VQNPX Holdings — Vanguard Growth And Income Fund

All 500 reported holdings of Vanguard Growth And Income Fund (VQNPX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp6.40%$1.06B
Vanguard Cmt Funds-Vanguard Market Liquidity Fund5.69%$939.38M
Apple Inc5.52%$911.22M
Microsoft Corp3.79%$625.22M
Broadcom Inc3.18%$524.89M
Amazon.com Inc2.97%$490.82M
Alphabet Inc2.96%$488.79M
Meta Platforms Inc2.18%$360.28M
Exxon Mobil Corp1.87%$308.89M
Eli Lilly & Co1.75%$288.93M
Tesla Inc1.39%$229.22M
Mastercard Inc1.27%$210.14M
Alphabet Inc1.22%$201.82M
Wells Fargo & Co1.16%$190.80M
Micron Technology Inc1.13%$186.12M
Sempra1.06%$175.07M
AT&T Inc0.94%$154.39M
Carnival Corp0.91%$150.92M
American International Group Inc0.81%$134.23M
Welltower Inc0.77%$126.53M
AbbVie Inc0.76%$126.19M
KLA Corp0.76%$125.23M
Merck & Co Inc0.76%$124.72M
Philip Morris International Inc0.75%$123.10M
Booking Holdings Inc0.74%$122.87M
Northrop Grumman Corp0.71%$116.86M
Linde PLC0.66%$109.19M
Palantir Technologies Inc0.60%$99.24M
General Dynamics Corp0.58%$96.41M
BlackRock Funding Inc/DE0.58%$96.01M
Johnson & Johnson0.57%$94.82M
TE Connectivity PLC0.57%$93.27M
General Motors Co0.56%$92.90M
Bank of New York Mellon Corp/The0.56%$91.88M
O'Reilly Automotive Inc0.55%$91.15M
DoorDash Inc0.55%$90.41M
KKR & Co Inc0.54%$89.70M
Berkshire Hathaway Inc0.54%$88.64M
Boston Scientific Corp0.53%$87.75M
JPMorgan Chase & Co0.52%$86.03M
T-Mobile US Inc0.52%$85.84M
RTX Corp0.52%$85.10M
Newmont Corp0.51%$83.40M
Edwards Lifesciences Corp0.49%$81.31M
Valero Energy Corp0.49%$81.05M
Trane Technologies PLC0.49%$80.45M
HCA Healthcare Inc0.47%$78.21M
Costco Wholesale Corp0.46%$76.29M
Lockheed Martin Corp0.43%$71.64M
Hartford Financial Services Group Inc/The0.43%$71.39M
Taiwan Semiconductor Manufacturing Co Ltd0.43%$70.65M
Chevron Corp0.42%$69.31M
Walmart Inc0.41%$67.87M
VICI Properties Inc0.41%$67.26M
Shell PLC0.41%$66.83M
Allstate Corp/The0.40%$66.64M
Freeport-McMoRan Inc0.40%$65.95M
Marriott International Inc/MD0.40%$65.70M
Visa Inc0.39%$65.09M
Bristol-Myers Squibb Co0.39%$64.12M
Phillips 660.39%$63.94M
Clean Harbors Inc0.38%$62.88M
Applied Materials Inc0.37%$60.84M
UnitedHealth Group Inc0.36%$59.64M
Expand Energy Corp0.36%$58.95M
Netflix Inc0.36%$58.61M
Universal Health Services Inc0.35%$58.56M
Incyte Corp0.35%$57.93M
Marathon Petroleum Corp0.35%$57.52M
Amphenol Corp0.34%$55.97M
PNC Financial Services Group Inc/The0.33%$54.87M
CME Group Inc0.33%$54.76M
Walt Disney Co/The0.33%$53.70M
Expedia Group Inc0.32%$53.48M
Howmet Aerospace Inc0.31%$51.31M
Flex Ltd0.31%$51.01M
Verizon Communications Inc0.31%$50.41M
Vertex Pharmaceuticals Inc0.30%$49.61M
Capital One Financial Corp0.30%$48.85M
