESM6
X3f8ad82e950
Position exited — was 0.005146 units/share
June 30, 2026 Trimmed EXPE — Expedia Group Inc.
30212P303
Units/share: 0.0008996 → 0.0003529 (-60.8%)
June 30, 2026 Trimmed FAST — Fastenal Co.
311900104
Units/share: 0.008215 → 0.005423 (-34.0%)
June 30, 2026 Trimmed FICO — Fair Isaac Corp.
303250104
Units/share: 0.00017 → 0.0001164 (-31.5%)
June 30, 2026 Increased FIX — Comfort Systems USA Inc.
199908104
Units/share: 0.0001414 → 0.0001618 (14.5%)
June 30, 2026 New FLEX — Flex Ltd.
Y2573F102
New position — 0.0009577 units/share
June 30, 2026 Exited FLUT
G3643J108
Position exited — was 0.0007628 units/share
June 30, 2026 Trimmed FSLR — First Solar Inc.
336433107
Units/share: 0.0005132 → 0.00032 (-37.6%)
June 30, 2026 Trimmed FTNT — Fortinet Inc.
34959E109
Units/share: 0.004264 → 0.002803 (-34.3%)
June 30, 2026 Exited GDDY
380237107
Position exited — was 0.0007986 units/share
June 30, 2026 Trimmed GE — General Electric Co.
369604301
Units/share: 0.00335 → 0.002267 (-32.3%)
June 30, 2026 Trimmed GEV — GE Vernova LLC
36828A101
Units/share: 0.001798 → 0.001155 (-35.8%)
June 30, 2026 New GLW — Corning Inc.
219350105
New position — 0.001777 units/share
June 30, 2026 Trimmed GOOG — Alphabet Inc. Class C
02079K107
Units/share: 0.03015 → 0.01966 (-34.8%)
June 30, 2026 Trimmed GOOGL — Alphabet Inc. Class A
02079K305
Units/share: 0.03797 → 0.02468 (-35.0%)
June 30, 2026 Trimmed GWW — WW Grainger Inc.
384802104
Units/share: 0.0003239 → 0.000209 (-35.5%)
June 30, 2026 Trimmed HEI — HEICO Corp.
422806109
Units/share: 0.0003161 → 0.0002078 (-34.3%)
June 30, 2026 Trimmed HEI.A — HEICO Corp. Class A
422806208
Units/share: 0.0005804 → 0.0003825 (-34.1%)
June 30, 2026 Trimmed HLT — Hilton Worldwide Holdings Inc.
43300A203
Units/share: 0.001608 → 0.001033 (-35.7%)
June 30, 2026 Trimmed HOOD — Robinhood Markets Inc. Class A
770700102
Units/share: 0.005589 → 0.00358 (-36.0%)
June 30, 2026 Exited HUBS
443573100
Position exited — was 0.0002791 units/share
June 30, 2026 Trimmed HWM — Howmet Aerospace Inc.
443201108
Units/share: 0.002748 → 0.001776 (-35.4%)
June 30, 2026 Trimmed IBKR — Interactive Brokers Group Inc.
45841N107
Units/share: 0.001892 → 0.001172 (-38.1%)
June 30, 2026 Trimmed IDXX — IDEXX Laboratories Inc.
45168D104
Units/share: 0.0005748 → 0.0003807 (-33.8%)
June 30, 2026 Trimmed INSM — Insmed Inc.
457669307
Units/share: 0.0009462 → 0.0007287 (-23.0%)
June 30, 2026 New INTC — Intel Corp.
458140100
New position — 0.008668 units/share
June 30, 2026 Trimmed INTU — Intuit Inc.
461202103
Units/share: 0.001883 → 0.0006746 (-64.2%)
June 30, 2026 Trimmed ISRG — Intuitive Surgical Inc.
46120E602
Units/share: 0.002382 → 0.001555 (-34.7%)
June 30, 2026 Increased KLAC — KLA Corp.
482480100
Units/share: 0.000879 → 0.005601 (537.2%)
June 30, 2026 Increased LITE — Lumentum Holdings Inc.
55024U109
Units/share: 0.0002938 → 0.0003578 (21.8%)
June 30, 2026 Trimmed LLY — Eli Lilly & Co.
