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ESGV · VANGUARD ESG U.S. STOCK ETF ETF

VANGUARD WORLD FUND

SEC fund profile
$136.66 -0.34% At close · Sep 4
Net assets $13,348,559,109
Holdings1,213
1 month
-0.33%
Year to date
+13.51%
52-week range
$108.18–$138.12
30-session avg volume
176,380

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Exchange-traded product
SEC series
S000063075
Report date
May 31, 2026
Holdings coverage
Tracked U.S. equities

Portfolio concentration

Top 10 holdings

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

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
NVIDIA Corp$1,117,405,6658.37%
Apple Inc$1,016,585,3807.62%
Microsoft Corp$755,068,2385.66%
Amazon.com Inc$587,053,3434.40%
Alphabet Inc$499,872,1143.74%
Broadcom Inc$466,565,0383.50%
Meta Platforms Inc$312,279,0422.34%
Tesla Inc$278,048,8372.08%
Micron Technology Inc$245,328,9761.84%
Eli Lilly & Co$200,179,5901.50%
Advanced Micro Devices Inc$187,939,3631.41%
JPMorgan Chase & Co$172,234,0481.29%
Visa Inc$124,226,3230.93%
Intel Corp$114,719,1060.86%
Cisco Systems Inc$108,381,1310.81%
Costco Wholesale Corp$95,983,9260.72%
Lam Research Corp$90,334,1660.68%
Mastercard Inc$89,859,4080.67%
AbbVie Inc$87,219,0670.65%
Oracle Corp$85,941,1250.64%
Netflix Inc$82,436,2350.62%
Applied Materials Inc$80,732,6630.60%
UnitedHealth Group Inc$78,255,6280.59%
Bank of America Corp$76,633,2760.57%
Procter & Gamble Co/The$76,251,7500.57%
Home Depot Inc/The$71,401,2170.53%
Coca-Cola Co/The$69,481,3940.52%
Merck & Co Inc$66,715,7720.50%
Goldman Sachs Group Inc/The$64,875,9000.49%
Texas Instruments Inc$62,820,9080.47%
QUALCOMM Inc$60,697,6400.45%
KLA Corp$57,170,8730.43%
Sandisk Corp/DE$54,813,9580.41%
Morgan Stanley$53,364,0640.40%
Linde PLC$52,847,7100.40%
Palo Alto Networks Inc$50,950,9600.38%
Citigroup Inc$46,789,9800.35%
Verizon Communications Inc$45,660,1760.34%
McDonald's Corp$45,132,1220.34%
PepsiCo Inc$44,679,5790.33%
Seagate Technology Holdings PLC$43,289,6790.32%
Thermo Fisher Scientific Inc$42,057,8910.32%
Amgen Inc$40,963,7680.31%
Walt Disney Co/The$40,907,0460.31%
Crowdstrike Holdings Inc$40,870,9410.31%
Western Digital Corp$40,865,4540.31%
Salesforce Inc$39,399,2780.30%
Marvell Technology Inc$39,239,8700.29%
TJX Cos Inc/The$39,140,6080.29%
AT&T Inc$38,757,8620.29%