Vanguard Morningstar Growth ETF

VUG Holdings

The complete, up-to-date list of VUG ETF holdings. VUG holds 146 stocks weighted by market capitalization. Below are all constituents with their ETF weight, sector, price, and recent performance.

Live · 146 quotesAs of October 3, 2026146 holdings

Top 10 VUG Holdings

The 10 largest positions make up about 63.5% of the fund. Because VUG is market-cap weighted, these largest constituents drive most of its day-to-day movement.

  1. NVDANvidia CorpWeight13.63%Price$240.241M+5.70%
  2. AAPLApple Inc.Weight12.49%Price$332.801M+2.47%
  3. MSFTMicrosoft CorpWeight10.13%Price$525.281M+4.69%
  4. GOOGLAlphabet Inc. Class A Common StockWeight5.34%Price$346.101M+1.74%
  5. AMZNAmazon.Com IncWeight4.76%Price$251.851M-1.87%
  6. GOOGAlphabet Inc. Class C Capital StockWeight4.21%Price$343.341M+2.18%
  7. AVGOBroadcom Inc. Common StockWeight4.11%Price$363.011M+3.06%
  8. METAMeta Platforms, Inc. Class A Common StockWeight3.39%Price$742.531M+22.73%
  9. TSLATesla, Inc. Common StockWeight2.79%Price$379.751M+3.53%
  10. LLYEli Lilly & Co.Weight2.65%Price$1145.911M-2.30%

VUG Sector Weights

How Vanguard Morningstar Growth ETF is allocated across sectors.

Technology
71.4%57
Consumer Discretionary
14.6%34
Industrials
5.6%19
Health Care
4.3%11
Finance
1.2%10
Real Estate
0.9%4
Telecommunications
0.8%2
Utilities
0.5%4
Energy
0.3%3
Consumer Staples
0.2%1
AIRCRAFT ENGINES & ENGINE PARTS
0.1%1

Complete VUG Holdings List — All Stocks in VUG by Weight

Every stock in VUG — all 146 constituents — ranked by ETF weight, with price, recent performance, and RSI. Select any ticker for its full quote, chart, and analysis.