532457108
Units/share: 0.005563 → 0.003585 (-35.6%)
June 30, 2026 Trimmed LPLA — LPL Financial Holdings Inc.
50212V100
Units/share: 0.0006309 → 0.0004242 (-32.8%)
June 30, 2026 Trimmed LRCX — Lam Research Corp.
512807306
Units/share: 0.008303 → 0.005332 (-35.8%)
June 30, 2026 Trimmed LULU — Lululemon Athletica Inc.
550021109
Units/share: 0.0008954 → 0.0003505 (-60.9%)
June 30, 2026 Trimmed LVS — Las Vegas Sands Corp.
517834107
Units/share: 0.002609 → 0.001812 (-30.5%)
June 30, 2026 Trimmed LYV — Live Nation Entertainment Inc.
538034109
Units/share: 0.00129 → 0.0008496 (-34.2%)
June 30, 2026 Trimmed MA — Mastercard Inc. Class A
57636Q104
Units/share: 0.005253 → 0.003371 (-35.8%)
June 30, 2026 Trimmed MAR — Marriott International Inc./MD Class A
571903202
Units/share: 0.001486 → 0.0009546 (-35.8%)
June 30, 2026 Trimmed MCD — McDonald's Corp.
580135101
Units/share: 0.00473 → 0.00308 (-34.9%)
June 30, 2026 Trimmed MCO — Moody's Corp.
615369105
Units/share: 0.001054 → 0.0006829 (-35.2%)
June 30, 2026 Trimmed MDB — MongoDB Inc.
60937P106
Units/share: 0.0006304 → 0.0004017 (-36.3%)
June 30, 2026 Trimmed META — Facebook Inc. Class A
30303M102
Units/share: 0.01429 → 0.009274 (-35.1%)
June 30, 2026 Trimmed MLM — Martin Marietta Materials Inc.
573284106
Units/share: 0.0002526 → 0.0001721 (-31.9%)
June 30, 2026 Trimmed MNST — Monster Beverage Corp.
61174X109
Units/share: 0.004907 → 0.00317 (-35.4%)
June 30, 2026 Trimmed MPWR — Monolithic Power Systems Inc.
609839105
Units/share: 0.0003348 → 0.0002147 (-35.9%)
June 30, 2026 Trimmed MRVL — Marvell Technology Inc.
573874104
Units/share: 0.006065 → 0.003863 (-36.3%)
June 30, 2026 Trimmed MSCI — MSCI Inc. Class A
55354G100
Units/share: 0.0005147 → 0.0003369 (-34.5%)
June 30, 2026 Trimmed MSFT — Microsoft Corp.
594918104
Units/share: 0.04843 → 0.03128 (-35.4%)
June 30, 2026 Trimmed MSI — Motorola Solutions Inc.
620076307
Units/share: 0.001153 → 0.0007646 (-33.7%)
June 30, 2026 Trimmed MTD — Mettler-Toledo International Inc.
592688105
Units/share: 0.0001608 → 0.0001087 (-32.4%)
June 30, 2026 Trimmed NET — Cloudflare Inc. Class A
18915M107
Units/share: 0.00214 → 0.001461 (-31.7%)
June 30, 2026 Trimmed NFLX — Netflix Inc.
64110L106
Units/share: 0.02784 → 0.01804 (-35.2%)
June 30, 2026 Trimmed NOW — ServiceNow Inc.
81762P102
Units/share: 0.007086 → 0.004614 (-34.9%)
June 30, 2026 Exited NQM6
X05511c9e847
Position exited — was 0.04681 units/share
June 30, 2026 Trimmed NVDA — NVIDIA Corp.
67066G104
Units/share: 0.1505 → 0.09672 (-35.7%)
June 30, 2026 Trimmed O — Realty Income Corp.
756109104
Units/share: 0.003565 → 0.002403 (-32.6%)
June 30, 2026 Trimmed ODFL — Old Dominion Freight Line Inc.
679580100
Units/share: 0.001398 → 0.0009096 (-34.9%)
June 30, 2026 Trimmed ORCL — Oracle Corp.
68389X105
Units/share: 0.01145 → 0.007396 (-35.4%)
June 30, 2026 Trimmed ORLY — O'Reilly Automotive Inc.
