ETF Components for VFMO - Vanguard U.S. Momentum Factor 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
AVGO B -4.31 1.99
META B -4.13 1.74
NVDA B -10.00 1.68
AMD D -5.44 1.66
ADBE D -1.72 1.53
ANET D -4.32 1.48
GE A -3.19 1.43
UBER D -2.95 1.38
CDNS C -1.98 1.27
PANW B -1.22 1.24
LLY C -2.63 1.24
GOOG A -1.11 1.17
INTC F -2.40 1.14
NOW C -2.39 1.13
ETN A -1.92 1.08
AMZN B -2.56 1.01
NFLX B -9.09 1.00
LRCX B -2.10 0.98
SNPS D -1.73 0.94
AMAT B -2.34 0.89
PH B -0.64 0.81
BKNG C -0.45 0.73
TT B -0.45 0.67
MPC A 0.70 0.63
CRM C -0.57 0.62
FDX A 1.37 0.61
KLAC C -2.49 0.60
ORCL B -0.97 0.59
CMCSA D 1.56 0.58
LEN C -1.51 0.55
JBL D -8.36 0.55
WDAY D -1.34 0.55
PHM C -0.50 0.53
MSFT B -1.27 0.53
TJX C 0.76 0.53
TDG B -2.13 0.52
CMG A -1.34 0.51
AJG B 1.10 0.50
GOOGL A -1.23 0.49
NVR B -0.22 0.46
DKNG B -2.31 0.46
MRVL D -4.77 0.46
SSD D 1.28 0.45
DHI C -2.53 0.45
PSX A 0.91 0.44
EME A -2.21 0.44
ALSN A -1.26 0.43
DECK D -1.59 0.43
MCK A 1.16 0.42
ONTO B -4.64 0.41
LULU D 1.43 0.37
SPOT A -4.62 0.37
RCL A 1.23 0.37
SAIA D -0.96 0.37
BLDR D -2.88 0.36
BRBR C -0.46 0.36
FTI A 0.24 0.35
FCNCA A 1.00 0.35
CACC C -0.17 0.34
URI C -0.72 0.34
FIX B -0.52 0.34
CRWD D -3.90 0.33
XPO B -0.76 0.32
GFF C 1.18 0.32
SKX C -0.79 0.32
CHTR F 2.04 0.31
NTNX B -1.31 0.31
HUBS A -2.82 0.31
UNM A 1.12 0.31
RMBS D -3.15 0.30
AROC A 2.64 0.30
TSLA F -1.92 0.30
HLX A 1.79 0.29
CELH D -1.61 0.29
PCAR B -2.26 0.29
PLTR D -3.12 0.28
WFRD A 1.68 0.28
APP A -2.99 0.28
NSIT C 0.87 0.28
VRTX C 0.20 0.27
SMCI D -23.14 0.27
BMI A -0.95 0.26
MANH D -1.78 0.26
COIN B -3.24 0.26
MDB F -2.41 0.25
ZS F -2.17 0.25
FICO D -2.77 0.25
GWW C 0.55 0.25
APG B -1.07 0.24
ORLY B -0.92 0.24
ARES C -0.90 0.24
TOL B -0.84 0.24
LPG A 0.86 0.24
SOFI F -0.28 0.24
LIN C -0.03 0.24
TPX C -1.57 0.24
MHO D 0.36 0.24
APO C 0.31 0.23
RUSHA B 1.56 0.23
CCL D -0.42 0.23
AXON B -1.34 0.23
VRT A -7.41 0.23
BLD C -1.41 0.23
W D -1.94 0.23
MEDP C -0.62 0.23
EYPT D 0.86 0.23
AIT C -0.29 0.23
AFRM D -0.45 0.23
ACLS F -3.52 0.23
TMHC C 0.35 0.22
SKYW A 1.62 0.22
MTH D 0.23 0.22
XP D -0.24 0.22
MSTR B -2.82 0.22
DUOL D -2.39 0.22
KNSL B -0.02 0.22
CARR D 0.28 0.22
BTBT F 2.59 0.21
CABA F -4.51 0.21
JPM B 2.51 0.21
CAH B 2.07 0.21
BCC B -0.78 0.21
TDW A 0.82 0.21
TREX C -0.57 0.21
SPSC D 1.45 0.21
OSCR B -2.67 0.21
QLYS D 0.44 0.21
OC A -0.26 0.21
CPRT B -0.60 0.21
CLH A 1.47 0.21
ACGL A 1.69 0.20
NVT A 0.13 0.20
NU D -1.69 0.20
EXP C -1.73 0.20
HURN D 2.08 0.20
RS B -0.21 0.20
HUBB B -1.08 0.19
BLBD B 0.95 0.19
SCCO A -1.66 0.19
EXAS D -3.97 0.19
ACMR B -8.78 0.19
AUR B -0.36 0.19
POWL C 1.72 0.19
HCC A 1.35 0.19
LNW D -0.99 0.19
