ETF constituents for VFMV

Below, a list of constituents for VFMV (Vanguard U.S. Minimum Volatility ETF) is shown. In total, VFMV consists of 143 securities.

Note: The data shown here is as of date 2021-12-31T00:00:00-05:00 (the latest that can be sourced directly from the fund provider).

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longName sharesHeld marketValue ticker isin percentWeight
Apple Inc. 4957 880214 AAPL US0378331005 1.68
Eli Lilly & Co. 3013 832251 LLY US5324571083 1.59
Procter & Gamble Co. 5059 827551 PG US7427181091 1.58
Republic Services Inc. Class A 5931 827078 RSG US7607591002 1.58
Marsh & McLennan Cos. Inc. 4750 825645 MMC US5717481023 1.58
Microsoft Corp. 2432 817930 MSFT US5949181045 1.56
Intercontinental Exchange Inc. 5945 813098 ICE US45866F1049 1.55
Tyler Technologies Inc. 1501 807463 TYL US9022521051 1.54
Alphabet Inc. Class A 277 802480 GOOGL US02079K3059 1.53
AT&T Inc. 32480 799008 T US00206R1023 1.52
FTI Consulting Inc. 5197 797324 FCN US3029411093 1.52
Service Corp. International/US 11229 797147 SCI US8175651046 1.52
Amgen Inc. 3500 787395 AMGN US0311621009 1.50
Church & Dwight Co. Inc. 7674 786585 CHD US1713401024 1.50
Consolidated Edison Inc. 9156 781190 ED US2091151041 1.49
Verizon Communications Inc. 15024 780647 VZ US92343V1044 1.49
T-Mobile US Inc. 6689 775790 TMUS US8725901040 1.48
Verint Systems Inc. 14774 775783 VRNT US92343X1000 1.48
TTM Technologies Inc. 51610 768989 TTMI US87305R1095 1.47
Equity Commonwealth 29631 767443 EQC US2946281027 1.46
Johnson & Johnson 4445 760406 JNJ US4781601046 1.45
Dollar General Corp. 3200 754656 DG US2566771059 1.44
Sonoco Products Co. 12985 751702 SON US8354951027 1.43
Oracle Corp. 8616 751401 ORCL US68389X1054 1.43
Gilead Sciences Inc. 10322 749480 GILD US3755581036 1.43
Becton Dickinson and Co. 2967 746141 BDX US0758871091 1.42
Williams Cos. Inc. 28567 743885 WMB US9694571004 1.42
Baxter International Inc. 8416 722429 BAX US0718131099 1.38
WEC Energy Group Inc. 7372 715600 WEC US92939U1060 1.37
Texas Instruments Inc. 3765 709590 TXN US8825081040 1.35
Hershey Co. 3645 705198 HSY US4278661081 1.35
Adobe Inc. 1242 704289 ADBE US00724F1012 1.34
Costco Wholesale Corp. 1208 685782 COST US22160K1051 1.31
Flowers Foods Inc. 24762 680212 FLO US3434981011 1.30
Cadence Design Systems Inc. 3581 667319 CDNS US1273871087 1.27
Pfizer Inc. 11233 663309 PFE US7170811035 1.27
Merck & Co. Inc. 8606 659564 MRK US58933Y1055 1.26
Accenture plc Class A 1553 643796 ACN IE00B4BNMY34 1.23
Waterstone Financial Inc. 29140 637000 WSBF US94188P1012 1.22
Liberty Broadband Corp. Class A 3930 632337 LBRDA US5303071071 1.21
Abbott Laboratories 4461 627841 ABT US0028241000 1.20
Domino's Pizza Inc. 1076 607219 DPZ US25754A2015 1.16
HealthStream Inc. 22486 592731 HSTM US42222N1037 1.13