67103H107
Units/share: 0.005845 → 0.003786 (-35.2%)
June 30, 2026 Exited OWL
09581B103
Position exited — was 0.005641 units/share
June 30, 2026 Trimmed PANW — Palo Alto Networks Inc.
697435105
Units/share: 0.005521 → 0.003524 (-36.2%)
June 30, 2026 Exited PINS
72352L106
Position exited — was 0.003529 units/share
June 30, 2026 Trimmed PLTR — Palantir Technologies Inc. Class A
69608A108
Units/share: 0.01439 → 0.00937 (-34.9%)
June 30, 2026 Exited PODD
45784P101
Position exited — was 0.0003742 units/share
June 30, 2026 Trimmed PWR — Quanta Services Inc.
74762E102
Units/share: 0.001038 → 0.0006683 (-35.6%)
June 30, 2026 Trimmed RBLX — ROBLOX Corp.
771049103
Units/share: 0.004634 → 0.003241 (-30.1%)
June 30, 2026 Trimmed RCL — Royal Caribbean Cruises Ltd.
V7780T103
Units/share: 0.0009163 → 0.0005963 (-34.9%)
June 30, 2026 Trimmed RDDT — Reddit Inc. Class A
75734B100
Units/share: 0.00111 → 0.0007288 (-34.4%)
June 30, 2026 Increased RKLB — Rocket Lab Corp.
773121108
Units/share: 0.002337 → 0.002681 (14.7%)
June 30, 2026 Trimmed RMD — ResMed Inc.
761152107
Units/share: 0.001084 → 0.0007539 (-30.5%)
June 30, 2026 Trimmed ROL — Rollins Inc.
775711104
Units/share: 0.002625 → 0.001911 (-27.2%)
June 30, 2026 Trimmed SBAC — SBA Communications Corp. Class A
78410G104
Units/share: 0.0008684 → 0.0005861 (-32.5%)
June 30, 2026 Trimmed SBUX — Starbucks Corp.
855244109
Units/share: 0.007765 → 0.005058 (-34.9%)
June 30, 2026 Trimmed SHW — Sherwin-Williams Co.
824348106
Units/share: 0.001637 → 0.000578 (-64.7%)
June 30, 2026 Trimmed SMCI — Super Micro Computer Inc.
86800U302
Units/share: 0.004411 → 0.003278 (-25.7%)
June 30, 2026 Trimmed SNDK — Sandisk Corp.
80004C200
Units/share: 0.001014 → 0.0006359 (-37.3%)
June 30, 2026 Trimmed SNOW — Snowflake Inc.
833445109
Units/share: 0.002307 → 0.001498 (-35.1%)
June 30, 2026 Trimmed SNPS — Synopsys Inc.
871607107
Units/share: 0.001326 → 0.0008627 (-34.9%)
June 30, 2026 New SPCX — Space Exploration Technologies Corp. Class A
84615Q103
New position — 0.002621 units/share
June 30, 2026 Exited SPGI
78409V104
Position exited — was 0.001022 units/share
June 30, 2026 Trimmed STX — Seagate Technology Holdings plc
G7997R103
Units/share: 0.001517 → 0.0009673 (-36.2%)
June 30, 2026 Trimmed SUNB — Sunbelt Rentals Holdings Inc.
866966104
Units/share: 0.001816 → 0.001198 (-34.0%)
June 30, 2026 Trimmed SYK — Stryker Corp.
863667101
Units/share: 0.002337 → 0.0008141 (-65.2%)
June 30, 2026 Trimmed SYM — Symbotic Inc. Class A
87151X101
Units/share: 0.000922 → 0.0008087 (-12.3%)
June 30, 2026 Trimmed TDG — TransDigm Group Inc.
893641100
Units/share: 0.0003942 → 0.0002554 (-35.2%)
June 30, 2026 Trimmed TEAM — Atlassian Corp. Class A
049468101
Units/share: 0.001515 → 0.0009895 (-34.7%)
June 30, 2026 Trimmed TER — Teradyne Inc.
880770102
Units/share: 0.001145 → 0.0007235 (-36.8%)
June 30, 2026 Trimmed TJX — TJX Cos. Inc.
