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VMGMX

Vanguard Mid-Cap Growth Index Fund Admiral Shares
1W: -4.6% 1M: -10.3% 3M: -11.9% YTD: -11.2% 1Y: +2.6% 3Y: +36.4% 5Y: +22.8%
$112.54
+0.49 (+0.44%)
 
Weekly Expected Move ±2.6%
$103 $106 $109 $111 $114
ETF NASDAQ · AUM $31.9B
ETF-Level Metrics
AUM$31.9B
Holdings119
Top 10 Wt21.8%
Beta1.25
% Profitable85%
Coverage100%
Portfolio Valuation
P/E41.1
P/B7.9
P/S5.1
EV/EBITDA22.8
P/FCF33.5
PEG2.05
Profitability & Returns
Gross Margin57.4%
Net Margin11.6%
ROE19.1%
ROA5.5%
ROIC13.4%
Div Yield0.92%
Leverage & Liquidity
Debt/Equity1.07
Debt/Assets0.31
Net Debt/EBITDA1.4x
Interest Cov5.8x
Current Ratio1.16
Quick Ratio1.05
Growth (YoY)
Revenue+14.8%
Net Income+18.6%
EPS+18.6%
FCF+32.1%
EBITDA+18.3%
Rev CAGR 3Y+13.6%
Quality Scores
Piotroski F6.5
Altman Z7.66
IS Quality70.0
IS Overall59.9
IS Value39.0
Median P/E30.8

Sector Breakdown

12 sectors
Sector # Holdings Total Weight % Avg P/E
Industrials 23 24.3% 24.5
Technology 30 22.9% -17.5
Consumer Cyclical 16 13.8% 21.7
Healthcare 14 10.8% 36.1
Financial Services 12 8.0% -22.0
Real Estate 6 5.0% 449.0
Communication Services 6 4.7% 48.3
Utilities 2 4.2% 45.6
Energy 6 3.1% 25.6
Basic Materials 2 2.1% 32.9
Consumer Defensive 2 1.0% -55.3
Other 6 0.2%

