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VANGUARD TOTAL WORLD STOCK INDEX FUND (VTWIX) is an ETF managed by Vanguard. Its largest position is NVIDIA CORP (NVDA), representing 4.19% of fund assets.

VANGUARD TOTAL WORLD STOCK INDEX FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
VTWIX
Type:
ETF
Manager:
Vanguard
Total Assets:
—
Report Date:
Apr 30, 2026
Filing Date:
Jun 26, 2026
Showing 50 out of 10093 holdings
Holding Weight Market Value Shares
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NVIDIA CORP
4.19% $3,764,730,190.13 18,864,209
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Apple Inc.
3.50% $3,150,447,849.90 11,610,274
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MICROSOFT CORP
2.71% $2,437,246,417.48 5,976,866
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AMAZON COM INC
2.28% $2,049,278,787.62 7,731,377
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Alphabet Inc.
2.03% $1,823,273,597.60 4,738,237
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Broadcom Inc.
1.73% $1,553,869,817.24 3,722,468
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Alphabet Inc.
1.60% $1,436,334,258.32 3,760,628
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TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
1.51% $1,361,254,498.85 19,608,445
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Meta Platforms, Inc.
1.20% $1,076,796,384.30 1,759,730
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Tesla, Inc.
0.97% $867,915,158.16 2,274,232
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JPMORGAN CHASE & CO
0.71% $639,724,037.58 2,042,346
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BERKSHIRE HATHAWAY INC
0.69% $620,342,118.40 1,309,844
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ELI LILLY & Co
0.67% $603,354,395.00 645,575
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SAMSUNG ELECTRONICS CO L /KRW/
0.64% $572,708,227.82 3,803,157
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ExxonMobil Holdings Corp
0.58% $524,607,641.47 3,399,259
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APPLIED MATERIALS INC /DE
0.55% $496,537,502.58 496,587,161
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APPLIED MATERIALS INC /DE
0.54% $482,695,554.62 4,827,438
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MICRON TECHNOLOGY INC
0.52% $465,748,090.08 900,588
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Walmart Inc.
0.51% $461,900,123.00 3,501,100
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ADVANCED MICRO DEVICES INC
0.51% $460,153,188.79 1,298,071
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ASML HOLDING NV
0.50% $452,364,705.02 312,937
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VISA INC.
0.50% $446,310,791.92 1,353,113
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JOHNSON & JOHNSON
0.49% $444,685,048.75 1,934,675
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SK hynix Inc.
0.43% $389,455,594.03 436,723
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COSTCO WHOLESALE CORP /NEW
0.40% $362,012,710.84 356,828
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INTEL CORP
0.37% $336,919,553.68 3,566,041
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CATERPILLAR INC
0.37% $331,643,414.57 372,587
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Mastercard Inc
0.36% $325,137,780.00 646,500
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NETFLIX INC
0.36% $319,659,053.56 3,414,796
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TENCENT HOLDINGS LTD
0.34% $303,120,782.99 4,991,102
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AbbVie Inc.
0.34% $301,410,787.68 1,426,324
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CISCO SYSTEMS, INC.
0.33% $292,928,008.50 3,201,399
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CHEVRON CORP
0.32% $290,799,712.58 1,504,318
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PROCTER & GAMBLE Co
0.31% $276,060,424.17 1,876,813
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BANK OF AMERICA CORP /DE/
0.31% $275,048,920.08 5,144,948
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UNITEDHEALTH GROUP INC
0.30% $271,601,481.36 733,107
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HOME DEPOT, INC.
0.29% $263,053,480.80 800,041
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LAM RESEARCH CORP
0.29% $260,906,358.04 1,011,814
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HSBC HOLDINGS PLC
0.28% $254,242,339.20 13,817,657
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APPLIED MATERIALS INC /DE
0.28% $251,811,645.78 638,322
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COCA COLA CO
0.27% $245,191,930.28 3,113,153
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Palantir Technologies Inc.
0.27% $244,925,690.82 1,760,662
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GENERAL ELECTRIC CO
0.27% $242,839,569.40 837,580
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Alibaba Group Holding Ltd
0.26% $237,720,757.19 14,423,920
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GE Vernova Inc.
0.26% $235,750,061.40 217,590
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ASTRAZENECA PLC
0.25% $228,919,766.89 1,206,605
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NOVARTIS AG
0.25% $227,738,559.75 1,540,964
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ORACLE CORP
0.24% $218,985,249.30 1,356,870
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Merck & Co., Inc.
0.24% $218,304,754.92 1,999,494
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NESTLE SA
0.23% $209,661,934.79 2,070,947
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