872540109
Units/share: 0.007446 → 0.00481 (-35.4%)
June 30, 2026 Trimmed TKO — TKO Group Holdings Inc. Class A
87256C101
Units/share: 0.0003721 → 0.0002643 (-29.0%)
June 30, 2026 Exited TMUS
872590104
Position exited — was 0.00159 units/share
June 30, 2026 Trimmed TPL — Texas Pacific Land Corp.
88262P102
Units/share: 0.000256 → 0.0001991 (-22.2%)
June 30, 2026 Trimmed TRGP — Targa Resources Corp.
87612G101
Units/share: 0.001544 → 0.001005 (-34.9%)
June 30, 2026 Trimmed TSLA — Tesla Inc.
88160R101
Units/share: 0.01841 → 0.0119 (-35.4%)
June 30, 2026 Exited TTD
88339J105
Position exited — was 0.002608 units/share
June 30, 2026 Trimmed TTWO — Take-Two Interactive Software Inc.
874054109
Units/share: 0.001307 → 0.000859 (-34.3%)
June 30, 2026 Trimmed TW — Tradeweb Markets Inc. Class A
892672106
Units/share: 0.001028 → 0.0007546 (-26.6%)
June 30, 2026 Trimmed TXN — Texas Instruments Inc.
882508104
Units/share: 0.003132 → 0.002001 (-36.1%)
June 30, 2026 Exited TYL
902252105
Position exited — was 0.0001616 units/share
June 30, 2026 Trimmed UBER — Uber Technologies Inc.
90353T100
Units/share: 0.01386 → 0.004655 (-66.4%)
June 30, 2026 Trimmed V — Visa Inc. Class A
92826C839
Units/share: 0.01078 → 0.006874 (-36.2%)
June 30, 2026 Trimmed VEEV — Veeva Systems Inc. Class A
922475108
Units/share: 0.001139 → 0.0007905 (-30.6%)
June 30, 2026 Trimmed VG — Venture Global Inc. Class A
92333F101
Units/share: 0.003143 → 0.002977 (-5.3%)
June 30, 2026 Trimmed VMC — Vulcan Materials Co.
929160109
Units/share: 0.0009749 → 0.0006364 (-34.7%)
June 30, 2026 Trimmed VRSK — Verisk Analytics Inc. Class A
92345Y106
Units/share: 0.001058 → 0.0007039 (-33.5%)
June 30, 2026 Trimmed VRSN — VeriSign Inc.
92343E102
Units/share: 0.0006783 → 0.0004456 (-34.3%)
June 30, 2026 Trimmed VRT — Vertiv Holdings Co. Class A
92537N108
Units/share: 0.002633 → 0.001698 (-35.5%)
June 30, 2026 Trimmed VRTX — Vertex Pharmaceuticals Inc.
92532F100
Units/share: 0.001729 → 0.001125 (-34.9%)
June 30, 2026 Trimmed WAT — Waters Corp.
941848103
Units/share: 0.0004328 → 0.0002816 (-34.9%)
June 30, 2026 Trimmed WCN — Waste Connections Inc.
94106B101
Units/share: 0.001866 → 0.001246 (-33.2%)
June 30, 2026 Trimmed WDAY — Workday Inc. Class A
98138H101
Units/share: 0.001614 → 0.001065 (-34.0%)
June 30, 2026 Increased WDC — Western Digital Corp.
958102105
Units/share: 0.001244 → 0.001486 (19.5%)
June 30, 2026 Trimmed WELL — Welltower Inc.
95040Q104
Units/share: 0.004711 → 0.003096 (-34.3%)
June 30, 2026 Trimmed WST — West Pharmaceutical Services Inc.
955306105
Units/share: 0.0006087 → 0.00038 (-37.6%)
June 30, 2026 Trimmed XYZ — Square Inc.
852234103
Units/share: 0.004083 → 0.002618 (-35.9%)
June 30, 2026 Trimmed YUM — Yum! Brands Inc.
988498101
Units/share: 0.002014 → 0.001333 (-33.8%)
June 30, 2026 Trimmed ZS — Zscaler Inc.
98980G102
Units/share: 0.0008898 → 0.0006579 (-26.1%)
June 30, 2026 Exited ZTS
98978V103
Position exited — was 0.001519 units/share
June 30, 2026 Increased — Vanguard Market Liquidity Fund
CMT001142
Units/share: 0.04224 → 0.04869 (15.3%)
June 30, 2026 Increased — Vanguard Market Liquidity Fund
SLBBH1142
Units/share: 0.0239 → 0.3804 (1491.7%)
May 31, 2026 New AAPL — Apple Inc.
