Composição do VTV: lista de ações e pesos

Vanguard Value ETF

308 posições em ações com peso positivo nos dados · Vanguard · composição em 2026-06-30

Esta lista cobre as posições em ações presentes nos dados. Caixa, derivativos, opções, notas estruturadas e outros ativos que não são ações ficam de fora, então os pesos listados podem não somar 100% e não são um inventário completo de todos os ativos do fundo.

O que o VTV realmente tem na carteira?

O VTV (Vanguard Value ETF) tem 308 posições em ações com peso positivo presentes nos dados em 2026-06-30. A fonte é SEC Form N-PORT filing da Vanguard. As três maiores posições são Micron Technology Inc com 4,87%, JPMorgan Chase & Co com 3,06% e Berkshire Hathaway Inc com 2,95% do fundo. As dez maiores posições em ações somam 23,6 pontos percentuais da exposição informada do fundo. A maior exposição setorial é Financials, com 22%. Entre os 80 fundos acompanhados aqui, o VTV se sobrepõe mais com o VYM, compartilhando 67,1% do peso pelo método do menor dos dois. Quem tem o VTV ao lado de outro fundo amplo pode ter as mesmas empresas duas vezes sem perceber, porque a alocação por fundo não diz nada sobre as ações por baixo. Todos os pesos desta página são lidos do conjunto de dados datado de 2026-06-30, não estimados nem modelados pelo OverlapCheck.

Holdings source and freshness

Issuer
Vanguard
Source type
SEC Form N-PORT filing (sec_nport)
Holdings as of
Source status
ok
Source checked
Filing date
SEC accession
0000036405-26-000475
Source link
View SEC filing on EDGAR

Todas as 308 posições em ações presentes estão disponíveis nesta página. As 308 maiores vêm no HTML inicial; pesquise ou carregue mais para navegar pelo restante em blocos. As dez maiores somam 23,6 pontos percentuais da exposição informada em SEC Form N-PORT filing de 2026-06-30.

VTV equity holdings

Showing the largest 308 of 308 positive-weight equity holdings in the initial HTML, ordered from highest to lowest reported weight. Search or load additional chunks to browse the complete list without leaving this page.

Showing 308 of 308 holdings.

