Components Vanguard Mid-Cap Growth ETF - USD

ETF

VOT

US9229085389

Delayed Nyse 11:53:46 03/05/2024 pm IST 5-day change 1st Jan Change
227.5 USD +0.80% Intraday chart for Vanguard Mid-Cap Growth ETF - USD +1.06% +3.62%

Composition of Vanguard Mid-Cap Growth ETF - USD

Weight
123 USD +1.65%+1.97%+23.94%1.84%
276.2 USD +5.47%+4.64%+17.61%1.82%
1,298 USD +2.09%+3.37%+28.66%1.65%
673.1 USD +1.63%+0.88%+11.52%1.62%
352.8 USD +4.91%+1.97%+12.85%1.61%
96.04 USD -0.05%+1.79%+6.50%1.56%
91.02 USD +1.75%-2.71%+0.98%1.51%
129 USD +1.89%+3.39%+3.60%1.49%
468.4 USD +0.16%-1.86%-17.10%1.32%
55.06 USD +1.20%-1.08%+12.51%1.31%
224.1 USD +0.87%-4.41%-2.96%1.31%
55.16 USD +0.46%+2.67%-3.96%1.29%
157.7 USD -0.55%-3.09%+9.25%1.24%
185.5 USD +1.16%+1.66%-8.49%1.24%
156.6 USD -2.51%-2.16%-8.80%1.20%
164.4 USD +0.65%+0.65%+10.23%1.19%
164.6 USD +0.74%-6.95%+0.18%1.18%
68.24 USD +0.21%+0.30%+5.57%1.15%
933.6 USD +1.05%+0.54%+12.74%1.15%
110.6 USD -1.35%+0.17%+20.26%1.15%
183 USD -0.30%+2.49%-22.68%1.14%
70.34 USD +0.47%+3.47%-15.69%1.12%
90.94 USD +1.31%-1.68%+4.23%1.11%
237.3 USD +1.50%+7.34%-0.62%1.08%
141.4 USD +1.17%+6.08%-11.69%1.05%
23.24 USD +3.04%+3.22%+35.38%1.05%
429 USD +2.37%-4.08%-4.57%1.04%
124.3 USD -0.95%-5.55%+2.29%1.03%
88.56 USD +0.49%+4.76%+23.35%1.00%
320.6 USD +1.93%-3.73%-11.46%0.98%
3,165 USD +0.74%-0.69%+38.40%0.97%
255.6 USD +0.23%-2.48%+18.24%0.97%
114.1 USD -0.14%-13.49%+15.57%0.97%
593.7 USD +0.64%-1.98%+18.86%0.96%
227.5 USD +1.36%+2.02%-7.83%0.95%
264.8 USD +0.13%+1.37%+16.66%0.94%
50.26 USD -0.17%-4.51%+11.11%0.90%
708.7 USD -0.59%+4.75%+12.46%0.89%
138.2 USD +0.56%-1.59%+6.84%0.88%
602.5 USD +1.96%-4.81%+3.49%0.86%
200.5 USD +1.47%-3.40%+29.41%0.86%
364.4 USD +0.34%-5.32%-11.12%0.86%
137.3 USD +0.96%+3.87%+20.25%0.86%
145.5 USD +1.72%+0.80%-9.52%0.85%
193.8 USD -0.03%-1.05%-23.46%0.85%
1,193 USD +2.37%+7.60%+2.69%0.85%
223.9 USD -2.17%-5.51%+28.39%0.83%
1,258 USD +0.66%+1.70%+3.81%0.82%
363.6 USD -1.33%+1.26%+3.65%0.81%
68.14 USD +2.21%-1.90%+13.24%0.81%
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ETF Ratings

Description

US9229085389
Total Expense Ratio 0.07%
Asset Class
Sector
Size
Currency
Provider
Underlying CRSP U.S. Mid Cap Growth Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
17/08/2006
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 12,276 M€
AuM 1M 11,717 M€
AuM 3 months 10,667 M€
AuM 6 months 9,891 M€
AuM 12 months 9,085 M€
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