VIGAX Holdings — Vanguard Growth Index Fund

All 155 reported holdings of Vanguard Growth Index Fund (VIGAX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp13.31%$42.33B
Apple Inc12.32%$39.18B
Microsoft Corp9.09%$28.91B
Alphabet Inc5.54%$17.61B
Amazon.com Inc4.59%$14.60B
Broadcom Inc4.40%$14.00B
Alphabet Inc4.39%$13.94B
Meta Platforms Inc4.15%$13.19B
Tesla Inc3.47%$11.04B
Eli Lilly & Co2.60%$8.25B
Visa Inc1.65%$5.25B
Costco Wholesale Corp1.48%$4.70B
Netflix Inc1.36%$4.32B
Mastercard Inc1.33%$4.23B
Advanced Micro Devices Inc1.11%$3.54B
Palantir Technologies Inc1.07%$3.40B
Lam Research Corp0.90%$2.86B
Oracle Corp0.85%$2.72B
GE Vernova Inc0.80%$2.53B
McDonald's Corp0.75%$2.37B
KLA Corp0.66%$2.09B
TJX Cos Inc/The0.60%$1.92B
Intuitive Surgical Inc0.56%$1.77B
Boeing Co/The0.53%$1.69B
Amphenol Corp0.53%$1.68B
Uber Technologies Inc0.51%$1.61B
General Electric Co0.48%$1.53B
Welltower Inc0.47%$1.50B
Applied Materials Inc0.47%$1.48B
Booking Holdings Inc0.46%$1.45B
Arista Networks Inc0.45%$1.43B
Palo Alto Networks Inc0.45%$1.43B
Intuit Inc0.41%$1.31B
Vertex Pharmaceuticals Inc0.39%$1.25B
Stryker Corp0.39%$1.24B
ServiceNow Inc0.38%$1.19B
Starbucks Corp0.35%$1.12B
Adobe Inc0.34%$1.10B
AppLovin Corp0.34%$1.07B
Equinix Inc0.34%$1.07B
Vertiv Holdings Co0.33%$1.06B
Sandisk Corp/DE0.33%$1.04B
Crowdstrike Holdings Inc0.32%$1.03B
Boston Scientific Corp0.32%$1.03B
Howmet Aerospace Inc0.32%$1.02B
Texas Instruments Inc0.31%$980.68M
Marvell Technology Inc0.30%$968.90M
Seagate Technology Holdings PLC0.30%$958.63M
Salesforce Inc0.29%$919.49M
Quanta Services Inc0.29%$918.83M
O'Reilly Automotive Inc0.27%$870.09M
Cadence Design Systems Inc0.27%$856.76M
Synopsys Inc0.27%$847.72M
Sherwin-Williams Co/The0.27%$846.09M
Motorola Solutions Inc0.25%$807.10M
Hilton Worldwide Holdings Inc0.25%$788.50M
Marriott International Inc/MD0.25%$783.98M
Ecolab Inc0.24%$760.97M
Moody's Corp0.23%$741.53M
TransDigm Group Inc0.23%$736.82M
Cloudflare Inc0.22%$712.20M
S&P Global Inc0.22%$701.11M
Cintas Corp0.20%$649.68M
AutoZone Inc0.20%$638.97M
Robinhood Markets Inc0.20%$624.68M
Targa Resources Corp0.20%$624.43M
Fastenal Co0.19%$614.78M
DoorDash Inc0.19%$595.82M
Monolithic Power Systems Inc0.19%$590.38M
Autodesk Inc0.18%$583.71M
Monster Beverage Corp0.18%$573.42M
WW Grainger Inc0.18%$569.75M
Fortinet Inc0.18%$562.01M
Snowflake Inc0.18%$561.10M
Airbnb Inc0.18%$557.96M
Teradyne Inc0.17%$547.50M
Western Digital Corp0.17%$542.63M
T-Mobile US Inc0.17%$538.49M
Apollo Global Management Inc0.17%$530.31M
IDEXX Laboratories Inc0.16%$520.92M
Alnylam Pharmaceuticals Inc0.16%$517.89M
Yum! Brands Inc0.16%$505.09M
Blackstone Inc0.16%$503.41M
Carvana Co0.16%$502.40M
Waste Connections Inc0.15%$488.97M
Chipotle Mexican Grill Inc0.15%$487.87M
Datadog Inc0.14%$458.89M
MSCI Inc0.14%$447.47M
Old Dominion Freight Line Inc0.14%$440.64M
Coinbase Global Inc0.14%$437.51M
Vulcan Materials Co0.13%$428.19M
ROBLOX Corp0.13%$422.59M
Take-Two Interactive Software Inc0.13%$416.52M
Royal Caribbean Cruises Ltd0.13%$406.55M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.12%$396.86M
Block Inc0.12%$396.30M
ResMed Inc0.12%$392.52M
Axon Enterprise Inc0.12%$381.56M
Ciena Corp0.11%$361.45M
Realty Income Corp0.11%$351.61M
Workday Inc0.11%$338.20M
Expedia Group Inc0.11%$334.89M
Lumentum Holdings Inc0.10%$333.16M
Mettler-Toledo International Inc0.10%$326.88M
Verisk Analytics Inc0.10%$323.73M
Veeva Systems Inc0.10%$322.63M
Live Nation Entertainment Inc0.10%$317.28M
Comfort Systems USA Inc0.10%$314.42M
LPL Financial Holdings Inc0.10%$306.07M
Dexcom Inc0.10%$304.84M
Ares Management Corp0.09%$295.31M
Coreweave Inc0.09%$294.50M
Fair Isaac Corp0.09%$292.69M
Coherent Corp0.09%$290.46M
Zoetis Inc0.09%$289.67M
VeriSign Inc0.09%$271.62M
EQT Corp0.08%$265.44M
Insmed Inc0.08%$249.65M
MongoDB Inc0.08%$248.83M
West Pharmaceutical Services Inc0.08%$245.97M
Bloom Energy Corp0.08%$245.11M
Rocket Lab Corp0.08%$242.07M
SBA Communications Corp0.08%$241.01M
Reddit Inc0.08%$241.05M
Martin Marietta Materials Inc0.08%$239.83M
Las Vegas Sands Corp0.07%$226.71M
Rollins Inc0.07%$226.11M
CoStar Group Inc0.07%$223.98M
Lululemon Athletica Inc0.07%$221.15M
Waters Corp0.07%$207.86M
Interactive Brokers Group Inc0.06%$204.64M
Zscaler Inc0.06%$201.30M
Copart Inc0.06%$200.53M
HEICO Corp0.06%$197.42M
Texas Pacific Land Corp0.06%$196.03M
Tradeweb Markets Inc0.06%$195.16M
Sunbelt Rentals Holdings Inc0.06%$190.63M
Atlassian Corp0.05%$166.73M
Burlington Stores Inc0.05%$166.42M
First Solar Inc0.05%$163.29M
Super Micro Computer Inc0.05%$161.99M
HEICO Corp0.04%$139.85M
Insulet Corp0.04%$126.56M
Flutter Entertainment PLC0.04%$125.33M
TKO Group Holdings Inc0.04%$121.12M
HubSpot Inc0.03%$109.77M
GoDaddy Inc0.03%$106.58M
Pinterest Inc0.03%$104.28M
Trade Desk Inc/The0.03%$95.34M
Tyler Technologies Inc0.03%$89.21M
Blue Owl Capital Inc0.03%$83.00M
Venture Global Inc0.03%$79.81M
Symbotic Inc0.02%$79.03M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.00%$4.97M
ABIOMED Inc0.00%$15

VIGAX overview: performance, fees, allocation and SEC filings