ETF constituents for IVOG

Below, a list of constituents for IVOG (Vanguard S&P Mid-Cap 400 Growth ETF) is shown. In total, IVOG consists of 237 securities.

Note: The data shown here is as of date 2022-01-31T00:00:00-05:00 (the latest that can be sourced directly from the fund provider).

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longName sharesHeld marketValue ticker isin percentWeight
Camden Property Trust 86235 13805361 CPT US1331311027 1.45
Targa Resources Corp. 193193 11413842 TRGP US87612G1013 1.20
Builders FirstSource Inc. 161580 10985824 BLDR US12008R1077 1.15
East West Bancorp Inc. 119727 10337229 EWBC US27579R1041 1.08
Williams-Sonoma Inc. 62751 10074046 WSM US9699041011 1.06
Carlisle Cos. Inc. 44114 9856832 CSL US1423391002 1.03
Masimo Corp. 42871 9426047 MASI US5747951003 0.99
Rexford Industrial Realty Inc. 127816 9352297 REXR US76169C1009 0.98
Life Storage Inc. 69205 9339215 LSI US53223X1072 0.98
Trex Co. Inc. 97133 8884756 TREX US89531P1057 0.93
Steel Dynamics Inc. 159080 8832122 STLD US8581191009 0.93
Darling Ingredients Inc. 136529 8706454 DAR US2372661015 0.91
Toro Co. 89820 8674816 TTC US8910921084 0.91
Repligen Corp. 43385 8604981 RGEN US7599161095 0.90
Service Corp. International/US 139150 8588338 SCI US8175651046 0.90
Aspen Technology Inc. 56461 8478184 AZPN US0453271035 0.89
Syneos Health Inc. 87487 7922823 SYNH US87166B1026 0.83
Axon Enterprise Inc. 55421 7755061 AXON US05464C1018 0.81
Five Below Inc. 47264 7751296 FIVE US33829M1018 0.81
Deckers Outdoor Corp. 23164 7417808 DECK US2435371073 0.78
Concentrix Corp. 36199 7275637 CNXC US20602D1019 0.76
Manhattan Associates Inc. 53397 7148256 MANH US5627501092 0.75
Molina Healthcare Inc. 24149 7014802 MOH US60855R1005 0.74
Synaptics Inc. 33135 6969947 SYNA US87157D1090 0.73
EastGroup Properties Inc. 34333 6863510 EGP US2772761019 0.72
Paylocity Holding Corp. 33428 6818643 PCTY US70438V1061 0.72
GXO Logistics Inc. 83191 6755941 GXO US36262G1013 0.71
Tenet Healthcare Corp. 90391 6699781 THC US88033G4073 0.70
Penumbra Inc. 29630 6696676 PEN US70975L1070 0.70
Fair Isaac Corp. 13392 6628906 FICO US3032501047 0.70
Cleveland-Cliffs Inc. 383981 6581434 CLF US1858991011 0.69
Stifel Financial Corp. 87848 6579815 SF US8606301021 0.69
Tempur Sealy International Inc. 162436 6466577 TPX US88023U1016 0.68
TopBuild Corp. 27776 6462086 BLD US89055F1030 0.68
Lattice Semiconductor Corp. 115536 6379898 LSCC US5184151042 0.67
Nordson Corp. 27368 6364155 NDSN US6556631025 0.67
Tetra Tech Inc. 45626 6350683 TTEK US88162G1031 0.67
Tandem Diabetes Care Inc. 53611 6331995 TNDM US8753722037 0.66
Neurocrine Biosciences Inc. 80048 6325393 NBIX US64125C1099 0.66
Dick's Sporting Goods Inc. 54755 6318727 DKS US2533931026 0.66
Saia Inc. 22219 6316417 SAIA US78709Y1055 0.66