ELF D -6.44 0.18
STRL B -1.79 0.18
NPO C -0.16 0.18
ATI A -1.06 0.18
ANF D 0.95 0.18
ACLX D -5.23 0.18
ROKU F -3.05 0.18
AGM B 1.60 0.18
TEX A 0.80 0.18
YELP D -0.30 0.18
NR A 1.51 0.17
CIFR B 4.35 0.17
OPEN F 0.70 0.17
TNK A 1.82 0.17
AI F -0.72 0.17
IPAR D 3.20 0.17
MOD B -0.08 0.17
CW A 0.69 0.17
CLSK C 5.98 0.17
RIOT D 10.13 0.17
ABG D 1.72 0.17
ACVA A 0.06 0.17
WEAV D -1.55 0.17
ESTC D 0.92 0.17
UPST F -1.97 0.17
VNT C -0.92 0.17
LII C -0.32 0.17
FSLY F -0.65 0.16
NEU C 0.51 0.16
MTG C 1.28 0.16
GPOR A 0.99 0.16
GNW D 1.87 0.16
RNR B 0.85 0.16
ARDX D 0.62 0.16
PRI D 2.36 0.16
TDS D 1.45 0.16
ROST C 1.17 0.16
RXST B -0.33 0.16
CVNA B 0.30 0.16
ACHR F -3.44 0.16
AMPH F 3.52 0.16
LMB D -1.77 0.16
HY D 1.93 0.16
OMF A 1.67 0.16
INSW A 2.75 0.16
KD C 0.10 0.15
CBZ A 0.94 0.15
FRSH F -0.34 0.15
UWMC D -0.32 0.15
CMPR B -1.39 0.15
MSA A -0.09 0.15
NAT D 0.80 0.15
IDYA D -1.30 0.15
FN D -1.74 0.15
APLD F 3.35 0.15
WING A -2.53 0.15
DFH D -1.17 0.15
FOR B 0.99 0.15
QTRX F 0.25 0.14
NYCB F 0.00 0.14
OII A 1.44 0.14
BAH C 1.89 0.14
WINA B 4.83 0.14
BZH D 2.02 0.14
CRNX A -0.09 0.14
GBX A 1.19 0.14
HEES B 0.47 0.14
IBKR A 0.86 0.14
PBF A 0.77 0.14
BELFB D 0.96 0.14
UEC B -0.59 0.13
IMVT F -0.35 0.13
PCVX D 0.35 0.13
AMRX D 0.93 0.13
BBIO F -0.84 0.13
WWD A 0.46 0.13
PARR D 2.22 0.13
TTD B -4.34 0.13
MDXG F 2.11 0.13
CDLX B 2.35 0.13
RYAN B 1.85 0.13
AMWD C 0.11 0.13
PETQ D 1.56 0.13
IRON F -4.43 0.13
SPNT C 0.33 0.13
WSO B -1.25 0.13
GSHD F 1.96 0.13
THR A 0.30 0.12
MGRC D -0.25 0.12
MSGE B 0.88 0.12
GRBK C 0.71 0.12
ANSS C -0.74 0.12
ARLO B -1.04 0.12
HOV D 0.95 0.12
CHCO B 3.03 0.12
PWR A -0.99 0.12
SDGR F -0.21 0.12
KTOS B 2.33 0.12
TK B 2.83 0.12
CARS D 1.67 0.12
ALPN A 0.19 0.12
KRYS A -3.32 0.12
INSM D -1.94 0.12
PNR B 0.06 0.12
DMRC F -1.74 0.12
PRIM A 0.93 0.12
SXI C 0.41 0.12
WTS B 1.79 0.11
IGT F 1.00 0.11
DASH B -2.24 0.11
COTY D 1.00 0.11
JELD B -0.22 0.11
CRS A -1.69 0.11
PTGX D 1.55 0.11
JOE D 1.22 0.11
WW F -6.04 0.11
PCOR D -1.99 0.11
SCS D 0.93 0.11
ADMA A 1.13 0.11
INTA F -0.32 0.11
INST F -0.78 0.11
MLI A -0.08 0.11
HWKN A -0.09 0.10
PSN B -0.40 0.10
OLMA F 0.30 0.10
NVRI B 2.63 0.10
OIS F 2.39 0.10
AMR D -2.29 0.10
CEIX B 0.10 0.10
PTC C 0.38 0.10
CNK A 0.55 0.10
LEU D 1.82 0.10
AUPH F 3.74 0.10
ZEUS B 0.61 0.10
AFL B 2.78 0.10
EXEL A 0.13 0.10
RDN B 1.26 0.10
SFM A 3.25 0.10
BRZE F -0.79 0.10
ETRN A 1.63 0.10
JOBY F -0.66 0.10
ALKT C -1.08 0.10
OEC A 2.47 0.10
ICFI C 1.58 0.10
TBBK D 2.26 0.10
WIRE A -0.91 0.10
INOD F -1.02 0.10
ARCT F -1.29 0.09
NEO F -1.74 0.09
MIRM F 1.02 0.09
MRNS F -2.13 0.09
NUVL D -0.48 0.09
BSY B 0.77 0.09
LQDA D -3.77 0.09
