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VUSV · VANGUARD WELLINGTON U.S. VALUE ACTIVE ETF ETF

VANGUARD WELLESLEY INCOME FUND

SEC fund profile
$71.82 -0.41% At close · Sep 4
Net assets $74,448,481
Holdings86
1 month
-0.68%
Year to date
+14.64%
52-week range
$58.71–$73.12
30-session avg volume
16,494

Market performance

Adjusted close · up to five years

Since Nov 2025

Fund profile

Structure
Open-end / ETF
SEC series
S000096462
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings23.62%

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

Asset allocation

EC97.71%
STIV2.07%

Country allocation

US99.79%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
Alphabet Inc$2,269,3003.05%
Amazon.com Inc$2,264,4683.04%
Microsoft Corp$1,939,7042.61%
Merck & Co Inc$1,914,0082.57%
ASML Holding NV$1,895,9362.55%
Chubb Ltd$1,583,4192.13%
Vanguard Cmt Funds-Vanguard Market Liquidity Fund$1,542,3892.07%
Morgan Stanley$1,451,7831.95%
UnitedHealth Group Inc$1,373,6571.85%
SLB Ltd$1,350,1161.81%
Wells Fargo & Co$1,311,5791.76%
Dover Corp$1,262,2481.70%
M&T Bank Corp$1,209,8051.63%
James Hardie Industries PLC$1,183,1791.59%
Deere & Co$1,181,1221.59%
Dick's Sporting Goods Inc$1,179,6391.58%
Emerson Electric Co$1,143,4821.54%
Reliance Inc$1,125,2831.51%
Cardinal Health Inc$1,107,7421.49%
NXP Semiconductors NV$1,091,5211.47%
NVIDIA Corp$1,076,4841.45%
Walt Disney Co/The$1,071,8401.44%
Sempra$1,066,4431.43%
Prologis Inc$1,059,5111.42%
Northrop Grumman Corp$1,019,1291.37%
AstraZeneca PLC$1,016,7421.37%
Boeing Co/The$977,3621.31%
Raymond James Financial Inc$947,2991.27%
Equinix Inc$938,1511.26%
Kroger Co/The$929,5171.25%
Unilever PLC$924,3451.24%
Ally Financial Inc$909,0751.22%
Agilent Technologies Inc$901,1191.21%
KKR & Co Inc$887,0541.19%
PACCAR Inc$879,8791.18%
Tyson Foods Inc$879,8181.18%
Airbnb Inc$868,3311.17%
Keurig Dr Pepper Inc$834,5171.12%
Techtronic Industries Co Ltd$824,9091.11%
Hyatt Hotels Corp$816,2601.10%
Cooper Cos Inc/The$806,3791.08%
ConocoPhillips$797,0611.07%
Dynatrace Inc$787,8331.06%
Canadian Natural Resources Ltd$741,1781.00%
KeyCorp$718,7910.97%
General Motors Co$713,6840.96%
CMS Energy Corp$706,5540.95%
TransUnion$705,6730.95%
Exelon Corp$692,4000.93%
Haleon PLC$687,4810.92%