Smart Money Overlap

6 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
HOOD Robinhood Markets, Inc. 1.56% 4 Bullish 11 2 -0.6%
AME AMETEK, Inc. 1.44% 4 Bullish 17 1 +2.6%
WAT Waters Corporation 0.82% 4 Bullish 24 1 +0.6%
VRSK Verisk Analytics, Inc. 0.76% 4 Bullish 12 1 +1.4%
LULU Lululemon Athletica Inc. 0.52% 4 Bullish 12 1 -1.9%
VRSN VeriSign, Inc. 0.50% 4 Bullish 3 1 +14.0%
Showing 50 of 125 holdings · Page 1 of 3
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 Howmet Aerospace Inc HWM 2.76% $876.4M 3,338,326 62.0 $93.7B Industrials
2 Constellation Energy Corp CEG 2.69% $855.7M 2,593,911 36.8 $85.2B Utilities
3 Vertiv Holdings Co VRT 2.55% $809.2M 3,174,561 75.0 $100.0B Industrials
4 Seagate Technology Holdings PLC STX 2.28% $723.2M 1,773,174 46.9 $93.6B Technology
5 Quanta Services Inc PWR 2.19% $697.2M 1,238,115 82.7 $83.9B Industrials
6 Motorola Solutions Inc MSI 2.10% $666.9M 1,382,907 33.9 $73.1B Technology
7 Royal Caribbean Cruises Ltd RCL 1.99% $633.7M 2,037,906 17.4 $74.6B Consumer Cyclical
8 TransDigm Group Inc TDG 1.92% $609.2M 467,611 34.5 $65.9B Industrials
9 Ross Stores Inc ROST 1.75% $555.3M 2,700,347 32.8 $71.2B Consumer Cyclical
10 Realty Income Corp O 1.61% $511.7M 7,637,965 53.2 $58.0B Real Estate
11 DoorDash Inc DASH 1.59% $506.1M 2,867,725 72.4 $68.0B Communication Services
12 Robinhood Markets Inc HOOD 1.56% $495.2M 6,529,123 32.9 $62.0B Financial Services
13 Vistra Corp VST 1.54% $489.2M 2,813,272 54.4 $51.2B Utilities
14 AMETEK Inc AME 1.44% $457.2M 1,911,386 33.9 $50.0B Industrials
15 Fastenal Co FAST 1.38% $438.9M 9,532,160 42.2 $53.2B Industrials
16 IDEXX Laboratories Inc IDXX 1.37% $435.4M 663,003 43.1 $45.3B Healthcare
17 Monolithic Power Systems Inc MPWR 1.36% $431.8M 377,885 88.1 $54.9B Technology
18 WW Grainger Inc GWW 1.35% $429.4M 375,068 31.1 $52.9B Industrials
19 Cloudflare Inc NET 1.35% $428.2M 2,486,648 -726.0 $74.4B Technology
20 Targa Resources Corp TRGP 1.32% $420.3M 1,782,324 28.5 $52.5B Energy
21 Edwards Lifesciences Corp EW 1.31% $416.6M 4,818,223 44.0 $47.1B Healthcare
22 Yum! Brands Inc YUM 1.22% $387.7M 2,305,349 27.8 $43.3B Consumer Cyclical
23 Carvana Co CVNA 1.17% $372.8M 1,115,530 31.6 $68.0B Consumer Cyclical
24 Waste Connections Inc WCN 1.15% $365.9M 2,125,747 39.3 $42.5B Industrials
25 Alnylam Pharmaceuticals Inc ALNY 1.15% $365.2M 1,096,943 134.4 $42.3B Healthcare
26 ROBLOX Corp RBLX 1.12% $354.7M 5,165,402 -39.6 $42.6B Technology
27 Garmin Ltd GRMN 1.08% $343.2M 1,357,416 27.5 $45.7B Technology
28 Vulcan Materials Co VMC 1.07% $340.1M 1,097,087 34.2 $36.5B Basic Materials
29 MSCI Inc MSCI 1.07% $338.9M 592,695 35.0 $40.0B Financial Services
30 Martin Marietta Materials Inc MLM 1.07% $338.8M 500,732 31.7 $36.0B Basic Materials
31 Axon Enterprise Inc AXON 1.06% $337.6M 622,434 265.7 $33.2B Industrials
32 Ventas Inc VTR 1.06% $336.0M 3,900,179 156.1 $39.6B Real Estate
33 Microchip Technology Inc MCHP 1.05% $334.9M 4,487,334 -366.2 $35.5B Technology
34 Old Dominion Freight Line Inc ODFL 1.00% $317.3M 1,562,529 40.6 $41.4B Industrials
35 Coinbase Global Inc COIN 1.00% $316.5M 1,799,713 36.5 $46.2B Financial Services
36 ResMed Inc RMD 0.98% $310.6M 1,211,957 22.1 $32.7B Healthcare
37 Take-Two Interactive Software Inc TTWO 0.97% $308.2M 1,457,506 -9.2 $37.0B Communication Services
38 Datadog Inc DDOG 0.95% $302.5M 2,702,162 392.0 $42.6B Technology
39 Hilton Worldwide Holdings Inc HLT 0.95% $300.9M 964,954 49.4 $70.9B Consumer Cyclical
40 Marvell Technology Inc MRVL 0.92% $292.4M 3,579,016 34.0 $93.6B Technology
41 Block Inc XYZ 0.91% $289.7M 4,547,296 28.1 $36.3B Technology
42 Agilent Technologies Inc A 0.90% $285.3M 2,350,198 25.3 $32.7B Healthcare
43 Cintas Corp CTAS 0.90% $285.2M 1,418,089 36.1 $69.7B Industrials
44 Copart Inc CPRT 0.87% $275.5M 7,233,693 20.7 $32.3B Industrials
45 Carnival Corp CCL 0.87% $275.3M 8,724,704 11.4 $35.5B Consumer Cyclical
46 Extra Space Storage Inc EXR 0.84% $266.2M 1,762,295 29.1 $28.3B Real Estate
47 Teledyne Technologies Inc TDY 0.84% $265.5M 389,832 32.9 $28.9B Technology
48 Fair Isaac Corp FICO 0.83% $263.6M 187,015 39.3 $25.9B Technology
49 Xylem Inc/NY XYL 0.82% $261.9M 2,021,528 30.8 $29.5B Industrials
50 Waters Corp WAT 0.82% $259.7M 813,019 28.2 $18.1B Healthcare

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