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VO · VANGUARD MID-CAP INDEX FUND ETF

VANGUARD INDEX FUNDS

SEC fund profile
$82.28 -0.21% At close · Sep 4
Net assets $224,064,556,159
Holdings295
1 month
-0.50%
Year to date
+14.19%
52-week range
$69.44–$84.59
30-session avg volume
2,373,785

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Open-end / ETF
SEC series
S000002844
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings9.54%

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

Asset allocation

EC99.68%
STIV0.53%
DE0.00%

Country allocation

US100.21%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
Vertiv Holdings Co$2,738,053,8311.22%
Western Digital Corp$2,385,163,7931.06%
Seagate Technology Holdings PLC$2,344,286,0801.05%
Quanta Services Inc$2,341,197,8191.04%
Howmet Aerospace Inc$2,330,892,2561.04%
Cummins Inc$2,132,417,3070.95%
Datadog Inc$1,866,333,9020.83%
Bloom Energy Corp$1,772,356,0240.79%
Constellation Energy Corp$1,745,093,5680.78%
Robinhood Markets Inc$1,719,135,8400.77%
Cloudflare Inc$1,698,192,8910.76%
Valero Energy Corp$1,675,617,0490.75%
Coherent Corp$1,672,139,3950.75%
Royal Caribbean Cruises Ltd$1,660,709,8430.74%
Teradyne Inc$1,641,011,5810.73%
Marathon Petroleum Corp$1,617,276,8900.72%
TransDigm Group Inc$1,614,404,5070.72%
CRH PLC$1,549,216,7270.69%
United Rentals Inc$1,537,809,8100.69%
Comfort Systems USA Inc$1,511,591,6440.67%
SLB Ltd$1,506,042,0620.67%
General Motors Co$1,505,928,7630.67%
Ciena Corp$1,502,915,4270.67%
Motorola Solutions Inc$1,493,688,4930.67%
Simon Property Group Inc$1,492,842,0560.67%
Ross Stores Inc$1,485,747,0640.66%
DoorDash Inc$1,480,228,0620.66%
Phillips 66$1,468,609,1960.66%
Lumentum Holdings Inc$1,446,443,7550.65%
Monolithic Power Systems Inc$1,397,795,4320.62%
Warner Bros Discovery Inc$1,375,871,3060.61%
PACCAR Inc$1,369,817,4890.61%
Digital Realty Trust Inc$1,367,360,9090.61%
Allstate Corp/The$1,327,149,3720.59%
WW Grainger Inc$1,322,217,6530.59%
Sempra$1,313,128,1230.59%
Dominion Energy Inc$1,301,267,9990.58%
Keysight Technologies Inc$1,296,924,6330.58%
Hewlett Packard Enterprise Co$1,296,894,6360.58%
Target Corp$1,285,335,8830.57%
Arthur J Gallagher & Co$1,277,913,5720.57%
TE Connectivity PLC$1,275,078,8160.57%
Rocket Lab Corp$1,274,705,2310.57%
Delta Air Lines Inc$1,266,659,2450.57%
Carrier Global Corp$1,254,106,6130.56%
Realty Income Corp$1,251,900,1890.56%
Targa Resources Corp$1,247,098,4930.56%
Corteva Inc$1,232,006,6870.55%
Cardinal Health Inc$1,205,547,6320.54%
AMETEK Inc$1,201,588,7200.54%