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VITAX

Vanguard Information Technology Index Fund Admiral Shares
1W: -0.1% 1M: +10.9% 3M: +21.6% YTD: +18.6% 1Y: +45.9% 3Y: +136.5% 5Y: +163.3%
$456.73
-2.57 (-0.56%)
 
Weekly Expected Move ±2.9%
$444 $458 $472 $486 $499
ETF NASDAQ · AUM $145.7B
Key Statistics
AUM$145.7B
Holdings321
Top 10 Wt59.4%
Volume0
Avg Volume0
Beta1.29
Portfolio Fundamentals
P/E27.9
P/B13.2
Div Yield0.57%
ROE54.1%
% Profitable62%
Inception2004-02-02
Sector Allocation
Technology 98.3%
Industrials 0.6%
Financial Services 0.6%
Other 0.4%
Energy 0.3%
Communication Services 0.0%
+2 more
Top 10 Holdings
# Name Ticker Weight % Market Value Shares
1 NVIDIA Corp NVD.DE 16.68% $21.7B 122,445,532
2 Apple Inc AAPL.DE 15.37% $20.0B 71,614,512
3 Microsoft Corp 4338.HK 12.48% $16.2B 32,953,851
4 Broadcom Inc 1YD.DE 5.25% $6.8B 16,935,956
5 Palantir Technologies Inc PTX.F 1.86% $2.4B 14,362,700
6 Advanced Micro Devices Inc AMD.SW 1.74% $2.3B 10,381,556
7 Oracle Corp ORCL.SW 1.67% $2.2B 10,757,397
8 Cisco Systems Inc 4333.HK 1.53% $2.0B 25,762,412
9 International Business Machines Corp IBM.L 1.44% $1.9B 6,069,890
10 Micron Technology Inc MTE.DE 1.34% $1.7B 7,342,961

Recent Holding Changes

Date Holding Change Details
2026-05-18 EPAM Changed 936128 → 941248
2026-05-18 RNG Changed 1774392 → 1783714
2026-05-18 PANW Changed 5479278 → 5508520
2026-05-18 AUR Changed 24425351 → 24545692
2026-05-18 AMBA Changed 991299 → 996558

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