VMCIX
VANGUARD MID-CAP INDEX FUND
VANGUARD INDEX FUNDS
ETFIndex fund

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
291
Top-10 weight
9.03%
Effective holdings ?
219
Crowding ?
898.3

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 VERTIV HOLDINGS CO 8,117,697 $2.03B 1.03%
2 HOWMET AEROSPACE INC 8,658,764 $2.00B 1.01%
3 WESTERN DIGITAL CORP 7,321,947 $1.98B 1.00%
4 CONSTELLATION ENERGY CORP 6,651,725 $1.86B 0.94%
5 SEAGATE TECHNOLO 4,709,560 $1.85B 0.93%
6 QUANTA SVCS INC 3,231,229 $1.77B 0.89%
7 SLB LTD 32,293,738 $1.66B 0.84%
8 CUMMINS INC 2,983,846 $1.61B 0.81%
9 VALERO ENERGY CORP 6,457,918 $1.60B 0.80%
10 PHILLIPS 66 8,654,708 $1.58B 0.80%
11 MARATHON PETROLEUM CORP 6,365,396 $1.55B 0.78%
12 MOTOROLA SOLUTIONS INC 3,577,597 $1.55B 0.78%
13 CRH PLC 14,431,712 $1.52B 0.77%
14 ROSS STORES INC 6,985,092 $1.51B 0.76%
15 GENERAL MOTORS CO 19,522,301 $1.45B 0.73%
16 ROYAL CARIBBEAN 5,258,177 $1.45B 0.73%
17 TRANSDIGM GROUP INC 1,219,619 $1.41B 0.71%
18 WARNER BROS DISCOVERY INC 50,878,258 $1.40B 0.70%
19 L3HARRIS TECHNOLOGIES INC 4,033,645 $1.39B 0.70%
20 CLOUDFLARE INC-A 6,515,570 $1.34B 0.68%
21 DIGITAL REALTY TRUST INC 7,420,812 $1.34B 0.67%
22 TE CONNECTIVITY 6,337,066 $1.32B 0.67%
23 PACCAR INC 11,357,324 $1.31B 0.66%
24 BAKER HUGHES CO 21,342,306 $1.30B 0.66%
25 NEWMONT CORP 11,747,036 $1.27B 0.64%
26 CENCORA INC 3,991,056 $1.25B 0.63%
27 CORTEVA INC 14,750,488 $1.23B 0.62%
28 REALTY INCOME CORP REIT 20,136,671 $1.23B 0.62%
29 ONEOK INC 13,601,544 $1.23B 0.62%
30 CHENIERE ENERGY INC 4,312,703 $1.22B 0.62%
31 ARTHUR J GALLAGHAR AND CO 5,552,449 $1.20B 0.61%
32 TARGET CORP 9,778,919 $1.19B 0.60%
33 ROBINHOOD MARKETS INC 17,062,263 $1.18B 0.60%
34 DOMINION ENERGY INC 18,978,515 $1.17B 0.59%
35 TARGA RESOURCES CORP 4,642,316 $1.16B 0.59%
36 ALLSTATE CORPORATION 5,605,009 $1.16B 0.59%
37 FASTENAL CO 24,799,299 $1.15B 0.58%
38 CORNING INC 8,337,821 $1.13B 0.57%
39 DOORDASH INC-A 7,525,691 $1.13B 0.57%
40 ELECTRONIC ARTS INC 5,404,375 $1.10B 0.56%
41 VISTRA CORP 7,317,533 $1.10B 0.55%
42 ENTERGY CORP 9,782,821 $1.10B 0.55%
43 MONOLITHIC POWER SYS INC 999,330 $1.09B 0.55%
44 CARDINAL HEALTH INC 5,081,904 $1.07B 0.54%
45 XCEL ENERGY INC 13,473,283 $1.07B 0.54%
46 EXELON CORP 21,802,264 $1.07B 0.54%
47 WW GRAINGER INC 971,911 $1.06B 0.53%
48 AMETEK INC NEW 4,944,985 $1.06B 0.53%
49 KEYSIGHT TECHNOLOGIES INC 3,710,224 $1.05B 0.53%
50 OCCIDENTAL PETROLEUM CORP 15,975,326 $1.04B 0.52%
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