037833100
New position — 0.09572 units/share
May 31, 2026 New ABNB — Airbnb Inc. Class A
009066101
New position — 0.002739 units/share
May 31, 2026 New ADBE — Adobe Inc.
00724F101
New position — 0.002794 units/share
May 31, 2026 New ADSK — Autodesk Inc.
052769106
New position — 0.001512 units/share
May 31, 2026 New ALNY — Alnylam Pharmaceuticals Inc.
02043Q107
New position — 0.0009704 units/share
May 31, 2026 New AMAT — Applied Materials Inc.
038222105
New position — 0.002689 units/share
May 31, 2026 New AMD — Advanced Micro Devices Inc.
007903107
New position — 0.01079 units/share
May 31, 2026 New AMZN — Amazon.com Inc.
023135106
New position — 0.04347 units/share
May 31, 2026 New ANET — Arista Networks Inc.
040413205
New position — 0.007212 units/share
May 31, 2026 New APH — Amphenol Corp. Class A
032095101
New position — 0.008264 units/share
May 31, 2026 New APO — Apollo Global Management Inc.
03769M106
New position — 0.002951 units/share
May 31, 2026 New APP — AppLovin Corp. Class A
03831W108
New position — 0.001668 units/share
May 31, 2026 New ARES — Ares Management Corp. Class A
03990B101
New position — 0.001679 units/share
May 31, 2026 New AVGO — Broadcom Inc.
11135F101
New position — 0.02804 units/share
May 31, 2026 New AXON — Axon Enterprise Inc.
05464C101
New position — 0.0005572 units/share
May 31, 2026 New AZO — AutoZone Inc.
053332102
New position — 0.0001173 units/share
May 31, 2026 New BA — Boeing Co.
097023105
New position — 0.005262 units/share
May 31, 2026 New BE — Bloom Energy Corp. Class A
093712107
New position — 0.001121 units/share
May 31, 2026 New BKNG — Booking Holdings Inc.
09857L108
New position — 0.005344 units/share
May 31, 2026 New BSX — Boston Scientific Corp.
101137107
New position — 0.01014 units/share
May 31, 2026 New BURL — Burlington Stores Inc.
122017106
New position — 0.000317 units/share
May 31, 2026 New BX — Blackstone Group LP
09260D107
New position — 0.002715 units/share
May 31, 2026 New CBRS — Cerebras Systems Inc.
15675D103
New position — 0.0004389 units/share
May 31, 2026 New CDNS — Cadence Design Systems Inc.
127387108
New position — 0.001912 units/share
May 31, 2026 New CIEN — Ciena Corp.
171779309
New position — 0.0005771 units/share
May 31, 2026 New CMG — Chipotle Mexican Grill Inc. Class A
169656105
New position — 0.009449 units/share
May 31, 2026 New COHR — Coherent Corp.
19247G107
New position — 0.0007558 units/share
May 31, 2026 New COIN — Coinbase Global Inc. Class A
19260Q107
New position — 0.001553 units/share
May 31, 2026 New COST — Costco Wholesale Corp.
22160K105
New position — 0.002924 units/share
May 31, 2026 New CPRT
217204106
New position — 0.003745 units/share
May 31, 2026 New CRM
79466L302
New position — 0.003055 units/share
May 31, 2026 New CRWD — Crowdstrike Holdings Inc. Class A
22788C105
New position — 0.001639 units/share
May 31, 2026 New CRWV — CoreWeave Inc. Class A
21873S108
New position — 0.002357 units/share
May 31, 2026 New CSGP — CoStar Group Inc.
22160N109
New position — 0.003442 units/share
May 31, 2026 New CTAS — Cintas Corp.
172908105
New position — 0.002382 units/share
May 31, 2026 New CVNA — Carvana Co. Class A
146869102
New position — 0.004954 units/share
May 31, 2026 New DASH — DoorDash Inc. Class A
25809K105
New position — 0.00246 units/share

Showing latest 200 of 320 changes

Institutional owners (13F) 3,105 filers

Institutions that report holding this ETF in their quarterly SEC Form 13F. Long positions only; a single filer may appear twice for separate option legs. Large offsetting put/call legs typically reflect market-making or hedged inventory, not directional conviction.