Charles Schwab Corp/The0.29%$48.18M
Shopify Inc0.29%$47.42M
James Hardie Industries PLC0.29%$47.23M
Intercontinental Exchange Inc0.28%$46.98M
US Bancorp0.28%$45.71M
IDEXX Laboratories Inc0.27%$44.63M
Morgan Stanley0.27%$44.07M
IDEX Corp0.27%$44.02M
Vanguard S&P 500 ETF0.27%$43.90M
Danaher Corp0.26%$43.30M
Ferguson Enterprises Inc0.25%$42.00M
Oracle Corp0.25%$41.55M
Texas Instruments Inc0.25%$41.53M
Lam Research Corp0.25%$41.19M
Icon PLC0.25%$40.85M
JB Hunt Transport Services Inc0.25%$40.57M
Celestica Inc0.25%$40.57M
Autodesk Inc0.25%$40.57M
Halliburton Co0.24%$38.91M
WESCO International Inc0.24%$38.81M
Cardinal Health Inc0.24%$38.82M
General Electric Co0.23%$38.06M
GE Vernova Inc0.23%$37.47M
First Solar Inc0.22%$36.85M
Pool Corp0.22%$36.60M
Procter & Gamble Co/The0.22%$36.51M
Arista Networks Inc0.22%$36.47M
Eaton Corp PLC0.22%$36.28M
Monster Beverage Corp0.22%$35.99M
Dell Technologies Inc0.22%$35.66M
Advanced Micro Devices Inc0.20%$33.74M
Marsh & McLennan Cos Inc0.20%$33.58M
EQT Corp0.20%$32.68M
Invesco Ltd0.20%$32.61M
Snowflake Inc0.20%$32.58M
Sysco Corp0.19%$31.49M
Eversource Energy0.19%$31.48M
Roper Technologies Inc0.19%$30.57M
Regal Rexnord Corp0.18%$30.35M
Samsara Inc0.18%$30.12M
Amgen Inc0.18%$30.09M
TJX Cos Inc/The0.18%$29.85M
Axon Enterprise Inc0.18%$29.71M
Sandisk Corp/DE0.18%$29.54M
Rockwell Automation Inc0.18%$29.38M
Synchrony Financial0.18%$29.19M
Nucor Corp0.18%$28.90M
Coca-Cola Co/The0.17%$28.04M
Progressive Corp/The0.17%$27.95M
Altria Group Inc0.17%$27.73M
Waste Connections Inc0.17%$27.44M
State Street SPDR S&P 500 ETF Trust0.17%$27.26M
Johnson Controls International plc0.16%$26.93M
Salesforce Inc0.16%$26.49M
NRG Energy Inc0.16%$26.06M
Edison International0.16%$26.00M
Consolidated Edison Inc0.16%$25.76M
Medtronic PLC0.16%$25.65M
United Airlines Holdings Inc0.15%$25.04M
AMETEK Inc0.15%$25.01M
SoFi Technologies Inc0.14%$23.24M
Las Vegas Sands Corp0.14%$22.94M
CVS Health Corp0.14%$22.87M
3M Co0.14%$22.83M
Home Depot Inc/The0.14%$22.62M
Travelers Cos Inc/The0.14%$22.62M
Tapestry Inc0.13%$22.25M
Paramount Skydance Corp0.13%$21.85M
Trimble Inc0.13%$21.42M
PG&E Corp0.13%$21.01M
Fiserv Inc0.13%$20.70M
KeyCorp0.12%$20.63M
Domino's Pizza Inc0.12%$20.39M
United Parcel Service Inc0.12%$20.33M
Ameriprise Financial Inc0.12%$20.26M
Public Service Enterprise Group Inc0.12%$20.15M
Centene Corp0.12%$19.58M
ConocoPhillips0.12%$19.54M
Dollar Tree Inc0.12%$19.53M
Best Buy Co Inc0.12%$19.30M
Bloom Energy Corp0.12%$19.05M
Coupang Inc0.11%$18.74M
Spotify Technology SA0.11%$18.44M
CF Industries Holdings Inc0.11%$18.25M
Carrier Global Corp0.11%$18.14M
Raymond James Financial Inc0.11%$18.02M