#
1NVDANvidia CorpTechnology13.63%$240.24+2.12%+5.70%+24.19%6786$5.65T
2AAPLApple Inc.Technology12.49%$332.80-0.17%+2.47%+5.58%5487$4.87T
3MSFTMicrosoft CorpTechnology10.13%$525.28+1.45%+4.69%+33.81%6659$3.84T
4GOOGLAlphabet Inc. Class A Common StockTechnology5.34%$346.10+0.86%+1.74%-6.12%5291$4.21T
5AMZNAmazon.Com IncConsumer Discretionary4.76%$251.85-0.09%-1.87%+1.79%4875$2.71T
6GOOGAlphabet Inc. Class C Capital StockTechnology4.21%$343.34+1.00%+2.18%-6.37%5391$4.17T
7AVGOBroadcom Inc. Common StockTechnology4.11%$363.01+2.08%+3.06%-1.10%5262$1.70T
8METAMeta Platforms, Inc. Class A Common StockTechnology3.39%$742.53+1.87%+22.73%+22.11%6460$1.85T
9TSLATesla, Inc. Common StockIndustrials2.79%$379.75+2.18%+3.53%-9.17%5938$1.46T
10LLYEli Lilly & Co.Health Care2.65%$1145.91+0.28%-2.30%-7.28%4391$1.02T
11AMDAdvanced Micro DevicesTechnology2.07%$632.43-0.31%+39.41%+22.45%6999$1.03T
12VVISA Inc.Consumer Discretionary1.66%$369.50+2.33%-2.75%+6.12%5365$677.1B
13MAMastercard IncorporatedConsumer Discretionary1.27%$565.68+2.23%-4.42%+5.76%4955$483.8B
14COSTCostco Wholesale CorpConsumer Discretionary1.14%$922.00+0.33%-0.46%-4.55%5359$408.1B
15PLTRPalantir Technologies Inc. Class A Common StockTechnology1.11%$189.17+0.30%+9.80%+41.63%6259$453.6B
16LRCXLam Research CorpTechnology1.02%$346.39-0.54%+21.88%+7.26%6798$434.9B
17AMATApplied Materials IncTechnology0.99%$543.28+0.56%+25.41%-0.56%7098$428.6B
18NFLXNetFlix IncConsumer Discretionary0.93%$67.61+0.66%-18.85%-13.33%3330$279.2B
19PANWPalo Alto Networks, Inc. Common StockTechnology0.86%$406.55+0.84%+22.04%+13.03%6497$329.9B
20ORCLOracle CorpTechnology0.70%$142.85+0.42%-3.25%-0.86%4928$431.4B
21GEVGE Vernova Inc.Technology0.66%$991.20+0.13%+7.08%-9.74%5894$263.3B
22SNDKSandisk Corporation Common StockTechnology0.64%$1706.03-0.87%+10.33%+5.24%52100$251.8B
23KLACKLA Corporation Common StockTechnology0.63%$207.25+0.18%+22.06%-4.73%6796$270.0B
24CRWDCrowdStrike Holdings, Inc. Class A Common StockTechnology0.62%$273.19+0.99%+30.87%+35.87%7098$276.5B
25ANETArista NetworksTelecommunications0.58%$207.31-0.03%+11.69%+22.35%6090$261.5B
26APHAmphenol CorporationTechnology0.54%$87.41+0.67%+7.98%+7.85%6590$214.4B
27MRVLMarvell Technology, Inc. Common StockTechnology0.52%$272.66-0.33%+32.74%+15.46%6499$244.7B
28MCDMcDonald's CorporationConsumer Discretionary0.52%$233.12+0.53%-10.91%-17.89%2737$164.1B
29INTCIntel CorpTechnology0.52%$116.39-2.51%+30.04%-0.09%5699$630.8B
30STXSeagate Technology Holdings PLC Ordinary Shares (Ireland)Technology0.51%$888.90+4.44%+11.44%+8.01%5299$193.1B
31GEGE AerospaceTechnology0.49%$306.56-0.96%-7.60%-18.83%3359$321.2B
32WELLWelltower Inc.Real Estate0.47%$224.58-1.56%-6.25%-4.42%3585$164.1B
33BABoeing CompanyIndustrials0.45%$193.07-0.22%-8.20%-18.30%4044$153.0B
34NOWSERVICENOW, INC.Technology0.44%$135.91+1.24%-3.48%+22.00%5236$138.9B
35BKNGBooking Holdings Inc. Common StockConsumer Discretionary0.43%$158.31-0.49%-21.07%-14.32%3035$122.4B
36WDCWestern Digital Corp.Technology0.43%$441.75+6.27%-0.29%-17.05%4799$149.7B
37TJXTJX Companies, Inc. (The)Consumer Discretionary0.41%$134.69+1.38%+2.12%-12.63%5348$145.9B
38VRTXVertex Pharmaceuticals IncHealth Care0.39%$504.11-0.23%-9.93%-5.00%3885$127.9B
39ISRGIntuitive Surgical Inc.Health Care0.37%$406.67+3.70%+8.46%-7.51%5947$138.5B
40SBUXStarbucks CorpConsumer Discretionary0.34%$94.45-0.27%-12.01%-8.82%3472$108.0B
41TXNTexas Instruments IncorporatedTechnology0.33%$295.44+0.38%+16.99%+0.76%7195$268.3B
