VWUSX
VANGUARD U.S. GROWTH FUND
VANGUARD WORLD FUND

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
108
Top-10 weight
54.19%
Effective holdings ?
25
Crowding ?
1814.6

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 28,129,974 $4.98B 11.40%
2 APPLE INC 11,214,827 $2.96B 6.78%
3 MICROSOFT CORP 7,515,122 $2.95B 6.75%
4 AMAZON.COM INC 13,708,166 $2.88B 6.58%
5 ALPHABET INC CL C 7,064,339 $2.20B 5.03%
6 META PLATFORMS INC CL A 3,081,490 $2.00B 4.57%
7 BROADCOM INC 5,722,183 $1.83B 4.18%
8 LILLY ELI and CO 1,476,366 $1.55B 3.55%
9 TESLA INC 3,068,071 $1.23B 2.82%
10 NETFLIX INC 11,760,000 $1.13B 2.59%
11 MASTERCARD INC CL A 1,714,129 $886.56M 2.03%
12 GENERAL ELECTRIC CO 2,527,895 $865.20M 1.98%
13 SHOPIFY INC CL A 6,569,790 $793.17M 1.81%
14 ALPHABET INC CL A 2,449,183 $763.56M 1.75%
15 DOORDASH INC-A 3,778,278 $666.75M 1.52%
16 TAIWAN SEMIC-ADR 1,483,568 $555.71M 1.27%
17 Spotify Technology SA 1,035,668 $533.31M 1.22%
18 CLOUDFLARE INC-A 3,089,901 $532.05M 1.22%
19 INTUITIVE SURGICAL INC 972,173 $489.50M 1.12%
20 CADENCE DESIGN SYSTEMS INC 1,475,105 $444.60M 1.02%
21 STRYKER CORP 1,101,893 $426.94M 0.98%
22 Vanguard Market Liquidity Fund 372,026,335 $371.99M 0.85%
23 WELLTOWER INC 1,783,224 $369.34M 0.84%
24 FASTENAL CO 7,996,872 $368.18M 0.84%
25 APPLOVIN CORP 833,506 $362.38M 0.83%
26 VISA INC-CLASS A 1,115,800 $357.21M 0.82%
27 ASML HOLDING-NY 232,745 $337.61M 0.77%
28 AXON ENTERPRISE INC 565,528 $306.74M 0.70%
29 WASTE CONNECTIONS INC 1,705,171 $293.51M 0.67%
30 ANALOG DEVICES INC 768,827 $273.54M 0.63%
31 WALMART INC 2,136,696 $273.39M 0.63%
32 SNOWFLAKE INC CL A 1,616,952 $272.31M 0.62%
33 BOEING CO/THE 1,135,115 $258.27M 0.59%
34 ARISTA NETWORKS INC 1,897,984 $253.38M 0.58%
35 COSTCO WHOLESALE CORP 241,674 $244.28M 0.56%
36 GUARDANT HEALTH INC 2,592,335 $243.42M 0.56%
37 UBER TECHNOLOGIES INC 3,146,461 $237.31M 0.54%
38 CONSTELLATION ENERGY CORP 709,725 $234.12M 0.54%
39 ENSIGN GROUP INC 1,089,404 $233.32M 0.53%
40 HILTON WORLDWIDE HOLDINGS INC 735,164 $229.21M 0.52%
41 DATADOG INC CL A 1,861,681 $208.43M 0.48%
42 ADV MICRO DEVICE 1,024,793 $205.17M 0.47%
43 IDEXX LABS INC 311,865 $204.81M 0.47%
44 MSCI INC 338,705 $193.68M 0.44%
45 CROWDSTRIKE HOLDINGS INC 517,552 $192.52M 0.44%
46 INTUIT INC 463,755 $189.69M 0.43%
47 WALT DISNEY CO/T 1,762,105 $186.85M 0.43%
48 AMPHENOL CORPORATION CL A 1,273,689 $186.04M 0.43%
49 COSTAR GROUP INC 4,158,782 $185.61M 0.42%
50 ALNYLAM PHARMACEUTICALS INC 554,294 $184.54M 0.42%
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