IVOG
VANGUARD S&P MID-CAP 400 GROWTH INDEX FUND
VANGUARD ADMIRAL FUNDS
ETFIndex fund

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
241
Top-10 weight
15.91%
Effective holdings ?
135
Crowding ?
550.0

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 LUMENTUM HOLDINGS INC 64,670 $45.33M 2.77%
2 COHERENT CORP 143,355 $37.12M 2.27%
3 TECHNIPFMC PLC 369,004 $24.47M 1.49%
4 CURTISS WRIGHT CORPORATION 33,644 $23.56M 1.44%
5 CASEY'S GENERAL 33,915 $23.25M 1.42%
6 XPO LOGISTICS INC 107,082 $22.54M 1.38%
7 ROYAL GOLD INC 73,902 $22.16M 1.35%
8 FLEX LTD 337,330 $21.26M 1.30%
9 WOODWARD INC 54,709 $21.16M 1.29%
10 ATI INC 123,943 $20.28M 1.24%
11 UNITED THERAPEUTICS CORP DEL 39,277 $19.79M 1.21%
12 TENET HEALTHCARE CORP 80,164 $19.19M 1.17%
13 PURE STORAGE INC CL A 284,800 $18.29M 1.12%
14 CARPENTER TECHNOLOGY CORP 45,439 $18.09M 1.10%
15 FABRINET 32,680 $17.83M 1.09%
16 NVENT ELECTRIC 147,190 $17.42M 1.06%
17 BWX TECHNOLOGIES INC 83,399 $17.18M 1.05%
18 TEMPUR SEALY INTERNATIONAL INC 191,469 $17.14M 1.05%
19 RB GLOBAL INC 169,384 $17.10M 1.04%
20 TWILIO INC CLASS A 138,297 $16.73M 1.02%
21 MASTEC INC 55,943 $16.67M 1.02%
22 RBC BEARINGS INC 28,721 $16.54M 1.01%
23 ITT INC 77,542 $15.70M 0.96%
24 TALEN ENERGY CORP 41,683 $15.46M 0.94%
25 HECLA MINING CO 611,286 $15.23M 0.93%
26 API GROUP CORP 337,643 $15.01M 0.92%
27 MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 58,423 $14.50M 0.89%
28 ECHOSTAR CORP CL A 122,791 $14.19M 0.87%
29 KRATOS DEFENSE and SEC SOLTN INC 154,020 $13.27M 0.81%
30 PENUMBRA INC 35,720 $12.30M 0.75%
31 CACI INTL-A 20,136 $12.29M 0.75%
32 NEUROCRINE BIOSCIENCES INC 90,951 $12.03M 0.73%
33 STERLING INFRASTRUCTURE INC 28,026 $12.00M 0.73%
34 ELANCO ANIMAL HEALTH INC 453,231 $11.97M 0.73%
35 NEW YORK TIMES CO CL A 147,393 $11.76M 0.72%
36 ADV ENERGY INDS 34,426 $11.55M 0.71%
37 TOPBUILD CORP 25,462 $11.41M 0.70%
38 GUIDEWIRE SOFTWARE INC 77,559 $11.27M 0.69%
39 FIVE BELOW INC 50,308 $11.25M 0.69%
40 ENSIGN GROUP INC 52,464 $11.24M 0.69%
41 OKTA INC CL A 153,670 $11.14M 0.68%
42 DYCOM INDUSTRIES INC 26,407 $11.09M 0.68%
43 TEXAS ROADHOUSE INC 60,342 $11.03M 0.67%
44 EXELIXIS INC 244,559 $10.78M 0.66%
45 MKS INSTRUMENTS INC 43,508 $10.64M 0.65%
46 BURLINGTON STORES INC 34,652 $10.63M 0.65%
47 JAZZ PHARMACEUTI 55,424 $10.53M 0.64%
48 COCA COLA CONSOLIDATED INC 51,609 $10.45M 0.64%
49 SPX TECHNOLOGIES INC 45,453 $10.32M 0.63%
50 FLOWSERVE CORP 115,944 $10.26M 0.63%
1 / 5 Next ›

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.