Institution Value % of tracked 13F Shares Type As of
JONES FINANCIAL COMPANIES LLLP $18,049,765,207 19.13% 218,097,695 Shares June 30, 2026
ENVESTNET ASSET MANAGEMENT INC $5,043,715,843 5.35% 58,557,269 Shares June 30, 2026
Financial Engines Advisors L.L.C. $3,348,823,491 3.55% 38,876,521 Shares June 30, 2026
UBS Group AG $3,101,256,642 3.29% 36,002,515 Shares June 30, 2026
LPL Financial LLC $2,874,295,010 3.05% 33,367,717 Shares June 30, 2026
EP Wealth Advisors, LLC $2,009,660,861 2.13% 23,330,170 Shares June 30, 2026
TIAA-CREF INDIVIDUAL & INSTITUTIONAL SERVICES, LLC $1,759,896,026 1.87% 20,430,648 Shares June 30, 2026
Pathstone Holdings, LLC $1,352,617,786 1.43% 15,702,551 Shares June 30, 2026
MATHER GROUP, LLC. $1,309,525,642 1.39% 15,202,294 Shares June 30, 2026
ALLIANCEBERNSTEIN L.P. $1,263,052,103 1.34% 2,891,669 Shares June 30, 2026
Cetera Investment Advisers $1,262,124,328 1.34% 14,652,011 Shares June 30, 2026
Mill Creek Capital Advisors, LLC $1,090,822,644 1.16% 2,497,362 Shares March 31, 2026
RWA WEALTH PARTNERS, LLC $1,083,323,240 1.15% 12,576,309 Shares June 30, 2026
D.A. DAVIDSON & CO. $941,327,937 1.00% 10,927,884 Shares June 30, 2026
NORTHWESTERN MUTUAL WEALTH MANAGEMENT CO $937,907,688 0.99% 10,888,180 Shares June 30, 2026
RAYMOND JAMES FINANCIAL INC $913,084,357 0.97% 10,600,004 Shares June 30, 2026
HighTower Advisors, LLC $829,286,673 0.88% 9,627,196 Shares June 30, 2026
BANK OF AMERICA CORP /DE/ $819,539,693 0.87% 9,514,043 Shares June 30, 2026
COMMONWEALTH EQUITY SERVICES, LLC $787,911,497 0.84% 9,146,871 Shares June 30, 2026
SEI INVESTMENTS CO $773,305,814 0.82% 8,977,301 Shares June 30, 2026
Provida Pension Fund Administrator $757,252,877 0.80% 1,552,193 Shares Dec. 31, 2025
MONETA GROUP INVESTMENT ADVISORS LLC $744,159,610 0.79% 8,638,955 Shares June 30, 2026
CAPTRUST FINANCIAL ADVISORS $733,573,915 0.78% 8,516,080 Shares June 30, 2026
Modera Wealth Management, LLC $662,422,693 0.70% 7,690,071 Shares June 30, 2026
Performance Wealth Partners, LLC $656,499,150 0.70% 7,621,304 Shares June 30, 2026
MISSION WEALTH MANAGEMENT, LP $649,174,890 0.69% 7,536,277 Shares June 30, 2026
Corient Private Wealth LP $620,100,404 0.66% 7,198,767 Shares June 30, 2026
PNC Financial Services Group, Inc. $608,466,601 0.65% 7,063,694 Shares June 30, 2026
VANTAGEPOINT INVESTMENT ADVISERS LLC $584,883,535 0.62% 6,789,918 Shares June 30, 2026
OSAIC HOLDINGS, INC. $582,676,158 0.62% 6,763,130 Shares June 30, 2026
GOLDMAN SACHS GROUP INC $572,576,198 0.61% 6,647,042 Shares June 30, 2026
CHOREO, LLC $538,262,124 0.57% 6,247,469 Shares June 30, 2026
Waverly Advisors, LLC $410,956,377 0.44% 4,770,796 Shares June 30, 2026
MML INVESTORS SERVICES, LLC $399,898,915 0.42% 4,642,430 Shares June 30, 2026
CBIZ Investment Advisory Services, LLC $394,903,933 0.42% 904,105 Shares June 30, 2026
Sanctuary Advisors, LLC $386,619,090 0.41% 4,488,264 Shares June 30, 2026