PPG Industries Inc0.10%$16.82M
Lululemon Athletica Inc0.10%$16.77M
Cisco Systems Inc0.10%$16.58M
Insulet Corp0.10%$16.48M
Caterpillar Inc0.10%$16.44M
Colgate-Palmolive Co0.10%$16.30M
Kinder Morgan Inc0.10%$16.29M
American Tower Corp0.10%$16.03M
Nasdaq Inc0.09%$15.43M
Honeywell International Inc0.09%$15.40M
McDonald's Corp0.09%$14.97M
Citizens Financial Group Inc0.09%$14.96M
Kroger Co/The0.09%$14.78M
ServiceNow Inc0.09%$14.61M
International Business Machines Corp0.09%$14.22M
Celanese Corp0.08%$13.77M
Williams Cos Inc/The0.08%$13.49M
Comfort Systems USA Inc0.08%$13.40M
Otis Worldwide Corp0.08%$13.10M
Cheniere Energy Inc0.08%$13.11M
Chipotle Mexican Grill Inc0.08%$12.88M
Republic Services Inc0.08%$12.77M
Intel Corp0.08%$12.76M
Globe Life Inc0.08%$12.76M
Alnylam Pharmaceuticals Inc0.08%$12.56M
PepsiCo Inc0.08%$12.41M
Adobe Inc0.07%$12.04M
Cummins Inc0.07%$12.01M
Western Digital Corp0.07%$11.87M
Royal Caribbean Cruises Ltd0.07%$11.83M
Coherent Corp0.07%$11.79M
AppLovin Corp0.07%$11.67M
Dollar General Corp0.07%$11.45M
Digital Realty Trust Inc0.07%$11.17M
McKesson Corp0.07%$11.06M
Moody's Corp0.07%$10.78M
Skyworks Solutions Inc0.06%$10.68M
Brinker International Inc0.06%$10.62M
Crh PLC0.06%$10.50M
Seagate Technology Holdings PLC0.06%$10.33M
PTC Therapeutics Inc0.06%$10.12M
Fifth Third Bancorp0.06%$10.02M
Steel Dynamics Inc0.06%$10.00M
Pilgrim's Pride Corp0.06%$9.96M
GoDaddy Inc0.06%$9.95M
Williams-Sonoma Inc0.06%$9.81M
State Street Corp0.06%$9.76M
Stryker Corp0.06%$9.71M
United Natural Foods Inc0.06%$9.71M
Virtu Financial Inc0.06%$9.50M
CNX Resources Corp0.06%$9.48M
Blackstone Inc0.06%$9.37M
CH Robinson Worldwide Inc0.06%$9.35M
Ventas Inc0.06%$9.26M
Parker-Hannifin Corp0.06%$9.18M
NXP Semiconductors NV0.06%$9.08M
Devon Energy Corp0.05%$8.92M
Truist Financial Corp0.05%$8.88M
ATI Inc0.05%$8.74M
Constellation Energy Corp0.05%$8.68M
FactSet Research Systems Inc0.05%$8.67M
Bank of America Corp0.05%$8.67M
Bath & Body Works Inc0.05%$8.66M
Leidos Holdings Inc0.05%$8.61M
Intuitive Surgical Inc0.05%$8.57M
ROBLOX Corp0.05%$8.48M
Deckers Outdoor Corp0.05%$8.44M
Packaging Corp of America0.05%$8.40M
KBR Inc0.05%$8.28M
Accenture PLC0.05%$8.22M
Peloton Interactive Inc0.05%$8.12M
Agilent Technologies Inc0.05%$8.10M
FedEx Corp0.05%$7.97M
Cintas Corp0.05%$7.97M
Regeneron Pharmaceuticals Inc0.05%$7.90M
M&T Bank Corp0.05%$7.87M
CarMax Inc0.05%$7.80M
Yum! Brands Inc0.05%$7.76M
Teradyne Inc0.05%$7.65M
Aptiv Holdings Ltd0.05%$7.47M
Vita Coco Co Inc/The0.04%$7.35M
Unity Software Inc0.04%$7.26M
Adient PLC0.04%$7.16M
Antero Resources Corp0.04%$7.16M
Corteva Inc0.04%$7.01M
Gilead Sciences Inc0.04%$6.87M
Fluor Corp0.04%$6.82M
