ETF Components for VHT - Vanguard Health Care 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
LLY F -3.15 10.99
UNH B -2.10 8.27
ABBV F -0.42 4.86
JNJ D -0.89 4.53
MRK F -0.14 4.22
TMO F -1.64 3.63
ABT C -0.61 3.05
DHR F -0.89 2.85
ISRG A 0.21 2.68
AMGN F -1.83 2.66
PFE F -2.62 2.52
SYK A -1.30 1.90
BSX A -1.33 1.89
ELV F -0.94 1.86
VRTX B -2.15 1.84
MDT D -2.24 1.77
REGN F -2.71 1.75
BMY B 0.15 1.61
GILD B -0.56 1.60
CI D -2.46 1.51
ZTS D -1.36 1.37
HCA D -1.09 1.23
CVS F 1.51 1.21
BDX F -1.75 1.07
MCK B -2.31 0.99
A F -3.02 0.67
IQV F -4.05 0.66
IDXX F -1.44 0.64
GEHC D -1.50 0.63
CNC F 1.10 0.62
COR B -2.62 0.62
EW F -0.54 0.61
HUM D -2.17 0.59
RMD C -1.70 0.55
ALNY D -2.53 0.53
VEEV B -1.49 0.50
MTD F -1.66 0.49
BIIB F -0.54 0.43
DXCM C 2.96 0.41
CAH B -3.22 0.41
STE D -0.49 0.37
WST B -1.71 0.34
ZBH C -1.02 0.34
WAT B -2.31 0.33
MRNA F -5.62 0.33
ILMN C -2.69 0.32
MOH F -1.07 0.31
BAX F -2.85 0.30
LH B -3.27 0.29
HOLX D -2.07 0.29
ALGN D 3.07 0.28
DGX B -2.31 0.26
THC B -0.17 0.25
PODD B -2.94 0.25
AVTR F -1.99 0.25
RVTY C -3.08 0.24
NTRA B -6.13 0.23
UTHR B -3.54 0.23
BMRN F -1.59 0.21
UHS D -0.86 0.21
VTRS B -2.92 0.21
EXAS F 0.39 0.19
TECH D -4.46 0.19
NBIX C -2.10 0.18
TFX F -1.65 0.18
INCY B -3.42 0.17
RPRX F -1.04 0.17
CTLT D -0.41 0.17
INSM C 0.93 0.17
CRL C -4.67 0.16
SOLV C -3.06 0.16
PCVX D -4.09 0.16
EHC B -1.44 0.15
MEDP D -7.49 0.14
HSIC F -1.77 0.14
SRPT F -3.00 0.13
ENSG C -2.09 0.13
DVA C -1.86 0.13
CHE D -0.47 0.13
LNTH F 1.35 0.12
RGEN C -5.34 0.12
ITCI B -0.67 0.11
HQY B 0.95 0.11
PEN C -1.08 0.11
ELAN C -1.06 0.11
HALO C -7.93 0.11
BRKR F -2.56 0.11
INSP F -5.08 0.10
VKTX F -2.71 0.10
GKOS B -3.23 0.10
BIO C -3.57 0.10
JAZZ B -2.65 0.10
EXEL B -0.40 0.10
XRAY F 3.00 0.09
MMSI B -0.47 0.09
CYTK C -2.25 0.09
ACHC F -1.18 0.09
GMED B -1.74 0.09
MASI B -0.95 0.09
OGN F -1.92 0.08
TMDX F -4.71 0.08
RVMD C -1.31 0.08
IONS F -1.46 0.08
OPCH F 0.05 0.08
BPMC C -1.27 0.08
ROIV D -2.59 0.07
CORT B -2.94 0.07
ITGR B -1.98 0.07
RDNT B -1.82 0.07
ADMA C -5.92 0.07
ALKS C -3.04 0.07
RARE F -2.20 0.07
DOCS B -1.55 0.07
KRYS C -3.71 0.06
RNA B -4.82 0.06
DNLI C -3.98 0.06
CRSP D -5.90 0.06
SEM C -2.51 0.06
PRCT C -6.87 0.06
HAE B -1.12 0.06
ICUI D -1.63 0.06
NUVL D -0.18 0.05
CRVL B -2.47 0.05
AMED F -0.22 0.05
NVST C -1.28 0.05
CRNX B 1.26 0.05
TGTX B -11.62 0.05
NEOG D -3.56 0.05
AXNX A 0.75 0.05
