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VANGUARD CONSUMER DISCRETIONARY INDEX FUND (VCDAX) is an ETF managed by Vanguard. Its largest position is AMAZON COM INC (AMZN), representing 21.05% of fund assets.

VANGUARD CONSUMER DISCRETIONARY INDEX FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
VCDAX
Type:
ETF
Manager:
Vanguard
Total Assets:
—
Report Date:
Feb 28, 2026
Filing Date:
Apr 28, 2026
Showing 50 out of 289 holdings
Holding Weight Market Value Shares
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AMAZON COM INC
21.05% $1,414,356,510.00 6,735,031
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Tesla, Inc.
16.62% $1,117,086,003.00 2,775,300
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HOME DEPOT, INC.
5.31% $357,156,477.76 938,108
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MCDONALDS CORP
3.69% $247,835,000.66 726,661
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TJX COMPANIES INC /DE/
2.74% $183,913,468.96 1,137,656
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LOWES COMPANIES INC
2.26% $152,094,943.32 574,876
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Booking Holdings Inc.
2.09% $140,619,239.50 33,170
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STARBUCKS CORP
1.70% $114,518,824.42 1,168,321
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ROYAL CARIBBEAN CRUISES LTD
1.24% $83,419,373.44 268,264
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O REILLY AUTOMOTIVE INC
1.24% $83,120,319.32 885,389
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MARRIOTT INTERNATIONAL INC /MD/
1.23% $82,642,958.01 241,837
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MERCADOLIBRE INC
1.23% $82,557,047.76 46,972
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General Motors Co
1.17% $78,467,494.49 996,919
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Hilton Worldwide Holdings Inc.
1.15% $77,059,233.02 247,159
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NIKE, Inc.
1.14% $76,533,320.30 1,230,835
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ROSS STORES, INC.
1.05% $70,612,868.84 343,381
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DoorDash, Inc.
1.04% $69,819,649.62 395,646
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AUTOZONE INC
0.98% $65,876,628.78 17,541
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Airbnb, Inc.
0.92% $61,509,908.38 455,258
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FORD MOTOR CO
0.87% $58,327,288.07 4,139,623
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CHIPOTLE MEXICAN GRILL INC
0.79% $53,159,837.20 1,428,260
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YUM BRANDS INC
0.75% $50,077,879.84 297,799
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HORTON D R INC /DE/
0.69% $46,562,179.34 290,306
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GARMIN LTD
0.67% $45,173,641.76 178,672
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EBAY INC
0.67% $44,898,105.56 494,146
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CARVANA CO.
0.59% $39,408,491.28 117,933
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Carnival Corp Ltd.
0.55% $36,643,747.50 1,161,450
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TAPESTRY, INC.
0.54% $36,496,893.44 234,752
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Ulta Beauty, Inc.
0.51% $34,077,889.56 49,764
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PULTEGROUP INC/MI/
0.46% $30,649,656.80 223,394
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TRACTOR SUPPLY CO /DE/
0.45% $30,259,215.36 583,704
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WILLIAMS SONOMA INC
0.42% $28,340,626.50 137,810
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DARDEN RESTAURANTS INC
0.42% $28,261,560.60 132,156
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Expedia Group, Inc.
0.42% $28,138,054.64 130,456
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LENNAR CORP /NEW/
0.41% $27,603,645.00 241,375
-
NVR INC
0.35% $23,786,287.56 3,164
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lululemon athletica inc.
0.34% $23,181,061.96 125,188
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Burlington Stores, Inc.
0.34% $22,634,117.46 73,758
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DECKERS OUTDOOR CORP
0.32% $21,301,274.61 181,643
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SOMNIGROUP INTERNATIONAL INC.
0.31% $20,874,000.53 233,203
-
LAS VEGAS SANDS CORP
0.31% $20,691,512.72 364,801
-
Flutter Entertainment plc
0.29% $19,546,636.26 184,159
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GENUINE PARTS CO
0.29% $19,503,780.40 163,540
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Aptiv PLC
0.28% $19,143,638.64 260,316
-
Toll Brothers, Inc.
0.28% $18,718,006.84 119,041
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RALPH LAUREN CORP
0.26% $17,313,424.80 47,748
-
HASBRO, INC.
0.25% $17,077,394.43 171,477
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DICK'S SPORTING GOODS, INC.
0.25% $16,611,728.14 81,578
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BORGWARNER INC
0.24% $16,433,241.36 285,448
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FIVE BELOW, INC
0.24% $16,129,701.27 72,159
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