Sherwin-Williams Co/The0.04%$6.63M
Medpace Holdings Inc0.04%$6.63M
PACCAR Inc0.04%$6.62M
Expeditors International of Washington Inc0.04%$6.28M
Zions Bancorp NA0.04%$6.08M
Southern Co/The0.04%$5.97M
Take-Two Interactive Software Inc0.04%$5.96M
Realty Income Corp0.04%$5.95M
Analog Devices Inc0.04%$5.92M
FMC Corp0.04%$5.93M
Elastic NV0.04%$5.91M
Vistra Corp0.03%$5.67M
Comcast Corp0.03%$5.51M
Remitly Global Inc0.03%$5.41M
Thermo Fisher Scientific Inc0.03%$5.36M
Omega Healthcare Investors Inc0.03%$5.23M
Tyson Foods Inc0.03%$5.13M
Amer Sports Inc0.03%$5.02M
Range Resources Corp0.03%$4.82M
Plexus Corp0.03%$4.51M
Pfizer Inc0.03%$4.46M
Garmin Ltd0.03%$4.43M
Fortinet Inc0.03%$4.42M
Avantor Inc0.03%$4.37M
American Express Co0.03%$4.32M
Bridgebio Pharma Inc0.03%$4.26M
Baker Hughes Co0.02%$4.07M
Axalta Coating Systems Ltd0.02%$3.98M
Inspire Medical Systems Inc0.02%$3.93M
Xylem Inc/NY0.02%$3.77M
Lumen Technologies Inc0.02%$3.75M
Motorola Solutions Inc0.02%$3.68M
Regions Financial Corp0.02%$3.69M
Bank OZK0.02%$3.55M
Match Group Inc0.02%$3.54M
Fox Corp0.02%$3.50M
Agios Pharmaceuticals Inc0.02%$3.44M
General Mills Inc0.02%$3.36M
Cytokinetics Inc0.02%$3.35M
Viking Holdings Ltd0.02%$3.36M
TELUS Corp0.02%$3.36M
Albemarle Corp0.02%$3.23M
DTE Energy Co0.02%$3.23M
Axsome Therapeutics Inc0.02%$3.19M
Kemper Corp0.02%$3.13M
Oscar Health Inc0.02%$3.10M
West Pharmaceutical Services Inc0.02%$3.10M
Greenbrier Cos Inc/The0.02%$3.03M
Everus Construction Group Inc0.02%$2.98M
REX American Resources Corp0.02%$2.93M
Coca-Cola Europacific Partners PLC0.02%$2.93M
New York Times Co/The0.02%$2.90M
Rigetti Computing Inc0.02%$2.86M
Minerals Technologies Inc0.02%$2.84M
Align Technology Inc0.02%$2.83M
Primoris Services Corp0.02%$2.82M
Cognizant Technology Solutions Corp0.02%$2.80M
Southwest Airlines Co0.02%$2.75M
Ford Motor Co0.02%$2.76M
FirstEnergy Corp0.02%$2.76M
ExlService Holdings Inc0.02%$2.73M
Gen Digital Inc0.02%$2.69M
DuPont de Nemours Inc0.02%$2.65M
NextEra Energy Inc0.02%$2.59M
S&P Global Inc0.02%$2.59M
BellRing Brands Inc0.02%$2.56M
Avista Corp0.02%$2.51M
Everpure Inc0.02%$2.51M
Union Pacific Corp0.01%$2.47M
UBS Group AG0.01%$2.45M
ON Semiconductor Corp0.01%$2.45M
Toast Inc0.01%$2.41M
CSX Corp0.01%$2.42M
Sanmina Corp0.01%$2.32M
Zoom Video Communications Inc0.01%$2.32M
Tandem Diabetes Care Inc0.01%$2.26M
Pitney Bowes Inc0.01%$2.22M
Vulcan Materials Co0.01%$2.21M
Eastman Chemical Co0.01%$2.20M
Abbott Laboratories0.01%$2.18M
TG Therapeutics Inc0.01%$2.18M
Graphic Packaging Holding Co0.01%$2.14M
Humana Inc0.01%$2.14M
Figma Inc0.01%$2.15M
Liberty Energy Inc0.01%$2.15M
American Superconductor Corp0.01%$2.13M
Waters Corp0.01%$2.11M