Wealthspire Advisors, LLC $380,336,689 0.40% 4,415,332 Shares June 30, 2026
Waldron Private Wealth LLC $377,680,854 0.40% 4,384,499 Shares June 30, 2026
Focus Partners Wealth $365,580,298 0.39% 4,244,024 Shares June 30, 2026
Cullen/Frost Bankers, Inc. $360,099,303 0.38% 4,180,396 Shares June 30, 2026
SIGNATURE ESTATE & INVESTMENT ADVISORS LLC $358,891,469 0.38% 4,166,374 Shares June 30, 2026
LINCOLN NATIONAL CORP $350,731,328 0.37% 4,071,643 Shares June 30, 2026
Baird Financial Group, Inc. $345,363,601 0.37% 4,009,329 Shares June 30, 2026
Northeast Financial Consultants Inc $339,684,194 0.36% 774,827 Shares June 30, 2025
Kestra Advisory Services, LLC $327,880,393 0.35% 3,806,366 Shares June 30, 2026
Beacon Pointe Advisors, LLC $326,276,932 0.35% 3,787,752 Shares June 30, 2026
Arax Advisory Partners $303,137,242 0.32% 3,519,123 Shares June 30, 2026
ASSETMARK, INC $301,430,356 0.32% 3,499,308 Shares June 30, 2026
H D Vest Advisory Services $296,496,809 0.31% 676,316 Shares June 30, 2025
CHARLES SCHWAB INVESTMENT MANAGEMENT INC $296,401,885 0.31% 3,440,932 Shares June 30, 2026
Retirement Investment Advisors, Inc. $286,633,023 0.30% 3,327,139 Shares June 30, 2026
CWM, LLC $285,434,375 0.30% 653,482 Shares March 31, 2026
UNITED CAPITAL FINANCIAL ADVISORS, LLC $281,431,906 0.30% 3,261,088 Shares June 30, 2026
Bank of New York Mellon Corp $274,520,944 0.29% 3,186,916 Shares June 30, 2026
WEALTH ENHANCEMENT ADVISORY SERVICES, LLC $258,998,625 0.27% 2,974,350 Shares June 30, 2026
Avior Wealth Management, LLC $237,605,455 0.25% 2,759,568 Shares June 30, 2026
Savant Capital, LLC $232,312,832 0.25% 1,888,047 Shares June 30, 2026
Brookstone Capital Management $228,726,917 0.24% 2,655,293 Shares June 30, 2026
Garde Capital, Inc. $225,995,725 0.24% 2,623,586 Shares June 30, 2026
INVICTUS PRIVATE WEALTH, LLC $221,968,998 0.24% 2,576,840 Shares June 30, 2026
Equitable Holdings, Inc. $218,976,537 0.23% 2,542,101 Shares June 30, 2026
WOODMONT INVESTMENT COUNSEL LLC $217,427,199 0.23% 2,524,114 Shares June 30, 2026
STEPHENS GROUP ASSET MANAGEMENT, LLC $211,978,911 0.22% 2,460,865 Shares June 30, 2026
Truepoint, Inc. $210,621,288 0.22% 2,445,104 Shares June 30, 2026
NewEdge Advisors, LLC $210,295,418 0.22% 2,441,322 Shares June 30, 2026
Sequoia Financial Advisors, LLC $188,399,742 0.20% 2,187,134 Shares June 30, 2026
Orion Porfolio Solutions, LLC $187,938,775 0.20% 2,181,783 Shares June 30, 2026
MOSAIC FAMILY WEALTH PARTNERS, LLC $187,272,925 0.20% 2,173,600 Shares June 30, 2026
&PARTNERS $186,053,362 0.20% 2,160,364 Shares June 30, 2026
BOK Financial Private Wealth, Inc. $184,062,534 0.20% 2,136,784 Shares June 30, 2026
Japan Science & Technology Agency $181,386,549 0.19% 2,105,718 Shares June 30, 2026
TRUIST FINANCIAL CORP $180,169,993 0.19% 2,091,595 Shares June 30, 2026
Everhart Financial Group, Inc. $178,283,647 0.19% 2,069,696 Shares June 30, 2026
Cornerstone Management, Inc. $171,784,706 0.18% 1,994,250 Shares June 30, 2026
