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VIGIX

Vanguard Growth Index Fund Institutional Shares
1W: -1.2% 1M: +5.3% 3M: +12.8% YTD: +7.8% 1Y: +27.1% 3Y: +109.1% 5Y: +103.1%
$270.44
+0.21 (+0.08%)
 
Weekly Expected Move ±2.0%
$262 $268 $273 $279 $284
ETF NASDAQ · AUM $365.6B
Key Statistics
AUM$365.6B
Holdings153
Top 10 Wt64.8%
Volume0
Avg Volume0
Beta1.22
Portfolio Fundamentals
P/E37.7
P/B17.9
Div Yield0.40%
ROE53.7%
% Profitable85%
Inception1998-05-14
Sector Allocation
Technology 53.5%
Communication Services 17.3%
Consumer Cyclical 12.1%
Healthcare 4.6%
Financial Services 4.3%
Industrials 3.6%
+6 more
Top 10 Holdings
# Name Ticker Weight % Market Value Shares
1 NVIDIA Corp NVDA 13.32% $48.7B 243,893,110
2 Apple Inc AAPL 11.52% $42.1B 155,123,166
3 Microsoft Corp MSFT 8.76% $32.0B 78,487,299
4 Alphabet Inc GOOGL 6.48% $23.7B 61,545,589
5 Broadcom Inc AVGO 5.19% $19.0B 45,444,863
6 Amazon.com Inc AMZN 5.11% $18.7B 70,439,707
7 Alphabet Inc GOOG 5.11% $18.7B 48,842,839
8 Meta Platforms Inc META 3.88% $14.2B 23,164,163
9 Tesla Inc TSLA 3.12% $11.4B 29,837,692
10 Eli Lilly & Co LLY 2.31% $8.4B 9,014,514

Recent Holding Changes

Date Holding Change Details
2026-05-18 MA Changed 8468641 → 8512807
2026-05-18 SPGI Changed 1647720 → 1656276
2026-05-18 AZO Changed 189104 → 190013
2026-05-18 MCO Changed 1699139 → 1707926
2026-05-18 VRT Changed 4244868 → 4266987

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