CyrusOne Inc. 69602 6253740 CONE US23283R1005 0.66
Cognex Corp. 93983 6246110 CGNX US1924221039 0.66
Graco Inc. 86052 6243933 GGG US3841091040 0.65
Pinnacle Financial Partners Inc. 64235 6212167 PNFP US72346Q1040 0.65
Mattel Inc. 295608 6184119 MAT US5770811025 0.65
Olin Corp. 121032 6132691 OLN US6806652052 0.64
Churchill Downs Inc. 29045 6108164 CHDN US1714841087 0.64
Jefferies Financial Group Inc. 165759 6073410 JEF US47233W1099 0.64
Essential Utilities Inc. 122261 5959001 WTRG US29670G1022 0.63
Avis Budget Group Inc. 33816 5957703 CAR US0537741052 0.62
Brunswick Corp./DE 65048 5905708 BC US1170431092 0.62
RH 14630 5893257 RH US74967X1037 0.62
Bruker Corp. 85731 5709685 BRKR US1167941087 0.60
GameStop Corp. Class A 52275 5694316 GME US36467W1099 0.60
Acuity Brands Inc. 29470 5644389 AYI US00508Y1029 0.59
Universal Display Corp. 36579 5615242 OLED US91347P1057 0.59
Silicon Laboratories Inc. 33912 5601923 SLAB US8269191024 0.59
Middleby Corp. 30039 5563223 MIDD US5962781010 0.58
Ciena Corp. 82355 5460960 CIEN US1717793095 0.57
Lamar Advertising Co. Class A 48348 5355024 LAMR US5128161099 0.56
Coherent Inc. 20703 5351311 COHR US1924791031 0.56
Brooks Automation Inc. 62733 5290901 AZTA US1143401024 0.56
Jones Lang LaSalle Inc. 20864 5232483 JLL US48020Q1076 0.55
Watsco Inc. 18396 5197974 WSO US9426222009 0.55
Scotts Miracle-Gro Co. 34367 5196290 SMG US8101861065 0.55
Crocs Inc. 49653 5095391 CROX US2270461096 0.53
First Financial Bankshares Inc. 108178 5083284 FFIN US32020R1095 0.53
Wolfspeed Inc. 53783 5068510 WOLF US9778521024 0.53
ASGN Inc. 43959 5049570 ASGN US00191U1025 0.53
Valvoline Inc. 152530 5024338 VVV US92047W1018 0.53
Affiliated Managers Group Inc. 34303 5015442 AMG US0082521081 0.53
Eagle Materials Inc. 34324 5006155 EXP US26969P1084 0.53
RPM International Inc. 55826 4946742 RPM US7496851038 0.52
Louisiana-Pacific Corp. 74240 4932506 LPX US5463471053 0.52
YETI Holdings Inc. 73943 4849182 YETI US98585X1046 0.51
Genpact Ltd. 96352 4793512 G BMG3922B1072 0.50
Glacier Bancorp Inc. 91518 4752530 GBCI US37637Q1058 0.50
Fox Factory Holding Corp. 35524 4727179 FOXF US35138V1026 0.50
Scientific Games Corp. 81436 4698857 SGMS US80874P1093 0.49
Lennox International Inc. 16472 4671789 LII US5261071071 0.49
Capri Holdings Ltd. 77443 4652001 CPRI VGG1890L1076 0.49
Hubbell Inc. Class B 24787 4642357 HUBB US4435106079 0.49
Arrowhead Pharmaceuticals Inc. 87971 4641350 ARWR US04280A1007 0.49
First Industrial Realty Trust Inc. 75856 4610528 FR US32054K1034 0.48
PacWest Bancorp 98932 4593413 PACW US6952631033 0.48
SLM Corp. 247370 4536766 SLM US78442P1066 0.48
Medpace Holdings Inc. 24258 4304825 MEDP US58506Q1094 0.45
Wyndham Hotels & Resorts Inc. 51102 4290013 WH US98311A1051 0.45
j2 Global Inc. 40691 4274996 ZD US48123V1026 0.45
