VANGUARD WORLD FUND (MGK)

Management Company · ARCX · Series S000019700 · View on SEC EDGAR ↗

Dec. 17, 2007
Inception
Net assets
$33.1B
Holdings
60
As of
June 30, 2026
Expense ratio
0.05% (Ultra-low)
On this page

Fund flows (SEC-reported)

Last month (Mar 2026)
+$37.7M
Quarter ending Mar 2026
-$1.1B
Trailing 12 months
+$900.7M

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 60 holdings

IssuerTicker Weight % Market value Shares CUSIP Units/share TypeCurrency
Snowflake Inc. SNOW 0.33 ≈$109.2M 437,651 833445109 0.001507 EQUITY
Hilton Worldwide Holdings Inc. HLT 0.29 ≈$96.0M 297,259 43300A203 0.001023 EQUITY
Interactive Brokers Group Inc. IBKR 0.29 ≈$96.0M 1,097,219 45841N107 0.003777 EQUITY
Intuit Inc. INTU 0.29 ≈$96.0M 374,365 461202103 0.001289 EQUITY
Boston Scientific Corp. BSX 0.28 ≈$92.7M 2,161,888 101137107 0.007442 EQUITY
Cintas Corp. CTAS 0.28 ≈$92.7M 544,799 172908105 0.001875 EQUITY
NASDAQ 100 E-MINI Sep26 NQU6 Xa6870e7e7f5 0.01471 FUTURE
S&P500 EMINI FUT Sep26 ESU6 Xe4be983cc50 0.01039 FUTURE
Vanguard Market Liquidity Fund CMT001142 0.1998 CASH
Vanguard Market Liquidity Fund SLBBH1142 0.3607 CASH

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

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Sector breakdown

Technology
56.4%
Communication Services
15.8%
Consumer Discretionary
5.6%
Retail
5.6%
Health Care
4.9%
Industrials
4.4%
Financial Services
4.0%
Real Estate
1.2%
Communications
0.8%
Materials
0.4%
Consumer Staples
0.4%
Other/Unmapped
0.5%

Daily changes (30d)

