VMVAX Holdings — Vanguard Mid-Cap Value Index Fund

All 172 reported holdings of Vanguard Mid-Cap Value Index Fund (VMVAX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
SLB Ltd1.44%$499.54M
Cummins Inc1.39%$483.23M
Valero Energy Corp1.38%$480.29M
Phillips 661.37%$474.59M
Marathon Petroleum Corp1.35%$467.85M
Crh PLC1.32%$456.64M
General Motors Co1.26%$437.79M
Warner Bros Discovery Inc1.21%$420.54M
L3Harris Technologies Inc1.21%$419.07M
Digital Realty Trust Inc1.16%$402.54M
TE Connectivity PLC1.15%$398.70M
PACCAR Inc1.14%$394.85M
Baker Hughes Co1.13%$392.19M
Newmont Corp1.10%$382.76M
Cencora Inc1.09%$377.39M
Corteva Inc1.07%$371.67M
ONEOK Inc1.07%$370.05M
Cheniere Energy Inc1.06%$368.35M
Arthur J Gallagher & Co1.04%$361.97M
Target Corp1.03%$356.75M
Dominion Energy Inc1.02%$353.15M
Allstate Corp/The1.01%$349.81M
Entergy Corp0.95%$330.87M
Cardinal Health Inc0.93%$323.24M
Xcel Energy Inc0.93%$322.17M
Exelon Corp0.93%$321.70M
Keysight Technologies Inc0.91%$315.35M
Occidental Petroleum Corp0.90%$312.55M
United Rentals Inc0.86%$298.36M
Western Digital Corp0.86%$298.07M
Ferguson Enterprises Inc0.85%$296.51M
Ford Motor Co0.85%$293.96M
Becton Dickinson & Co0.84%$291.03M
Carrier Global Corp0.84%$290.66M
Williams Cos Inc/The0.83%$288.97M
Nasdaq Inc0.81%$282.32M
Delta Air Lines Inc0.81%$282.26M
Public Storage0.80%$278.14M
Westinghouse Air Brake Technologies Corp0.80%$277.02M
Fifth Third Bancorp0.78%$271.73M
Kroger Co/The0.77%$267.91M
Consolidated Edison Inc0.77%$265.78M
eBay Inc0.76%$265.07M
Ameriprise Financial Inc0.76%$263.40M
Public Service Enterprise Group Inc0.76%$262.45M
American International Group Inc0.76%$262.47M
Johnson Controls International plc0.75%$260.51M
CBRE Group Inc0.75%$259.91M
Strategy Inc0.73%$254.83M
MetLife Inc0.73%$254.80M
Diamondback Energy Inc0.73%$253.88M
FedEx Corp0.71%$244.98M
WEC Energy Group Inc0.71%$244.99M
PG&E Corp0.70%$244.49M
Hartford Financial Services Group Inc/The0.70%$242.50M
Nucor Corp0.69%$237.86M
Roper Technologies Inc0.68%$236.76M
DR Horton Inc0.67%$232.57M
Crown Castle Inc0.66%$230.49M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.66%$228.72M
Archer-Daniels-Midland Co0.66%$227.38M
Sysco Corp0.64%$222.07M
Prudential Financial Inc0.64%$220.99M
Keurig Dr Pepper Inc0.64%$220.92M
State Street Corp0.63%$217.85M
Kenvue Inc0.62%$214.81M
Arch Capital Group Ltd0.61%$210.92M
Kimberly-Clark Corp0.60%$208.15M
Huntington Bancshares Inc/OH0.60%$206.52M
Sempra0.59%$206.14M
Kinder Morgan Inc0.59%$206.09M
Hewlett Packard Enterprise Co0.59%$205.67M
Devon Energy Corp0.58%$202.81M
GE HealthCare Technologies Inc0.58%$200.34M
Hershey Co/The0.58%$200.11M
Ameren Corp0.57%$197.52M
United Airlines Holdings Inc0.57%$196.13M
Otis Worldwide Corp0.56%$194.77M
Cboe Global Markets Inc0.55%$191.24M
Halliburton Co0.55%$191.06M
Cognizant Technology Solutions Corp0.55%$190.73M
IQVIA Holdings Inc0.54%$188.13M
Simon Property Group Inc0.54%$187.16M
