VMVFX Holdings — Vanguard Global Minimum Volatility Fund

All 217 reported holdings of Vanguard Global Minimum Volatility Fund (VMVFX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
United Microelectronics Corp1.75%$34.94M
Coca-Cola Co/The1.60%$31.86M
ASE Technology Holding Co Ltd1.60%$31.84M
Orange SA1.55%$30.95M
Taiwan Semiconductor Manufacturing Co Ltd1.53%$30.58M
Waste Management Inc1.50%$29.92M
Shell PLC1.49%$29.79M
Apple Inc1.49%$29.73M
Swisscom AG1.47%$29.26M
Motorola Solutions Inc1.47%$29.25M
O'Reilly Automotive Inc1.45%$28.92M
Johnson & Johnson1.45%$28.89M
Cboe Global Markets Inc1.44%$28.71M
Church & Dwight Co Inc1.42%$28.27M
Republic Services Inc1.41%$28.21M
McDonald's Corp1.41%$28.12M
TJX Cos Inc/The1.40%$28.01M
Microsoft Corp1.39%$27.77M
Cisco Systems Inc1.38%$27.57M
Cencora Inc1.35%$26.90M
Compass Group PLC1.29%$25.64M
White Mountains Insurance Group Ltd1.27%$25.25M
Lockheed Martin Corp1.26%$25.11M
Texas Instruments Inc1.26%$25.03M
Northrop Grumman Corp1.24%$24.77M
McKesson Corp1.23%$24.53M
Dr Reddy's Laboratories Ltd1.23%$24.48M
Novartis AG1.23%$24.44M
Amdocs Ltd1.15%$22.97M
ICICI Bank Ltd1.15%$22.85M
Itau Unibanco Holding SA1.11%$22.19M
Danone SA1.10%$22.02M
RTX Corp1.10%$21.95M
Hydro One Ltd1.09%$21.81M
International Business Machines Corp1.06%$21.21M
Analog Devices Inc1.05%$20.92M
SoftBank Corp0.97%$19.30M
Omega Healthcare Investors Inc0.97%$19.27M
Southern Co/The0.96%$19.15M
VeriSign Inc0.95%$19.02M
Alphabet Inc0.92%$18.33M
KT&G Corp0.91%$18.23M
Colgate-Palmolive Co0.91%$18.17M
Consolidated Edison Inc0.91%$18.13M
HDFC Bank Ltd0.86%$17.21M
AptarGroup Inc0.86%$17.07M
CME Group Inc0.84%$16.71M
Eni SpA0.84%$16.68M
NVIDIA Corp0.83%$16.47M
IDACORP Inc0.82%$16.27M
Pearson PLC0.81%$16.22M
FTI Consulting Inc0.80%$15.96M
General Dynamics Corp0.80%$15.89M
Samsung Electronics Co Ltd0.79%$15.75M
Roper Technologies Inc0.79%$15.71M
Pembina Pipeline Corp0.78%$15.55M
Boston Scientific Corp0.77%$15.42M
LEENO Industrial Inc0.74%$14.81M
Alphabet Inc0.72%$14.32M
Dolby Laboratories Inc0.72%$14.30M
Wesfarmers Ltd0.70%$13.91M
CLP Holdings Ltd0.69%$13.82M
Medibank Pvt Ltd0.68%$13.62M
Dollarama Inc0.68%$13.55M
Koninklijke KPN NV0.64%$12.74M
Agree Realty Corp0.62%$12.29M
Fox Corp0.60%$11.94M
Oversea-Chinese Banking Corp Ltd0.58%$11.62M
General Mills Inc0.57%$11.33M
Intact Financial Corp0.56%$11.09M
Brambles Ltd0.55%$10.99M
Chemed Corp0.54%$10.68M
Gsk PLC0.52%$10.38M
Enbridge Inc0.51%$10.23M
Atmos Energy Corp0.50%$10.06M
Procter & Gamble Co/The0.49%$9.82M
Coles Group Ltd0.46%$9.23M
Equity LifeStyle Properties Inc0.46%$9.18M
Automatic Data Processing Inc0.46%$9.18M
Aon PLC0.44%$8.85M
Caterpillar Inc0.43%$8.67M
Madison Square Garden Sports Corp0.43%$8.66M
Bankinter SA0.43%$8.65M
Sage Group PLC/The0.43%$8.54M
Engie SA0.43%$8.51M
Micron Technology Inc0.41%$8.27M
Chubb Ltd0.41%$8.09M
McDonald's Holdings Co Japan Ltd0.38%$7.62M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.36%$7.18M
Berkshire Hathaway Inc0.36%$7.12M
Progressive Corp/The0.35%$7.02M
ASML Holding NV0.35%$6.99M
Kimberly-Clark Corp0.34%$6.86M
Insurance Australia Group Ltd0.34%$6.75M
Haleon PLC0.34%$6.74M
Sampo Oyj0.33%$6.59M
Abbott Laboratories0.31%$6.19M
Sinopharm Group Co Ltd0.31%$6.17M
Scout24 SE0.31%$6.17M
AbbVie Inc0.30%$6.00M
AstraZeneca PLC0.30%$5.92M
Celltrion Inc0.29%$5.84M
Tele2 AB0.29%$5.75M
Duke Energy Corp0.29%$5.73M
Cirrus Logic Inc0.28%$5.54M
Unilever PLC0.27%$5.33M
Tesla Inc0.26%$5.22M
FirstEnergy Corp0.26%$5.16M
Intuit Inc0.25%$5.07M
Kyushu Railway Co0.25%$5.04M
AutoZone Inc0.24%$4.77M