DateType Ticker Change
June 30, 2026 Trimmed AAPL — Apple Inc.
037833100
Units/share: 0.06195 → 0.0482 (-22.2%)
June 30, 2026 Trimmed ABNB — Airbnb Inc. Class A
009066101
Units/share: 0.003887 → 0.002954 (-24.0%)
June 30, 2026 Exited ADBE
00724F101
Position exited — was 0.00195 units/share
June 30, 2026 Exited ADSK
052769106
Position exited — was 0.001564 units/share
June 30, 2026 New AMAT — Applied Materials Inc.
038222105
New position — 0.001793 units/share
June 30, 2026 Trimmed AMD — Advanced Micro Devices Inc.
007903107
Units/share: 0.009168 → 0.006299 (-31.3%)
June 30, 2026 Trimmed AMZN — Amazon.com Inc.
023135106
Units/share: 0.02752 → 0.02145 (-22.1%)
June 30, 2026 Trimmed ANET — Arista Networks Inc.
040413205
Units/share: 0.007148 → 0.005157 (-27.9%)
June 30, 2026 Trimmed APH — Amphenol Corp. Class A
032095101
Units/share: 0.007927 → 0.005764 (-27.3%)
June 30, 2026 Trimmed APP — AppLovin Corp. Class A
03831W108
Units/share: 0.001716 → 0.001438 (-16.2%)
June 30, 2026 Trimmed AVGO — Broadcom Inc.
11135F101
Units/share: 0.01775 → 0.01297 (-27.0%)
June 30, 2026 Exited AZO
053332102
Position exited — was 0.0001153 units/share
June 30, 2026 Trimmed BA — Boeing Co.
097023105
Units/share: 0.004921 → 0.003791 (-23.0%)
June 30, 2026 Trimmed BKNG — Booking Holdings Inc.
09857L108
Units/share: 0.005276 → 0.00404 (-23.4%)
June 30, 2026 Trimmed BSX — Boston Scientific Corp.
101137107
Units/share: 0.01092 → 0.007442 (-31.8%)
June 30, 2026 Trimmed CDNS — Cadence Design Systems Inc.
127387108
Units/share: 0.002241 → 0.001543 (-31.1%)
June 30, 2026 Exited CRM
79466L302
Position exited — was 0.003414 units/share
June 30, 2026 Trimmed CRWD — Crowdstrike Holdings Inc. Class A
22788C105
Units/share: 0.001781 → 0.001185 (-33.4%)
June 30, 2026 Trimmed CTAS — Cintas Corp.
172908105
Units/share: 0.002167 → 0.001875 (-13.4%)
June 30, 2026 Trimmed ECL — Ecolab Inc.
278865100
Units/share: 0.002183 → 0.001708 (-21.8%)
June 30, 2026 Trimmed EQIX — Equinix Inc.
29444U700
Units/share: 0.0007614 → 0.0005521 (-27.5%)
June 30, 2026 Exited ESM6
X3f8ad82e950
Position exited — was 0.03195 units/share
June 30, 2026 New ESU6 — S&P500 EMINI FUT Sep26
Xe4be983cc50
New position — 0.01039 units/share
June 30, 2026 Trimmed FTNT — Fortinet Inc.
34959E109
Units/share: 0.004715 → 0.002608 (-44.7%)
June 30, 2026 Trimmed GEV — GE Vernova LLC
36828A101
Units/share: 0.001629 → 0.001173 (-28.0%)
June 30, 2026 Trimmed GLW — Corning Inc.
219350105
Units/share: 0.004078 → 0.004008 (-1.7%)
June 30, 2026 Trimmed GOOG — Alphabet Inc. Class C
02079K107
Units/share: 0.01899 → 0.01513 (-20.4%)
June 30, 2026 Trimmed GOOGL — Alphabet Inc. Class A
02079K305
Units/share: 0.02392 → 0.01898 (-20.7%)
June 30, 2026 Trimmed HLT — Hilton Worldwide Holdings Inc.
43300A203
Units/share: 0.001471 → 0.001023 (-30.4%)
June 30, 2026 Trimmed IBKR — Interactive Brokers Group Inc.
45841N107
Units/share: 0.005157 → 0.003777 (-26.8%)
June 30, 2026 New INTC — Intel Corp.
458140100
New position — 0.009019 units/share
June 30, 2026 Trimmed INTU — Intuit Inc.
461202103
