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Fund profile

Tickers
VT, VTWIX, VTWAX
Total assets
$32.66B
Liabilities
$155.9M
Net assets
$32.51B
Number of holdings
9.15K

VT stock data

Top 200 of 9151 Holdings

As of Jul 2021
Security $Holding Balance % of Fund Category Position Country
AAPL Apple Inc 981.29M 6.73M shares 3.02 Common equity Long USA
MSFT Microsoft Corporation 919.63M 3.23M shares 2.83 Common equity Long USA
AMZN Amazon.com Inc. 618.44M 185.85K shares 1.90 Common equity Long USA
FB Facebook Inc 365.21M 1.03M shares 1.12 Common equity Long USA
GOOG Alphabet Inc 343.78M 127.58K shares 1.06 Common equity Long USA
GOOG Alphabet Inc 332.01M 122.77K shares 1.02 Common equity Long USA
TSLA Tesla Inc 228.51M 332.52K shares 0.70 Common equity Long USA
NVDA NVIDIA Corp 199.92M 1.03M shares 0.62 Common equity Long USA
JPM JPMorgan Chase & Co. 194.38M 1.28M shares 0.60 Common equity Long USA
JNJ Johnson & Johnson 193.54M 1.12M shares 0.60 Common equity Long USA
V Visa Inc 178.24M 723.4K shares 0.55 Common equity Long USA
BRK.A Berkshire Hathaway Inc. 175.84M 631.85K shares 0.54 Common equity Long USA
UNH Unitedhealth Group Inc 165.33M 401.07K shares 0.51 Common equity Long USA
TSMC
158.97M 7.61M shares 0.49 Common equity Long Taiwan
TCEHY Tencent Holdings Ltd 154.83M 2.57M shares 0.48 Common equity Long China
NESTLE SA-REG
151.54M 1.2M shares 0.47 Common equity Long Switzerland
HD Home Depot, Inc. 150.67M 459.09K shares 0.46 Common equity Long USA
ALIBABA GROUP HO
149.23M 6.11M shares 0.46 Common equity Long Hong Kong
PG Procter & Gamble Co. 146.67M 1.03M shares 0.45 Common equity Long USA
MA Mastercard Incorporated 144.34M 374K shares 0.44 Common equity Long USA
PYPL PayPal Holdings Inc 138.57M 502.93K shares 0.43 Common equity Long USA
DIS Walt Disney Co 136.61M 776.1K shares 0.42 Common equity Long USA
ASML ASML Holding NV - New York Shares 129.6M 169.55K shares 0.40 Common equity Long Netherlands
MSCI MSCI Inc 126.74M 203.89K shares 0.39 Common equity Long USA
BAC Bank Of America Corp. 123.31M 3.21M shares 0.38 Common equity Long USA
CMCSA Comcast Corp 114.46M 1.95M shares 0.35 Common equity Long USA
XOM Exxon Mobil Corp. 104.22M 1.81M shares 0.32 Common equity Long USA
ROCHE HLDG-GENUS
102.86M 266.27K shares 0.32 Common equity Long Switzerland
PFE Pfizer Inc. 101.93M 2.38M shares 0.31 Common equity Long USA
CSCO Cisco Systems, Inc. 99.37M 1.79M shares 0.31 Common equity Long USA
VZ Verizon Communications Inc 98.32M 1.76M shares 0.30 Common equity Long USA
CRM Salesforce.Com Inc 95.57M 395.02K shares 0.29 Common equity Long USA
NFLX NetFlix Inc 95.54M 184.59K shares 0.29 Common equity Long USA
Vanguard Market Liquidity Fund 95.02M 950.22K shares 0.29 Short-term investment vehicle Long USA
TOYOTA MOTOR
94.28M 1.05M shares 0.29 Common equity Long Japan
KO Coca-Cola Co 93.63M 1.64M shares 0.29 Common equity Long USA
INTC Intel Corp. 92.63M 1.72M shares 0.28 Common equity Long USA
PEP PepsiCo Inc 92.16M 587.21K shares 0.28 Common equity Long USA
TMO Thermo Fisher Scientific Inc. 90.6M 167.78K shares 0.28 Common equity Long USA
ABT Abbott Laboratories 90.01M 744.02K shares 0.28 Common equity Long USA
NKE Nike, Inc. 88.84M 530.37K shares 0.27 Common equity Long USA
LLY Lilly(Eli) & Co 88.32M 362.7K shares 0.27 Common equity Long USA
ABBV Abbvie Inc 87.77M 754.71K shares 0.27 Common equity Long USA
WMT Walmart Inc 86.71M 608.29K shares 0.27 Common equity Long USA
ACN Accenture plc 85.51M 269.16K shares 0.26 Common equity Long USA
LVMH MOET HENNE
85.43M 106.7K shares 0.26 Common equity Long France
T AT&T, Inc. 85.42M 3.05M shares 0.26 Common equity Long USA
NOVARTIS AG-REG
83.66M 904.66K shares 0.26 Common equity Long Switzerland