Innovative Industrial Properties Inc0.01%$2.10M
Occidental Petroleum Corp0.01%$2.08M
CMS Energy Corp0.01%$2.06M
Planet Labs PBC0.01%$2.03M
Commvault Systems Inc0.01%$2.03M
Molson Coors Beverage Co0.01%$2.04M
Ecolab Inc0.01%$2.01M
Rush Street Interactive Inc0.01%$2.01M
ProPetro Holding Corp0.01%$1.99M
Teleflex Inc0.01%$1.95M
Ionis Pharmaceuticals Inc0.01%$1.89M
Blue Bird Corp0.01%$1.88M
DaVita Inc0.01%$1.88M
Equinix Inc0.01%$1.88M
Coca-Cola Consolidated Inc0.01%$1.84M
Smithfield Foods Inc0.01%$1.80M
Super Micro Computer Inc0.01%$1.77M
Snap-on Inc0.01%$1.76M
Trinity Industries Inc0.01%$1.76M
Mirum Pharmaceuticals Inc0.01%$1.77M
Vistance Networks Inc0.01%$1.73M
AvePoint Inc0.01%$1.71M
Warner Bros Discovery Inc0.01%$1.72M
Automatic Data Processing Inc0.01%$1.71M
Deere & Co0.01%$1.69M
Archrock Inc0.01%$1.67M
Wabash National Corp0.01%$1.63M
American Electric Power Co Inc0.01%$1.61M
DENTSPLY SIRONA Inc0.01%$1.61M
Delek US Holdings Inc0.01%$1.60M
Robinhood Markets Inc0.01%$1.57M
CDW Corp/DE0.01%$1.56M
PayPal Holdings Inc0.01%$1.57M
Waste Management Inc0.01%$1.55M
News Corp0.01%$1.52M
Liquidia Corp0.01%$1.52M
Emerson Electric Co0.01%$1.52M
Leggett & Platt Inc0.01%$1.49M
AerCap Holdings NV0.01%$1.50M
GFL Environmental Inc0.01%$1.51M
Illinois Tool Works Inc0.01%$1.51M
Tarsus Pharmaceuticals Inc0.01%$1.50M
Porch Group Inc0.01%$1.51M
WEC Energy Group Inc0.01%$1.46M
Ross Stores Inc0.01%$1.45M
Aflac Inc0.01%$1.45M
Transocean Ltd0.01%$1.44M
Hasbro Inc0.01%$1.44M
Crown Holdings Inc0.01%$1.43M
Capri Holdings Ltd0.01%$1.42M
Constellium SE0.01%$1.35M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.01%$1.36M
Clear Secure Inc0.01%$1.34M
American Eagle Outfitters Inc0.01%$1.34M
Guidewire Software Inc0.01%$1.32M
Equitable Holdings Inc0.01%$1.32M
Payoneer Global Inc0.01%$1.32M
Exelixis Inc0.01%$1.32M
Arcutis Biotherapeutics Inc0.01%$1.31M
Aurora Innovation Inc0.01%$1.28M
Magna International Inc0.01%$1.27M
Steris PLC0.01%$1.26M
PagerDuty Inc0.01%$1.24M
Rayonier Advanced Materials Inc0.01%$1.23M
USA TODAY Co Inc0.01%$1.23M
Carpenter Technology Corp0.01%$1.18M
Verra Mobility Corp0.01%$1.19M
Fluence Energy Inc0.01%$1.18M
Woodward Inc0.01%$1.18M
Kyndryl Holdings Inc0.01%$1.18M
Diebold Nixdorf Inc0.01%$1.17M
RealReal Inc/The0.01%$1.16M
Gap Inc/The0.01%$1.13M
ATN International Inc0.01%$1.09M
Granite Construction Inc0.01%$1.08M
FS KKR Capital Corp0.01%$1.07M
Griffon Corp0.01%$1.08M
Fidelity National Information Services Inc0.01%$1.06M
Onto Innovation Inc0.01%$1.03M
Orion SA0.01%$1.01M
Nomad Foods Ltd0.01%$972.53K
UGI Corp0.01%$951.98K
Otter Tail Corp0.01%$947.92K
Kiniksa Pharmaceuticals International Plc0.01%$919.66K