Units/share: 0.001895 → 0.001289 (-32.0%)
June 30, 2026 Trimmed ISRG — Intuitive Surgical Inc.
46120E602
Units/share: 0.002249 → 0.001809 (-19.6%)
June 30, 2026 Increased KLAC — KLA Corp.
482480100
Units/share: 0.0008274 → 0.005607 (577.7%)
June 30, 2026 Trimmed LLY — Eli Lilly & Co.
532457108
Units/share: 0.004304 → 0.00325 (-24.5%)
June 30, 2026 Trimmed LRCX — Lam Research Corp.
512807306
Units/share: 0.007309 → 0.005082 (-30.5%)
June 30, 2026 Trimmed MA — Mastercard Inc. Class A
57636Q104
Units/share: 0.004307 → 0.003281 (-23.8%)
June 30, 2026 Trimmed MAR — Marriott International Inc./MD Class A
571903202
Units/share: 0.001861 → 0.001302 (-30.0%)
June 30, 2026 Exited MCD
580135101
Position exited — was 0.002528 units/share
June 30, 2026 Trimmed MCO — Moody's Corp.
615369105
Units/share: 0.001301 → 0.001004 (-22.8%)
June 30, 2026 Trimmed META — Facebook Inc. Class A
30303M102
Units/share: 0.009099 → 0.008298 (-8.8%)
June 30, 2026 Trimmed MNST — Monster Beverage Corp.
61174X109
Units/share: 0.006907 → 0.004802 (-30.5%)
June 30, 2026 Trimmed MRVL — Marvell Technology Inc.
573874104
Units/share: 0.005162 → 0.003976 (-23.0%)
June 30, 2026 Trimmed MSFT — Microsoft Corp.
594918104
Units/share: 0.03039 → 0.02306 (-24.1%)
June 30, 2026 Trimmed NFLX — Netflix Inc.
64110L106
Units/share: 0.02281 → 0.01797 (-21.2%)
June 30, 2026 Trimmed NOW — ServiceNow Inc.
81762P102
Units/share: 0.007186 → 0.005957 (-17.1%)
June 30, 2026 Exited NQM6
X05511c9e847
Position exited — was 0.1131 units/share
June 30, 2026 New NQU6 — NASDAQ 100 E-MINI Sep26
Xa6870e7e7f5
New position — 0.01471 units/share
June 30, 2026 Trimmed NVDA — NVIDIA Corp.
67066G104
Units/share: 0.09836 → 0.07602 (-22.7%)
June 30, 2026 Trimmed ORCL — Oracle Corp.
68389X105
Units/share: 0.009982 → 0.007389 (-26.0%)
June 30, 2026 Trimmed ORLY — O'Reilly Automotive Inc.
67103H107
Units/share: 0.00692 → 0.005407 (-21.9%)
June 30, 2026 Trimmed PANW — Palo Alto Networks Inc.
697435105
Units/share: 0.005547 → 0.003701 (-33.3%)
June 30, 2026 Trimmed PLTR — Palantir Technologies Inc. Class A
69608A108
Units/share: 0.01208 → 0.009504 (-21.3%)
June 30, 2026 Exited SHW
824348106
Position exited — was 0.001398 units/share
June 30, 2026 Trimmed SNDK — Sandisk Corp.
80004C200
Units/share: 0.001216 → 0.0006433 (-47.1%)
June 30, 2026 Trimmed SNOW — Snowflake Inc.
833445109
Units/share: 0.002306 → 0.001507 (-34.7%)
June 30, 2026 Trimmed SNPS — Synopsys Inc.
871607107
Units/share: 0.001541 → 0.001154 (-25.2%)
June 30, 2026 New SPCX — Space Exploration Technologies Corp. Class A
84615Q103
New position — 0.003244 units/share
June 30, 2026 Exited SPGI
78409V104
Position exited — was 0.001302 units/share
June 30, 2026 New STX — Seagate Technology Holdings plc
G7997R103
New position — 0.0006051 units/share
June 30, 2026 Trimmed TJX — TJX Cos. Inc.
872540109
Units/share: 0.007003 → 0.005291 (-24.4%)
June 30, 2026 Exited TMUS
872590104
Position exited — was 0.002295 units/share
June 30, 2026 Trimmed TSLA — Tesla Inc.
88160R101
Units/share: 0.01404 → 0.0107 (-23.8%)