VTV positive-weight equity holdings
# Company Ticker % of fund
1 Micron Technology Inc MU 4.87%
2 JPMorgan Chase & Co JPM 3.06%
3 Berkshire Hathaway Inc BRK.B 2.95%
4 Johnson & Johnson JNJ 2.29%
5 Exxon Mobil Corp XOM 2.12%
6 Walmart Inc WMT 1.86%
7 Caterpillar Inc CAT 1.83%
8 AbbVie Inc ABBV 1.66%
9 Cisco Systems Inc CSCO 1.56%
10 UnitedHealth Group Inc UNH 1.41%
11 Bank of America Corp BAC 1.36%
12 Home Depot Inc/The HD 1.32%
13 Procter & Gamble Co/The PG 1.28%
14 Merck & Co Inc MRK 1.19%
15 Chevron Corp CVX 1.17%
16 Goldman Sachs Group Inc/The GS 1.06%
17 Philip Morris International Inc PM 1.05%
18 Intel Corp INTC 1.05%
19 Coca-Cola Co/The KO 1.05%
20 International Business Machines Corp IBM 0.99%
21 RTX Corp RTX 0.96%
22 Wells Fargo & Co WFC 0.95%
23 Morgan Stanley MS 0.93%
24 Linde PLC LIN 0.90%
25 Citigroup Inc C 0.85%
26 Amgen Inc AMGN 0.73%
27 General Electric Co GE 0.73%
28 QUALCOMM Inc QCOM 0.73%
29 Analog Devices Inc ADI 0.72%
30 Thermo Fisher Scientific Inc TMO 0.70%
31 PepsiCo Inc PEP 0.69%
32 American Express Co AXP 0.69%
33 NextEra Energy Inc NEE 0.65%
34 Walt Disney Co/The DIS 0.63%
35 Eaton Corp PLC ETN 0.62%
36 Deere & Co DE 0.61%
37 Union Pacific Corp UNP 0.60%
38 Verizon Communications Inc VZ 0.59%
39 Abbott Laboratories ABT 0.59%
40 Gilead Sciences Inc GILD 0.59%
41 Charles Schwab Corp/The SCHW 0.57%
42 AT&T Inc T 0.54%
43 Berkshire Hathaway Inc BRK/A 0.52%
44 Pfizer Inc PFE 0.51%
45 Texas Instruments Inc TXN 0.51%
46 BlackRock Funding Inc/DE BLK 0.50%
47 CVS Health Corp CVS 0.49%
48 Progressive Corp/The PGR 0.48%
49 ConocoPhillips COP 0.47%
50 Prologis Inc PLD 0.47%
51 Dell Technologies Inc DELL 0.47%
52 Capital One Financial Corp COF 0.47%
53 Lowe's Cos Inc LOW 0.46%
54 Parker-Hannifin Corp PH 0.46%
55 Salesforce Inc CRM 0.46%
56 Danaher Corp DHR 0.45%
57 Altria Group Inc MO 0.45%
58 Chubb Ltd CB 0.44%
59 Bristol-Myers Squibb Co BMY 0.44%
60 Lockheed Martin Corp LMT 0.44%
61 S&P Global Inc SPGI 0.44%
62 Trane Technologies PLC TT 0.41%
63 Southern Co/The SO 0.40%
64 Medtronic PLC MDT 0.38%
65 Newmont Corp NEM 0.37%
66 Bank of New York Mellon Corp/The BNY 0.37%
67 PNC Financial Services Group Inc/The PNC 0.37%
68 Corning Inc GLW 0.37%
69 Duke Energy Corp DUK 0.37%
70 Cummins Inc CMI 0.37%
71 US Bancorp USB 0.35%
72 General Dynamics Corp GD 0.34%
73 Williams Cos Inc/The WMB 0.34%
74 McKesson Corp MCK 0.34%
75 Freeport-McMoRan Inc FCX 0.34%
76 Automatic Data Processing Inc ADP 0.33%
77 Waste Management Inc WM 0.33%
78 Johnson Controls International plc JCI 0.33%
79 CSX Corp CSX 0.33%
80 Comcast Corp CMCSA 0.33%
81 3M Co MMM 0.32%
82 Elevance Health Inc ELV 0.31%
83 Constellation Energy Corp CEG 0.30%
84 Marsh & McLennan Cos Inc MRSH 0.30%
85 United Parcel Service Inc UPS 0.30%
86 Emerson Electric Co EMR 0.30%
87 CME Group Inc CME 0.30%
88 Valero Energy Corp VLO 0.29%
89 Accenture PLC ACN 0.29%
90 American Tower Corp AMT 0.29%
91 Marathon Petroleum Corp MPC 0.28%
92 American Electric Power Co Inc AEP 0.28%
93 Mondelez International Inc MDLZ 0.28%
94 Illinois Tool Works Inc ITW 0.28%
95 Uber Technologies Inc UBER 0.27%
96 Colgate-Palmolive Co CL 0.27%
97 Cigna Group/The CI 0.27%
98 T-Mobile US Inc TMUS 0.27%
99 Northrop Grumman Corp NOC 0.27%
100 CRH PLC CRH 0.27%
101 Honeywell International Inc HON 0.27%
102 United Rentals Inc URI 0.27%
103 Norfolk Southern Corp NSC 0.26%
104 Travelers Cos Inc/The TRV 0.26%
105 Honeywell Aerospace Inc HONA 0.26%
106 Intercontinental Exchange Inc ICE 0.26%
107 General Motors Co GM 0.26%
108 SLB Ltd SLB 0.26%
109 EOG Resources Inc EOG 0.26%
110 Simon Property Group Inc SPG 0.26%
111 Ross Stores Inc ROST 0.26%
112 Phillips 66 PSX 0.25%
113 Aon PLC AON 0.25%
114 FedEx Corp FDX 0.25%