Amazon.com Inc. 175 583510 AMZN US0231351067 1.11
Electronic Arts Inc. 4318 569544 EA US2855121099 1.09
Broadridge Financial Solutions Inc. 3094 565645 BR US11133T1034 1.08
Columbia Financial Inc. 26692 556795 CLBK US1976411033 1.06
AbbVie Inc. 3908 529143 ABBV US00287Y1091 1.01
Intuit Inc. 817 525511 INTU US4612021034 1.00
Newmont Goldcorp Corp. 8236 510797 NEM US6516391066 0.97
Duke Energy Corp. 4820 505618 DUK US26441C2044 0.96
Charter Communications Inc. Class A 766 499409 CHTR US16119P1084 0.95
Colgate-Palmolive Co. 5759 491473 CL US1941621039 0.94
Illinois Tool Works Inc. 1721 424743 ITW US4523081093 0.81
CME Group Inc. 1847 421966 CME US12572Q1058 0.81
Black Knight Inc. 5037 417517 BKI US09215C1053 0.80
Regeneron Pharmaceuticals Inc. 657 414909 REGN US75886F1075 0.79
Altair Engineering Inc. Class A 5252 406085 ALTR US0213691035 0.77
Expeditors International of Washington Inc. 2912 391052 EXPD US3021301094 0.75
Cable One Inc. 219 386196 CABO US12685J1051 0.74
Comcast Corp. Class A 7273 366050 CMCSA US20030N1019 0.70
Super Micro Computer Inc. 7808 343162 SMCI US86800U1043 0.65
Mondelez International Inc. Class A 5089 337452 MDLZ US6092071058 0.64
Jack Henry & Associates Inc. 1965 328135 JKHY US4262811015 0.63
Facebook Inc. Class A 953 320542 FB US30303M1027 0.61
American Water Works Co. Inc. 1660 313508 AWK US0304201033 0.60
Cirrus Logic Inc. 3398 312684 CRUS US1727551004 0.60
PPL Corp. 10001 300630 PPL US69351T1060 0.57
Envestnet Inc. 3710 294351 ENV US29404K1060 0.56
Waste Management Inc. 1726 288069 WM US94106L1098 0.55
NortonLifeLock Inc. 10869 282377 NLOK US6687711084 0.54
Fastenal Co. 4340 278020 FAST US3119001044 0.53
Stock Yards Bancorp Inc. 4179 266955 SYBT US8610251048 0.51
Hormel Foods Corp. 5462 266600 HRL US4404521001 0.51
Landstar System Inc. 1483 265487 LSTR US5150981018 0.51
Danaher Corp. 764 251364 DHR US2358511028 0.48
Laureate Education Inc. Class A 20018 245020 LAUR US5186132032 0.47
Anterix Inc. 4112 241621 ATEX US03676C1009 0.46
Walmart Inc. 1665 240909 WMT US9311421039 0.46
Cisco Systems Inc. 3774 239158 CSCO US17275R1023 0.46
Bristol-Myers Squibb Co. 3748 233688 BMY US1101221083 0.45
Blue Foundry Bancorp 15170 221937 BLFY US09549B1044 0.42
Target Corp. 937 216859 TGT US87612E1064 0.41
Vertex Pharmaceuticals Inc. 967 212353 VRTX US92532F1003 0.41
NetApp Inc. 1918 176437 NTAP US64110D1046 0.34
Amdocs Ltd. 2344 175425 DOX GB0022569080 0.33
H&R Block Inc. 7143 168289 HRB US0936711052 0.32
Arthur J Gallagher & Co. 916 155418 AJG US3635761097 0.30
World Wrestling Entertainment Inc. Class A 3134 154632 WWE US98156Q1085 0.30
Sportsman's Warehouse Holdings Inc. 12931 152586 SPWH US84920Y1064 0.29
CMS Energy Corp. 2331 151632 CMS US1258961002 0.29
AptarGroup Inc. 1228 150405 ATR US0383361039 0.29