June 30, 2026 Trimmed UBER — Uber Technologies Inc.
90353T100
Units/share: 0.01344 → 0.006684 (-50.3%)
June 30, 2026 Trimmed V — Visa Inc. Class A
92826C839
Units/share: 0.008133 → 0.006083 (-25.2%)
June 30, 2026 Trimmed VRTX — Vertex Pharmaceuticals Inc.
92532F100
Units/share: 0.001811 → 0.001381 (-23.7%)
June 30, 2026 New WDC — Western Digital Corp.
958102105
New position — 0.0009221 units/share
June 30, 2026 Trimmed WELL — Welltower Inc.
95040Q104
Units/share: 0.004664 → 0.003581 (-23.2%)
June 30, 2026 Trimmed — Vanguard Market Liquidity Fund
CMT001142
Units/share: 0.3205 → 0.1998 (-37.6%)
June 30, 2026 Increased — Vanguard Market Liquidity Fund
SLBBH1142
Units/share: 0.000002165 → 0.3607 (16660679.0%)
May 31, 2026 New AAPL — Apple Inc.
037833100
New position — 0.06195 units/share
May 31, 2026 New ABNB — Airbnb Inc. Class A
009066101
New position — 0.003887 units/share
May 31, 2026 New ADBE
00724F101
New position — 0.00195 units/share
May 31, 2026 New ADSK
052769106
New position — 0.001564 units/share
May 31, 2026 New AMD — Advanced Micro Devices Inc.
007903107
New position — 0.009168 units/share
May 31, 2026 New AMZN — Amazon.com Inc.
023135106
New position — 0.02752 units/share
May 31, 2026 New ANET — Arista Networks Inc.
040413205
New position — 0.007148 units/share
May 31, 2026 New APH — Amphenol Corp. Class A
032095101
New position — 0.007927 units/share
May 31, 2026 New APP — AppLovin Corp. Class A
03831W108
New position — 0.001716 units/share
May 31, 2026 New AVGO — Broadcom Inc.
11135F101
New position — 0.01775 units/share
May 31, 2026 New AZO
053332102
New position — 0.0001153 units/share
May 31, 2026 New BA — Boeing Co.
097023105
New position — 0.004921 units/share
May 31, 2026 New BKNG — Booking Holdings Inc.
09857L108
New position — 0.005276 units/share
May 31, 2026 New BSX — Boston Scientific Corp.
101137107
New position — 0.01092 units/share
May 31, 2026 New CDNS — Cadence Design Systems Inc.
127387108
New position — 0.002241 units/share
May 31, 2026 New CRM
79466L302
New position — 0.003414 units/share
May 31, 2026 New CRWD — Crowdstrike Holdings Inc. Class A
22788C105
New position — 0.001781 units/share
May 31, 2026 New CTAS — Cintas Corp.
172908105
New position — 0.002167 units/share
May 31, 2026 New ECL — Ecolab Inc.
278865100
New position — 0.002183 units/share
May 31, 2026 New EQIX — Equinix Inc.
29444U700
New position — 0.0007614 units/share
May 31, 2026 New ESM6
X3f8ad82e950
New position — 0.03195 units/share
May 31, 2026 New FTNT — Fortinet Inc.
34959E109
New position — 0.004715 units/share
May 31, 2026 New GEV — GE Vernova LLC
36828A101
New position — 0.001629 units/share
May 31, 2026 New GLW — Corning Inc.
219350105
New position — 0.004078 units/share
May 31, 2026 New GOOG — Alphabet Inc. Class C
02079K107
New position — 0.01899 units/share
May 31, 2026 New GOOGL — Alphabet Inc. Class A
02079K305
New position — 0.02392 units/share
May 31, 2026 New HLT — Hilton Worldwide Holdings Inc.
43300A203
New position — 0.001471 units/share
May 31, 2026 New IBKR — Interactive Brokers Group Inc.
45841N107
