ETF Components for VFVA - Vanguard Wellington Fund 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
T A 0.90 1.01
MO A 0.43 1.00
FDX B 1.34 0.89
GM B 1.55 0.87
XOM A 1.01 0.86
VZ C 0.68 0.80
BAC A 1.74 0.76
HCA F -2.11 0.76
EOG A 0.37 0.75
CVS D -0.03 0.74
TFC B 1.83 0.73
C B 1.15 0.72
USB A 2.31 0.71
PSX C 0.49 0.71
CVX A 0.47 0.70
SLB C 1.45 0.69
CMCSA B 0.85 0.68
F C 0.28 0.68
VLO C 0.57 0.66
INTC C 1.72 0.66
COF B 1.46 0.66
CI D 0.74 0.66
COP B 0.64 0.65
UNM A 3.81 0.60
WFC A 2.39 0.59
MU D 2.73 0.59
MPC C 0.72 0.56
JPM B 1.10 0.54
FI A 0.32 0.53
MET A 2.54 0.52
AIG D 0.96 0.51
OXY D 1.22 0.50
BK B 0.99 0.50
CB D 0.73 0.48
TRV B 1.31 0.48
BMY B 0.17 0.46
ESNT D 0.27 0.45
GILD B 0.56 0.44
GS B 2.44 0.44
FCX F -0.50 0.43
ARW D 1.41 0.43
MDT D 0.92 0.42
HPQ B 2.49 0.42
PCAR C 3.89 0.42
R B 1.01 0.41
AL B 2.47 0.41
RPRX D 1.39 0.41
DIS B 1.08 0.40
NEM D 0.05 0.40
BERY C 1.61 0.38
NUE D 0.18 0.38
PFE F -0.19 0.36
WMB A 1.79 0.35
MCK A 1.03 0.35
GT C -0.22 0.34
COLB B 3.44 0.34
CIVI F 1.92 0.33
FOX A -0.14 0.33
SYF B 1.03 0.33
PNC B 1.61 0.33
LNC B 1.56 0.32
HPE B 2.41 0.32
MS B 2.53 0.32
DHI D 0.26 0.31
CE F 0.99 0.30
LYB F 0.23 0.30
GTES A 0.09 0.30
FANG C 1.68 0.30
TMUS B 0.23 0.30
MUR D 0.85 0.29
BDX F 1.13 0.29
UAL A -0.59 0.29
RDN D 0.63 0.28
MTG C 0.65 0.28
MHK D 2.06 0.28
PRU B 1.76 0.28
PRDO B 1.74 0.28
BG D 0.94 0.27
OI D 2.07 0.27
TGT F 0.28 0.27
STBA B 2.10 0.26
ATKR D -1.73 0.26
CAH B 1.51 0.26
AXS A 1.24 0.26
GD D 0.40 0.26
OVV B 2.34 0.26
AZO C 0.99 0.26
ALLY C 3.22 0.25
VTRS A 0.57 0.25
AVT C 1.00 0.25
TTMI B 0.39 0.25
BWA D 0.33 0.25
PRGO C -0.26 0.24
PYPL B 0.11 0.24
SNX C 0.63 0.24
INSW F -1.48 0.24
CCL A 1.57 0.23
ADM D 0.49 0.23
MOS D 1.61 0.23
ALK A -0.66 0.23
DXC C 2.17 0.23
HRI C 0.52 0.22
FIS C 0.26 0.22
APA F 0.61 0.22
SM C 1.39 0.22
LEG F 0.40 0.22
MLI B 1.73 0.22
WBS A 1.80 0.22
CNC F 0.09 0.22
UHAL D 2.65 0.22
BHF B 0.70 0.22
M F 1.48 0.22
KR B 0.97 0.22
AMG B 1.00 0.21
WHR B 1.01 0.21
WAFD B 1.25 0.21
ASO F 0.10 0.21
SON D 0.00 0.21
KBH D 0.92 0.21
PTEN C 2.40 0.21
CLF F 0.43 0.21
MATX B -0.30 0.21
TPH D 1.08 0.21
TNL B 1.15 0.21
PVH D 1.51 0.21
TEX D 1.36 0.21
ONB B 1.86 0.21
AMR C 1.40 0.20
SNV B 1.06 0.20
TGNA B 1.49 0.20
DBX C 1.34 0.20
ZI C 0.85 0.20
ACGL D 2.71 0.20
TROX D 1.97 0.20
GPOR A 3.92 0.20
WCC B 2.70 0.20
RNR C -0.26 0.20
DAL A 1.89 0.20
SIRI D -0.95 0.20
FFBC B 3.00 0.20
ADNT F -2.70 0.19
KOS D 3.72 0.19
PUMP D 5.31 0.19
MHO D 2.31 0.19
IVZ B 1.72 0.19
CMC B 0.87 0.19
KNX B 1.95 0.19
NOV C 1.41 0.19
HCC B 3.12 0.19
PCRX C 1.61 0.19
BMBL C 1.16 0.19
LEN D 0.71 0.19
KEY B 1.79 0.19
LILAK D -0.43 0.19
CTRA B 2.39 0.19
FNB B 2.83 0.19
HWC B 2.27 0.19
