ETF Components for IVOG - Vanguard S&P Mid-Cap 400 Growth ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
EME A 2.16 1.40
CSL C 2.27 1.31
LII A 4.04 1.30
WSM C -1.46 1.16
WSO A 2.41 1.11
MANH D 0.12 1.09
DT D 2.70 1.08
RS B 0.92 1.06
RBA A 1.71 1.05
OC A 1.78 1.04
PSTG D 3.58 1.04
TOL B 0.30 1.01
CASY A 0.59 0.99
TPL A 4.47 0.99
FIX A 2.88 0.94
GGG B 1.22 0.93
SAIA B 3.62 0.88
TTEK F 1.42 0.88
TXRH B -0.44 0.86
NVT B 4.97 0.84
NBIX C 1.39 0.82
CLH C 1.03 0.79
ITT A 2.14 0.77
BWXT B 2.71 0.75
LECO C 2.62 0.74
DUOL A 3.16 0.74
FND D 3.42 0.74
WMS F 0.02 0.71
BLD D 2.89 0.71
OVV B 1.86 0.70
CHDN B 1.72 0.69
WWD C 0.36 0.66
ONTO F 2.83 0.66
IBKR A 2.05 0.66
EXP B 2.94 0.65
SRPT F -0.32 0.65
EXEL B 0.52 0.64
KNSL B 2.43 0.64
PRI B 0.78 0.63
BURL B 1.43 0.63
NYT D 2.38 0.62
HLI A 0.91 0.62
MUSA B 1.20 0.61
RPM A 1.39 0.60
MORN B 1.28 0.60
AIT B 1.31 0.60
PEN B 0.54 0.60
FN C 1.64 0.59
ENSG C 1.86 0.59
CW C 1.69 0.58
PR B 3.43 0.58
WING D 1.56 0.57
AXTA B 2.29 0.56
TPX B 1.66 0.56
LNW F 2.09 0.56
HRB D 0.57 0.56
ELS C 0.24 0.56
SKX D 2.07 0.55
RBC A 0.00 0.55
OLED F 0.70 0.54
MEDP D 4.82 0.54
PCTY C 3.31 0.54
CR A 2.33 0.52
AAON B 2.66 0.52
EQH C 0.15 0.52
TREX C 2.12 0.52
CHRD D 1.94 0.52
RNR C 0.13 0.51
SSD F 1.26 0.51
LNTH D 1.01 0.51
UFPI C 1.47 0.50
UTHR C 0.83 0.50
RRC B 1.17 0.49
HLNE B 1.90 0.49
EWBC A 1.26 0.49
WEX D 0.78 0.48
XPO B 2.16 0.48
LSCC D 2.98 0.47
ESAB C 2.83 0.47
RGEN D 2.06 0.47
BMRN F 1.42 0.47
FCN F -0.40 0.46
COKE C 0.66 0.45
PLNT A 1.77 0.45
AMH C 0.24 0.45
LAMR C 1.36 0.45
ANF F 3.48 0.45
RYAN A 1.20 0.45
EVR B 2.73 0.44
MSA F -0.02 0.44
H B 0.76 0.44
ATR B 0.68 0.44
ACM B 2.82 0.44
AVTR F 1.09 0.43
CROX D 3.27 0.43
HALO F -0.13 0.43
ALTR B -0.02 0.42
MTDR B 1.66 0.41
SCI B 0.83 0.41
DBX B 2.79 0.41
GLPI C 0.22 0.40
CUBE C 0.60 0.40
ELF C 2.92 0.40
DKS D 3.84 0.40
WFRD D 3.51 0.39
OLLI D 3.64 0.38
VNT C 2.49 0.38
DTM A 5.53 0.37
SFM A 2.20 0.36
CNX A 1.32 0.35
RMBS B 2.91 0.35
EGP D -1.01 0.35
VVV D 0.21 0.35
FIVE F 0.47 0.35
WTS B 2.05 0.35
CCK D 0.81 0.35
RGLD C -0.28 0.34
DCI B 1.12 0.34
CG B 3.05 0.34
GTLS A 4.42 0.34
CNM D -0.40 0.33
CHE D 1.88 0.33
CELH F 4.84 0.32
AYI B 1.52 0.32
BYD B -0.33 0.32
APPF B 2.64 0.32
BCO F 0.78 0.31
CACI D 4.52 0.31
WH B 1.78 0.31
WAL B 2.37 0.31
WTRG B 1.08 0.31
QLYS B 2.14 0.30
WLK D 0.98 0.30
CIVI D 1.32 0.30
GNTX C 1.29 0.30
OHI C 0.65 0.30
GXO B 2.56 0.30
EHC B 0.48 0.30
BRBR A 2.80 0.30
LSTR D 0.04 0.29
LFUS D 0.60 0.29
MTSI B 2.96 0.28
CVLT B -0.16 0.28
KBR F 3.70 0.28
MTN C 2.49 0.28
FBIN D 1.15 0.28
RLI A 1.15 0.28
MASI B 2.53 0.27
CBT D 1.36 0.27
ACHC F -1.30 0.27
LOPE C 0.45 0.27
TTC C 2.37 0.27
LPX B 2.70 0.27
NEU D -0.38 0.27
ALV C 1.33 0.27
MMS F -6.92 0.26
EXLS B 2.88 0.26
KNF B 2.26 0.26
PSN D 4.29 0.25
REXR F -1.66 0.25
SEIC B 0.31 0.25
CIEN C 2.54 0.25
BRKR D 5.34 0.25
HQY A 1.64 0.25
MIDD C 2.16 0.24
NOVT D -0.13 0.24
BRX A 0.34 0.24
CHX C 1.89 0.24
CRUS D 2.33 0.23
SLAB F 1.86 0.23
VAL F 1.04 0.23
STAG D 0.36 0.23
CFR B 1.26 0.23
WMG D -7.40 0.23
BC C 3.42 0.22
MKSI C 4.95 0.22
PNFP B 0.83 0.22
FR D -0.15 0.22
TKO A 3.09 0.22
MAT D 0.16 0.21
TDC D 1.33 0.21
INGR C 1.41 0.21
FLS B 0.27 0.21
ROIV C 2.87 0.21
VOYA B 0.94 0.21
PK C 3.38 0.20
NNN C -0.52 0.20
CBSH B 1.18 0.20
CGNX D 0.38 0.20
SIGI C 0.42 0.20
KEX B -0.38 0.19
AM A 2.27 0.19
KBH D -0.23 0.19
JAZZ B 4.91 0.19
