Vanguard U.S. Growth Fund
as of:
Stock Holdings

117 Holdings
1-50 of 117 |   Next>

Holding Shares Market Value
salesforce.com Inc.1,872,130$563,848,113
ZoomInfo Technologies Inc. Class A2,489,248$39,902,645
Zoetis Inc.1,341,811$227,047,839
YETI Holdings Inc.1,638,790$63,175,355
Workday Inc. Class A1,517,265$413,834,029
Welltower Inc.2,716,232$253,804,718
Wayfair Inc.2,247,213$152,540,818
Watsco Inc.456,210$197,069,034
Waste Connections Inc.641,903$110,413,735
Walt Disney Co.1,111,299$135,978,546
Visa Inc. Class A1,632,317$455,547,028
Vertex Pharmaceuticals Inc.917,427$383,493,660
UnitedHealth Group Inc.1,077,674$533,125,328
Uber Technologies Inc.7,433,026$572,268,672
TransUnion3,318,122$264,786,136
Trade Desk Inc. Class A9,018,546$788,401,291
Tesla Inc.2,872,852$505,018,653
TJX Cos. Inc.2,628,170$266,549,001
Sweetgreen Inc. Class A6,063,472$153,163,303
Stryker Corp.271,670$97,222,543
Sprout Social Inc. Class A1,524,082$91,002,936
Spotify Technology SA434,935$114,779,347
Snowflake Inc. Class A1,831,114$295,908,022
Shopify Inc. Class A11,351,074$875,962,381
ServiceNow Inc.354,754$270,464,450
Sana Biotechnology Inc.2,452,970$24,529,700
Samsara Inc. Class A2,839,273$107,296,127
S&P Global Inc.716,849$304,983,407
Roku Inc.1,592,072$103,755,332
Rivian Automotive Inc. Class A1,612,154$17,653,086
Recursion Pharmaceuticals Inc. Class A3,591,730$35,809,548
ROBLOX Corp.3,964,289$151,356,554
Prologis Inc.1,214,736$158,182,922
Progressive Corp.1,650,219$341,298,294
Pinterest Inc. Class A4,782,134$165,796,586
Penumbra Inc.317,998$70,970,794
Palo Alto Networks Inc.365,007$103,709,439
Oddity Tech Ltd. Class A1,364,218$59,275,272
O'Reilly Automotive Inc.47,912$54,086,899
Novo Nordisk A/S ADR2,191,784$281,425,066
Netflix Inc.1,793,327$1,089,141,287
NVIDIA Corp.3,925,712$3,547,116,335
NU Holdings Ltd./Cayman Islands Class A11,766,292$140,371,864
NIKE Inc. Class B1,202,798$113,038,956
Morgan Stanley1,994,987$187,847,976
Monolithic Power Systems Inc.451,037$305,541,485
MongoDB Inc.758,295$271,954,919
Moderna Inc.2,904,355$309,488,069
Microsoft Corp.8,886,246$3,738,621,417
Microchip Technology Inc.2,945,311$264,223,850
117 Holdings
1-50 of 117 |   Next>

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