VFMV Holdings — Vanguard U.s. Minimum Volatility ETF

All 187 reported holdings of Vanguard U.s. Minimum Volatility ETF (VFMV) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
QUALCOMM Inc1.77%$7.56M
Cisco Systems Inc1.72%$7.34M
Microsoft Corp1.64%$6.99M
Apple Inc1.57%$6.71M
Texas Instruments Inc1.54%$6.56M
Cirrus Logic Inc1.52%$6.47M
Chevron Corp1.50%$6.40M
Johnson & Johnson1.50%$6.40M
Verizon Communications Inc1.48%$6.32M
Exxon Mobil Corp1.48%$6.31M
AT&T Inc1.48%$6.29M
Ross Stores Inc1.47%$6.27M
Analog Devices Inc1.46%$6.24M
NVIDIA Corp1.42%$6.06M
Coca-Cola Co/The1.42%$6.05M
Roper Technologies Inc1.40%$5.96M
Costco Wholesale Corp1.34%$5.73M
Berkshire Hathaway Inc1.32%$5.65M
Alphabet Inc1.32%$5.62M
Dolby Laboratories Inc1.30%$5.55M
Loews Corp1.30%$5.54M
TJX Cos Inc/The1.29%$5.52M
PTC Inc1.29%$5.51M
Royalty Pharma PLC1.29%$5.51M
Diebold Nixdorf Inc1.22%$5.22M
AMETEK Inc1.22%$5.21M
Meta Platforms Inc1.22%$5.19M
Republic Services Inc1.20%$5.11M
Trimble Inc1.16%$4.93M
Monster Beverage Corp1.14%$4.85M
General Dynamics Corp1.13%$4.82M
Ingredion Inc1.12%$4.79M
Atlanta Braves Holdings Inc1.12%$4.76M
Ensign Group Inc/The1.11%$4.75M
Chubb Ltd1.10%$4.69M
Cardinal Health Inc1.09%$4.67M
Hilton Worldwide Holdings Inc1.05%$4.46M
Duke Energy Corp1.04%$4.44M
LTC Properties Inc1.03%$4.38M
CME Group Inc1.01%$4.33M
Lam Research Corp0.98%$4.18M
Skyworks Solutions Inc0.98%$4.17M
Broadcom Inc0.96%$4.08M
Southern Co/The0.91%$3.88M
Realty Income Corp0.89%$3.80M
Cintas Corp0.89%$3.79M
Altria Group Inc0.87%$3.70M
Procter & Gamble Co/The0.83%$3.54M
Church & Dwight Co Inc0.81%$3.44M
American Electric Power Co Inc0.79%$3.37M
Universal Display Corp0.75%$3.18M
HP Inc0.75%$3.18M
Monolithic Power Systems Inc0.73%$3.13M
Motorola Solutions Inc0.72%$3.06M
Markel Group Inc0.68%$2.89M
Autodesk Inc0.67%$2.87M
First Solar Inc0.67%$2.85M
EOG Resources Inc0.66%$2.81M
Four Corners Property Trust Inc0.65%$2.77M
News Corp0.64%$2.75M
Amdocs Ltd0.63%$2.70M
Fox Corp0.63%$2.68M
Simon Property Group Inc0.62%$2.66M
Ventas Inc0.61%$2.62M
Phillips Edison & Co Inc0.61%$2.62M
O'Reilly Automotive Inc0.61%$2.60M
Cheniere Energy Inc0.60%$2.57M
NVE Corp0.60%$2.56M
International Business Machines Corp0.59%$2.50M
American States Water Co0.57%$2.44M
Abbott Laboratories0.56%$2.38M
Kinder Morgan Inc0.56%$2.38M
CenterPoint Energy Inc0.56%$2.38M
Encompass Health Corp0.55%$2.33M
McKesson Corp0.54%$2.29M
eBay Inc0.54%$2.29M
Agree Realty Corp0.52%$2.24M
Teledyne Technologies Inc0.52%$2.21M
Cargurus Inc0.51%$2.18M
Vistance Networks Inc0.51%$2.17M
NetApp Inc0.51%$2.17M
T-Mobile US Inc0.50%$2.12M
FirstEnergy Corp0.48%$2.06M
Willis Towers Watson PLC0.47%$2.03M
RTX Corp0.46%$1.95M
Match Group Inc0.44%$1.89M
Yelp Inc0.43%$1.85M
Walmart Inc0.43%$1.84M
Innoviva Inc0.43%$1.82M
New York Times Co/The0.42%$1.80M
Grindr Inc0.42%$1.80M
TKO Group Holdings Inc0.41%$1.74M
SEI Investments Co0.41%$1.73M
Getty Realty Corp0.40%$1.71M
Medtronic PLC0.38%$1.62M
IDT Corp0.37%$1.59M
Atlanta Braves Holdings Inc0.37%$1.56M
