VMFGX Holdings — Vanguard S&P Mid-Cap 400 Growth Index Fund

All 243 reported holdings of Vanguard S&P Mid-Cap 400 Growth Index Fund (VMFGX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Flex Ltd3.04%$55.58M
Twilio Inc1.58%$28.98M
TechnipFMC PLC1.52%$27.75M
Curtiss-Wright Corp1.51%$27.64M
nVent Electric PLC1.48%$27.02M
Sterling Infrastructure Inc1.45%$26.51M
XPO Inc1.37%$25.16M
Everpure Inc1.37%$25.00M
United Therapeutics Corp1.31%$24.04M
ATI Inc1.30%$23.86M
MACOM Technology Solutions Holdings Inc1.29%$23.58M
Fabrinet1.28%$23.50M
MasTec Inc1.27%$23.27M
Okta Inc1.14%$20.94M
Woodward Inc1.14%$20.92M
RB Global Inc1.08%$19.80M
Carpenter Technology Corp1.02%$18.73M
Royal Gold Inc1.00%$18.23M
RBC Bearings Inc0.99%$18.13M
TTM Technologies Inc0.98%$18.00M
BWX Technologies Inc0.98%$17.96M
Talen Energy Corp0.97%$17.72M
ITT Inc0.92%$16.81M
Neurocrine Biosciences Inc0.87%$15.93M
API Group Corp0.86%$15.77M
SiTime Corp0.86%$15.73M
Rambus Inc0.86%$15.70M
MKS Instruments Inc0.85%$15.50M
Tenet Healthcare Corp0.84%$15.45M
Dycom Industries Inc0.84%$15.32M
Nextpower Inc0.83%$15.13M
Tempur Sealy International Inc0.81%$14.90M
Jazz Pharmaceuticals PLC0.79%$14.41M
Illumina Inc0.74%$13.49M
Exelixis Inc0.72%$13.14M
Guidewire Software Inc0.71%$13.01M
Dynatrace Inc0.70%$12.73M
Five Below Inc0.69%$12.57M
Penumbra Inc0.68%$12.52M
DigitalOcean Holdings Inc0.68%$12.43M
Burlington Stores Inc0.67%$12.31M
New York Times Co/The0.67%$12.18M
Texas Roadhouse Inc0.65%$11.98M
Hecla Mining Co0.65%$11.94M
Lattice Semiconductor Corp0.65%$11.90M
Elanco Animal Health Inc0.65%$11.88M
Kratos Defense & Security Solutions Inc0.65%$11.87M
TopBuild Corp0.64%$11.68M
Advanced Energy Industries Inc0.62%$11.44M
CACI International Inc0.62%$11.37M
Arrowhead Pharmaceuticals Inc0.60%$10.94M
SPX Technologies Inc0.59%$10.83M
Encompass Health Corp0.58%$10.68M
Mueller Industries Inc0.56%$10.31M
DT Midstream Inc0.56%$10.27M
Moog Inc0.56%$10.26M
Medpace Holdings Inc0.55%$10.05M
Coca-Cola Consolidated Inc0.54%$9.83M
Lincoln Electric Holdings Inc0.53%$9.70M
Ensign Group Inc/The0.53%$9.69M
Flowserve Corp0.53%$9.62M
AAON Inc0.52%$9.51M
Chart Industries Inc0.51%$9.37M
Globus Medical Inc0.50%$9.15M
CareTrust REIT Inc0.50%$9.14M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.48%$8.72M
WP Carey Inc0.47%$8.67M
East West Bancorp Inc0.47%$8.62M
Affiliated Managers Group Inc0.47%$8.54M
FirstCash Holdings Inc0.47%$8.53M
Watts Water Technologies Inc0.46%$8.50M
Nutanix Inc0.46%$8.47M
Entegris Inc0.46%$8.46M
EnerSys0.46%$8.42M
Ormat Technologies Inc0.46%$8.36M
First Industrial Realty Trust Inc0.45%$8.22M
