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VANGUARD SMALL-CAP GROWTH INDEX FUND (VISGX) is an ETF managed by Vanguard. Its largest position is APPLIED MATERIALS INC /DE (AMAT), representing 1.89% of fund assets.

VANGUARD SMALL-CAP GROWTH INDEX FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
VISGX
Type:
ETF
Manager:
Vanguard
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 28, 2026
Showing 50 out of 559 holdings
Holding Weight Market Value Shares
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APPLIED MATERIALS INC /DE
1.89% $731,061,853.50 7,311,350
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TechnipFMC plc
0.92% $356,821,822.78 5,161,606
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CIENA CORP
0.92% $354,297,921.54 912,598
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CASEYS GENERAL STORES INC
0.90% $347,978,948.10 478,085
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Natera, Inc.
0.88% $341,816,508.32 1,709,168
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FTAI Aviation Ltd.
0.84% $324,240,840.00 1,323,432
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CURTISS WRIGHT CORP
0.84% $324,025,812.00 475,725
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Lumentum Holdings Inc.
0.84% $323,696,175.32 460,607
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COMFORT SYSTEMS USA INC
0.81% $312,919,031.81 226,919
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COHERENT CORP.
0.74% $288,117,377.10 1,209,510
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ROYAL GOLD INC
0.72% $278,396,536.11 1,093,939
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AST SpaceMobile, Inc.
0.72% $277,568,921.50 3,349,450
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Woodward, Inc.
0.71% $275,311,706.08 769,199
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MASTEC INC
0.68% $261,965,855.84 814,216
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SoFi Technologies, Inc.
0.68% $261,300,302.52 16,454,679
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ATI INC
0.66% $257,010,510.26 1,766,881
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EQT Corp
0.66% $256,326,837.32 4,027,763
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nVent Electric plc
0.64% $246,812,510.40 2,086,680
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TWILIO INC
0.64% $246,043,778.04 1,955,522
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Liberty Media Corp
0.63% $245,444,578.08 2,886,904
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BWX Technologies, Inc.
0.62% $241,246,055.05 1,179,745
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Fabrinet
0.62% $241,073,141.52 462,251
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CARPENTER TECHNOLOGY CORP
0.62% $240,619,903.70 610,478
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Everpure, Inc.
0.62% $238,955,957.28 4,047,357
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Revolution Medicines, Inc.
0.61% $236,177,654.50 2,428,562
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Rocket Lab Corp
0.61% $235,104,153.96 3,660,918
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Bloom Energy Corp
0.60% $232,926,549.58 1,719,142
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ENTEGRIS INC
0.59% $229,958,991.12 1,961,438
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RB GLOBAL INC.
0.59% $229,852,038.15 2,398,039
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INSMED Inc
0.59% $227,365,729.92 1,390,446
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RBC Bearings INC
0.57% $221,539,734.24 407,902
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Nextpower Inc.
0.57% $219,388,703.90 1,819,898
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PTC INC.
0.57% $218,702,343.89 1,534,861
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EMCOR Group, Inc.
0.55% $212,117,201.31 287,301
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INCYTE CORP
0.53% $205,393,652.36 2,182,253
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Astera Labs, Inc.
0.53% $204,556,782.40 1,866,394
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SUN COMMUNITIES INC
0.52% $200,128,019.12 1,588,822
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Credo Technology Group Holding Ltd
0.51% $196,855,246.35 2,097,105
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MACOM Technology Solutions Holdings, Inc.
0.50% $193,441,401.81 871,083
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Talen Energy Corp
0.49% $188,248,015.62 589,694
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LENNOX INTERNATIONAL INC
0.48% $187,566,072.12 404,124
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DECKERS OUTDOOR CORP
0.47% $183,309,630.32 1,831,448
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NORDSON CORP
0.47% $181,865,845.12 683,552
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GRACO INC
0.47% $180,480,148.75 2,132,075
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Rivian Automotive, Inc. / DE
0.47% $180,185,553.10 11,972,462
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Texas Pacific Land Corp
0.46% $179,391,272.96 378,016
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CLEAN HARBORS INC
0.46% $176,148,848.01 614,337
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LINCOLN ELECTRIC HOLDINGS INC
0.46% $176,118,988.24 707,078
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Okta, Inc.
0.44% $172,112,716.99 2,186,669
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NEUROCRINE BIOSCIENCES INC
0.44% $170,578,269.40 1,294,810
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