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VTV · VANGUARD VALUE INDEX FUND ETF

VANGUARD INDEX FUNDS

SEC fund profile
$226.46 -0.25% At close · Sep 4
Net assets $254,480,620,207
Holdings326
1 month
+0.96%
Year to date
+19.82%
52-week range
$181.22–$228.57
30-session avg volume
2,611,491

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Open-end / ETF
SEC series
S000002840
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings23.60%

Calculated only when the SEC filing is stored with complete portfolio coverage.

Asset allocation

EC99.48%
STIV0.77%
DE-0.01%

Country allocation

US100.25%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
Micron Technology Inc$12,390,041,5114.87%
JPMorgan Chase & Co$7,778,214,1493.06%
Berkshire Hathaway Inc$7,498,725,4472.95%
Johnson & Johnson$5,818,712,5112.29%
Exxon Mobil Corp$5,393,347,7872.12%
Walmart Inc$4,725,918,2461.86%
Caterpillar Inc$4,668,646,1931.83%
AbbVie Inc$4,231,518,8531.66%
Cisco Systems Inc$3,965,753,4691.56%
UnitedHealth Group Inc$3,592,756,8421.41%
Bank of America Corp$3,464,073,1741.36%
Home Depot Inc/The$3,347,549,6851.32%
Procter & Gamble Co/The$3,250,895,4471.28%
Merck & Co Inc$3,020,739,8361.19%
Chevron Corp$2,984,676,5491.17%
Goldman Sachs Group Inc/The$2,702,380,6401.06%
Philip Morris International Inc$2,683,836,5751.05%
Intel Corp$2,671,877,5781.05%
Coca-Cola Co/The$2,662,636,9011.05%
International Business Machines Corp$2,515,884,9160.99%
RTX Corp$2,431,999,9320.96%
Wells Fargo & Co$2,407,206,7590.95%
Morgan Stanley$2,354,175,6610.93%
Linde PLC$2,284,828,4710.90%
Citigroup Inc$2,154,680,2810.85%
Vanguard Cmt Funds-Vanguard Market Liquidity Fund$1,928,539,8850.76%
Amgen Inc$1,860,151,7770.73%
General Electric Co$1,855,750,3350.73%
QUALCOMM Inc$1,853,879,4350.73%
Analog Devices Inc$1,841,468,7760.72%
Thermo Fisher Scientific Inc$1,773,768,5630.70%
PepsiCo Inc$1,761,689,2650.69%
American Express Co$1,757,804,4080.69%
NextEra Energy Inc$1,654,417,8060.65%
Walt Disney Co/The$1,591,218,1860.63%
Eaton Corp PLC$1,575,185,3910.62%
Deere & Co$1,548,254,2680.61%
Union Pacific Corp$1,537,021,4080.60%
Verizon Communications Inc$1,514,266,8550.60%
Abbott Laboratories$1,504,319,2980.59%
Gilead Sciences Inc$1,492,919,4780.59%
Charles Schwab Corp/The$1,451,146,2530.57%
AT&T Inc$1,368,830,5770.54%
Berkshire Hathaway Inc$1,327,711,0500.52%
Pfizer Inc$1,306,294,1520.51%
Texas Instruments Inc$1,291,065,1670.51%
BlackRock Funding Inc/DE$1,279,011,3420.50%
CVS Health Corp$1,256,586,3570.49%
Progressive Corp/The$1,213,232,6340.48%
ConocoPhillips$1,205,882,9800.47%