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VANGUARD EXPLORER FUND (VEXPX) is an MF managed by Vanguard. Its largest position is APPLIED MATERIALS INC /DE (AMAT), representing 1.66% of fund assets.

VANGUARD EXPLORER FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
VEXPX
Type:
MF
Manager:
Vanguard
Total Assets:
—
Report Date:
Apr 30, 2026
Filing Date:
Jun 26, 2026
Showing 50 out of 719 holdings
Holding Weight Market Value Shares
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APPLIED MATERIALS INC /DE
1.66% $362,136,391.03 362,172,608
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Bloom Energy Corp
1.48% $321,236,164.48 1,133,668
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Credo Technology Group Holding Ltd
1.47% $320,542,776.94 1,842,094
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COMFORT SYSTEMS USA INC
1.19% $258,853,245.50 140,662
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Fabrinet
0.97% $210,107,563.11 307,413
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MACOM Technology Solutions Holdings, Inc.
0.94% $204,486,032.52 726,132
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Permian Resources Corp
0.91% $198,574,792.26 9,184,773
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Guidewire Software, Inc.
0.89% $192,699,771.60 1,392,440
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Viper Energy, Inc.
0.85% $185,385,111.90 3,754,255
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Sandisk Corp
0.85% $184,363,901.87 168,137
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WINTRUST FINANCIAL CORP
0.83% $181,305,854.10 1,204,130
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RBC Bearings INC
0.81% $176,868,741.61 295,229
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Primoris Services Corp
0.81% $176,146,274.70 972,378
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KIRBY CORP
0.79% $172,603,895.10 1,146,565
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CLEAN HARBORS INC
0.77% $167,797,845.92 536,644
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BWX Technologies, Inc.
0.76% $166,398,283.86 768,974
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APPLIED INDUSTRIAL TECHNOLOGIES INC
0.76% $165,201,311.25 540,315
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AAON, INC.
0.74% $160,752,975.04 1,722,784
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WESCO INTERNATIONAL INC
0.73% $158,616,387.84 454,332
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RYDER SYSTEM INC
0.73% $157,912,442.82 622,266
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SOMNIGROUP INTERNATIONAL INC.
0.72% $157,553,102.98 2,076,893
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UMB FINANCIAL CORP
0.72% $156,225,965.06 1,238,218
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HOULIHAN LOKEY, INC.
0.69% $149,955,380.75 969,017
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Nextpower Inc.
0.64% $140,185,036.20 1,176,740
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LATTICE SEMICONDUCTOR CORP
0.63% $136,763,821.44 1,118,448
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METHANEX CORP
0.63% $136,257,856.62 2,079,003
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HA Sustainable Infrastructure Capital, Inc.
0.62% $135,315,052.65 3,225,627
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Burlington Stores, Inc.
0.62% $134,942,136.81 421,681
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Chord Energy Corp
0.62% $134,692,521.60 925,086
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US Foods Holding Corp.
0.61% $133,264,292.11 1,425,439
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APPLIED MATERIALS INC /DE
0.61% $132,085,417.34 1,320,986
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BIO-TECHNE Corp
0.61% $131,811,683.16 2,382,713
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Everpure, Inc.
0.59% $127,772,105.85 1,788,273
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PROCORE TECHNOLOGIES, INC.
0.58% $126,372,618.18 2,233,521
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CareTrust REIT, Inc.
0.58% $126,014,306.55 3,194,279
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VALVOLINE INC
0.57% $124,892,529.21 3,758,427
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Ally Financial Inc.
0.57% $124,614,049.45 2,807,255
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Unity Software Inc.
0.56% $121,781,167.02 4,609,431
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Voya Financial, Inc.
0.56% $121,561,596.72 1,483,182
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Shake Shack Inc.
0.55% $120,664,580.50 1,177,675
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COLUMBIA BANKING SYSTEM, INC.
0.55% $119,916,023.20 4,051,217
-
Phillips Edison & Company, Inc.
0.55% $119,789,983.76 2,982,447
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NEW YORK TIMES CO
0.55% $119,684,770.66 1,514,422
-
NISOURCE INC.
0.55% $119,151,467.28 2,467,926
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DICK'S SPORTING GOODS, INC.
0.55% $119,005,470.96 524,438
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ICON PLC
0.54% $117,996,309.40 997,180
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First American Financial Corp
0.54% $116,920,736.00 1,667,200
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LITTELFUSE INC /DE
0.53% $116,345,588.71 287,863
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POWER INTEGRATIONS INC
0.52% $113,934,170.57 1,566,967
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IDACORP INC
0.51% $110,944,318.82 750,943
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