PRGO C 0.45 0.05
PBH A 0.57 0.05
UFPT C -1.72 0.04
IRTC C -4.24 0.04
FOLD F -2.70 0.04
ENOV C -1.89 0.04
SHC D -2.15 0.04
AZTA F -4.24 0.04
RCM B 0.00 0.04
RYTM C -0.50 0.04
ADUS D -0.99 0.04
MYGN F -0.63 0.04
XENE C -0.52 0.04
PTCT C -3.75 0.04
ASTH F -0.02 0.04
VCYT B -6.30 0.04
TWST F -8.31 0.04
HIMS C -24.46 0.04
ACLX C -5.05 0.04
MDGL C -3.96 0.04
TNDM F -3.64 0.04
AXSM B -0.47 0.04
EVH F -0.63 0.04
GH B -4.43 0.04
LIVN C -2.35 0.04
BBIO F -2.74 0.04
RXST F -1.10 0.03
ACAD C -3.24 0.03
KROS C -4.31 0.03
FTRE D -5.08 0.03
MNKD C 0.86 0.03
SUPN C -4.21 0.03
BEAM C -4.33 0.03
PDCO F -2.15 0.03
PRVA B -0.69 0.03
NHC B -2.06 0.03
SWTX C 5.30 0.03
LGND C -5.43 0.03
IOVA D -4.56 0.03
LMAT B -1.02 0.03
NTLA F -6.15 0.03
NEO B -3.90 0.03
AMPH C -0.92 0.03
DYN D -11.19 0.03
VCEL B -4.92 0.03
PTGX D -3.82 0.03
OMCL C -2.53 0.03
CLDX F -4.10 0.03
GERN F -4.13 0.03
PINC B -1.64 0.03
CPRX C -4.87 0.03
TXG F -5.30 0.03
NARI C -3.01 0.03
IDYA F -3.35 0.03
ARWR C -1.02 0.03
MRUS C -2.49 0.03
CNMD C -5.90 0.03
SGRY F -2.88 0.03
AGIO B -5.46 0.03
APLS F -0.67 0.03
MD C -3.02 0.02
AUPH B 0.60 0.02
EWTX C -1.17 0.02
ANIP C -1.54 0.02
AORT C -0.81 0.02
AMRX B -0.33 0.02
PNTG D -2.74 0.02
INVA C -4.28 0.02
CLOV C -2.53 0.02
AVNS F -1.74 0.02
LBPH A -0.07 0.02
ALHC C 0.39 0.02
OMI F -0.08 0.02
RCKT F -5.42 0.02
SDGR C -7.79 0.02
ARVN D -1.66 0.02
RXRX C -5.60 0.02
AGL F -9.04 0.02
IART C -0.17 0.02
NRIX B -1.07 0.02
XNCR B -0.47 0.02
PHR D -6.08 0.02
BKD F -2.02 0.02
HRMY D -2.48 0.02
COLL F 0.30 0.02
VRDN C -3.74 0.02
USPH C -1.84 0.02
CERT F -1.68 0.02
SAVA D 3.81 0.02
HROW C -17.26 0.02
ATRC C -2.46 0.02
DVAX B -0.96 0.02
MIRM B 5.33 0.02
AKRO C -3.91 0.02
BCRX D -2.49 0.02
PGNY F 0.58 0.02
STAA F -4.03 0.02
TLRY F -4.17 0.02
IMVT D -2.94 0.02
SNDX D 0.96 0.02
CDNA D -5.40 0.02
TDOC C -6.37 0.02
VERA B -0.87 0.02
NVCR D -7.38 0.02
NVAX F -7.02 0.02
KYMR C -5.52 0.02
AMN F -2.97 0.02
ARDX F 4.67 0.02
SAGE F -6.28 0.01
CERS C -3.23 0.01
OSUR F -1.48 0.01
NUVB B -2.71 0.01
MNMD B -0.06 0.01
STOK B 0.14 0.01
SRRK C 0.44 0.01
OABI D 0.00 0.01
REPL C -2.48 0.01
ALLO D -9.56 0.01
EYPT C -2.51 0.01
CYRX D -3.78 0.01
OLMA F -12.02 0.01
YMAB D -12.06 0.01
PACB F -6.31 0.01
SVRA F -1.85 0.01
FLGT F -3.42 0.01
EBS C -7.02 0.01
ALT C -11.19 0.01
RGNX D 4.40 0.01
ZIMV F -0.58 0.01
CCRN F -0.89 0.01
ANAB F -2.80 0.01
HUMA F -9.36 0.01
PAHC B -1.46 0.01
KIDS F -6.47 0.01
LQDA D -2.39 0.01
ERAS C -1.40 0.01
QTRX D -3.87 0.01
ELVN C -3.41 0.01
AVXL C -9.67 0.01
HCAT B -2.42 0.01
VREX C -1.87 0.01
SANA F -2.63 0.01
SLP F -6.66 0.01
RVNC F 1.65 0.01
SIBN D -5.33 0.01
OPK B 1.25 0.01
ADPT C -4.62 0.01
OFIX C -5.58 0.01
ETNB C -1.85 0.01
PLRX D -6.68 0.01
SRDX D -0.21 0.01
GDRX F -2.15 0.01
SPRY C 0.21 0.01
ARCT F -4.38 0.01
IMNM F -3.88 0.01
ATEC C -4.38 0.01
PRTA F -6.56 0.01
IRWD D -4.53 0.01
CTKB C -5.31 0.01
CGEM F -3.10 0.01
COGT D -7.21 0.01
PHAT F -6.77 0.01
HSTM B -1.72 0.01
MDXG A 23.56 0.01
PCRX C -0.49 0.01
MLAB F -2.94 0.01
VIR C -3.79 0.01
CDMO B -2.21 0.01
CSTL C -3.05 0.01
CYH F -1.24 0.01
EOLS F -3.02 0.01
RCUS F -4.02 0.01
WVE B -4.40 0.01
EMBC C -2.27 0.01
RLAY F -3.61 0.01
DAWN D -3.57 0.01
ESTA D -4.60 0.01
PETQ A 0.00 0.01
TARS C 0.31 0.01
IRON C -3.79 0.01
OCUL C -6.42 0.01
KURA F -7.10 0.01
BLFS C -10.20 0.01
MRVI F -7.64 0.01
JANX C -1.71 0.01
TVTX B -0.48 0.01
ARQT B -5.16 0.01
AHCO F -5.28 0.01
CUTR F -6.79 0.00
CARA C 1.08 0.00
AVTE D -2.66 0.00
HLVX D -0.53 0.00
OM C -4.34 0.00
FGEN D 11.35 0.00
BNGO F -7.58 0.00
EGRX F -0.16 0.00
ALXO F -0.75 0.00
MURA C -0.85 0.00
IPSC F -5.26 0.00
RPTX D -0.31 0.00
PMVP C -3.03 0.00
RAPT F -18.47 0.00
AKYA C -2.49 0.00
ACRS C -10.66 0.00
SEER B 4.76 0.00
CHRS F -0.78 0.00
ME F -10.12 0.00
MCRB F 0.32 0.00
VTYX F -2.48 0.00
MGNX D 1.06 0.00
PRME D -9.22 0.00
ATAI C 1.48 0.00
MGTX B -5.68 0.00
INO F -3.64 0.00
MODV D -4.63 0.00
ORGO B -9.59 0.00
SGMO C -11.89 0.00
LYEL D 0.00 0.00
NVRO F -8.54 0.00
SENS F -5.21 0.00
ZNTL C 0.77 0.00
CABA F -5.74 0.00
GOSS F -5.59 0.00
IGMS F -9.42 0.00
ENTA F -2.88 0.00
HRTX F 2.48 0.00
ITOS F -4.19 0.00
NKTR D -8.59 0.00
INGN B -3.68 0.00
ALDX F -3.17 0.00
DH D -1.33 0.00
TSVT F -5.08 0.00
QURE C -0.74 0.00
GLUE C -1.74 0.00
TMCI C -3.66 0.00
BMEA F 0.21 0.00
OCGN F 4.37 0.00
TRDA B -4.61 0.00
EDIT F -6.42 0.00
ACCD F -2.17 0.00
BFLY B -3.76 0.00
VNDA B -6.59 0.00
FNA B -5.83 0.00
FDMT F 4.02 0.00
DCGO B -1.18 0.00
VERV D -7.08 0.00
LUNG F -4.02 0.00
TBPH B -1.14 0.00
SIGA F -4.69 0.00
TERN F -3.39 0.00
FATE F -4.15 0.00
ALEC D -4.20 0.00
ORIC D -14.02 0.00
ANGO C -2.00 0.00

Recent News for Vanguard Health Care ETF & its Holdings

Date Stock Title
Nov 15 TECH Bob Iger Slams The Brakes On New M&A Amid Comcast's Cable Spinoff: Disney Doesn't 'Really Need More Assets' To Compete
Nov 15 TECH Satya Nadella Touts Microsoft's Latest AI Mission: Making NASA's Earth Data Speak Plain English
Nov 15 MRNA Palantir, Moderna, Pfizer, Alibaba, Tesla: Why These 5 Stocks Are On Investors' Radars Today
Nov 15 PFE Palantir, Moderna, Pfizer, Alibaba, Tesla: Why These 5 Stocks Are On Investors' Radars Today
Nov 15 MDGL John Paulson's Strategic Moves in Q3 2024: A Focus on Anglogold Ashanti PLC
Nov 15 TECH If You Dropped $1,000 On Spotify When Joe Rogan's Show Became An Exclusive, Here's How Much You'd Have Today
Nov 15 TLRY Tilray Joins German Cannabis Fiesta With First Locally Grown Strains
Nov 15 CVS Third Point Hedge Fund Buys Tesla, Dumps Micron
Nov 15 CARA Cara: Q3 Earnings Snapshot
Nov 15 IQV Elliott Investment Management Adds To Southwest, Western Digital, Etsy, Match Group; Trims BILL Holdings, Seadrill, BlackLine, NRG Energy In Q3
Nov 15 ABBV Viking Fund Management Sells Big Oil Stocks In Q3, Cuts Tesla Position In Half, Adds To Largest Position Broadcom
Nov 14 MDGL Paulson & Co. exits AngloGold Ashanti, boosts Madrigal Pharma among Q3 moves
Nov 14 BMY Bristol Myers faces renewed, $6.7 billion lawsuit over delayed cancer drug
Nov 14 UNH Coatue Management top Q3 moves: cuts Nvidia, exits CRM & UNH, piles into Chinese stocks
Nov 14 CVS Glenview, Sachem Head, Third Point buy CVS shares during Q3-filings
Nov 14 PFE Vaccine makers close lower amid reports RFK Jr may head HHS (update)
Nov 14 EBS Vaccine makers close lower amid reports RFK Jr may head HHS (update)
Nov 14 JNJ Vaccine makers close lower amid reports RFK Jr may head HHS (update)
Nov 14 NVAX Vaccine makers close lower amid reports RFK Jr may head HHS (update)
Nov 14 MRK Vaccine makers close lower amid reports RFK Jr may head HHS (update)
The investment seeks to track the performance of a benchmark index. The fund employs an indexing investment approach designed to track the performance of the MSCI US Investable Market Index (IMI)/Health Care 25/50, an index made up of stocks of large, mid-size, and small U.S. companies within the health care sector, as classified under the Global Industry Classification Standard (GICS). 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. The fund is non-diversified.
Investment Management MSCI EAFE Passive Management Global Industry Classification Standard Industry Classification
Back to the Main VHT Page...