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VANGUARD STRATEGIC EQUITY FUND (VSEQX) is an MF managed by Vanguard. Its largest position is STATE STREET CORP (STT), representing 0.88% of fund assets.

VANGUARD STRATEGIC EQUITY FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
VSEQX
Type:
MF
Manager:
Vanguard
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 28, 2026
Showing 50 out of 612 holdings
Holding Weight Market Value Shares
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STATE STREET CORP
0.88% $88,750,706.24 701,254
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EDISON INTERNATIONAL
0.84% $85,283,972.00 1,165,400
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EMCOR Group, Inc.
0.83% $84,092,770.69 113,899
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CF Industries Holdings, Inc.
0.76% $76,971,359.28 592,817
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CMS ENERGY CORP
0.73% $73,804,646.88 951,336
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CIRRUS LOGIC, INC.
0.69% $69,595,916.46 481,233
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ROKU, INC
0.67% $67,822,196.70 716,785
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RANGE RESOURCES CORP
0.67% $67,373,816.58 1,491,231
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BWX Technologies, Inc.
0.66% $66,642,882.02 325,898
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Allison Transmission Holdings Inc
0.64% $64,714,162.74 552,829
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POPULAR, INC.
0.63% $64,059,063.99 477,447
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NATIONAL FUEL GAS CO
0.63% $63,512,543.88 675,953
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EnerSys
0.62% $62,778,238.72 361,376
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Brixmor Property Group Inc.
0.62% $62,481,772.80 2,169,506
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GLOBE LIFE INC.
0.59% $59,636,989.23 428,519
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TAPESTRY, INC.
0.59% $59,494,798.20 421,620
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OMEGA HEALTHCARE INVESTORS INC
0.58% $58,699,256.28 1,339,554
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Expedia Group, Inc.
0.58% $58,651,601.36 254,024
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CURTISS WRIGHT CORP
0.58% $58,302,509.76 85,598
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APPLIED INDUSTRIAL TECHNOLOGIES INC
0.58% $58,280,191.20 219,660
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TERADYNE, INC
0.58% $58,266,248.40 196,540
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CITIZENS FINANCIAL GROUP INC/RI
0.57% $57,914,708.16 965,728
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EBAY INC
0.57% $57,905,831.76 636,188
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Alcoa Corp
0.57% $57,471,429.51 866,447
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FEDERATED HERMES, INC.
0.56% $56,756,672.33 1,000,823
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FIRST INDUSTRIAL REALTY TRUST INC
0.54% $54,993,771.95 950,627
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Primoris Services Corp
0.53% $53,814,794.88 376,222
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SS&C Technologies Holdings Inc
0.53% $53,564,563.39 792,727
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MGIC INVESTMENT CORP
0.52% $52,836,288.75 2,012,811
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UNIVERSAL HEALTH SERVICES INC
0.52% $52,608,052.53 293,949
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APPLIED MATERIALS INC /DE
0.52% $52,446,307.14 52,451,552
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NetApp, Inc.
0.51% $51,778,008.66 505,694
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CNO Financial Group, Inc.
0.51% $51,733,793.36 1,259,956
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JONES LANG LASALLE INC
0.51% $51,455,947.20 169,085
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HOST HOTELS & RESORTS, INC.
0.51% $51,309,426.20 2,677,945
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AXIS CAPITAL HOLDINGS LTD
0.50% $51,011,461.02 503,022
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COHERENT CORP.
0.49% $49,760,877.95 208,895
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HUNT J B TRANSPORT SERVICES INC
0.49% $49,369,309.60 232,984
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SKYWEST INC
0.49% $49,262,754.48 536,456
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Leidos Holdings, Inc.
0.48% $48,885,379.20 314,335
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Coca-Cola Consolidated, Inc.
0.48% $48,325,766.12 252,038
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GRIFFON CORP
0.48% $48,277,980.72 664,254
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NEW YORK TIMES CO
0.47% $47,899,337.37 572,069
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Ovintiv Inc.
0.47% $47,820,890.88 805,608
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ALBEMARLE CORP
0.47% $47,724,818.96 265,832
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AVISTA CORP
0.47% $47,641,965.30 1,186,895
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TENET HEALTHCARE CORP
0.47% $47,596,813.62 252,222
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ASSOCIATED BANC-CORP
0.47% $47,299,207.14 1,829,049
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FIRST BANCORP /PR/
0.47% $47,085,236.40 2,204,365
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INCYTE CORP
0.46% $47,025,740.32 499,636
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