Helen of Troy Ltd. 20362 4262377 HELE BMG4388N1065 0.45
National Storage Affiliates Trust 69144 4256505 NSA US6378701063 0.45
FTI Consulting Inc. 28937 4219304 FCN US3029411093 0.44
Mimecast Ltd. 52097 4152652 MIME GB00BYT5JK65 0.44
Simpson Manufacturing Co. Inc. 36656 4134430 SSD US8290731053 0.43
Boyd Gaming Corp. 69193 4114216 BYD US1033041013 0.43
Halozyme Therapeutics Inc. 118788 4111253 HALO US40637H1095 0.43
Evercore Inc. Class A 32926 4109823 EVR US29977A1051 0.43
Power Integrations Inc. 50902 4108300 POWI US7392761034 0.43
MAXIMUS Inc. 51867 4010356 MMS US5779331041 0.42
MKS Instruments Inc. 25739 3998039 MKSI US55306N1046 0.42
Valmont Industries Inc. 17909 3890372 VMI US9202531011 0.41
Murphy Oil Corp. 122507 3871221 MUR US6267171022 0.41
First Solar Inc. 49230 3858647 FSLR US3364331070 0.40
Wingstop Inc. 25171 3857456 WING US9741551033 0.40
Avient Corp. 77198 3842144 AVNT US05368V1061 0.40
Regal Beloit Corp. 24009 3804946 RRX US7587501039 0.40
Cullen/Frost Bankers Inc. 26787 3777235 CFR US2298991090 0.40
Cable One Inc. 2428 3750604 CABO US12685J1051 0.39
ITT Inc. 40452 3718348 ITT US45073V1089 0.39
Lincoln Electric Holdings Inc. 28902 3694832 LECO US5339001068 0.39
Teradata Corp. 91549 3693087 TDC US88076W1036 0.39
United Therapeutics Corp. 18237 3681503 UTHR US91307C1027 0.39
Watts Water Technologies Inc. Class A 23861 3655744 WTS US9427491025 0.38
Kinsale Capital Group Inc. 18098 3625391 KNSL US49714P1084 0.38
Qualys Inc. 28167 3609319 QLYS US74758T3032 0.38
Webster Financial Corp. 63136 3586756 WBS US9478901096 0.38
Alcoa Corp. 63154 3581463 AA US0138721065 0.38
UMB Financial Corp. 36317 3575409 UMBF US9027881088 0.38
Brixmor Property Group Inc. 137833 3495445 BRX US11120U1051 0.37
Littelfuse Inc. 12883 3478024 LFUS US5370081045 0.36
Chemed Corp. 7406 3472747 CHE US16359R1032 0.36
American Financial Group Inc./OH 26231 3417375 AFG US0259321042 0.36
American Campus Communities Inc. 64583 3375108 ACC US0248351001 0.35
Royal Gold Inc. 33230 3374507 RGLD US7802871084 0.35
Papa John's International Inc. 27310 3371420 PZZA US6988131024 0.35
Landstar System Inc. 20901 3344160 LSTR US5150981018 0.35
KBR Inc. 76937 3339066 KBR US48242W1062 0.35
Gentex Corp. 105771 3321209 GNTX US3719011096 0.35
Quidel Corp. 31997 3307210 QDEL US74838J1016 0.35
Apartment Income REIT Corp. 62257 3288415 AIRC US03750L1098 0.34
Digital Turbine Inc. 74188 3275400 APPS US25400W1027 0.34
New York Times Co. Class A 81774 3273413 NYT US6501111073 0.34
Jabil Inc. 53217 3272313 JBL US4663131039 0.34
Insperity Inc. 30212 3248696 NSP US45778Q1076 0.34
Commerce Bancshares Inc./MO 46822 3226504 CBSH US2005251036 0.34
Primerica Inc. 20655 3187893 PRI US74164M1080 0.33
First American Financial Corp. 42602 3174275 FAF US31847R1023 0.33
Interactive Brokers Group Inc. 45704 3116556 IBKR US45841N1072 0.33
