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VGHCX

Vanguard Health Care Fund Investor Shares
1W: -2.6% 1M: -5.6% 3M: -2.5% YTD: -0.6% 1Y: +7.0% 3Y: +19.7% 5Y: +19.8%
$203.46
-0.50 (-0.25%)
 
Weekly Expected Move ±2.0%
$196 $200 $204 $208 $212
ETF NASDAQ · AUM $38.9B
Total Changes (90d)
88
New Holdings
11
Removed Holdings
16
358 changes · Page 1 of 8
Date Holding Name Ticker Change Type Old Value New Value
2026-07-31 AMGN AMGN New — 712834 shares
2026-07-31 IMNM IMNM shares 2776580 2866201
2026-07-31 KLRA KLRA New — 2191928 shares
2026-07-31 DFTX DFTX New — 740600 shares
2026-07-31 CNC CNC New — 6106988 shares
2026-07-31 ZBIO ZBIO New — 61045 shares
2026-07-31 TECH TECH Removed 2457340 shares —
2026-07-31 AVTR AVTR Removed 20480758 shares —
2026-07-31 NAMS NAMS Removed 3953142 shares —
2026-07-31 MLYS MLYS Removed 1858489 shares —
2026-07-31 NUVL NUVL Removed 1054377 shares —
2026-07-31 CRARY CRARY Removed 5000000 shares —
2026-07-31 SLNO SLNO Removed 3012287 shares —
2026-07-31 BBIO BBIO New — 2639317 shares
2026-07-31 NTRA NTRA Removed 736352 shares —
2026-07-31 APGE APGE Removed 1908531 shares —
2026-07-31 STE STE shares 1092821 1126852
2026-07-31 CAH CAH shares 2404934 2904627
2026-07-31 SYK SYK shares 859306 1087087
2026-07-31 PTCT PTCT shares 2038232 2047866
2026-07-31 TMO TMO shares 584227 633180
2026-07-31 ACHC ACHC shares 6390349 3007863
2026-07-31 ALHC ALHC shares 8043737 7817714
2026-07-31 ROP.SW ROP.SW shares 1122465 1029839
2026-07-31 ISRG ISRG shares 2025229 2318800
2026-07-31 EW EW shares 14827809 10687609
2026-07-31 EHC EHC shares 1600016 1422089
2026-07-31 RCUS RCUS shares 4124859 3445827
2026-07-31 CVS CVS shares 9756578 9741345
2026-07-31 SRRK SRRK shares 3679027 3466533
2026-07-31 ABBV ABBV shares 2173835 2356112
2026-07-31 BSX BSX shares 14461266 11271501
2026-07-31 DNTH DNTH shares 1460509 1503955
2026-07-31 IMCR IMCR shares 3657808 4246274
2026-07-31 MRK MRK shares 17789747 18306247
2026-07-31 GSK.L GSK.L shares 45301487 44002585
2026-07-31 4523.T 4523.T shares 8514317 7339417
2026-07-31 4568.T 4568.T shares 20445366 22675166
2026-07-31 MDGL MDGL shares 444138 521926
2026-07-31 REGN REGN shares 674613 1034477
2026-07-31 UCB.BR UCB.BR shares 2773167 2229517
2026-07-31 LLY LLY shares 3658891 2861509
2026-07-31 4519.T 4519.T shares 8606142 8264744
2026-07-31 OPCH OPCH shares 5635025 7278969
2026-07-31 PTGX PTGX shares 1558095 1380445
2026-07-31 CGON CGON shares 2932852 2860428
2026-07-31 4507.T 4507.T shares 20439649 21427449
2026-07-31 ELV ELV shares 1879405 1858361
2026-07-31 HTFL HTFL shares 5653523 5795579
2026-07-31 XENE XENE Removed 3214968 shares —
1 2 3 ... 8 Next →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms