ETF:IVOG | ETF Holdings Page 2 | VANGUARD S&P MID-CAP 400 GROWTH INDEX FUND

IVOG ETF holdings Page 2

Weights reproduce the dated portfolio and may not sum to exactly 100% because of cash, derivatives, rounding, liabilities, or other positions. Provenance stays internal.

Snapshot fieldReported value
FundVANGUARD S&P MID-CAP 400 GROWTH INDEX FUND
Report date2026-02-28
Reported holdings244
SEC series IDS000030016

Positions 101–200 of 244

TickerIssuerWeightValue (USD)Balance
Service Corp International/USService Corp International/US0.348564%5,705,888.7667,782 NS
Acuity Brands IncAcuity Brands Inc0.347434%5,687,384.2218,858 NS
Gaming and Leisure Properties IncGaming and Leisure Properties Inc0.347151%5,682,755.08116,188 NS
Stifel Financial CorpStifel Financial Corp0.346598%5,673,71176,620 NS
NTNXNutanix Inc0.34658%5,673,402.24148,208 NS
Valaris LtdValaris Ltd0.345845%5,661,380.2559,065 NS
ENSEnerSys0.341817%5,595,433.5533,677 NS
CHDNChurchill Downs Inc0.33935%5,555,054.1160,427 NS
RPMRPM International Inc0.334293%5,472,282.2447,952 NS
AITApplied Industrial Technologies Inc0.326604%5,346,413.618,920 NS
ACMAECOM0.318222%5,209,204.6853,166 NS
AHRAmerican Healthcare REIT Inc0.314234%5,143,916.0898,467 NS
Equitable Holdings IncEquitable Holdings Inc0.308275%5,046,363.18125,469 NS
Vanguard Cmt Funds-Vanguard Market Liquidity FundVanguard Cmt Funds-Vanguard Market Liquidity Fund0.305879%5,007,148.4950,076.4925 NS
VMIValmont Industries Inc0.303189%4,963,104.6310,791 NS
DKSDick's Sporting Goods Inc0.300114%4,912,777.3824,126 NS
DOCUDocuSign Inc0.298051%4,879,007.78108,254 NS
Carlyle Group Inc/TheCarlyle Group Inc/The0.293252%4,800,444.6692,334 NS
OPCHOption Care Health Inc0.28719%4,701,214.26144,831 NS
ALVAutoliv Inc0.286234%4,685,569.6839,534 NS
SBRASabra Health Care REIT Inc0.285644%4,675,905.9227,538 NS
NFGNational Fuel Gas Co0.284267%4,653,362.5751,119 NS
ONTOOnto Innovation Inc0.283049%4,633,431.1821,462 NS
ORIOld Republic International Corp0.282877%4,630,603.05108,015 NS
CRCrane Co0.279069%4,568,273.9322,781 NS
MANHManhattan Associates Inc0.277492%4,542,457.6333,541 NS
EXLSExlService Holdings Inc0.276448%4,525,375144,812 NS
OSKOshkosh Corp0.275745%4,513,860.9826,549 NS
NEUNewMarket Corp0.271862%4,450,305.097,109 NS
BYDBoyd Gaming Corp0.268237%4,390,965.1152,757 NS
VVVValvoline Inc0.267833%4,384,346.4115,988 NS
TNLTravel + Leisure Co0.264267%4,325,968.958,697 NS
HLIHoulihan Lokey Inc0.263708%4,316,813.4326,359 NS
PRIPrimerica Inc0.2618%4,285,585.716,895 NS
PCTYPaylocity Holding Corp0.261462%4,280,046.0840,192 NS
MPMP Materials Corp0.260806%4,269,311.2772,521 NS
HHyatt Hotels Corp0.259717%4,251,487.526,325 NS
Masimo CorpMasimo Corp0.254546%4,166,842.0523,763 NS
CGNXCognex Corp0.254203%4,161,219.276,493 NS
CNMCore & Main Inc0.253299%4,146,435.4476,559 NS
STAGSTAG Industrial Inc0.249079%4,077,350.42103,961 NS
SEICSEI Investments Co0.248883%4,074,13250,100 NS
Cullen/Frost Bankers IncCullen/Frost Bankers Inc0.24636%4,032,844.9429,177 NS
LOPEGrand Canyon Education Inc0.244974%4,010,154.725,210 NS
