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VANGUARD MID-CAP GROWTH FUND (VMGRX) is an MF managed by Vanguard. Its largest position is APPLIED MATERIALS INC /DE (AMAT), representing 3.46% of fund assets.

VANGUARD MID-CAP GROWTH FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
VMGRX
Type:
MF
Manager:
Vanguard
Total Assets:
—
Report Date:
Apr 30, 2026
Filing Date:
Jun 26, 2026
Showing 50 out of 50 holdings
Holding Weight Market Value Shares
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APPLIED MATERIALS INC /DE
3.46% $97,837,719.85 1,770,695
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Bloom Energy Corp
3.44% $97,183,695.84 342,969
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Live Nation Entertainment, Inc.
3.13% $88,607,498.80 561,020
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Spotify Technology S.A.
2.87% $81,059,095.65 181,523
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Howmet Aerospace Inc.
2.82% $79,852,007.20 328,555
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DoorDash, Inc.
2.81% $79,610,220.60 472,044
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SEMTECH CORP
2.77% $78,238,823.85 744,777
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Affirm Holdings, Inc.
2.68% $75,702,684.56 1,177,702
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ROKU, INC
2.66% $75,317,575.20 646,170
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Coupang, Inc.
2.66% $75,285,239.40 3,768,030
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TKO Group Holdings, Inc.
2.61% $73,875,124.74 396,986
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Lumentum Holdings Inc.
2.60% $73,434,410.88 81,384
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Palo Alto Networks Inc
2.59% $73,392,806.88 409,284
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MKS INC
2.58% $73,093,716.25 257,599
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VARONIS SYSTEMS INC
2.57% $72,612,038.20 2,760,914
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WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP
2.44% $68,987,932.35 255,615
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Uber Technologies, Inc
2.44% $68,963,142.15 924,315
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APPLIED MATERIALS INC /DE
2.43% $68,773,295.98 687,802
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WYNDHAM HOTELS & RESORTS, INC.
2.38% $67,235,423.58 826,191
-
MongoDB, Inc.
2.36% $66,670,363.17 265,799
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Cencora, Inc.
2.31% $65,356,949.91 212,191
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Reddit, Inc.
2.31% $65,337,582.17 443,779
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ROYAL CARIBBEAN CRUISES LTD
2.24% $63,416,344.32 240,432
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Q2 Holdings, Inc.
2.21% $62,385,351.00 1,229,268
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Rocket Lab Corp
2.19% $61,812,036.46 749,146
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EMCOR Group, Inc.
2.14% $60,633,560.00 68,000
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Cloudflare, Inc.
2.12% $59,930,358.42 292,386
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Wingstop Inc.
2.10% $59,328,525.62 361,627
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FTAI Aviation Ltd.
2.06% $58,382,083.79 233,837
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Talen Energy Corp
2.06% $58,315,013.28 156,584
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CHIPOTLE MEXICAN GRILL INC
2.04% $57,821,816.58 1,701,142
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Grab Holdings Ltd
1.91% $53,936,157.66 14,119,413
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ROLLINS INC
1.86% $52,613,299.75 944,075
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STARBUCKS CORP
1.83% $51,651,093.42 490,374
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Targa Resources Corp.
1.82% $51,483,096.08 197,951
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CARVANA CO.
1.79% $50,499,726.20 127,589
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BWX Technologies, Inc.
1.61% $45,627,562.62 210,858
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FirstCash Holdings, Inc.
1.58% $44,802,529.98 205,309
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Norwegian Cruise Line Holdings Ltd.
1.43% $40,434,828.84 2,224,138
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IDEXX LABORATORIES INC /DE
1.27% $35,969,712.00 64,140
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COSTAR GROUP, INC.
1.26% $35,734,409.68 1,032,488
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VALERO ENERGY CORP/TX
1.26% $35,545,583.40 140,730
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Ondas Inc.
1.21% $34,171,330.76 3,403,519
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APPLIED MATERIALS INC /DE
1.15% $32,531,098.46 32,534,352
-
ALNYLAM PHARMACEUTICALS, INC.
1.03% $29,082,775.30 93,970
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SoFi Technologies, Inc.
0.91% $25,702,217.10 1,596,411
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INSMED Inc
0.83% $23,525,377.46 172,562
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Alphatec Holdings, Inc.
0.77% $21,779,888.96 2,231,546
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INSULET CORP
0.65% $18,343,582.68 106,562
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CONTRA CYBERARK SOFTWA
0.24% $6,833,700.00 151,860
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