SEI Investments Co. 52760 3092264 SEIC US7841171033 0.32
SailPoint Technologies Holding Inc. 78698 3044826 SAIL US78781P1057 0.32
Texas Roadhouse Inc. Class A 35260 3010851 TXRH US8826811098 0.32
AptarGroup Inc. 25555 2997602 ATR US0383361039 0.31
Donaldson Co. Inc. 53192 2960667 DCI US2576511099 0.31
National Retail Properties Inc. 66687 2959569 NNN US6374171063 0.31
SiTime Corp. 12641 2946491 SITM US82982T1060 0.31
STAAR Surgical Co. 40161 2920508 STAA US8523123052 0.31
CMC Materials Inc. 16066 2906018 CCMP US12571T1007 0.30
nVent Electric plc 83756 2897120 NVT IE00BDVJJQ56 0.30
IAA Inc. 61438 2821847 IAA US4492531037 0.30
Lumentum Holdings Inc. 27451 2785727 LITE US55024U1097 0.29
Option Care Health Inc. 116866 2731158 OPCH US68404L2016 0.29
Antero Midstream Corp. 273967 2725972 AM US03676B1026 0.29
II-VI Inc. 42986 2725312 IIVI US9021041085 0.29
Choice Hotels International Inc. 18827 2699792 CHH US1699051066 0.28
Globus Medical Inc. 40016 2670268 GMED US3795772082 0.28
Rayonier Inc. 72474 2648200 RYN US7549071030 0.28
Marriott Vacations Worldwide Corp. 16176 2626659 VAC US57164Y1073 0.28
WEX Inc. 16259 2617374 WEX US96208T1043 0.27
LiveRamp Holdings Inc. 57452 2565232 RAMP US53815P1084 0.27
Exelixis Inc. 141493 2561023 EXEL US30161Q1040 0.27
Semtech Corp. 35861 2549717 SMTC US8168501018 0.27
HealthEquity Inc. 47213 2523063 HQY US42226A1079 0.26
Janus Henderson Group plc 66206 2443001 JHG JE00BYPZJM29 0.26
Synovus Financial Corp. 49095 2442967 SNV US87161C5013 0.26
National Instruments Corp. 58984 2431320 NATI US6365181022 0.26
National Fuel Gas Co. 40010 2429807 NFG US6361801011 0.25
Navient Corp. 136007 2370602 NAVI US63938C1080 0.25
OGE Energy Corp. 62502 2370076 OGE US6708371033 0.25
Wintrust Financial Corp. 24046 2358191 WTFC US97650W1080 0.25
Polaris Inc. 20696 2330163 PII US7310681025 0.24
Calix Inc. 46269 2326405 CALX US13100M5094 0.24
Clean Harbors Inc. 24923 2306624 CLH US1844961078 0.24
Skechers U.S.A. Inc. Class A 53496 2246832 SKX US8305661055 0.24
Bank OZK 47932 2245614 OZK US06417N1037 0.24
MSA Safety Inc. 15688 2155531 MSA US5534981064 0.23
Crane Co. 20638 2136239 CR US2243991054 0.22
Douglas Emmett Inc. 68120 2126706 DEI US25960P1093 0.22
Iridium Communications Inc. 59124 2121369 IRDM US46269C1027 0.22
MasTec Inc. 24620 2120521 MTZ US5763231090 0.22
RLI Corp. 20159 2112260 RLI US7496071074 0.22
Euronet Worldwide Inc. 15586 2086810 EEFT US2987361092 0.22
Cirrus Logic Inc. 23143 2069910 CRUS US1727551004 0.22
Integra LifeSciences Holdings Corp. 31344 2029211 IART US4579852082 0.21
LivaNova plc 26952 2024365 LIVN GB00BYMT0J19 0.21
CDK Global Inc. 46928 2016496 CDK US12508E1010 0.21
Boston Beer Co. Inc. Class A 4751 1999363 SAM US1005571070 0.21
Ashland Global Holdings Inc. 20493 1968148 ASH US0441861046 0.21