Rezny Wealth Management, Inc. $171,741,108 0.18% 1,993,744 Shares June 30, 2026
BANK OF HAWAII $167,145,193 0.18% 1,940,390 Shares June 30, 2026
SIMON QUICK ADVISORS, LLC $166,137,591 0.18% 1,928,693 Shares June 30, 2026
FIFTH THIRD BANCORP $158,207,448 0.17% 1,836,631 Shares June 30, 2026
RMR Wealth Builders $156,491,267 0.17% 1,816,708 Shares June 30, 2026
Summit Financial, LLC $156,215,493 0.17% 1,813,507 Shares June 30, 2026
OpenArc Corporate Advisory, LLC $150,669,187 0.16% 1,749,120 Shares June 30, 2026
BECKER CAPITAL MANAGEMENT INC $142,952,386 0.15% 1,659,535 Shares June 30, 2026
Strategies Wealth Advisors, LLC $142,108,148 0.15% 1,649,735 Shares June 30, 2026
MERCER GLOBAL ADVISORS INC /ADV $140,622,991 0.15% 1,632,494 Shares June 30, 2026
Members Trust Co $136,176,055 0.14% 1,580,869 Shares June 30, 2026
White Lighthouse Investment Management Inc. $133,039,677 0.14% 1,544,459 Shares June 30, 2026
Safeguard Financial, LLC $131,689,342 0.14% 355,130 Shares March 31, 2025
BLAIR WILLIAM & CO/IL $131,505,655 0.14% 1,526,650 Shares June 30, 2026
Financial Synergies Wealth Advisors, Inc. $130,568,173 0.14% 1,515,767 Shares June 30, 2026
Relyea Zuckerberg Hanson LLC $128,810,668 0.14% 1,495,364 Shares June 30, 2026
Mountain Capital Investment Advisors Inc. $125,306,073 0.13% 1,454,679 Shares June 30, 2026
Martel Wealth Advisors LLC $125,110,630 0.13% 1,452,410 Shares June 30, 2026
Steward Partners Investment Advisory, LLC $123,617,105 0.13% 1,435,072 Shares June 30, 2026
BRANDYWINE OAK PRIVATE WEALTH LLC $123,167,875 0.13% 1,429,857 Shares June 30, 2026
Private Advisor Group, LLC $122,480,811 0.13% 1,421,882 Shares June 30, 2026
Clark Asset Management, LLC $121,416,137 0.13% 1,409,521 Shares June 30, 2026
Advisors Capital Management, LLC $121,257,036 0.13% 1,407,673 Shares June 30, 2026
71 West Capital Partners $121,237,054 0.13% 1,407,442 Shares June 30, 2026
Bleakley Financial Group, LLC $120,984,109 0.13% 1,404,506 Shares June 30, 2026
Atria Investments, Inc $119,056,008 0.13% 1,382,122 Shares June 30, 2026

Peer funds

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Fund AUM
VOO VANGUARD INDEX FUNDS $979.0B
VTI VANGUARD INDEX FUNDS $663.5B
VXUS VANGUARD STAR FUNDS $629.1B
VEA VANGUARD TAX-MANAGED FUNDS $230.9B
VTV VANGUARD INDEX FUNDS $186.1B
VGT VANGUARD WORLD FUND $171.8B
VWO VANGUARD INTERNATIONAL EQUITY I… $159.9B
BND VANGUARD BOND INDEX FUNDS $159.8B
VIG VANGUARD SPECIALIZED FUNDS $124.7B
BNDX VANGUARD CHARLOTTE FUNDS $118.0B

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Fund AUM
VEA VANGUARD TAX-MANAGED FUNDS $230.9B
QQQ Invesco QQQ Trust, Series 1 $488.9B
VXUS VANGUARD STAR FUNDS $629.1B
VTI VANGUARD INDEX FUNDS $663.5B
IVV iShares Trust $894.0B
VTV VANGUARD INDEX FUNDS $186.1B
IEFA iShares Trust $180.7B
VGT VANGUARD WORLD FUND $171.8B
IEMG iShares, Inc. $162.0B
VWO VANGUARD INTERNATIONAL EQUITY I… $159.9B