DBXDropbox Inc0.243015%3,978,083.13159,187 NS
MSA Safety IncMSA Safety Inc0.240501%3,936,925.2720,147 NS
BRXBrixmor Property Group Inc0.237641%3,890,118.78128,514 NS
CUBECubeSmart0.235405%3,853,501.5293,668 NS
Agree Realty CorpAgree Realty Corp0.23172%3,793,183.3647,132 NS
FHIFederated Hermes Inc0.230805%3,778,210.5667,456 NS
CHWYChewy Inc0.23051%3,773,375.88137,614 NS
CYTKCytokinetics Inc0.229063%3,749,688.360,265 NS
CRUSCirrus Logic Inc0.228848%3,746,171.5226,546 NS
APPFAppfolio Inc0.228682%3,743,447.8421,059 NS
IDAIDACORP Inc0.225677%3,694,270.225,660 NS
PEGAPegasystems Inc0.223503%3,658,670.4583,665 NS
NXSTNexstar Media Group Inc0.219528%3,593,602.3214,316 NS
SSDSimpson Manufacturing Co Inc0.219257%3,589,174.9418,542 NS
LIVNLivaNova PLC0.214952%3,518,70449,840 NS
BROSDutch Bros Inc0.212633%3,480,736.4764,927 NS
GATXGATX Corp0.212559%3,479,523.8118,893 NS
RGENRepligen Corp0.208866%3,419,068.826,560 NS
FBINFortune Brands Innovations Inc0.207465%3,396,141.3262,498 NS
NNNNNN REIT Inc0.206062%3,373,167.674,430 NS
LFUSLittelfuse Inc0.205688%3,367,050.389,553 NS
American Financial Group Inc/OHAmerican Financial Group Inc/OH0.205323%3,361,069.525,275 NS
SAROStandardAero Inc0.205259%3,360,033.6109,092 NS
elf Beauty Incelf Beauty Inc0.205134%3,357,98436,480 NS
EXPEagle Materials Inc0.204103%3,341,110.214,929 NS
SLABSilicon Laboratories Inc0.198536%3,249,981.715,890 NS
CAVACava Group Inc0.192365%3,148,952.0138,183 NS
Brink's Co/TheBrink's Co/The0.192007%3,143,098.0926,917 NS
PATHUiPath Inc0.191819%3,140,016.47292,639 NS
BSYBentley Systems Inc0.190961%3,125,975.385,526 NS
LNTHLantheus Holdings Inc0.190816%3,123,597.1841,698 NS
SHCSotera Health Co0.187941%3,076,531.25189,325 NS
DOCSDoximity Inc0.187894%3,075,767.64125,388 NS
QLYSQualys Inc0.18487%3,026,265.6932,727 NS
WHWyndham Hotels & Resorts Inc0.182387%2,985,618.236,499 NS
KEXKirby Corp0.180169%2,949,315.622,722 NS
WFRDWeatherford International PLC0.176947%2,896,564.3627,466 NS
ESABEsab Corp0.176695%2,892,447.2522,925 NS
HIMSHims & Hers Health Inc0.16861%2,760,092.28190,089 NS
MTGMGIC Investment Corp0.16857%2,759,438.36104,012 NS
WEXWEX Inc0.168314%2,755,240.9218,468 NS
GGenpact Ltd0.166682%2,728,525.6868,694 NS
RYANRyan Specialty Holdings Inc0.163886%2,682,764.9568,177 NS
SFMSprouts Farmers Market Inc0.160229%2,622,902.0935,507 NS
ALGMAllegro MicroSystems Inc0.158684%2,597,612.2271,226 NS
CHEChemed Corp0.158547%2,595,363.36,330 NS
Bio-Rad Laboratories IncBio-Rad Laboratories Inc0.155263%2,541,600.329,128 NS
DUOLDuolingo Inc0.155248%2,541,36225,162 NS
THGHanover Insurance Group Inc/The0.15382%2,517,982.213,940 NS
HGVHilton Grand Vacations Inc0.149917%2,454,096.6454,584 NS
VNTVontier Corp0.145472%2,381,339.458,195 NS
AMKRAmkor Technology Inc0.145326%2,378,949.3649,748 NS
BDCBelden Inc0.144204%2,360,580.916,473 NS
ESNTEssent Group Ltd0.13753%2,251,323.3637,004 NS
MTNVail Resorts Inc0.133216%2,180,701.1716,057 NS
TXNMTXNM Energy Inc0.132096%2,162,374.7636,638 NS

Research interface only. Not investment advice. Prices are a checked-in snapshot, not live quotes.