VMVIX
VANGUARD MID-CAP VALUE INDEX FUND
VANGUARD INDEX FUNDS
ETFIndex fund

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
172
Top-10 weight
13.07%
Effective holdings ?
133
Crowding ?
918.5

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 SLB LTD 9,720,537 $499.54M 1.44%
2 CUMMINS INC 898,156 $483.23M 1.39%
3 VALERO ENERGY CORP 1,943,845 $480.29M 1.38%
4 PHILLIPS 66 2,605,070 $474.59M 1.37%
5 MARATHON PETROLEUM CORP 1,915,985 $467.85M 1.35%
6 CRH PLC 4,344,022 $456.64M 1.32%
7 GENERAL MOTORS CO 5,876,321 $437.79M 1.26%
8 WARNER BROS DISCOVERY INC 15,314,662 $420.54M 1.21%
9 L3HARRIS TECHNOLOGIES INC 1,214,155 $419.07M 1.21%
10 DIGITAL REALTY TRUST INC 2,233,703 $402.54M 1.16%
11 TE CONNECTIVITY 1,907,495 $398.70M 1.15%
12 PACCAR INC 3,418,623 $394.85M 1.14%
13 BAKER HUGHES CO 6,424,122 $392.19M 1.13%
14 NEWMONT CORP 3,535,914 $382.76M 1.10%
15 CENCORA INC 1,201,336 $377.39M 1.09%
16 CORTEVA INC 4,439,996 $371.67M 1.07%
17 ONEOK INC 4,093,959 $370.05M 1.07%
18 CHENIERE ENERGY INC 1,298,120 $368.35M 1.06%
19 ARTHUR J GALLAGHAR AND CO 1,671,300 $361.97M 1.04%
20 TARGET CORP 2,943,506 $356.75M 1.03%
21 DOMINION ENERGY INC 5,712,625 $353.15M 1.02%
22 ALLSTATE CORPORATION 1,687,135 $349.81M 1.01%
23 ENTERGY CORP 2,944,702 $330.87M 0.95%
24 CARDINAL HEALTH INC 1,529,692 $323.24M 0.93%
25 XCEL ENERGY INC 4,055,565 $322.17M 0.93%
26 EXELON CORP 6,562,576 $321.70M 0.93%
27 KEYSIGHT TECHNOLOGIES INC 1,116,802 $315.35M 0.91%
28 OCCIDENTAL PETROLEUM CORP 4,808,481 $312.55M 0.90%
29 UNITED RENTALS INC 409,524 $298.36M 0.86%
30 WESTERN DIGITAL CORP 1,101,972 $298.07M 0.86%
31 FERGUSON ENTERPRISES INC 1,271,164 $296.51M 0.85%
32 FORD MOTOR CO 25,473,324 $293.96M 0.85%
33 BECTON DICKINSON and CO 1,850,988 $291.03M 0.84%
34 CARRIER GLOBAL CORP 5,161,792 $290.66M 0.84%
35 WILLIAMS COS INC 3,970,439 $288.97M 0.83%
36 NASDAQ INC 3,325,696 $282.32M 0.81%
37 DELTA AIR LI 4,245,734 $282.26M 0.81%
38 PUBLIC STORAGE 1,026,807 $278.14M 0.80%
39 WESTINGHOUSE AIR BRAKE TECH CORP 1,108,461 $277.02M 0.80%
40 FIFTH THIRD BANCORP 5,848,582 $271.73M 0.78%
41 KROGER CO 3,702,502 $267.91M 0.77%
42 CONSOLIDATED EDISON INC 2,348,322 $265.78M 0.77%
43 EBAY INC 2,912,259 $265.07M 0.76%
44 AMERIPRISE FINANCIAL INC 592,717 $263.40M 0.76%
45 AMERICAN INTERNATIONAL GROUP 3,487,949 $262.47M 0.76%
46 PUB SERV ENTERP 3,242,101 $262.45M 0.76%
47 JOHNSON CONTROLS 1,989,395 $260.51M 0.75%
48 CBRE GROUP INC - CL A 1,918,702 $259.91M 0.75%
49 STRATEGY INC CL A 2,041,913 $254.83M 0.73%
50 METLIFE INC 3,602,918 $254.80M 0.73%
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