American Electric Power Co. Inc. 1613 143509 AEP US0255371017 0.27
frontdoor Inc. 3768 138097 FTDR US35905A1097 0.26
Balchem Corp. 786 132520 BCPC US0576652004 0.25
Westamerica Bancorporation 2276 131393 WABC US9570901036 0.25
Cheniere Energy Inc. 1270 128803 LNG US16411R2085 0.25
Shutterstock Inc. 1150 127512 SSTK US8256901005 0.24
NextEra Energy Inc. 1339 125009 NEE US65339F1012 0.24
Eversource Energy 1342 122095 ES US30040W1080 0.23
McDonald's Corp. 447 119827 MCD US5801351017 0.23
Zoetis Inc. 474 115670 ZTS US98978V1035 0.22
PDF Solutions Inc. 3630 115398 PDFS US6932821050 0.22
QuinStreet Inc. 6132 111541 QNST US74874Q1004 0.21
HarborOne Bancorp Inc. 7498 111270 HONE US41165Y1001 0.21
TFS Financial Corp. 6193 110669 TFSL US87240R1077 0.21
3M Co. 602 106933 MMM US88579Y1010 0.20
Liberty Broadband Corp. 654 105359 LBRDK US5303073051 0.20
Sirius XM Holdings Inc. 15846 100622 SIRI US82968B1035 0.19
Rambus Inc. 3414 100337 RMBS US7509171069 0.19
Xcel Energy Inc. 1474 99790 XEL US98389B1008 0.19
Madison Square Garden Co. Class A 545 94683 MSGS US55825T1034 0.18
Veeva Systems Inc. Class A 357 91206 VEEV US9224751084 0.17
SS&C Technologies Holdings Inc. 1096 89850 SSNC US78467J1007 0.17
Dolby Laboratories Inc. Class A 856 81508 DLB US25659T1079 0.16
Shenandoah Telecommunications Co. 3124 79662 SHEN US82312B1061 0.15
Hasbro Inc. 745 75826 HAS US4180561072 0.14
Ameren Corp. 770 68538 AEE US0236081024 0.13
ResMed Inc. 260 67725 RMD US7611521078 0.13
Analog Devices Inc. 361 63453 ADI US0326541051 0.12
Dell Technologies Inc. 1121 62967 DELL US24703L2025 0.12
Lancaster Colony Corp. 375 62100 LANC US5138471033 0.12
DTE Energy Co. 513 61324 DTE US2333311072 0.12
Kimberly-Clark Corp. 427 61027 KMB US4943681035 0.12
Computer Programs & Systems Inc. 1991 58336 CPSI US2053061030 0.11
VMware Inc. Class A 493 57129 VMW US9285634021 0.11
Bank First Corp. 700 50568 BFC US06211J1007 0.10
Allscripts Healthcare Solutions Inc. 2514 46383 MDRX US01988P1084 0.09
Dominion Energy Inc. 588 46193 D US25746U1097 0.09
Hingham Institution for Savings 108 45347 HIFS US4333231029 0.09
Bright Horizons Family Solutions Inc. 266 33484 BFAM US1091941005 0.06
Ball Corp. 329 31673 BLL US0584981064 0.06
American States Water Co. 305 31549 AWR US0298991011 0.06
Verisk Analytics Inc. Class A 137 31336 VRSK US92345Y1064 0.06
Bank of Marin Bancorp 745 27736 BMRC US0634251021 0.05
Broadcom Inc. 35 23289 AVGO US11135F1012 0.04
Motorola Solutions Inc. 85 23095 MSI US6200763075 0.04
Cogent Communications Holdings Inc. 223 16319 CCOI US19239V3024 0.03
2seventy bio Inc. 622 15942 TSVT US9013841070 0.03
Intel Corp. 246 12669 INTC US4581401001 0.02
John B Sanfilippo & Son Inc. 117 10549 JBSS US8004221078 0.02
Eastern Bankshares Inc. 479 9661 EBC US27627N1054 0.02
Vanguard Market Liquidity Fund 270290 270263 0.52