CenterPoint Energy Inc0.53%$183.17M
Edison International0.53%$183.05M
Dover Corp0.53%$182.75M
FirstEnergy Corp0.52%$180.56M
Willis Towers Watson PLC0.52%$178.67M
PayPal Holdings Inc0.51%$177.37M
PPL Corp0.51%$177.24M
VICI Properties Inc0.51%$176.95M
Biogen Inc0.50%$174.90M
Fiserv Inc0.50%$174.58M
American Water Works Co Inc0.50%$172.69M
Corning Inc0.49%$170.62M
M&T Bank Corp0.49%$170.25M
Dollar General Corp0.49%$169.89M
Eversource Energy0.49%$169.11M
DTE Energy Co0.48%$167.79M
Electronic Arts Inc0.48%$165.83M
Aflac Inc0.48%$165.72M
Raymond James Financial Inc0.47%$161.78M
Northern Trust Corp0.46%$160.17M
Cincinnati Financial Corp0.46%$159.18M
ON Semiconductor Corp0.46%$158.60M
Citizens Financial Group Inc0.45%$157.39M
Fidelity National Information Services Inc0.45%$156.86M
PPG Industries Inc0.45%$155.28M
CMS Energy Corp0.45%$154.53M
Synchrony Financial0.44%$153.70M
AvalonBay Communities Inc0.43%$150.36M
PulteGroup Inc0.42%$147.04M
Darden Restaurants Inc0.42%$146.73M
Regions Financial Corp0.42%$146.62M
Labcorp Holdings Inc0.41%$142.92M
KeyCorp0.41%$142.02M
Quest Diagnostics Inc0.40%$139.97M
Equity Residential0.40%$137.91M
Humana Inc0.39%$135.93M
Constellation Brands Inc0.39%$135.25M
Dollar Tree Inc0.39%$134.48M
Zoom Video Communications Inc0.38%$131.84M
Rockwell Automation Inc0.38%$131.06M
General Mills Inc0.37%$129.10M
NetApp Inc0.37%$127.88M
T Rowe Price Group Inc0.37%$127.78M
Principal Financial Group Inc0.37%$127.01M
Expeditors International of Washington Inc0.36%$124.30M
Packaging Corp of America0.35%$123.08M
W R Berkley Corp0.35%$122.80M
International Paper Co0.35%$122.54M
Snap-on Inc0.35%$122.57M
Kraft Heinz Co/The0.35%$121.14M
Southwest Airlines Co0.35%$119.99M
Alliant Energy Corp0.35%$119.95M
Tyson Foods Inc0.34%$117.48M
Charter Communications Inc0.33%$115.51M
Zimmer Biomet Holdings Inc0.33%$115.00M
International Flavors & Fragrances Inc0.33%$114.74M
Loews Corp0.33%$114.38M
HP Inc0.33%$114.21M
Lennar Corp0.32%$110.98M
Fortive Corp0.32%$110.63M
Ingersoll Rand Inc0.29%$101.98M
Medline Inc0.28%$97.16M
Dow Inc0.28%$95.54M
Global Payments Inc0.27%$92.92M
SS&C Technologies Holdings Inc0.26%$90.17M
Sunbelt Rentals Holdings Inc0.25%$88.03M
McCormick & Co Inc/MD0.24%$83.15M
Steel Dynamics Inc0.23%$81.17M
Qnity Electronics Inc0.23%$78.63M
Markel Group Inc0.21%$74.33M
NiSource Inc0.21%$72.57M
Steris PLC0.20%$70.49M
LyondellBasell Industries NV0.19%$67.49M
Fox Corp0.19%$67.49M
Leidos Holdings Inc0.18%$63.89M
Evergy Inc0.17%$58.11M
Estee Lauder Cos Inc/The0.17%$57.67M
Weyerhaeuser Co0.17%$57.22M
NVR Inc0.16%$56.84M
Centene Corp0.15%$52.33M
CDW Corp/DE0.15%$50.74M
Essex Property Trust Inc0.15%$50.71M
Genuine Parts Co0.14%$47.30M
Invitation Homes Inc0.13%$46.76M
Fox Corp0.13%$43.77M
Hubbell Inc0.12%$42.40M
Trimble Inc0.07%$24.80M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.05%$15.64M
Lennar Corp0.03%$10.32M

VMVAX overview: performance, fees, allocation and SEC filings