Skip to main content
VSGX logo

VSGX · Vanguard World Funds Extended Duration ETF

Track VSGX — free
$83.28 -0.17 (-0.20%) At close · Aug 31

Portfolio holdings reported by registered funds to the SEC on Form N-PORT — the individual securities a fund owns. Only mutual funds, ETFs and closed-end funds file N-PORT, so operating companies show no data.

VANGUARD MEGA CAP GROWTH INDEX FUND

Reported 2026-06-30
Net Assets
$33,300,931,865
Total Assets
$33,331,389,441
Holdings
61
Filed
2026-08-28
Holding Balance Value % Net Assets
NVIDIA Corp 22,081,589 $4,418,305,143 13.27%
Apple Inc 14,001,340 $4,051,427,742 12.17%
Microsoft Corp 6,699,116 $2,498,904,250 7.50%
Alphabet Inc 5,513,364 $1,970,310,893 5.92%
Alphabet Inc 4,393,746 $1,552,442,274 4.66%
Amazon.com Inc 6,230,611 $1,485,003,826 4.46%
Broadcom Inc 3,766,293 $1,422,717,181 4.27%
Meta Platforms Inc 2,410,480 $1,357,799,279 4.08%
Tesla Inc 3,108,185 $1,307,302,611 3.93%
Eli Lilly & Co 943,950 $1,132,201,949 3.40%
Advanced Micro Devices Inc 1,829,775 $1,062,934,595 3.19%
Lam Research Corp 1,476,367 $639,754,112 1.92%
Visa Inc 1,766,941 $606,219,788 1.82%
KLA Corp 1,628,876 $491,448,178 1.48%
Mastercard Inc 952,942 $489,431,011 1.47%
Sandisk Corp 186,876 $424,905,567 1.28%
GE Vernova Inc 340,774 $400,361,742 1.20%
Applied Materials Inc 520,831 $376,560,813 1.13%
Netflix Inc 5,218,895 $372,629,103 1.12%
Palo Alto Networks Inc 1,075,072 $366,621,053 1.10%
Intel Corp 2,619,999 $365,830,460 1.10%
Marvell Technology Inc 1,154,876 $344,026,012 1.03%
Palantir Technologies Inc 2,760,823 $322,105,219 0.97%
Oracle Corp 2,146,464 $314,564,299 0.94%
Corning Inc 1,164,260 $297,386,932 0.89%
Amphenol Corp 1,674,478 $295,243,961 0.89%
Crowdstrike Holdings Inc 344,317 $262,762,075 0.79%
Arista Networks Inc 1,498,017 $254,483,128 0.76%
Boeing Co/The 1,101,167 $238,369,620 0.72%
Welltower Inc 1,040,250 $236,105,543 0.71%
TJX Cos Inc/The 1,536,944 $232,847,016 0.70%
AppLovin Corp 417,822 $215,274,429 0.65%
Booking Holdings Inc 1,173,611 $209,184,425 0.63%
Intuitive Surgical Inc 525,413 $208,946,242 0.63%
Vertex Pharmaceuticals Inc 401,228 $199,301,984 0.60%
ServiceNow Inc 1,730,332 $171,787,361 0.52%
Western Digital Corp 267,845 $171,077,958 0.51%
Seagate Technology Holdings PLC 175,770 $169,618,050 0.51%
Cadence Design Systems Inc 448,336 $168,269,468 0.51%
Equinix Inc 160,387 $167,185,805 0.50%
Space Exploration Technologies Corp 942,362 $161,011,971 0.48%
Synopsys Inc 335,094 $149,475,381 0.45%
O'Reilly Automotive Inc 1,570,660 $144,642,079 0.43%
Marriott International Inc/MD 378,349 $140,212,356 0.42%
Uber Technologies Inc 1,941,653 $140,109,680 0.42%
Ecolab Inc 496,167 $138,237,088 0.42%
Monster Beverage Corp 1,394,835 $134,071,540 0.40%
Moody's Corp 291,712 $132,122,199 0.40%
Airbnb Inc 858,075 $122,790,533 0.37%
Fortinet Inc 757,441 $116,358,086 0.35%
Showing 1–50 of 61 holdings
Key facts CIK 52848 CUSIP 921910709 13F (30d) 137 filings 126 filers Visit website