ANIP A 1.39 0.09
IT C -2.05 0.09
PRG D 3.73 0.09
GMS B 0.19 0.09
NET D -3.01 0.09
CPS B 2.87 0.09
SRRK D -0.72 0.09
MTW F 0.39 0.09
IAS F 0.11 0.09
FUBO F -3.57 0.09
STNE D 0.26 0.08
ROAD B -2.49 0.08
CASH B 2.84 0.08
MPWR D -4.64 0.08
SIBN F 0.78 0.08
TPH B 0.90 0.08
RDNT A -2.29 0.08
AOS A -0.72 0.08
BLMN B 0.04 0.08
ACA D 0.13 0.08
COUR F 0.42 0.08
APPF D -1.88 0.08
AIR B 1.73 0.08
DVA B 1.36 0.08
LRN D -1.27 0.08
PRO D -0.60 0.08
DDOG C -3.94 0.08
INTU C -0.53 0.08
CSWI A -0.90 0.08
HCI A 1.25 0.08
SPB C 1.61 0.08
AZEK C -1.26 0.07
VRNS D 0.37 0.07
RAMP D -0.34 0.07
VKTX B -1.93 0.07
CUBI D 2.97 0.07
TNET A -0.96 0.07
CHX A -2.07 0.07
CIVI A 1.03 0.07
ANDE A 3.24 0.07
WCC D 0.37 0.07
NRDY F -3.44 0.07
EVR B 0.58 0.07
LEN C -1.51 0.07
AGYS A 0.04 0.07
MTRN D -0.23 0.07
GWRE C -0.24 0.07
VERA D -3.75 0.07
FSS B -0.83 0.07
ACAD F -1.46 0.07
PWSC F 0.17 0.07
SMMT D -0.28 0.06
WOR D 0.23 0.06
UFPT B -4.51 0.06
DDS C 1.65 0.06
TTI B 1.84 0.06
UHAL C 0.40 0.06
TAST A 0.21 0.06
CCS D 0.32 0.06
COLL C 0.20 0.06
PAR D -0.05 0.06
CXM F -0.44 0.06
VYGR F -0.66 0.06
MOG.A A 0.75 0.06
SXC C 0.85 0.06
KNSA D 0.18 0.06
VCEL B -0.27 0.06
URGN F -3.72 0.06
EHTH F -2.60 0.06
ESAB A 0.22 0.06
INZY F -1.53 0.06
KOP B 0.24 0.06
EXPI F -1.50 0.06
ALTR C 1.92 0.06
SQSP A -0.72 0.06
ROCK D 0.34 0.06
PAG D 0.31 0.06
LOPE C -3.00 0.05
ODFL B 1.92 0.05
DT D -1.86 0.05
PR A -0.58 0.05
MYRG B -0.08 0.05
YEXT F -0.55 0.05
DV F -2.36 0.05
OLLI D 1.27 0.05
AVAV A 2.26 0.05
FLNC F -3.08 0.05
MIR A 1.67 0.05
IBP B -1.45 0.05
AMK A 0.70 0.05
SPOK D 0.81 0.05
OSW D 0.16 0.05
HAYN A -0.17 0.05
CTS B 0.77 0.05
BBW A 2.36 0.05
BKD A -0.61 0.04
HVT D 2.47 0.04
CECO A 3.04 0.04
REX A 1.70 0.04
BRO C 1.28 0.04
MWA B 0.50 0.04
PRDO B 2.00 0.04
ATGE D 0.41 0.04
TNC A 0.15 0.04
LAUR A -0.14 0.04
AEHR F -4.25 0.04
BSX A -0.13 0.04
NABL D 0.00 0.04
EPAC A 0.78 0.04
AN A -0.31 0.04
DBRG D 0.06 0.04
PATK D 0.74 0.04
MSI A 0.06 0.04
DAKT B -0.87 0.04
WRLD A 0.79 0.04
LYTS B 5.08 0.04
HDSN D 0.29 0.04
HNI B 2.13 0.04
RRGB D 6.67 0.04
NNI A 0.96 0.04
ENS D 0.33 0.04
KALV D 0.61 0.04
JBSS D 1.57 0.04
STNG A 1.56 0.04
EHC A 0.76 0.04
CRDO F -5.95 0.04
ASC C 1.86 0.03
HQY B 1.30 0.03
CACI B 1.46 0.03
VRSK D -0.36 0.03
ESE D 2.27 0.03
PINS D -1.55 0.03
ARCH B 0.22 0.03
SNDR F 2.65 0.03
UVE A 3.32 0.03
PDFS F -2.51 0.03
VSEC A 0.77 0.03
CRAI A 1.54 0.03
OSUR F 0.57 0.03
LTH D 0.00 0.03
COKE C 2.02 0.03
CMCO C 0.74 0.03
MATX C 1.51 0.03
GXO F 3.26 0.03
IDCC B 1.01 0.03
SPNS B -0.43 0.03
WDC A -3.32 0.03
UFPI C 1.03 0.03
SGH F -4.51 0.03
ATRO D 0.13 0.03
ORI A 2.20 0.03
CHUY F 0.53 0.03
WSM A -0.12 0.03