Fresh Del Monte Produce Inc0.36%$1.54M
Becton Dickinson & Co0.36%$1.52M
Marsh & McLennan Cos Inc0.34%$1.47M
Steris PLC0.32%$1.38M
KLA Corp0.30%$1.30M
Rollins Inc0.30%$1.29M
Waste Management Inc0.29%$1.25M
DT Midstream Inc0.29%$1.23M
CMS Energy Corp0.28%$1.21M
Alliant Energy Corp0.28%$1.20M
Keysight Technologies Inc0.28%$1.18M
Box Inc0.28%$1.18M
Walt Disney Co/The0.27%$1.14M
WEC Energy Group Inc0.26%$1.13M
Alarm.com Holdings Inc0.25%$1.06M
Indivior Pharmaceuticals Inc0.25%$1.05M
AbbVie Inc0.24%$1.03M
MGE Energy Inc0.24%$1.02M
Consolidated Edison Inc0.24%$1.01M
McDonald's Corp0.24%$1.01M
Cencora Inc0.22%$933.60K
Postal Realty Trust Inc0.21%$913.56K
Veralto Corp0.21%$883.15K
Quest Diagnostics Inc0.20%$839.43K
White Mountains Insurance Group Ltd0.19%$811.47K
US Bancorp0.18%$749.63K
Yext Inc0.17%$725.49K
HealthStream Inc0.17%$720.11K
Teradyne Inc0.16%$684.99K
York Water Co/The0.16%$668.65K
Ennis Inc0.15%$635.10K
Atmos Energy Corp0.15%$628.66K
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.15%$625.25K
Alphabet Inc0.14%$591.43K
Lockheed Martin Corp0.14%$585.09K
Ollie's Bargain Outlet Holdings Inc0.13%$575.25K
Visa Inc0.13%$573.74K
Bank of America Corp0.13%$572.04K
Evergy Inc0.13%$566.90K
STAG Industrial Inc0.13%$566.12K
Carriage Services Inc0.13%$552.07K
Spok Holdings Inc0.13%$536.96K
Boston Scientific Corp0.12%$522.96K
InvenTrust Properties Corp0.12%$521.60K
W&T Offshore Inc0.12%$500.91K
City Holding Co0.12%$490.78K
Chemed Corp0.11%$463.93K
Travelers Cos Inc/The0.11%$451.26K
Knowles Corp0.11%$451.35K
First Industrial Realty Trust Inc0.11%$450.17K
Amazon.com Inc0.11%$448.72K
Parker-Hannifin Corp0.10%$439.21K
Johnson Controls International plc0.10%$426.58K
Williams Cos Inc/The0.10%$419.34K
Ameren Corp0.10%$415.25K
Aflac Inc0.10%$415.62K
Nordson Corp0.09%$391.34K
GPGI Inc0.09%$379.99K
Prologis Inc0.09%$377.18K
Bank of NT Butterfield & Son Ltd/The0.08%$361.46K
Mastercard Inc0.08%$347.76K
Prestige Consumer Healthcare Inc0.08%$344.40K
American Water Works Co Inc0.07%$311.26K
Universal Corp/VA0.07%$309.09K
Orrstown Financial Services Inc0.07%$301.50K
Welltower Inc0.07%$281.30K
German American Bancorp Inc0.06%$275.30K
Safety Insurance Group Inc0.06%$272.54K
IAC Inc0.06%$272.17K
Hewlett Packard Enterprise Co0.06%$270.46K
Antero Midstream Corp0.06%$250.60K
Mondelez International Inc0.06%$242.72K
Northrop Grumman Corp0.06%$235.05K
New Issuer: BB Company ID:715359380.05%$232.30K
W R Berkley Corp0.05%$226.39K
News Corp0.05%$211.75K
IDACORP Inc0.05%$203.11K
Dillard's Inc0.05%$200.67K
EastGroup Properties Inc0.03%$145.58K
Tootsie Roll Industries Inc0.03%$142.20K
Service Corp International/US0.03%$133.24K
CoastalSouth Bancshares Inc0.03%$130.69K
Power Integrations Inc0.03%$122.81K
Intercontinental Exchange Inc0.03%$110.59K
Donegal Group Inc0.02%$101.41K
Laureate Education Inc0.02%$95.55K
Ziff Davis Inc0.02%$92.71K
JPMorgan Chase & Co0.02%$85.60K
Workiva Inc0.02%$82.14K
Par Pacific Holdings Inc0.02%$74.69K

VFMV overview: performance, fees, allocation and SEC filings