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VANGUARD U.S. GROWTH FUND (VWUAX) is an MF managed by Vanguard. Its largest position is NVIDIA CORP (NVDA), representing 11.40% of fund assets.

VANGUARD U.S. GROWTH FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
VWUAX
Type:
MF
Manager:
Vanguard
Total Assets:
—
Report Date:
Feb 28, 2026
Filing Date:
Apr 28, 2026
Showing 50 out of 110 holdings
Holding Weight Market Value Shares
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NVIDIA CORP
11.40% $4,984,350,093.06 28,129,974
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Apple Inc.
6.78% $2,962,732,996.86 11,214,827
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MICROSOFT CORP
6.75% $2,951,489,014.28 7,515,122
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AMAZON COM INC
6.58% $2,878,714,860.00 13,708,166
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Alphabet Inc.
5.03% $2,200,047,094.77 7,064,339
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Meta Platforms, Inc.
4.57% $1,997,360,188.20 3,081,490
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Broadcom Inc.
4.18% $1,828,523,577.65 5,722,183
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ELI LILLY & Co
3.55% $1,553,122,268.34 1,476,366
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Tesla, Inc.
2.82% $1,234,929,258.21 3,068,071
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NETFLIX INC
2.59% $1,131,782,400.00 11,760,000
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Mastercard Inc
2.03% $886,564,660.09 1,714,129
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GENERAL ELECTRIC CO
1.98% $865,197,342.70 2,527,895
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SHOPIFY INC.
1.81% $793,170,746.70 6,569,790
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Alphabet Inc.
1.75% $763,557,292.08 2,449,183
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DoorDash, Inc.
1.52% $666,752,718.66 3,778,278
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TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
1.27% $555,714,901.44 1,483,568
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Spotify Technology S.A.
1.22% $533,306,879.92 1,035,668
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Cloudflare, Inc.
1.22% $532,050,053.19 3,089,901
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INTUITIVE SURGICAL INC
1.12% $489,498,827.23 972,173
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CADENCE DESIGN SYSTEMS INC
1.02% $444,596,647.00 1,475,105
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STRYKER CORP
0.98% $426,939,461.78 1,101,893
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APPLIED MATERIALS INC /DE
0.85% $371,989,132.76 372,026,335
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WELLTOWER INC.
0.84% $369,341,354.88 1,783,224
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FASTENAL CO
0.84% $368,175,986.88 7,996,872
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AppLovin Corp
0.83% $362,383,403.62 833,506
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VISA INC.
0.82% $357,212,212.00 1,115,800
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ASML HOLDING NV
0.77% $337,610,587.20 232,745
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AXON ENTERPRISE, INC.
0.70% $306,742,387.20 565,528
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Waste Connections, Inc.
0.67% $293,511,084.23 1,705,171
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ANALOG DEVICES INC
0.63% $273,540,958.33 768,827
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Walmart Inc.
0.63% $273,390,253.20 2,136,696
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Snowflake Inc.
0.62% $272,310,886.32 1,616,952
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BOEING CO
0.59% $258,272,715.95 1,135,115
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Arista Networks, Inc.
0.58% $253,380,864.00 1,897,984
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COSTCO WHOLESALE CORP /NEW
0.56% $244,281,662.46 241,674
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Guardant Health, Inc.
0.56% $243,420,256.50 2,592,335
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Uber Technologies, Inc
0.54% $237,306,088.62 3,146,461
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Constellation Energy Corp
0.54% $234,124,083.00 709,725
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ENSIGN GROUP, INC
0.53% $233,317,654.68 1,089,404
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Hilton Worldwide Holdings Inc.
0.52% $229,209,431.92 735,164
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Datadog, Inc.
0.48% $208,433,804.76 1,861,681
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ADVANCED MICRO DEVICES INC
0.47% $205,173,806.53 1,024,793
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IDEXX LABORATORIES INC /DE
0.47% $204,811,101.45 311,865
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MSCI Inc.
0.44% $193,681,680.15 338,705
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CrowdStrike Holdings, Inc.
0.44% $192,518,992.96 517,552
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INTUIT INC.
0.43% $189,689,707.65 463,755
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Walt Disney Co
0.43% $186,853,614.20 1,762,105
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AMPHENOL CORP /DE/
0.43% $186,035,015.34 1,273,689
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COSTAR GROUP, INC.
0.42% $185,606,440.66 4,158,782
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ALNYLAM PHARMACEUTICALS, INC.
0.42% $184,535,558.48 554,294
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