STNG D -3.68 0.19
HOG F 0.95 0.18
AGCO F 6.08 0.18
PBF D 1.52 0.18
MTDR B 1.67 0.18
CHRD F 1.80 0.18
TNK F -2.90 0.18
HAIN D -0.20 0.18
MDU D 0.43 0.18
CCS F 1.93 0.18
IBM C 2.67 0.18
AEO F -1.51 0.18
AHCO D 0.98 0.18
BC F 1.66 0.18
ODP F 0.46 0.18
BBWI C -1.31 0.18
HELE C 3.40 0.18
CF A 0.52 0.18
WAL B 3.15 0.18
MTB A 2.22 0.18
BYD B -0.47 0.18
CCSI C -1.22 0.18
JNJ D 1.05 0.18
DOW F 1.38 0.18
PR B 2.04 0.17
BTU B 4.83 0.17
LEA F 0.42 0.17
ALL A 1.95 0.17
BFH B -1.00 0.17
DAR C -1.20 0.17
JEF A 2.72 0.17
ATSG A -0.07 0.17
EFSC B 1.07 0.17
MD C 1.45 0.17
DAN F 0.13 0.17
JAZZ B 2.71 0.17
GIII F 0.77 0.17
INGR B 1.06 0.17
EG C 1.72 0.17
DTM A 5.39 0.17
GTN F 2.61 0.17
IMKTA C 1.25 0.17
RNG C -0.33 0.17
ZD B 0.00 0.17
EQT A 1.83 0.17
LKQ F 1.37 0.16
TAP C -0.02 0.16
SLVM B 1.05 0.16
TOL B 1.22 0.16
DINO D 1.20 0.16
PARR F 1.86 0.16
AXL C 0.00 0.16
WKC C 0.43 0.16
ASIX B 2.12 0.16
GNK C -3.03 0.16
SEB F 0.67 0.16
ZION B 1.88 0.16
COMM D 4.72 0.16
OCFC B 1.00 0.16
KOP C 2.58 0.16
OMI F 0.84 0.16
ABCB B 0.00 0.16
ALSN B 2.86 0.16
BXC B 2.83 0.16
CADE B 1.67 0.16
GBX B 0.49 0.16
CNH C 4.25 0.16
UHS D -0.52 0.16
SBH B 0.08 0.16
CRGY A 6.08 0.16
CAG D 0.57 0.16
NMRK C 0.78 0.16
CRC A 2.74 0.15
DIN C -0.34 0.15
DE C 7.39 0.15
GLNG D -0.14 0.15
MBUU C 2.59 0.15
SNDR A 0.00 0.15
WWW A 0.72 0.15
JXN C 0.27 0.15
SJM D 0.22 0.15
BKU A 0.76 0.15
NUS C -7.48 0.15
CMA B 2.25 0.15
UTHR C 0.64 0.15
ABG B 2.52 0.15
OGN F 0.81 0.15
ST F 0.33 0.15
MCB B 2.01 0.15
TWI F 2.36 0.15
SPTN F 0.25 0.15
CEIX B 3.75 0.14
CSCO B 0.49 0.14
ELAN D -0.78 0.14
SF B 1.23 0.14
NWSA A 0.60 0.14
IRWD F -1.85 0.14
TPC C 0.00 0.14
RTX D 1.25 0.14
OLN F 1.15 0.14
ECVT C 0.69 0.14
SNCY C 0.00 0.14
RMAX D 1.42 0.14
FNF D 0.24 0.14
LZB B 0.22 0.14
PLTK B -0.06 0.14
EMR A 0.39 0.14
REZI A 0.68 0.14
ASC D -4.14 0.14
BRY F 2.27 0.14
ALIT C 0.65 0.14
DLX B -0.40 0.14
APTV F 0.48 0.14
TDOC C 7.22 0.13
COOP B 1.52 0.13
LPG F -2.68 0.13
BGS F -0.96 0.13
ASB B 1.30 0.13
CFG B 1.47 0.13
NAVI F 1.35 0.13
BELFB D 2.83 0.13
JELD F 4.11 0.13
VBTX B 2.21 0.13
HRB D -0.21 0.13
ORI A 0.64 0.13
AR B 1.66 0.13
PM A 1.07 0.13
GOGL D -6.00 0.13
NWL B 0.62 0.13
STLD B 0.67 0.13
UNFI A 1.84 0.12
GDOT D 0.00 0.12
NAT F -1.50 0.12
ENS D 0.30 0.12
QRVO F 1.16 0.12
RRX B 1.21 0.12
GNW A 1.67 0.12
TDS B 0.83 0.12
HLX B 2.07 0.12
MAN F 0.20 0.12
ANDE F 0.57 0.12
DCOM A 2.65 0.12
OZK B 1.87 0.12
FCF B 1.99 0.12
RPAY D 1.68 0.12
CMRE B -3.05 0.12
PLAB C 1.39 0.12
DOLE D 0.43 0.12
JLL D 0.98 0.12
RYI C 1.07 0.12
DHT D -2.85 0.12
FCNCA A 2.25 0.12
BANC B 0.75 0.12
APPS F -0.70 0.12
SXC A 1.23 0.12
HII F 1.31 0.11
STNE F 1.15 0.11
BUSE B 0.91 0.11
SKYW B 1.17 0.11