DOCS C -3.81 0.18
CYTK F -4.39 0.18
COTY F 0.70 0.18
MTG C 0.97 0.17
DLB B -2.11 0.17
SAIC F 1.41 0.17
TNL A 2.29 0.16
HWC B 1.10 0.16
HXL F 1.64 0.16
ARWR D -2.30 0.16
SHC F -6.06 0.16
OZK B 1.38 0.16
EXPO D 0.86 0.16
OPCH D 2.79 0.15
HAE C 0.60 0.15
EEFT B 1.44 0.15
TKR D 1.73 0.14
EPR C 1.17 0.14
RH C 2.35 0.14
IDA A 0.71 0.14
FFIN B 1.99 0.13
BLKB B 2.83 0.13
YETI D 3.41 0.13
SLM A 3.71 0.13
MSM C 3.43 0.13
MUR D 0.52 0.13
TEX F 1.44 0.13
OLN F 2.96 0.13
POWI F 2.09 0.12
IRDM D 2.01 0.12
WEN D 1.06 0.12
GATX A 2.99 0.12
RYN D 0.43 0.11
LANC C 1.38 0.11
ENS F 0.83 0.11
CDP C 1.53 0.10
CAR C 2.60 0.10
NSA C 0.59 0.10
HGV C 1.62 0.10
CHH A 1.88 0.10
COLM C 1.11 0.09
AZTA D 1.97 0.09
AMED F 0.18 0.09
NSP F 0.93 0.09
SMG C 1.72 0.09
IBOC B 2.52 0.09
CPRI F -1.70 0.08
VC F 3.28 0.08
ALGM D 3.03 0.08
SAM C -0.61 0.08
IPGP D 1.75 0.07
LIVN F 3.30 0.07
ZI D -2.35 0.07
SYNA C 2.88 0.07

Recent News for Vanguard S&P Mid-Cap 400 Growth ETF & its Holdings

Date Stock Title
Nov 22 DKS DICK'S Sporting Goods: Betting On Margin Expansion And Valuation
Nov 21 CYTK Why Is Cytokinetics, Incorporated (CYTK) Among the Worst Performing Biotech Stocks in 2024?
Nov 21 BMRN Why Is BioMarin Pharmaceutical Inc. (BMRN) Among the Worst Performing Biotech Stocks in 2024?
Nov 21 BURL Ross Stores (ROST) Q3 Earnings Surpass Estimates
Nov 21 VVV Valvoline Inc. to participate in Morgan Stanley Global Consumer and Retail Conference
Nov 21 ANF Gap CEO: Holidays are off to a 'strong' start, monitoring potential tariffs
Nov 21 WMG Warner Music Group files for automatic mixed securities shelf.
Nov 21 CELH Do Redditors Think That Celsius Holdings Inc. (CELH) Has a Big Upside Potential?
Nov 21 WMG Warner Music Group (WMG) Q4 2024 Earnings Call Transcript
Nov 21 EME EMCOR Group, Inc. (EME) Gains Stifel’s Buy Rating with Strong Data Center and Manufacturing Prospects
Nov 21 CELH Prediction: Celsius Holdings Will Soar Over the Next 3 Years. Here's 1 Reason Why.
Nov 21 BMRN BioMarin: Challenges Mount, But Sale Rumors Make For A Risky 'Buy' Call
Nov 21 ANF 4 Retail Stocks Primed to Beat Earnings Estimates This Season
Nov 21 WSM Stock Of The Day: Williams-Sonoma Gaps Up, Stalls Out
Nov 21 H Rio Hotel & Casino Las Vegas Officially Joins the Destination by Hyatt Brand and Completes Phase One of its $340 Million Transformation
Nov 21 WMG Why Warner Music Group (WMG) Shares Are Plunging Today
Nov 21 WMG Why Warner Music Group (WMG) Shares Are Trading Lower Today
Nov 21 ENSG Compelling Reasons to Hold on to Ensign Group Stock Now
Nov 21 PSN Mastercard Expands in Senegal With New Prepaid Card Launch
Nov 21 WFRD Are Investors Undervaluing Weatherford International plc (NASDAQ:WFRD) By 20%?
The investment seeks to track the performance of a benchmark index that measures the investment return of mid-capitalization growth stocks in the United States. The fund employs an indexing investment approach designed to track the performance of the S&P MidCap 400® Growth Index, which represents the growth companies of the S&P MidCap 400 Index. The index measures the performance of mid-capitalization growth stocks. It attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index.
Exchange Traded Fund ETF Stock Market Index Midcap S&P 400 S&P Mid Cap 400 Low Volatility Index
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