New position — 0.005157 units/share
May 31, 2026 New INTU — Intuit Inc.
461202103
New position — 0.001895 units/share
May 31, 2026 New ISRG — Intuitive Surgical Inc.
46120E602
New position — 0.002249 units/share
May 31, 2026 New KLAC — KLA Corp.
482480100
New position — 0.0008274 units/share
May 31, 2026 New LLY — Eli Lilly & Co.
532457108
New position — 0.004304 units/share
May 31, 2026 New LRCX — Lam Research Corp.
512807306
New position — 0.007309 units/share
May 31, 2026 New MA — Mastercard Inc. Class A
57636Q104
New position — 0.004307 units/share
May 31, 2026 New MAR — Marriott International Inc./MD Class A
571903202
New position — 0.001861 units/share
May 31, 2026 New MCD
580135101
New position — 0.002528 units/share
May 31, 2026 New MCO — Moody's Corp.
615369105
New position — 0.001301 units/share
May 31, 2026 New META — Facebook Inc. Class A
30303M102
New position — 0.009099 units/share
May 31, 2026 New MNST — Monster Beverage Corp.
61174X109
New position — 0.006907 units/share
May 31, 2026 New MRVL — Marvell Technology Inc.
573874104
New position — 0.005162 units/share
May 31, 2026 New MSFT — Microsoft Corp.
594918104
New position — 0.03039 units/share
May 31, 2026 New NFLX — Netflix Inc.
64110L106
New position — 0.02281 units/share
May 31, 2026 New NOW — ServiceNow Inc.
81762P102
New position — 0.007186 units/share
May 31, 2026 New NQM6
X05511c9e847
New position — 0.1131 units/share
May 31, 2026 New NVDA — NVIDIA Corp.
67066G104
New position — 0.09836 units/share
May 31, 2026 New ORCL — Oracle Corp.
68389X105
New position — 0.009982 units/share
May 31, 2026 New ORLY — O'Reilly Automotive Inc.
67103H107
New position — 0.00692 units/share
May 31, 2026 New PANW — Palo Alto Networks Inc.
697435105
New position — 0.005547 units/share
May 31, 2026 New PLTR — Palantir Technologies Inc. Class A
69608A108
New position — 0.01208 units/share
May 31, 2026 New SHW
824348106
New position — 0.001398 units/share
May 31, 2026 New SNDK — Sandisk Corp.
80004C200
New position — 0.001216 units/share
May 31, 2026 New SNOW — Snowflake Inc.
833445109
New position — 0.002306 units/share
May 31, 2026 New SNPS — Synopsys Inc.
871607107
New position — 0.001541 units/share
May 31, 2026 New SPGI
78409V104
New position — 0.001302 units/share
May 31, 2026 New TJX — TJX Cos. Inc.
872540109
New position — 0.007003 units/share
May 31, 2026 New TMUS
872590104
New position — 0.002295 units/share
May 31, 2026 New TSLA — Tesla Inc.
88160R101
New position — 0.01404 units/share
May 31, 2026 New UBER — Uber Technologies Inc.
90353T100
New position — 0.01344 units/share
May 31, 2026 New V — Visa Inc. Class A
92826C839
New position — 0.008133 units/share
May 31, 2026 New VRTX — Vertex Pharmaceuticals Inc.
92532F100
New position — 0.001811 units/share
May 31, 2026 New WELL — Welltower Inc.
95040Q104
New position — 0.004664 units/share
May 31, 2026 New — Vanguard Market Liquidity Fund
CMT001142
New position — 0.3205 units/share
May 31, 2026 New — Vanguard Market Liquidity Fund
SLBBH1142
New position — 0.000002165 units/share