Evercore Inc0.45%$8.20M
Pinterest Inc0.44%$8.00M
Lamar Advertising Co0.44%$7.97M
Roivant Sciences Ltd0.43%$7.87M
Halozyme Therapeutics Inc0.43%$7.85M
UL Solutions Inc0.42%$7.71M
Vicor Corp0.42%$7.63M
HealthEquity Inc0.41%$7.54M
Omega Healthcare Investors Inc0.41%$7.48M
Clean Harbors Inc0.39%$7.22M
Tetra Tech Inc0.39%$7.19M
TransUnion0.39%$7.18M
Solstice Advanced Materials Inc0.39%$7.11M
Antero Midstream Corp0.38%$6.96M
Hexcel Corp0.37%$6.83M
Kinsale Capital Group Inc0.37%$6.75M
EastGroup Properties Inc0.37%$6.68M
AeroVironment Inc0.36%$6.61M
InterDigital Inc0.35%$6.49M
Graco Inc0.35%$6.40M
RenaissanceRe Holdings Ltd0.35%$6.36M
Donaldson Co Inc0.35%$6.34M
Acuity Brands Inc0.35%$6.34M
BioMarin Pharmaceutical Inc0.34%$6.29M
Applied Industrial Technologies Inc0.34%$6.25M
DocuSign Inc0.34%$6.22M
Onto Innovation Inc0.34%$6.17M
Valmont Industries Inc0.34%$6.16M
Equity LifeStyle Properties Inc0.33%$6.12M
Carlisle Cos Inc0.33%$6.06M
Dick's Sporting Goods Inc0.33%$6.06M
NewMarket Corp0.33%$6.05M
Gaming and Leisure Properties Inc0.33%$6.00M
Valaris Ltd0.33%$5.98M
Stifel Financial Corp0.32%$5.90M
Churchill Downs Inc0.32%$5.79M
Equitable Holdings Inc0.31%$5.64M
Advanced Drainage Systems Inc0.31%$5.60M
RPM International Inc0.30%$5.57M
Service Corp International/US0.30%$5.56M
Manhattan Associates Inc0.30%$5.49M
Cytokinetics Inc0.30%$5.49M
Cognex Corp0.30%$5.47M
Hims & Hers Health Inc0.30%$5.46M
Autoliv Inc0.30%$5.43M
Celsius Holdings Inc0.29%$5.33M
American Healthcare REIT Inc0.29%$5.31M
Hyatt Hotels Corp0.28%$5.19M
MP Materials Corp0.28%$5.16M
Paylocity Holding Corp0.27%$5.03M
Sabra Health Care REIT Inc0.27%$5.02M
Ollie's Bargain Outlet Holdings Inc0.27%$5.02M
Primerica Inc0.27%$5.01M
Cirrus Logic Inc0.27%$4.96M
Littelfuse Inc0.27%$4.90M
SEI Investments Co0.26%$4.83M
Boyd Gaming Corp0.26%$4.79M
Dropbox Inc0.26%$4.70M
Masimo Corp0.25%$4.66M
Carlyle Group Inc/The0.25%$4.61M
Crane Co0.25%$4.58M
ExlService Holdings Inc0.25%$4.57M
National Fuel Gas Co0.25%$4.56M
Lantheus Holdings Inc0.25%$4.56M
Planet Fitness Inc0.24%$4.45M
STAG Industrial Inc0.24%$4.43M
Old Republic International Corp0.24%$4.42M
Travel + Leisure Co0.24%$4.39M
Wingstop Inc0.24%$4.37M
Brixmor Property Group Inc0.24%$4.32M
Valvoline Inc0.24%$4.31M
Cullen/Frost Bankers Inc0.23%$4.29M
Federated Hermes Inc0.23%$4.15M
Grand Canyon Education Inc0.23%$4.15M
Sotera Health Co0.23%$4.14M
Dutch Bros Inc0.23%$4.14M
Core & Main Inc0.23%$4.12M
CubeSmart0.22%$4.11M
Houlihan Lokey Inc0.22%$4.09M
LivaNova PLC0.22%$4.04M
Agree Realty Corp0.22%$4.01M
Aecom0.22%$3.96M
IDACORP Inc0.22%$3.95M