42SNOWSnowflake Inc.Technology0.32%$339.50-0.43%-10.14%+27.27%5692$120.3B
43FTNTFortinet, Inc.Technology0.31%$184.35+1.81%+16.91%+13.39%6798$132.8B
44EQIXEquinix, Inc. Common Stock REITReal Estate0.29%$1023.80-0.14%+0.25%+2.90%4888$101.2B
45NETCloudflare, Inc. Class A common stock, par value $0.001 per shareTechnology0.28%$361.25+3.52%+28.42%+38.71%6495$124.3B
46VRTVertiv Holdings Co Class A Common StockTechnology0.28%$255.15+1.16%-1.12%-16.78%5094$97.1B
47HWMHowmet Aerospace Inc.Industrials0.28%$229.88-0.74%-10.28%-16.70%4180$92.2B
48CDNSCadence Design SystemsTechnology0.27%$354.92+0.62%+14.90%-5.95%7257$96.8B
49PWRQuanta Services, Inc.Industrials0.26%$685.47+1.01%+11.76%+3.46%6394$101.7B
50DASHDoorDash, Inc. Class A Common StockConsumer Discretionary0.25%$191.26+1.36%-16.49%-1.32%4634$82.0B
51SNPSSynopsys IncTechnology0.24%$489.24-0.33%+16.55%+9.07%7358$93.9B
52APPApplovin Corporation Class A Common StockTechnology0.24%$282.62+5.07%-12.68%-47.86%3626$89.8B
53SPCXSpace Exploration Technologies Corp. Class A Common StockTechnology0.24%$172.40+7.79%+21.03%+7.66%69100$1.99T
54HOODRobinhood Markets, Inc. Class A Common StockFinance0.24%$114.11+1.23%+0.27%-1.44%5138$101.4B
55MSIMotorola Solutions, Inc. NewTechnology0.24%$455.90+1.78%-5.21%+6.30%4858$74.0B
56DDOGDatadog, Inc. Class A Common StockTechnology0.23%$276.75-0.36%+25.64%+7.50%7096$99.5B
57UBERUber Technologies, Inc.Consumer Discretionary0.22%$69.50+2.04%-10.16%-5.58%4334$139.1B
58MCOMoody's CorporationFinance0.22%$448.98+1.54%-9.67%-10.63%3650$76.4B
59ABNBAirbnb, Inc. Class A Common StockConsumer Discretionary0.22%$164.43+0.94%-10.95%+9.78%4889$95.8B
60ORLYO'Reilly Automotive, Inc.Consumer Discretionary0.21%$83.97-1.21%-4.39%-2.01%3938$68.7B
61ECLEcolab, Inc.Consumer Discretionary0.21%$279.56+1.23%-1.59%-3.47%5160$76.7B
62LITELumentum Holdings Inc. Common StockTelecommunications0.21%$1094.95+0.67%+24.91%+56.08%67100$97.4B
63HLTHilton Worldwide Holdings Inc.Consumer Discretionary0.21%$317.85-1.01%+1.26%-7.14%5184$71.9B
64MARMarriott International Class A Common StockConsumer Discretionary0.21%$354.82-0.83%+6.79%-6.87%5689$93.6B
65CTASCintas CorpIndustrials0.20%$193.42+1.21%-1.64%+7.76%4553$77.1B
66TDGTransDigm Group IncorporatedIndustrials0.19%$1093.00+0.21%-5.63%-19.24%3940$60.3B
67TRGPTarga Resources Corp.Utilities0.19%$285.27+2.01%-2.23%+8.60%5495$60.4B
68MNSTMonster Beverage CorporationConsumer Staples0.19%$43.47+1.33%-2.00%-11.57%4787$84.1B
69ADBEAdobe Inc.Technology0.18%$238.56+0.44%-16.36%+7.97%4234$94.5B
70GWWW.W. Grainger, Inc.Industrials0.17%$1292.72+0.51%-0.28%-6.15%5290$60.3B
71MPWRMonolithic Power Systems, Inc.Technology0.17%$1482.13+2.81%+23.25%+16.11%6994$70.8B
72FASTFastenal CoConsumer Discretionary0.17%$50.82-0.08%+5.17%+4.86%5765$58.2B
73ADSKAutodesk IncTechnology0.17%$222.23+4.48%-9.94%+2.58%5134$44.3B
74GLWCorning IncorporatedIndustrials0.17%$159.41-3.09%+11.39%-14.79%5397$141.4B
75SYKStryker CorporationHealth Care0.17%$282.46+3.21%-9.15%-13.28%4837$105.6B
76BXBlackstone Inc.Finance0.16%$111.79-0.09%-19.04%-9.29%2532$83.9B
77BEBloom Energy CorporationEnergy0.16%$287.85-0.33%+30.89%+0.05%5899$85.2B
78TERTeradyne, Inc. Common StockIndustrials0.16%$445.60-1.03%+33.55%+25.55%6899$70.2B
79CIENCiena CorporationUtilities0.16%$391.35-0.29%+9.93%-6.94%5899$55.5B
80FIXComfort Systems USA, Inc.Industrials0.16%$1722.50-0.86%+10.12%-1.98%5897$60.8B
81COHRCoherent Corp.Technology0.16%$334.39-0.73%+25.02%+3.96%6099$66.0B
82INTUIntuit IncTechnology0.15%$284.62+1.29%-19.11%+1.48%4026$75.1B