CLW F 1.50 0.11
EYE C 0.79 0.11
SASR B 0.97 0.11
KMI A 1.89 0.11
PEBO B 2.27 0.11
MTCH F 0.77 0.11
PHM D 1.23 0.11
FDP A 0.32 0.11
PPBI B 1.30 0.11
MATV F 0.16 0.11
MTUS D 1.37 0.11
UFPI C 2.08 0.11
PNFP B 2.01 0.11
IART C -0.17 0.11
FIVE F 0.10 0.11
SCSC B 1.91 0.11
OMCL C 2.73 0.11
ATGE B 1.49 0.11
JRVR F 0.00 0.11
HOPE B 1.70 0.10
BV C 4.57 0.10
GAP D 2.59 0.10
SCHW A 0.80 0.10
TK C -0.56 0.10
RF A 2.11 0.10
GPN C 1.44 0.10
CSTM F -0.13 0.10
FULT B 2.86 0.10
SAIC F 1.27 0.10
STC B 1.68 0.10
LULU C 0.65 0.10
SD D 0.68 0.10
RRC B 1.12 0.10
KHC F 0.23 0.10
FHN B 1.03 0.10
RNST B 1.09 0.10
PHIN A 1.87 0.10
CUBI C 3.17 0.10
EGBN B 1.63 0.10
DLTR F 2.23 0.10
EGY F 1.79 0.10
CHGG C -2.36 0.10
FL F -0.03 0.09
NX C 1.33 0.09
MAT D 0.41 0.09
SMP C 0.24 0.09
VLY B 1.63 0.09
GPRE F 0.74 0.09
TXT D 2.05 0.09
BANR B 2.57 0.09
GCO C 1.73 0.09
PATK C 0.93 0.09
FOXF F 1.70 0.09
AUB B 1.94 0.09
SATS D 2.67 0.09
EMN D 0.91 0.09
DNB A 1.10 0.09
VAC C 1.17 0.09
UVE A 1.75 0.09
VTOL B 0.59 0.09
CATY B 2.19 0.09
BZH C 1.50 0.09
NVST C 1.23 0.09
DNOW B 0.82 0.09
HBI A -0.83 0.09
AFL C 1.52 0.09
TKR F 1.72 0.09
MODG F 2.76 0.09
SCHL F 0.36 0.09
HVT F 1.73 0.09
NTB B 1.44 0.09
WSBC B 1.35 0.08
HEES C 2.57 0.08
SSB B 2.43 0.08
BHLB B 2.47 0.08
PII F 1.75 0.08
SFL D 2.40 0.08
RYAM C 0.45 0.08
SSNC C 1.88 0.08
RJF A 0.44 0.08
BLDR F 1.04 0.08
BOOM F 3.30 0.08
CWK C 1.09 0.08
GL C 0.74 0.08
PLAY D 1.31 0.08
NTCT C 1.01 0.08
ACCO B 1.86 0.08
FAF A -0.37 0.08
LEN D 0.71 0.08
BOKF B 2.41 0.08
ARCB C 2.96 0.08
EAT A -0.92 0.08
SRCE B 2.04 0.08
NBTB B 0.88 0.08
DVN F 1.02 0.08
SB F -1.89 0.08
EWBC A 2.30 0.08
HIG A 0.86 0.07
PBI C 0.60 0.07
VSH F 1.12 0.07
WYNN D -0.27 0.07
OEC C 1.36 0.07
UPBD C 1.84 0.07
KFY B 1.27 0.07
SNEX A 0.01 0.07
HAL C 1.64 0.07
PAGS F 0.27 0.07
INDB B 0.73 0.07
OC A 1.69 0.07
MTW C 4.89 0.07
HLF C -2.44 0.07
CXW C 1.19 0.07
BCC C 1.29 0.07
AMKR F 2.76 0.07
OMF A 1.27 0.07
TRST B 1.85 0.07
ELV F 0.65 0.07
TRMK B 1.09 0.07
DXPE B 2.26 0.07
TSN B 1.20 0.07
URBN D 0.16 0.07
AX B 3.93 0.07
CCRN F -1.67 0.07
MMM D 0.23 0.07
HAFC B 1.26 0.07
FIBK A 2.07 0.07
NIC B 1.89 0.07
VREX B 4.15 0.07
EQH B 0.15 0.07
CNA C 0.57 0.07
NOG A 1.66 0.07
ZEUS C 0.85 0.07
HI C 3.99 0.07
EBC B 1.96 0.07
QCOM F 1.25 0.07
REVG B 2.23 0.07
EMBC C 1.76 0.07
NMIH C 0.55 0.07
SANM B 2.31 0.07
MLKN F 0.94 0.07
BBW B -0.52 0.07
COHR B 3.48 0.07
JHG B 1.55 0.07
LBRDA C 0.05 0.06
ALGT C 2.04 0.06
CNXC F -0.10 0.06
LXU C 1.41 0.06
GPI B 1.50 0.06
PFS B 1.98 0.06
GOOG B -6.52 0.06
PENN C 0.20 0.06
CROX F 0.96 0.06
FWRD D 2.20 0.06
UIS C 3.49 0.06
AMWD B 0.85 0.06
XRAY D 0.65 0.06
NNI D 0.68 0.06
PFG C 0.37 0.06
DENN D 1.12 0.06
CAL F 1.85 0.06