W R Berkley Corp0.23%$4.58M
America Movil SAB de CV0.23%$4.56M
Visa Inc0.21%$4.27M
NAVER Corp0.21%$4.23M
Box Inc0.21%$4.22M
HMM Co Ltd0.21%$4.19M
NewMarket Corp0.21%$4.15M
DB HiTek Co Ltd0.20%$4.02M
WEC Energy Group Inc0.20%$3.96M
Fortis Inc/Canada0.19%$3.86M
Klepierre SA0.19%$3.85M
Casey's General Stores Inc0.19%$3.81M
Orkla ASA0.19%$3.73M
Elbit Systems Ltd0.18%$3.65M
Transurban Group0.18%$3.60M
Shanghai Fudan Microelectronics Group Co Ltd0.18%$3.50M
Galenica AG0.17%$3.36M
Tower Semiconductor Ltd0.16%$3.18M
Chunghwa Telecom Co Ltd0.15%$3.09M
Sap SE0.15%$2.94M
Nippon Building Fund Inc0.14%$2.84M
Power Assets Holdings Ltd0.14%$2.77M
Banque Cantonale Vaudoise0.14%$2.72M
CMS Energy Corp0.14%$2.71M
Tryg A/S0.13%$2.68M
New York Times Co/The0.13%$2.58M
Industrial Bank of Korea0.13%$2.55M
Service Corp International/US0.12%$2.38M
Fomento Economico Mexicano SAB de CV0.12%$2.31M
Henkel AG & Co KGaA0.11%$2.24M
Check Point Software Technologies Ltd0.11%$2.19M
Essity AB0.11%$2.14M
Yamada Holdings Co Ltd0.11%$2.14M
Petroleo Brasileiro SA0.11%$2.11M
Loews Corp0.10%$2.06M
Becton Dickinson & Co0.10%$2.05M
Autotrader Group PLC0.10%$2.01M
Quest Diagnostics Inc0.10%$1.98M
Woolworths Group Ltd0.10%$1.97M
Sanil Electric Co Ltd0.10%$1.96M
Atlanta Braves Holdings Inc0.10%$1.92M
RLI Corp0.10%$1.91M
CAR Group Ltd0.09%$1.88M
Tencent Holdings Ltd0.09%$1.87M
Light & Wonder Inc0.09%$1.78M
Williams Cos Inc/The0.09%$1.76M
Laureate Education Inc0.08%$1.63M
APA Group0.08%$1.56M
Beijing Enterprises Holdings Ltd0.08%$1.51M
Japan Real Estate Investment Corp0.07%$1.48M
DNB Bank ASA0.07%$1.44M
Sodexo SA0.07%$1.44M
Colruyt Group N.V0.07%$1.43M
Sanofi SA0.07%$1.42M
Obic Co Ltd0.07%$1.41M
Samsung SDS Co Ltd0.07%$1.39M
Israel Discount Bank Ltd0.07%$1.35M
Toho Co Ltd/Tokyo0.07%$1.33M
Walmart Inc0.07%$1.33M
Tyler Technologies Inc0.06%$1.29M
Marsh & McLennan Cos Inc0.06%$1.27M
Phillips Edison & Co Inc0.06%$1.21M
Telkom Indonesia Persero Tbk PT0.06%$1.15M
CSL Ltd0.05%$1.08M
Japan Metropolitan Fund Invest0.05%$1.08M
Fuyao Glass Industry Group Co Ltd0.05%$999.53K
Equinor ASA0.05%$990.16K
GLP J-Reit0.05%$936.84K
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.05%$924.52K
Fox Corp0.05%$918.83K
Singapore Technologies Engineering Ltd0.05%$917.79K
Argenx SE0.04%$894.02K
First International Bank Of Israel Ltd/The0.04%$887.83K
InterDigital Inc0.04%$860.91K
Doral Group Renewable Energy Resources Ltd0.04%$859.18K
COMSYS Holdings Corp0.04%$853.47K
Enlight Renewable Energy Ltd0.04%$853.55K
PSP Swiss Property AG0.04%$828.07K
Storebrand ASA0.04%$794.27K
Washington H Soul Pattinson & Co Ltd0.04%$777.81K
Kangwon Land Inc0.04%$767.08K
Telenor ASA0.04%$761.04K
Cardinal Health Inc0.04%$753.78K
Logista Integral SA0.04%$736.79K
Tokai Carbon Korea Co Ltd0.04%$736.92K
Ensign Group Inc/The0.03%$674.14K
OPC Energy Ltd0.03%$658.23K
Softcat PLC0.03%$627.86K
KDX Realty Investment Corp0.03%$618.35K
Otsuka Corp0.03%$563.92K
Teledyne Technologies Inc0.03%$557.37K
CCC Intelligent Solutions Holdings Inc0.03%$555.30K
Nomura Real Estate Master Fund Inc0.03%$509.07K
SHO-BOND Holdings Co Ltd0.02%$493.99K
Kinaxis Inc0.02%$490.75K
Realty Income Corp0.02%$486.49K
Royal Bank of Canada0.02%$440.83K
Smiths Group PLC0.02%$438.44K
Carnival PLC0.02%$439.61K
AMETEK Inc0.02%$437.56K
Daiwa House REIT Investment Corp0.02%$428.66K
United Overseas Bank Ltd0.02%$407.25K
USS Co Ltd0.02%$400.70K
Seino Holdings Co Ltd0.02%$401.58K
Merit Medical Systems Inc0.02%$395.31K
City Holding Co0.02%$386.22K

VMVFX overview: performance, fees, allocation and SEC filings