Delta Air Lines Inc0.01%$917.42K
QuinStreet Inc0.01%$921.17K
DXC Technology Co0.01%$931.44K
Photronics Inc0.01%$905.18K
Teck Resources Ltd0.01%$905.62K
ACADIA Pharmaceuticals Inc0.01%$893.47K
Moderna Inc0.01%$878.84K
Select Medical Holdings Corp0.01%$879.66K
Chubb Ltd0.01%$860.46K
Mativ Holdings Inc0.01%$860.43K
Charles River Laboratories International Inc0.01%$845.25K
Fidelity National Financial Inc0.01%$827.88K
Brookfield Infrastructure Corp0.01%$822.02K
Life Time Group Holdings Inc0.01%$827.06K
Abercrombie & Fitch Co0.01%$831.47K
Centuri Holdings Inc0.00%$803.27K
Syndax Pharmaceuticals Inc0.00%$796.65K
Cogent Biosciences Inc0.00%$796.74K
TriNet Group Inc0.00%$790.53K
Amkor Technology Inc0.00%$774.52K
Atmus Filtration Technologies Inc0.00%$783.43K
Clearway Energy Inc0.00%$781.87K
Albany International Corp0.00%$762.27K
Navitas Semiconductor Corp0.00%$734.93K
Rithm Capital Corp0.00%$739.44K
California Resources Corp0.00%$726.81K
Oil States International Inc0.00%$727.51K
Mosaic Co/The0.00%$719.10K
Equity Residential0.00%$729.32K
Apellis Pharmaceuticals Inc0.00%$716.09K
Intapp Inc0.00%$696.20K
AES Corp/The0.00%$699.36K
Jefferies Financial Group Inc0.00%$697.46K
WW Grainger Inc0.00%$698.12K
Arlo Technologies Inc0.00%$678.49K
MongoDB Inc0.00%$655.98K
Interface Inc0.00%$652.90K
AnaptysBio Inc0.00%$665.52K
Zevra Therapeutics Inc0.00%$664.52K
Extreme Networks Inc0.00%$662.01K
Alliant Energy Corp0.00%$638.66K
F&G Annuities & Life Inc0.00%$645.66K
NeoGenomics Inc0.00%$642.57K
Rigel Pharmaceuticals Inc0.00%$646.26K
Alight Inc0.00%$642.88K
Generac Holdings Inc0.00%$644.59K
Embecta Corp0.00%$648.63K
ADT Inc0.00%$645.17K
Host Hotels & Resorts Inc0.00%$649.52K
Under Armour Inc0.00%$624.69K
EOG Resources Inc0.00%$621.65K
Novavax Inc0.00%$632.79K
CBRE Group Inc0.00%$609.57K
Myriad Genetics Inc0.00%$607.50K
Valaris Ltd0.00%$606.87K
Pinnacle West Capital Corp0.00%$602.79K
ADMA Biologics Inc0.00%$603.67K
Guardant Health Inc0.00%$591.17K
U-Haul Holding Co0.00%$594.11K
Westinghouse Air Brake Technologies Corp0.00%$574.79K
Avnet Inc0.00%$585.39K
ACI Worldwide Inc0.00%$581.64K
Resideo Technologies Inc0.00%$576.44K
Travere Therapeutics Inc0.00%$561.52K
Corebridge Financial Inc0.00%$553.55K
Coinbase Global Inc0.00%$558.75K
Amneal Pharmaceuticals Inc0.00%$534.49K
Laureate Education Inc0.00%$515.63K
Veralto Corp0.00%$503.99K
Conagra Brands Inc0.00%$492.04K
Arvinas Inc0.00%$488.66K
Baytex Energy Corp0.00%$488.57K
Huntington Bancshares Inc/OH0.00%$499.24K
Ambarella Inc0.00%$473.57K
Xperi Inc0.00%$482.10K
NMI Holdings Inc0.00%$472.63K
Sabra Health Care REIT Inc0.00%$474.98K

VQNPX overview: performance, fees, allocation and SEC filings