Neogen Corp. 52611 1918723 NEOG US6404911066 0.20
Colfax Corp. 46588 1915699 CFX US1940141062 0.20
Healthcare Realty Trust Inc. 58521 1815321 HR US4219461047 0.19
Envestnet Inc. 24432 1806502 ENV US29404K1060 0.19
ChampionX Corp. 80131 1794934 CHX US15872M1045 0.19
PS Business Parks Inc. 10688 1784468 PSB US69360J1079 0.19
DT Midstream Inc. 34283 1772431 DTM US23345M1071 0.19
Hancock Whitney Corp. 32958 1737546 HWC US4101201097 0.18
AutoNation Inc. 15851 1727759 AN US05329W1027 0.18
Wendy's Co. 74470 1715044 WEN US95058W1009 0.18
Sensient Technologies Corp. 20210 1712595 SXT US81725T1007 0.18
Vicor Corp. 18094 1706807 VICR US9258151029 0.18
ICU Medical Inc. 7915 1688744 ICUI US44930G1076 0.18
CommVault Systems Inc. 24962 1683937 CVLT US2041661024 0.18
Victoria's Secret & Co. 29950 1672109 VSCO US9264001028 0.18
ACI Worldwide Inc. 46625 1602501 ACIW US0044981019 0.17
TEGNA Inc. 82157 1590560 TGNA US87901J1051 0.17
H&R Block Inc. 68168 1558320 HRB US0936711052 0.16
R1 RCM Inc. 65239 1551383 RCM US7493971052 0.16
Sanderson Farms Inc. 8416 1548544 SAFM US8000131040 0.16
Blackbaud Inc. 22725 1548482 BLKB US09227Q1004 0.16
Progyny Inc. 36429 1475375 PGNY US74340E1038 0.15
Columbia Sportswear Co. 15455 1435306 COLM US1985161066 0.15
Umpqua Holdings Corp. 67622 1371374 UMPQ US9042141039 0.14
PotlatchDeltic Corp. 24917 1340285 PCH US7376301039 0.14
Lancaster Colony Corp. 8034 1275558 LANC US5138471033 0.13
Federated Investors Inc. Class B 38415 1271921 FHI US3142111034 0.13
Six Flags Entertainment Corp. 32005 1263877 SIX US83001A1025 0.13
CNX Resources Corp. 83795 1242680 CNX US12653C1080 0.13
American Eagle Outfitters Inc. 54409 1242157 AEO US02553E1064 0.13
Bank of Hawaii Corp. 14357 1235707 BOH US0625401098 0.13
Sabre Corp. 130706 1195960 SABR US78573M1045 0.13
Ingevity Corp. 17907 1180250 NGVT US45688C1071 0.12
SunPower Corp. 70111 1176463 SPWR US8676524064 0.12
World Wrestling Entertainment Inc. Class A 23416 1169395 WWE US98156Q1085 0.12
Jack in the Box Inc. 12622 1149233 JACK US4663671091 0.12
Cathay General Bancorp 25342 1144445 CATY US1491501045 0.12
Home BancShares Inc./AR 47133 1110453 HOMB US4368932004 0.12
Cerence Inc. 16694 1059902 CRNC US1567271093 0.11
Trinity Industries Inc. 34432 989231 TRN US8965221091 0.10
Yelp Inc. Class A 28439 982283 YELP US9858171054 0.10
TripAdvisor Inc. 35064 951988 TRIP US8969452015 0.10
John Wiley & Sons Inc. Class A 18334 930451 JW.A US9682232064 0.10
Dycom Industries Inc. 9910 835314 DY US2674751019 0.09
Amkor Technology Inc. 34747 765129 AMKR US0316521006 0.08
Urban Edge Properties 41778 762031 UE US91704F1049 0.08
First Citizens BancShares Inc./NC Class A 10 7791 FCNCA US31946M1036 0.00
Vanguard Market Liquidity Fund 0 8 0.00
Vanguard Market Liquidity Fund 25015 2501259 0.26