Skip to main content

VONV · VANGUARD RUSSELL 1000 VALUE INDEX FUND ETF

VANGUARD SCOTTSDALE FUNDS

SEC fund profile
$113.01 -0.63% At close · Sep 4
Net assets $21,450,311,338
Holdings843
1 month
+0.04%
Year to date
+23.46%
52-week range
$87.52–$114.08
30-session avg volume
607,128

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Exchange-traded product
SEC series
S000030001
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
Micron Technology Inc$691,338,4063.22%
Berkshire Hathaway Inc$557,661,0892.60%
Alphabet Inc$497,992,0942.32%
JPMorgan Chase & Co$486,737,3232.27%
Amazon.com Inc$454,822,6992.12%
Johnson & Johnson$345,543,5551.61%
Intel Corp$322,448,8521.50%
Cisco Systems Inc$305,422,5711.42%
Walmart Inc$288,853,6621.35%
Caterpillar Inc$226,609,4661.06%
UnitedHealth Group Inc$220,529,9791.03%
Advanced Micro Devices Inc$219,813,6991.02%
Chevron Corp$217,852,6791.02%
Procter & Gamble Co/The$214,900,7061.00%
Bank of America Corp$198,738,7930.93%
Merck & Co Inc$188,011,7590.88%
International Business Machines Corp$176,529,8840.82%
Philip Morris International Inc$176,092,9310.82%
Goldman Sachs Group Inc/The$173,638,5890.81%
Applied Materials Inc$162,930,7210.76%
Meta Platforms Inc$156,935,8510.73%
Sandisk Corp/DE$154,468,6120.72%
RTX Corp$153,161,2280.71%
Wells Fargo & Co$152,993,1660.71%
Morgan Stanley$150,370,4800.70%
Linde PLC$148,919,7970.69%
QUALCOMM Inc$131,921,8040.62%
Analog Devices Inc$128,840,6100.60%
Verizon Communications Inc$128,684,3920.60%
McDonald's Corp$119,987,8750.56%
Thermo Fisher Scientific Inc$118,491,5030.55%
NextEra Energy Inc$115,682,4920.54%
Walt Disney Co/The$115,217,9970.54%
Western Digital Corp$115,148,7980.54%
AT&T Inc$109,224,5070.51%
PepsiCo Inc$108,666,7750.51%
Citigroup Inc$108,549,0920.51%
Texas Instruments Inc$104,562,4290.49%
Marvell Technology Inc$102,843,5800.48%
BlackRock Funding Inc/DE$101,770,3450.47%
Coca-Cola Co/The$100,130,2420.47%
Eaton Corp PLC$100,035,4280.47%
Boeing Co/The$95,652,4130.45%
Pfizer Inc$94,778,0660.44%
Abbott Laboratories$94,463,5380.44%
Union Pacific Corp$92,195,3070.43%
Corning Inc$90,121,4840.42%
Welltower Inc$89,972,5260.42%
ConocoPhillips$89,883,6020.42%
Charles Schwab Corp/The$84,827,1570.40%