GPK D 0.42 0.06
OIS B 1.50 0.06
TCBK B 1.10 0.06
TMHC C 1.31 0.06
BUR C 0.26 0.06
SSP F 0.26 0.06
KELYA F 1.86 0.06
REPX A 2.51 0.06
VSCO A -2.00 0.06
BPOP C 2.55 0.06
RUSHA B 1.29 0.06
ENVA B 2.15 0.05
PRLB B 1.04 0.05
EBAY D 1.53 0.05
BW C -2.28 0.05
MTH D 1.07 0.05
GRBK D 1.38 0.05
GATX A -0.20 0.05
HFWA B 2.63 0.05
REX D 1.47 0.05
OFG B 2.29 0.05
LILA D 0.78 0.05
WBD B 1.96 0.05
GEF A 0.10 0.05

Recent News for Vanguard Wellington Fund ETF & its Holdings

Date Stock Title
Nov 21 T SurgePays Teams Up With AT&T For Affordable Wireless Solutions Nationwide; Stock Gains
Nov 21 CMA Comerica Bank Statement on Direct Express Program Transition
Nov 21 CMA BNY gains Treasury's Direct Express benefits contract
Nov 21 PFE Major companies that are also popular short-selling stocks
Nov 21 HPE Dell Q3 results should provide optimism heading into 2025
Nov 21 KHC Kraft Heinz: Hold The Mustard
Nov 21 CHRD 3 US Dividend Stocks Offering Up To 7.8% Yield
Nov 21 GOOG DOJ calls for Google to divest Chrome in antitrust push
Nov 21 CC Chemours: Hasn't Been A Great Year, But The Long-Term Prospects Look Bright
Nov 21 HPQ HP keeps Equal-weight rating at Morgan Stanley ahead of earnings
Nov 21 VZ Verizon brings more joy and less stress to your holiday shopping experience
Nov 21 IBM Q1 2025 Palo Alto Networks Inc Earnings Call
Nov 21 T Ericsson Surges 62% in the Past Year: Reason to Buy ERIC Stock?
Nov 21 VZ Verizon Business secures new 5-year agreement with the U.S. Department of Agriculture (USDA)
Nov 21 HPE Nvidia results positive for Dell, HPE, SuperMicro: Citi
Nov 21 GM GM Sold $2.7 Million of Stock in Embattled EV Battery Maker
Nov 21 RRC Top 2 Energy Stocks You May Want To Dump This Month
Nov 21 M Macy's (M) Q3 Earnings Preview: What You Should Know Beyond the Headline Estimates
Nov 21 SJM Unlocking Q2 Potential of Smucker (SJM): Exploring Wall Street Estimates for Key Metrics
Nov 21 URBN Insights Into Urban Outfitters (URBN) Q3: Wall Street Projections for Key Metrics
The investment seeks to provide long-term capital appreciation by investing in stocks with relatively lower share prices relative to fundamental values as determined by the advisor. The fund invests primarily in U.S. common stocks with the potential to generate higher returns relative to the broad U.S. equity market by investing in stocks with relatively lower share prices relative to fundamental values as determined by the advisor. Under normal circumstances, at least 80% of the fund's assets will be invested in securities issued by U.S. companies.
Exchange Traded Fund ETF Stock Fund
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