VMGRX Holdings — Vanguard Mid-Cap Growth Fund

All 50 reported holdings of Vanguard Mid-Cap Growth Fund (VMGRX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Aixtron SE3.46%$97.84M
Bloom Energy Corp3.44%$97.18M
Live Nation Entertainment Inc3.13%$88.61M
Spotify Technology SA2.87%$81.06M
Howmet Aerospace Inc2.82%$79.85M
DoorDash Inc2.81%$79.61M
Semtech Corp2.77%$78.24M
Affirm Holdings Inc2.68%$75.70M
Roku Inc2.66%$75.32M
Coupang Inc2.66%$75.29M
TKO Group Holdings Inc2.61%$73.88M
Lumentum Holdings Inc2.60%$73.43M
Palo Alto Networks Inc2.59%$73.39M
MKS Instruments Inc2.58%$73.09M
Varonis Systems Inc2.57%$72.61M
Westinghouse Air Brake Technologies Corp2.44%$68.99M
Uber Technologies Inc2.44%$68.96M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund2.43%$68.77M
Wyndham Hotels & Resorts Inc2.38%$67.24M
MongoDB Inc2.36%$66.67M
Cencora Inc2.31%$65.36M
Reddit Inc2.31%$65.34M
Royal Caribbean Cruises Ltd2.24%$63.42M
Q2 Holdings Inc2.21%$62.39M
Rocket Lab Corp2.19%$61.81M
EMCOR Group Inc2.14%$60.63M
Cloudflare Inc2.12%$59.93M
Wingstop Inc2.10%$59.33M
FTAI Aviation Ltd2.06%$58.38M
Talen Energy Corp2.06%$58.32M
Chipotle Mexican Grill Inc2.04%$57.82M
Grab Holdings Ltd1.91%$53.94M
Rollins Inc1.86%$52.61M
Starbucks Corp1.83%$51.65M
Targa Resources Corp1.82%$51.48M
Carvana Co1.79%$50.50M
BWX Technologies Inc1.61%$45.63M
FirstCash Holdings Inc1.58%$44.80M
Norwegian Cruise Line Holdings Ltd1.43%$40.43M
IDEXX Laboratories Inc1.27%$35.97M
CoStar Group Inc1.26%$35.73M
Valero Energy Corp1.26%$35.55M
Ondas Inc1.21%$34.17M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund1.15%$32.53M
Alnylam Pharmaceuticals Inc1.03%$29.08M
SoFi Technologies Inc0.91%$25.70M
Insmed Inc0.83%$23.53M
Alphatec Holdings Inc0.77%$21.78M
Insulet Corp0.65%$18.34M
CyberArk Software Ltd0.24%$6.83M

VMGRX overview: performance, fees, allocation and SEC filings