83CVNACarvana Co.Consumer Discretionary0.15%$64.17+0.22%-15.10%-9.39%4338$45.9B
84CMGChipotle Mexican Grill, Inc.Consumer Discretionary0.15%$30.89-4.57%-20.63%-11.07%3137$40.9B
85AZOAutoZone, Inc.Consumer Discretionary0.15%$2803.85+0.56%-4.62%-6.69%4132$45.2B
86VEEVVeeva Systems Inc.Technology0.14%$281.90+3.89%-0.20%+43.92%6254$44.3B
87AXONAxon Enterprise, Inc. Common StockIndustrials0.14%$412.50-0.37%-20.21%-35.42%3130$33.6B
88XYZBlock, Inc.Technology0.14%$76.19+2.78%-7.42%-3.74%4761$44.7B
89IDXXIdexx Laboratories IncHealth Care0.14%$525.85+1.63%-2.76%-7.85%5041$40.8B
90WDAYWorkday, Inc. Class A Common StockTechnology0.13%$189.81+1.46%-7.82%+32.85%5039$44.9B
91WCNWaste Connections, Inc.Utilities0.13%$153.34+0.31%-6.14%-9.58%3843$38.7B
92YUMYum! Brands, Inc.Consumer Discretionary0.13%$137.95+0.62%-9.71%-18.35%3945$37.1B
93COINCoinbase Global, Inc. Class A Common StockFinance0.13%$187.93+2.84%+3.74%+12.83%5329$48.3B
94SHWThe Sherwin-Williams CompanyConsumer Discretionary0.12%$321.23-0.33%-5.00%-9.86%4048$77.6B
95MSCIMSCI, Inc.Consumer Discretionary0.12%$552.44+3.06%-2.72%-10.46%5058$39.0B
96TEAMAtlassian Corporation Class A Common StockTechnology0.12%$196.80+4.72%+3.17%+120.68%6188$47.6B
97TTWOTake-Two Interactive Software IncTechnology0.12%$203.50+0.32%-6.22%-22.66%3838$37.9B
98MDBMongoDB, Inc. Class ATechnology0.12%$358.38+0.40%-5.16%-1.84%4468$28.8B
99DXCMDexCom, Inc.Health Care0.12%$87.31+1.84%-3.15%+17.67%5188$32.2B
100ODFLOld Dominion Freight LineIndustrials0.12%$180.54-0.64%-5.47%-18.44%4487$37.4B
101RMDResMed Inc.Health Care0.12%$222.99+1.88%-3.61%+1.60%4939$30.8B
102BSXBoston Scientific Corp.Health Care0.11%$42.41-0.47%-12.72%-6.61%3527$61.7B
103VMCVulcan Materials Company(Holding Company)Industrials0.11%$247.97+1.03%-8.17%-19.50%4139$31.5B
104RKLBRocket Lab Corporation Common StockIndustrials0.11%$73.06-1.14%+12.96%-18.88%5693$47.3B
105RCLRoyal Caribbean GroupConsumer Discretionary0.10%$275.34-0.82%+3.17%-3.84%5842$74.3B
106ALNYAlnylam Pharmaceuticals, Inc.Health Care0.10%$220.01+0.12%-17.32%-30.65%3427$29.4B
107LPLALPL Financial Holdings Inc.Finance0.10%$331.82+4.90%-6.51%+8.49%5262$24.9B
108ARESAres Management Corporation Class A Common StockFinance0.10%$117.21-0.36%-16.22%-2.64%3336$26.7B
109CRWVCoreWeave, Inc. Class A Common StockTechnology0.10%$87.79-2.45%+9.07%+4.36%5031$49.4B
110LYVLive Nation Entertainment Inc.Consumer Discretionary0.10%$171.31+1.13%-5.86%-7.51%4665$39.3B
111MTDMettler-Toledo InternationalIndustrials0.10%$1532.85+3.73%+12.02%+17.41%6682$29.8B
112ORealty Income CorporationReal Estate0.09%$53.92-0.34%-12.99%-15.52%1944$51.2B
113APOApollo Global Management, Inc.Finance0.09%$115.33+1.17%-12.69%-5.33%3144$67.3B
114VRSKVerisk Analytics, Inc. Common StockTechnology0.09%$163.29-0.37%-13.75%-15.06%3332$21.3B
115RBLXRoblox CorporationTechnology0.09%$44.58+1.12%+6.78%-22.31%5024$31.5B
116FICOFair Isaac CorporationConsumer Discretionary0.09%$689.42+4.35%-38.13%-46.75%3025$14.3B
117WSTWest Pharmaceutical Services, Inc.Health Care0.08%$376.70+3.23%+9.53%+4.52%6391$25.7B
118VRSNVeriSign IncTechnology0.08%$292.38+1.39%+0.59%+10.42%5265$26.1B
119ZSZscaler, Inc. Common StockTechnology0.08%$202.55+2.63%+12.69%+32.12%5832$32.1B
120SMCISuper Micro Computer, Inc. Common StockTechnology0.08%$43.34-1.12%+18.33%+62.49%6139$28.7B
121ALABAstera Labs, Inc. Common StockTechnology0.08%$365.73+3.47%+34.20%-10.12%6296$60.8B
122WATWaters CorpIndustrials0.07%$442.69+3.51%+5.82%+15.82%6290$41.8B