115 Air Products and Chemicals Inc APD 0.24%
116 Regeneron Pharmaceuticals Inc REGN 0.24%
117 Warner Bros Discovery Inc WBD 0.24%
118 PACCAR Inc PCAR 0.24%
119 Digital Realty Trust Inc DLR 0.24%
120 Truist Financial Corp TFC 0.23%
121 KKR & Co Inc KKR 0.23%
122 Allstate Corp/The ALL 0.23%
123 Sempra SRE 0.23%
124 HCA Healthcare Inc HCA 0.23%
125 Kinder Morgan Inc KMI 0.23%
126 Dominion Energy Inc D 0.22%
127 Keysight Technologies Inc KEYS 0.22%
128 Hewlett Packard Enterprise Co HPE 0.22%
129 Target Corp TGT 0.22%
130 Arthur J Gallagher & Co AJG 0.22%
131 TE Connectivity PLC TEL 0.22%
132 Delta Air Lines Inc DAL 0.22%
133 Carrier Global Corp CARR 0.22%
134 Corteva Inc CTVA 0.21%
135 Cardinal Health Inc CAH 0.21%
136 AMETEK Inc AME 0.21%
137 Rockwell Automation Inc ROK 0.21%
138 Baker Hughes Co BKR 0.21%
139 Entergy Corp ETR 0.21%
140 ONEOK Inc OKE 0.20%
141 Ford Motor Co F 0.20%
142 Stryker Corp SYK 0.20%
143 L3Harris Technologies Inc LHX 0.20%
144 Aflac Inc AFL 0.20%
145 Vistra Corp VST 0.20%
146 Cencora Inc COR 0.20%
147 Edwards Lifesciences Corp EW 0.19%
148 Electronic Arts Inc EA 0.19%
149 Fifth Third Bancorp FITB 0.19%
150 Nucor Corp NUE 0.19%
151 Public Storage PSA 0.19%
152 Cheniere Energy Inc LNG 0.19%
153 Xcel Energy Inc XEL 0.19%
154 eBay Inc EBAY 0.19%
155 Microchip Technology Inc MCHP 0.19%
156 NIKE Inc NKE 0.18%
157 Exelon Corp EXC 0.18%
158 Humana Inc HUM 0.18%
159 Devon Energy Corp DVN 0.18%
160 MetLife Inc MET 0.17%
161 Ferguson Enterprises Inc FERG 0.17%
162 Westinghouse Air Brake Technologies Corp WAB 0.17%
163 State Street Corp STT 0.17%
164 United Airlines Holdings Inc UAL 0.17%
165 Blackstone Inc BX 0.16%
166 Ventas Inc VTR 0.16%
167 Republic Services Inc RSG 0.16%
168 Keurig Dr Pepper Inc KDP 0.16%
169 DR Horton Inc DHI 0.16%
170 Becton Dickinson & Co BDX 0.16%
171 Ameriprise Financial Inc AMP 0.16%
172 Adobe Inc ADBE 0.16%
173 Consolidated Edison Inc ED 0.15%
174 Public Service Enterprise Group Inc PEG 0.15%
175 Sherwin-Williams Co/The SHW 0.15%
176 Nasdaq Inc NDAQ 0.15%
177 Sysco Corp SYY 0.15%
178 American International Group Inc AIG 0.15%
179 CBRE Group Inc CBRE 0.15%
180 Garmin Ltd GRMN 0.15%
181 Royal Caribbean Cruises Ltd RCL 0.14%
182 WEC Energy Group Inc WEC 0.14%
183 Agilent Technologies Inc A 0.14%
184 Prudential Financial Inc PRU 0.14%
185 ON Semiconductor Corp ON 0.14%
186 Archer-Daniels-Midland Co ADM 0.14%
187 Kenvue Inc KVUE 0.14%
188 Kimberly-Clark Corp KMB 0.14%
189 Hartford Financial Services Group Inc/The HIG 0.14%
190 Occidental Petroleum Corp OXY 0.14%
191 PG&E Corp PCG 0.13%
192 Huntington Bancshares Inc/OH HBAN 0.13%
193 Intuit Inc INTU 0.13%
194 Iron Mountain Inc IRM 0.13%
195 Carnival Corp Ltd CCL 0.13%
196 M&T Bank Corp MTB 0.13%
197 Diamondback Energy Inc FANG 0.13%
198 Roper Technologies Inc ROP 0.13%
199 Crown Castle Inc CCI 0.12%
200 IQVIA Holdings Inc IQV 0.12%
201 Arch Capital Group Ltd ACGL 0.12%
202 Ingersoll Rand Inc IR 0.12%
203 Biogen Inc BIIB 0.12%
204 Boston Scientific Corp BSX 0.12%
205 Paychex Inc PAYX 0.12%
206 Ameren Corp AEE 0.12%
207 Teledyne Technologies Inc TDY 0.12%
208 Extra Space Storage Inc EXR 0.11%
209 Northern Trust Corp NTRS 0.11%
210 NetApp Inc NTAP 0.11%
211 Dover Corp DOV 0.11%
212 GE HealthCare Technologies Inc GEHC 0.11%
213 Realty Income Corp O 0.11%
214 Cincinnati Financial Corp CINF 0.11%
215 CenterPoint Energy Inc CNP 0.11%
216 Strategy Inc MSTR 0.11%
217 Edison International EIX 0.11%
218 Citizens Financial Group Inc CFG 0.11%
219 Xylem Inc/NY XYL 0.10%
220 Otis Worldwide Corp OTIS 0.10%
221 Zoetis Inc ZTS 0.10%
222 Eversource Energy ES 0.10%
223 PPG Industries Inc PPG 0.10%
224 DTE Energy Co DTE 0.10%
225 VICI Properties Inc VICI 0.10%
226 AvalonBay Communities Inc AVB 0.10%