Institutional owners (13F) 1,078 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
ASSETMARK, INC $3,726,212,066 24.97% 42,386,669 Shares June 30, 2026
Cassaday & Co Wealth Management LLC $1,655,401,379 11.09% 18,830,638 Shares June 30, 2026
MORGAN STANLEY $1,070,736,429 7.18% 12,179,916 Shares June 30, 2026
LPL Financial LLC $512,830,919 3.44% 5,833,591 Shares June 30, 2026
UBS Group AG $452,128,075 3.03% 5,143,079 Shares June 30, 2026
VANTAGEPOINT INVESTMENT ADVISERS LLC $377,580,922 2.53% 4,295,085 Shares June 30, 2026
CAPTRUST FINANCIAL ADVISORS $369,000,463 2.47% 4,197,480 Shares June 30, 2026
AMERIPRISE FINANCIAL INC $340,430,956 2.28% 3,872,047 Shares June 30, 2026
ENVESTNET ASSET MANAGEMENT INC $312,422,711 2.09% 3,554,068 Shares June 30, 2026
ANGELES WEALTH MANAGEMENT, LLC $252,281,044 1.69% 2,869,561 Shares June 30, 2026
Howard Capital Management, LLC $199,865,143 1.34% 2,273,520 Shares June 30, 2026
Facet Wealth, Inc. $162,185,806 1.09% 1,844,907 Shares June 30, 2026
WELLS FARGO & COMPANY/MN $135,292,096 0.91% 1,538,984 Shares June 30, 2026
PETREDIS INVESTMENT ADVISORS LLC $120,582,831 0.81% 1,371,662 Shares June 30, 2026
OSAIC HOLDINGS, INC. $110,228,276 0.74% 1,253,674 Shares June 30, 2026
Falcon Wealth Planning $105,359,603 0.71% 1,198,494 Shares June 30, 2026
Strategic Investment Advisors / MI $104,903,298 0.70% 1,193,303 Shares June 30, 2026
Portfolio Strategies, Inc. $103,407,362 0.69% 1,176,248 Shares June 30, 2026
HighTower Advisors, LLC $99,160,143 0.66% 1,127,973 Shares June 30, 2026
Black Diamond Financial, LLC $96,421,366 0.65% 1,096,819 Shares June 30, 2026
STIFEL FINANCIAL CORP $86,957,503 0.58% 989,160 Shares June 30, 2026
Arax Advisory Partners $85,579,399 0.57% 973,489 Shares June 30, 2026
IFC Advisors LLC $82,463,861 0.55% 938,049 Shares June 30, 2026
COMMONWEALTH EQUITY SERVICES, LLC $81,131,634 0.54% 922,894 Shares June 30, 2026
NORTHWESTERN MUTUAL WEALTH MANAGEMENT CO $78,219,639 0.52% 889,770 Shares June 30, 2026
Cetera Investment Advisers $76,701,182 0.51% 872,496 Shares June 30, 2026
Praetorian Wealth Management, Inc. $75,183,473 0.50% 855,232 Shares June 30, 2026
Gratus Wealth Advisors, LLC $71,899,780 0.48% 817,879 Shares June 30, 2026
RAYMOND JAMES FINANCIAL INC $71,721,005 0.48% 815,846 Shares June 30, 2026
Leelyn Smith, LLC $69,765,842 0.47% 793,605 Shares June 30, 2026
Mariner, LLC $69,516,648 0.47% 790,771 Shares June 30, 2026
BANK OF AMERICA CORP /DE/ $68,250,335 0.46% 776,366 Shares June 30, 2026
CITADEL ADVISORS LLC $59,497,488 0.40% 676,800 Call option June 30, 2026
LEAVELL INVESTMENT MANAGEMENT, INC. $54,672,485 0.37% 621,914 Shares June 30, 2026
HENGEHOLD CAPITAL MANAGEMENT LLC $52,992,978 0.36% 602,809 Shares June 30, 2026
MARS JEWETT FINANCIAL GROUP, INC. $48,713,579 0.33% 554,130 Shares June 30, 2026
Beacon Capital Management, LLC $46,662,814 0.31% 530,802 Shares June 30, 2026
BTG Pactual Asset Management US LLC $45,339,495 0.30% 515,749 Shares June 30, 2026
MML INVESTORS SERVICES, LLC $44,439,812 0.30% 505,515 Shares June 30, 2026
Lido Advisors, LLC $43,941,193 0.29% 499,842 Shares June 30, 2026
Bernardo Wealth Planning LLC $43,116,335 0.29% 490,460 Shares June 30, 2026
WEALTH ENHANCEMENT ADVISORY SERVICES, LLC $42,527,432 0.29% 484,483 Shares June 30, 2026
GOLDMAN SACHS GROUP INC $41,436,906 0.28% 471,356 Shares June 30, 2026
MEANS INVESTMENT CO., INC. $41,393,116 0.28% 470,858 Shares June 30, 2026
Beacon Pointe Advisors, LLC $41,250,578 0.28% 469,236 Shares June 30, 2026
FC Advisory LLC $40,354,177 0.27% 459,040 Shares June 30, 2026
Savant Capital, LLC $39,528,681 0.26% 294,234 Shares June 30, 2026
ETF Portfolio Partners, Inc. $38,684,189 0.26% 440,043 Shares June 30, 2026
EP Wealth Advisors, LLC $36,183,296 0.24% 411,595 Shares June 30, 2026
Blue Edge Capital, LLC $36,035,364 0.24% 409,912 Shares June 30, 2026
BHK Investment Advisors, LLC $34,377,372 0.23% 391,052 Shares June 30, 2026
ALPS ADVISORS INC $33,520,083 0.22% 381,300 Shares June 30, 2026
HB Wealth Management, LLC $33,330,528 0.22% 379,143 Shares June 30, 2026