123IBKRInteractive Brokers Group, Inc. Class A Common StockFinance0.07%$89.23+0.87%-0.87%-5.70%4987$40.0B
124EXPEExpedia Group, Inc. Common StockConsumer Discretionary0.07%$261.00-1.80%-16.13%-4.19%3581$31.8B
125SBACSBA Communications CorpReal Estate0.07%$161.82+2.16%-13.53%-10.96%3141$16.8B
126RDDTReddit, Inc.Technology0.07%$150.35+1.59%-5.55%-25.10%4835$28.4B
127FLEXFlex Ltd. Ordinary SharesTechnology0.07%$117.40+0.08%+10.68%-12.17%5597$43.1B
128HEI.AHEICO CORP CL AAIRCRAFT ENGINES & ENGINE PARTS0.06%$224.94+0.02%-7.56%-15.17%3644$31.9B
129MLMMartin Marietta MaterialsIndustrials0.06%$485.57+0.67%-7.35%-19.96%4137$34.3B
130INSMInsmed, Inc.Health Care0.06%$104.41-6.56%-18.05%-8.29%3134$24.3B
131SUNBSunbelt Rentals Holdings, Inc.Consumer Discretionary0.06%$77.41+0.38%+14.16%+8.18%590$31.6B
132TWTradeweb Markets Inc. Class A Common StockFinance0.05%$107.04+4.81%+2.89%+5.17%6157$21.6B
133LVSLas Vegas Sands Corp.Consumer Discretionary0.05%$36.62+0.99%-18.12%-21.23%2132$23.5B
134TPLTexas Pacific Land CorporationEnergy0.05%$345.16+1.32%-6.88%-14.88%4666$23.5B
135ROLRollins, Inc.Consumer Discretionary0.04%$29.75-1.19%-17.67%-31.83%2528$14.5B
136HEIHEICO CorporationIndustrials0.04%$302.00-0.29%-7.37%-17.30%3749$42.4B
137FSLRFirst Solar, Inc.Technology0.04%$175.80+0.82%-12.87%-25.32%3836$18.8B
138EQTEQT CORPEnergy0.04%$51.27+2.37%-8.57%-1.26%4745$31.4B
139CSGPCoStar Group IncFinance0.04%$27.74+1.00%-13.13%-6.77%3924$11.1B
140BURLBURLINGTON STORES, INC.Consumer Discretionary0.04%$274.82-1.28%+5.19%-13.70%5266$17.3B
141ASTSAST SpaceMobile, Inc. Class A Common StockConsumer Discretionary0.03%$58.59+0.03%-7.11%-26.10%4557$17.5B
142TKOTKO Group Holdings, Inc.Consumer Discretionary0.03%$175.60+0.83%-7.64%-9.21%3744$12.8B
143CBRSCerebras Systems Inc. Class A Common StockTechnology0.03%$182.81+9.06%+0.06%-1.86%450$47.1B
144VGVenture Global, Inc.Utilities0.03%$13.46+3.04%-8.38%+22.16%4846$32.8B
145LULUlululemon athletica inc.Consumer Discretionary0.03%$93.07-1.40%-23.12%-20.63%3228$10.5B
146SYMSymbotic Inc. Class A Common StockIndustrials0.02%$42.84-0.96%+6.38%-2.72%5135$5.6B

VUG Holdings FAQ

What is the VUG ETF?

VUG is Vanguard Morningstar Growth ETF, an exchange-traded fund holding 146 stocks weighted by market capitalization. It packages its underlying basket of companies into a single security, giving investors diversified exposure in one trade.

What are the top holdings of VUG?

The five largest VUG holdings by weight are currently NVDA, AAPL, MSFT, GOOGL, AMZN. Because VUG is market-cap weighted, its biggest constituents carry the largest weights and have the most influence on the fund's daily moves.

How many stocks does VUG hold?

This snapshot lists 146 holdings for VUG. The count shifts as the fund is rebalanced or reconstituted and as share classes are included.

How concentrated is VUG?

The top 10 VUG holdings account for roughly 63.5% of the fund. Market-cap weighting means a small group of the largest companies can drive a meaningful share of performance.

Which sector does VUG weight the most?

Technology is the largest sector weight in VUG at about 71.4% across 57 holdings. Sector weights shift over time as constituent prices and membership change.

How often do VUG holdings change?

VUG holdings update as the fund is rebalanced or reconstituted and as daily price moves shift each constituent's market-cap weight. The list on this page reflects the latest available holdings snapshot.