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VANGUARD FTSE SOCIAL INDEX FUND (VFTAX) is an MF managed by Vanguard. Its largest position is NVIDIA CORP (NVDA), representing 8.72% of fund assets.

VANGUARD FTSE SOCIAL INDEX FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
VFTAX
Type:
MF
Manager:
Vanguard
Total Assets:
—
Report Date:
Feb 28, 2026
Filing Date:
Apr 28, 2026
Showing 50 out of 399 holdings
Holding Weight Market Value Shares
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NVIDIA CORP
8.72% $2,169,285,607.71 12,242,709
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Apple Inc.
8.10% $2,014,674,721.92 7,626,144
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MICROSOFT CORP
6.13% $1,523,647,790.42 3,879,533
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AMAZON COM INC
4.24% $1,053,759,000.00 5,017,900
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Alphabet Inc.
3.81% $947,986,402.32 3,040,757
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Broadcom Inc.
3.10% $771,979,115.60 2,415,832
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Alphabet Inc.
3.10% $771,024,068.22 2,475,754
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Meta Platforms, Inc.
2.98% $740,301,934.32 1,142,124
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Tesla, Inc.
2.39% $594,097,917.33 1,475,983
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ELI LILLY & Co
1.77% $440,858,501.29 419,071
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JPMORGAN CHASE & CO
1.61% $400,216,116.30 1,332,721
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MICRON TECHNOLOGY INC
0.97% $241,017,893.90 584,470
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COSTCO WHOLESALE CORP /NEW
0.94% $234,688,254.57 232,183
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Mastercard Inc
0.88% $217,648,691.73 420,813
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AbbVie Inc.
0.86% $215,069,232.24 926,703
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VISA INC.
0.86% $214,671,477.70 670,555
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NETFLIX INC
0.86% $213,357,631.92 2,216,933
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PROCTER & GAMBLE Co
0.83% $205,436,132.00 1,228,685
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HOME DEPOT, INC.
0.80% $198,288,874.72 520,826
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ADVANCED MICRO DEVICES INC
0.68% $168,659,706.94 842,414
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COCA COLA CO
0.67% $165,914,245.60 2,034,260
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CISCO SYSTEMS, INC.
0.67% $165,437,070.82 2,082,017
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BANK OF AMERICA CORP /DE/
0.66% $165,236,429.49 3,316,003
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Merck & Co., Inc.
0.66% $163,195,998.20 1,318,010
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APPLIED MATERIALS INC /DE
0.63% $156,203,677.20 419,564
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LAM RESEARCH CORP
0.62% $153,616,613.10 656,790
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UNITEDHEALTH GROUP INC
0.56% $139,598,866.16 476,008
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ORACLE CORP
0.51% $128,032,115.40 880,551
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MCDONALDS CORP
0.51% $127,534,271.10 373,935
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GOLDMAN SACHS GROUP INC
0.51% $125,666,555.29 146,197
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LINDE PLC
0.50% $124,806,295.44 245,643
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PEPSICO INC
0.49% $121,672,178.10 716,815
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VERIZON COMMUNICATIONS INC
0.45% $110,772,998.36 2,209,274
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AMGEN INC
0.44% $109,211,533.12 281,357
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ABBOTT LABORATORIES
0.42% $105,387,153.95 905,777
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INTEL CORP
0.42% $105,276,637.12 2,308,192
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KLA CORP
0.42% $104,934,776.50 68,830
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THERMO FISHER SCIENTIFIC INC.
0.41% $102,942,674.95 197,545
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AT&T INC.
0.41% $101,263,096.48 3,615,248
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TEXAS INSTRUMENTS INC
0.41% $100,840,275.65 475,415
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Walt Disney Co
0.40% $100,451,267.84 947,296
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MORGAN STANLEY
0.40% $100,315,115.07 602,457
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APPLIED MATERIALS INC /DE
0.40% $100,303,120.18 100,313,152
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GILEAD SCIENCES, INC.
0.39% $97,035,413.85 651,463
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CITIGROUP INC
0.39% $96,378,014.07 874,653
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Salesforce, Inc.
0.38% $95,134,462.05 488,395
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TJX COMPANIES INC /DE/
0.38% $94,586,134.38 585,093
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INTUITIVE SURGICAL INC
0.37% $92,969,093.42 184,642
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AMERICAN EXPRESS CO
0.35% $87,264,250.00 282,500
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SCHWAB CHARLES CORP
0.34% $84,989,895.20 892,751
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