VPX Holdings — S000097842

All 90 reported holdings of S000097842 (VPX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Vanguard Total Stock Market ETF19.97%$8.50M
Broadcom Inc4.45%$1.89M
NVIDIA Corp3.76%$1.60M
Exxon Mobil Corp3.61%$1.54M
Eli Lilly & Co3.30%$1.41M
Micron Technology Inc3.28%$1.39M
JPMorgan Chase & Co.2.96%$1.26M
Advanced Micro Devices Inc2.39%$1.02M
Amazon.com Inc2.33%$992.44K
Visa Inc2.23%$948.73K
Chevron Corp2.16%$919.42K
Johnson & Johnson1.88%$799.70K
Mastercard Inc1.61%$685.64K
Caterpillar Inc1.50%$638.51K
Microsoft Corp1.47%$624.03K
Bank of America Corp1.39%$591.08K
AbbVie Inc1.32%$561.50K
Ge Aerospace1.23%$525.14K
Lam Research Corp1.23%$524.68K
Taiwan Semiconductor Manufacturing Co Ltd1.21%$515.95K
Morgan Stanley1.18%$501.49K
UnitedHealth Group Inc1.18%$500.49K
Goldman Sachs Group Inc/The1.14%$483.04K
Alphabet Inc1.14%$485.69K
Applied Materials Inc1.12%$477.51K
GE Vernova Inc1.08%$460.92K
Enterprise Products Partners LP1.06%$449.72K
Merck & Co Inc1.01%$428.34K
Wells Fargo & Co0.90%$382.81K
ConocoPhillips0.84%$355.28K
Citigroup Inc0.83%$352.14K
American Express Co0.79%$334.19K
Texas Instruments Inc0.75%$320.05K
QUALCOMM Inc0.74%$315.28K
Builders FirstSource Inc0.72%$306.18K
Boeing Co/The0.72%$307.89K
Kla Corp.0.70%$297.87K
Charles Schwab Corp/The0.61%$259.25K
Blackrock Inc0.60%$253.34K
Uber Technologies Inc0.60%$254.64K
Gilead Sciences Inc0.59%$249.50K
Eaton Corp PLC0.58%$247.97K
Union Pacific Corp0.58%$246.62K
Intuitive Surgical Inc0.55%$235.25K
Analog Devices Inc0.55%$233.00K
Williams Cos Inc/The0.54%$229.73K
Deere & Co0.54%$230.97K
SLB Ltd0.52%$219.45K
Abbott Laboratories0.52%$222.65K
Valero Energy Corp0.49%$206.63K
Marathon Petroleum Corp0.48%$204.74K
EOG Resources Inc0.48%$202.47K
Phillips 660.47%$200.68K
Vertiv Holdings Co0.46%$196.37K
Baker Hughes Co0.46%$195.28K
S&P Global Inc0.45%$191.65K
Chubb Ltd0.44%$188.28K
Capital One Financial Corp0.42%$177.41K
Bristol-Myers Squibb Co0.42%$176.74K
Stryker Corp0.41%$176.04K
Progressive Corp/The0.40%$170.41K
CVS Health Corp0.40%$168.77K
Meta Platforms Inc0.39%$164.45K
Vertex Pharmaceuticals Inc0.39%$167.38K
Devon Energy Corp0.38%$159.63K
HCA Healthcare Inc0.37%$158.99K
CME Group Inc0.37%$156.74K
Monolithic Power Systems Inc0.36%$153.49K
Bank of New York Mellon Corp/The0.35%$147.10K
Cigna Group/The0.34%$143.14K
Blackstone Inc0.34%$142.82K
Medtronic PLC0.34%$142.90K
Occidental Petroleum Corp0.34%$144.07K
PNC Financial Services Group Inc/The0.32%$135.33K
US Bancorp0.31%$131.04K
KKR & Co Inc0.31%$132.11K
McKesson Corp0.31%$131.41K
Boston Scientific Corp0.30%$126.19K
Intercontinental Exchange Inc0.30%$128.93K
Oracle Corp0.27%$116.95K
First Solar Inc0.24%$101.85K
Targa Resources Corp0.23%$96.67K
NXP Semiconductors NV0.22%$95.12K
Home Depot Inc/The0.21%$88.48K
Teradyne Inc0.16%$68.12K
Microchip Technology Inc0.14%$58.59K
ON Semiconductor Corp0.14%$58.02K
McDonald's Corp0.14%$58.91K
TJX Cos Inc/The0.13%$54.32K
Netflix Inc0.09%$37.68K

VPX overview: performance, fees, allocation and SEC filings