Angeles Investment Advisors, LLC $32,631,342 0.22% 371,190 Shares June 30, 2026
Apriem Advisors $30,217,216 0.20% 343,729 Shares June 30, 2026
Wealthfront Advisers LLC $29,992,606 0.20% 341,174 Shares June 30, 2026
Prospera Financial Services Inc $29,575,500 0.20% 336,415 Shares June 30, 2026
JONES FINANCIAL COMPANIES LLLP $28,527,828 0.19% 338,529 Shares June 30, 2026
Erickson Financial Group, LLC $28,171,639 0.19% 320,460 Shares June 30, 2026
AMARA FINANCIAL, LLC. $27,780,164 0.19% 316,007 Shares June 30, 2026
&PARTNERS $27,556,754 0.18% 312,826 Shares June 30, 2026
Clarity Financial LLC $27,397,136 0.18% 311,650 Shares June 30, 2026
Copperwynd Financial, LLC $27,345,015 0.18% 74,678 Shares June 30, 2025
Kestra Advisory Services, LLC $27,063,378 0.18% 307,853 Shares June 30, 2026
D.A. DAVIDSON & CO. $26,567,266 0.18% 302,209 Shares June 30, 2026
NORTHERN TRUST CORP $25,184,457 0.17% 286,480 Shares June 30, 2026
CREATIVE FINANCIAL DESIGNS INC /ADV $24,586,080 0.16% 279,673 Shares June 30, 2026
Zeit Capital LLC $24,475,317 0.16% 278,413 Shares June 30, 2026
Allspring Global Investments Holdings, LLC $24,319,422 0.16% 276,640 Shares June 30, 2026
SUSQUEHANNA INTERNATIONAL GROUP, LLP $24,043,385 0.16% 273,500 Call option June 30, 2026
Zhang Financial LLC $23,698,959 0.16% 269,582 Shares June 30, 2026
SALEM INVESTMENT COUNSELORS INC $23,662,471 0.16% 269,167 Shares June 30, 2026
Avior Wealth Management, LLC $23,512,629 0.16% 267,463 Shares June 30, 2026
Empirical Financial Services, LLC d.b.a. Empirical Wealth Management $23,469,614 0.16% 266,973 Shares June 30, 2026
VICTORY CAPITAL MANAGEMENT INC $23,373,950 0.16% 265,885 Shares June 30, 2026
Sanctuary Advisors, LLC $22,693,985 0.15% 258,150 Shares June 30, 2026
Wheelhouse Advisory Group LLC $22,380,223 0.15% 254,581 Shares June 30, 2026
ODonnell Financial Services, LLC $22,050,641 0.15% 250,832 Shares June 30, 2026
Gateway Wealth Partners, LLC $21,603,305 0.14% 245,744 Shares June 30, 2026
Kingsview Wealth Management, LLC $21,061,857 0.14% 239,584 Shares June 30, 2026
NORTHEAST INVESTMENT MANAGEMENT $20,842,582 0.14% 237,090 Shares June 30, 2026
Clarus Wealth Advisors $20,472,379 0.14% 54,724 Shares March 31, 2026
FIFTH THIRD BANCORP $20,123,465 0.13% 228,910 Shares June 30, 2026
Cerity Partners LLC $19,894,713 0.13% 226,307 Shares June 30, 2026
Raab & Moskowitz Asset Management LLC $19,699,753 0.13% 224,090 Shares June 30, 2026
DT Investment Partners, LLC $19,299,674 0.13% 219,539 Shares June 30, 2026
Randall & Associates Wealth Management $19,102,492 0.13% 217,296 Shares June 30, 2026
Cresset Asset Management, LLC $18,989,254 0.13% 216,008 Shares June 30, 2026
Blackston Financial Advisory Group, LLC $18,953,335 0.13% 215,599 Shares June 30, 2026
WOODARD & CO ASSET MANAGEMENT GROUP INC /ADV $18,187,417 0.12% 206,887 Shares June 30, 2026
NWF Advisory Services Inc. $18,098,873 0.12% 205,879 Shares June 30, 2026
OKABENA INVESTMENT SERVICES INC $17,625,252 0.12% 200,492 Shares June 30, 2026
Wealthspire Retirement, LLC $17,321,639 0.12% 197,038 Shares June 30, 2026
CAPSTONE WEALTH MANAGEMENT GROUP, LLC $16,740,217 0.11% 190,425 Shares June 30, 2026
WealthShield Partners, LLC $16,653,231 0.11% 189,435 Shares June 30, 2026
STEPHENS INC /AR/ $16,533,578 0.11% 188,074 Shares June 30, 2026
Cascade Financial Partners, LLC $16,517,112 0.11% 187,887 Shares June 30, 2026
Von Berge Wealth Management Group, LLC $16,430,993 0.11% 43,967 Shares June 30, 2025
Baird Financial Group, Inc. $16,404,182 0.11% 186,602 Shares June 30, 2026
JPMORGAN CHASE & CO $15,944,364 0.11% 184,391 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
VUG VANGUARD INDEX FUNDS $223.2B
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

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VGSH VANGUARD SCOTTSDALE FUNDS $33.9B
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IUSB iShares Trust $36.5B
VXF VANGUARD INDEX FUNDS $31.6B
ACWI iShares Trust $31.3B
EEM iShares, Inc. $30.3B
EFV iShares Trust $30.0B
LQD iShares Trust $29.8B