COOP A 2.35 0.03
WULF B 7.51 0.03
BBAI F -5.23 0.03
LAD D 0.25 0.03
DXPE A 0.64 0.03
DHT A 1.81 0.02
LFST F 0.00 0.02
EOSE F -3.87 0.02
NVEC D -3.30 0.02
PDSB F -8.79 0.02
GATX A 1.52 0.02
OSIS A 1.26 0.02
FOUR F -1.57 0.02
RDFN F -2.07 0.02
NYT D 1.99 0.02
PLPC F 3.52 0.02
SCPH F 1.11 0.02
HNRG F 4.78 0.02
ARCB B 1.31 0.02
OCUL D -10.92 0.02
EB F 0.39 0.02
XFOR A 5.00 0.00

Recent News for Vanguard U.S. Momentum Factor ETF & its Holdings

Date Stock Title
Apr 20 AMD Why Did Arm, Intel, AMD, and Nvidia Crash on Friday?
Apr 20 TSLA Elon Musk Reacts As Chinese Tesla Owner Says 'I Look Forward To Tesla FSD Entering China': 'Possible Very Soon'
Apr 20 SMCI Forget Nvidia and Intel: This Stock Could Be the Biggest Winner of Their New Chip Launches
Apr 20 NVDA Why Is SoundHound AI Stock Dropping?
Apr 20 AMD Is This the Beginning of the End of Nvidia's Artificial Intelligence (AI) Chip Dominance?
Apr 20 NVDA Is This the Beginning of the End of Nvidia's Artificial Intelligence (AI) Chip Dominance?
Apr 20 SMCI Elon Musk Reacts After Nvidia Stock Plunges 10% And Erases $212B Market Cap: 'Rookie Numbers'
Apr 20 NVDA Elon Musk Reacts After Nvidia Stock Plunges 10% And Erases $212B Market Cap: 'Rookie Numbers'
Apr 20 TSLA Tesla Slashes Model S, X And Y Prices In US By $2,000 In Late-Friday Move As Volume Growth Turns Negative
Apr 19 CELH Celsius Holdings Inc CFO Jarrod Langhans Sells Company Shares
Apr 19 META Why Meta Platforms Stock Flopped on Friday
Apr 19 NTNX Nutanix (NTNX) Falls More Steeply Than Broader Market: What Investors Need to Know
Apr 19 URI United Rentals (URI) Stock Moves -0.72%: What You Should Know
Apr 19 OCUL Baird sees weakness in Ocular shares as "overdone"
Apr 19 UEC Uranium Energy (UEC) Stock Moves -0.59%: What You Should Know
Apr 19 NFLX A highly unpopular move by Netflix is paying off
Apr 19 ASC Don’t Forget About Copper!
Apr 19 DVA DaVita HealthCare (DVA) Advances While Market Declines: Some Information for Investors
Apr 19 VRTX Vertex Pharmaceuticals (VRTX) Gains As Market Dips: What You Should Know
Apr 19 LULU UPDATE 1-Lululemon to shutter Washington distribution center, lay off 128 employees
The investment seeks to provide long-term capital appreciation by investing in stocks with strong recent performance 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 strong recent performance as determined by the advisor. The portfolio will include a diverse mix of companies representing many different market sectors and industry groups. 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 Active Management
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