227 PulteGroup Inc PHM 0.10%
228 FirstEnergy Corp FE 0.10%
229 Hershey Co/The HSY 0.10%
230 PPL Corp PPL 0.10%
231 Regions Financial Corp RF 0.10%
232 American Water Works Co Inc AWK 0.10%
233 Synchrony Financial SYF 0.10%
234 Raymond James Financial Inc RJF 0.10%
235 Halliburton Co HAL 0.10%
236 Equity Residential EQR 0.10%
237 Cboe Global Markets Inc CBOE 0.09%
238 Dollar General Corp DG 0.09%
239 Southwest Airlines Co LUV 0.09%
240 KeyCorp KEY 0.09%
241 Kroger Co/The KR 0.09%
242 Willis Towers Watson PLC WTW 0.09%
243 Copart Inc CPRT 0.09%
244 T Rowe Price Group Inc TROW 0.09%
245 Apollo Global Management Inc APO 0.09%
246 CMS Energy Corp CMS 0.09%
247 Darden Restaurants Inc DRI 0.09%
248 Fiserv Inc FISV 0.09%
249 Quest Diagnostics Inc DGX 0.09%
250 Principal Financial Group Inc PFG 0.09%
251 Markel Group Inc MKL 0.09%
252 Church & Dwight Co Inc CHD 0.09%
253 Labcorp Holdings Inc LH 0.09%
254 PayPal Holdings Inc PYPL 0.09%
255 Dollar Tree Inc DLTR 0.08%
256 Veralto Corp VLTO 0.08%
257 Zoom Video Communications Inc ZM 0.08%
258 Expeditors International of Washington Inc EXPD 0.08%
259 Packaging Corp of America PKG 0.08%
260 Snap-on Inc SNA 0.08%
261 Corpay Inc CPAY 0.08%
262 STERIS PLC STE 0.08%
263 Constellation Brands Inc STZ 0.08%
264 Fidelity National Information Services Inc FIS 0.08%
265 HP Inc HPQ 0.07%
266 W R Berkley Corp WRB 0.07%
267 Ulta Beauty Inc ULTA 0.07%
268 Kraft Heinz Co/The KHC 0.07%
269 Estee Lauder Cos Inc/The EL 0.07%
270 Lennar Corp LEN 0.07%
271 Equifax Inc EFX 0.07%
272 Loews Corp L 0.07%
273 Brown & Brown Inc BRO 0.07%
274 Interactive Brokers Group Inc IBKR 0.07%
275 Waters Corp WAT 0.07%
276 Cognizant Technology Solutions Corp CTSH 0.07%
277 Martin Marietta Materials Inc MLM 0.06%
278 Qnity Electronics Inc Q 0.06%
279 Tyson Foods Inc TSN 0.06%
280 Centene Corp CNC 0.06%
281 Steel Dynamics Inc STLD 0.06%
282 Sunbelt Rentals Holdings Inc SUNB 0.06%
283 Global Payments Inc GPN 0.06%
284 Medline Inc MDLN 0.06%
285 Rocket Cos Inc RKT 0.05%
286 Expedia Group Inc EXPE 0.05%
287 Hubbell Inc HUBB 0.05%
288 NiSource Inc NI 0.04%
289 International Paper Co IP 0.04%
290 Alliant Energy Corp LNT 0.04%
291 Dow Inc DOW 0.04%
292 International Flavors & Fragrances Inc IFF 0.04%
293 Fox Corp FOXA 0.04%
294 Fortive Corp FTV 0.03%
295 General Mills Inc GIS 0.03%
296 NVR Inc NVR 0.03%
297 Zimmer Biomet Holdings Inc ZBH 0.03%
298 EQT Corp EQT 0.03%
299 Tractor Supply Co TSCO 0.03%
300 Broadridge Financial Solutions Inc BR 0.03%
301 Flutter Entertainment PLC FLUT 0.03%
302 LyondellBasell Industries NV LYB 0.03%
303 McCormick & Co Inc/MD MKC 0.02%
304 SS&C Technologies Holdings Inc SSNC 0.02%
305 Charter Communications Inc CHTR 0.02%
306 Fox Corp FOX 0.02%
307 Lululemon Athletica Inc LULU 0.01%
308 Lennar Corp LENB <0.01%

Tem o VTV junto com outros fundos? A mesma ação pode estar em vários deles ao mesmo tempo — veja sua exposição combinada real →

Distribuição por setor

Financials 22%
Health Care 15,1%
Industrials 14,9%
Technology 13,9%
Consumer Staples 8,7%
Utilities 4,8%
Energy 4,3%
Consumer Discretionary 3,9%
Materials 3,1%
Communication Services 2,7%
Real Estate 2,4%
Unclassified 3,8%

Setores atribuídos pela participação nos ETFs setoriais do S&P 500; small caps e ações internacionais aparecem como Não classificado. Veja a metodologia.

Mais se sobrepõe com

Menor sobreposição de composição

Estas são as menores pontuações de sobreposição entre os fundos acompanhados aqui, não recomendações. Sobreposição de posições não mede correlação, volatilidade, exposição geográfica ou a fatores, taxas nem adequação ao investidor.

→ Veja o que o VTV mais seus outros fundos realmente têm, combinados

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