Appfolio Inc0.21%$3.93M
Qualys Inc0.21%$3.93M
Simpson Manufacturing Co Inc0.21%$3.87M
UiPath Inc0.21%$3.82M
Silicon Laboratories Inc0.21%$3.81M
Amkor Technology Inc0.21%$3.81M
Oshkosh Corp0.21%$3.79M
Allegro MicroSystems Inc0.21%$3.76M
NNN REIT Inc0.20%$3.65M
MSA Safety Inc0.20%$3.64M
Repligen Corp0.20%$3.62M
Chewy Inc0.20%$3.61M
American Financial Group Inc/OH0.20%$3.60M
Eagle Materials Inc0.19%$3.56M
Kirby Corp0.19%$3.52M
GATX Corp0.19%$3.51M
Bruker Corp0.19%$3.47M
StandardAero Inc0.18%$3.38M
Option Care Health Inc0.18%$3.32M
Pegasystems Inc0.18%$3.27M
Cava Group Inc0.18%$3.26M
Sprouts Farmers Market Inc0.18%$3.23M
Wyndham Hotels & Resorts Inc0.18%$3.22M
Commvault Systems Inc0.17%$3.19M
Bio-Rad Laboratories Inc0.17%$3.13M
Weatherford International PLC0.17%$3.13M
Hilton Grand Vacations Inc0.17%$3.12M
Duolingo Inc0.17%$3.08M
Brink's Co/The0.17%$3.08M
Bentley Systems Inc0.17%$3.07M
Chemed Corp0.16%$2.97M
WEX Inc0.16%$2.94M
Doximity Inc0.16%$2.87M
Hanover Insurance Group Inc/The0.16%$2.84M
MGIC Investment Corp0.15%$2.83M
Nexstar Media Group Inc0.15%$2.81M
Novanta Inc0.15%$2.69M
Fortune Brands Innovations Inc0.15%$2.67M
H&R Block Inc0.14%$2.54M
Crocs Inc0.14%$2.51M
Warner Music Group Corp0.13%$2.46M
Genpact Ltd0.13%$2.46M
SLM Corp0.13%$2.43M
Ryan Specialty Holdings Inc0.13%$2.40M
TXNM Energy Inc0.13%$2.39M
Vail Resorts Inc0.13%$2.35M
Essent Group Ltd0.13%$2.33M
Esab Corp0.13%$2.33M
EPR Properties0.12%$2.27M
elf Beauty Inc0.12%$2.22M
YETI Holdings Inc0.12%$2.21M
Texas Capital Bancshares Inc0.12%$2.16M
Gentex Corp0.12%$2.12M
MSC Industrial Direct Co Inc0.12%$2.11M
Parsons Corp0.11%$2.10M
Spire Inc0.11%$2.10M
Avis Budget Group Inc0.11%$2.09M
Morningstar Inc0.11%$2.05M
Shift4 Payments Inc0.11%$1.96M
Hamilton Lane Inc0.11%$1.93M
Northwestern Energy Group Inc0.10%$1.91M
Belden Inc0.10%$1.90M
Haemonetics Corp0.10%$1.90M
Mattel Inc0.10%$1.86M
FTI Consulting Inc0.10%$1.86M
International Bancshares Corp0.10%$1.84M
Maximus Inc0.10%$1.83M
Universal Display Corp0.10%$1.80M
First Financial Bankshares Inc0.10%$1.79M
Graham Holdings Co0.10%$1.79M
Knife River Corp0.10%$1.78M
Vontier Corp0.10%$1.77M
BILL Holdings Inc0.09%$1.60M
Dolby Laboratories Inc0.08%$1.53M
COPT Defense Properties0.08%$1.53M
Exponent Inc0.08%$1.52M
Abercrombie & Fitch Co0.08%$1.46M
Choice Hotels International Inc0.07%$1.33M
National Storage Affiliates Trust0.07%$1.27M
Marzetti Company/The0.06%$1.14M
Capri Holdings Ltd0.06%$1.06M
Crane NXT Co0.05%$827.06K
Blackbaud Inc0.03%$550.82K
BellRing Brands Inc0.02%$403.09K

VMFGX overview: performance, fees, allocation and SEC filings