The industries VOO is invested in: each holding's sector, weighted by its share of the fund's net assets. The largest is Manufacturing at 48.43%; the top three sectors together are 82.33% of net assets.
Manufacturing: Share 48.43%; Positions 201.
Services: Share 21.13%; Positions 75.
Finance, Insurance & Real Estate: Share 12.77%; Positions 99.
Retail Trade: Share 8.64%; Positions 29.
Holdings report date
2026-03-31
Sectors as of
Stocks classified
500 of 506 (99.61% of net assets)
Sector Weights
Sector
Share
Positions
Manufacturing
48.43%
201
Services
21.13%
75
Finance, Insurance & Real Estate
12.77%
99
Retail Trade
8.64%
29
Transportation, Communications & Utilities
6.16%
64
Mining
1.18%
13
Wholesale Trade
0.71%
10
Not classified
0.53%
6
Construction
0.49%
8
Agriculture, Forestry & Fishing
0.10%
1
Cash and other
-0.00%
13
Cash and other is the fund's money market position, which has no sector.