CVX Chevron Corp. 83.6M 821.11K shares 0.26 Common equity Long USA
MRK Merck & Co Inc 83.11M 1.08M shares 0.26 Common equity Long USA
AVGO Broadcom Pte. Ltd. 82.37M 169.69K shares 0.25 Common equity Long USA
WFC Wells Fargo & Co. 81.36M 1.77M shares 0.25 Common equity Long USA
COST Costco Wholesale Corp 80.72M 187.85K shares 0.25 Common equity Long USA
DHR Danaher Corp. 80.63M 271.02K shares 0.25 Common equity Long USA
MCD McDonald`s Corp 76.94M 317.02K shares 0.24 Common equity Long USA
ASTRAZENECA PLC
75.85M 660.07K shares 0.23 Common equity Long UK
TXN Texas Instruments Inc. 74.82M 392.51K shares 0.23 Common equity Long USA
MDT Medtronic Plc 74.7M 568.89K shares 0.23 Common equity Long USA
QCOM Qualcomm, Inc. 72.29M 482.56K shares 0.22 Common equity Long USA
SAMSUNG ELECTRON
70.57M 1.03M shares 0.22 Common equity Long Korea, Republic of
HON Honeywell International Inc 69.23M 296.13K shares 0.21 Common equity Long USA
LIN Linde Plc 68.06M 221.43K shares 0.21 Common equity Long USA
TAIWAN SEMIC-ADR
67.73M 580.66K shares 0.21 Common equity Long USA
SAP SE
67.73M 471.93K shares 0.21 Common equity Long Germany
PM Philip Morris International Inc 66.24M 661.76K shares 0.20 Common equity Long USA
NEE NextEra Energy Inc 65.07M 835.24K shares 0.20 Common equity Long USA
ORCL Oracle Corp. 64.93M 745.1K shares 0.20 Common equity Long USA
BMY Bristol-Myers Squibb Co. 64.54M 950.94K shares 0.20 Common equity Long USA
UNILEVER PLC
63.88M 1.11M shares 0.20 Common equity Long UK
NOVO NORDISK-B
63.56M 686.56K shares 0.20 Common equity Long Denmark
AIA
61.83M 5.17M shares 0.19 Common equity Long Hong Kong
UNP Union Pacific Corp. 61.51M 281.18K shares 0.19 Common equity Long USA
SAMSUN-GDR REG S
61.49M 35.88K shares 0.19 Common equity Long UK
SBUX Starbucks Corp. 60.85M 501.09K shares 0.19 Common equity Long USA
RY Royal Bank Of Canada 60.3M 596.17K shares 0.19 Common equity Long Canada
C Citigroup Inc 59.35M 877.7K shares 0.18 Common equity Long USA
AMGN AMGEN Inc. 59.32M 245.6K shares 0.18 Common equity Long USA
UPS United Parcel Service, Inc. 59.14M 309.05K shares 0.18 Common equity Long USA
LOW Lowe`s Cos., Inc. 58.91M 305.73K shares 0.18 Common equity Long USA
INTU Intuit Inc 57.56M 108.62K shares 0.18 Common equity Long USA
MS Morgan Stanley 56.78M 591.62K shares 0.17 Common equity Long USA
RTX Raytheon Technologies Corporation 55.62M 639.64K shares 0.17 Common equity Long USA
TGT Target Corp 55.41M 212.26K shares 0.17 Common equity Long USA
AMAT Applied Materials Inc. 55.36M 395.61K shares 0.17 Common equity Long USA
COMMONW BK AUSTR
55.23M 753.38K shares 0.17 Common equity Long Australia
SONY GROUP CORP
55.11M 527.5K shares 0.17 Common equity Long Japan
AMD Advanced Micro Devices Inc. 54.99M 517.84K shares 0.17 Common equity Long USA
AMT American Tower Corp. 54.53M 192.81K shares 0.17 Common equity Long USA
IBM International Business Machines Corp. 53.69M 380.91K shares 0.17 Common equity Long USA
GS Goldman Sachs Group, Inc. 52.7M 140.59K shares 0.16 Common equity Long USA
BLK Blackrock Inc. 52.47M 60.51K shares 0.16 Common equity Long USA
BA Boeing Co. 51.78M 228.65K shares 0.16 Common equity Long USA
MRNA Moderna Inc 51.36M 145.26K shares 0.16 Common equity Long USA
TD Toronto Dominion Bank 50.43M 758.54K shares 0.16 Common equity Long Canada
SIEMENS AG-REG
50M 320.44K shares 0.15 Common equity Long Germany
ISRG Intuitive Surgical Inc 49.93M 50.36K shares 0.15 Common equity Long USA
BHP GROUP LTD
49.48M 1.26M shares 0.15 Common equity Long Australia
NOW ServiceNow Inc 49.44M 84.1K shares 0.15 Common equity Long USA
MMM 3M Co. 48.77M 246.37K shares 0.15 Common equity Long USA
GE General Electric Co. 48.39M 3.74M shares 0.15 Common equity Long USA
DIAGEO PLC
48.21M 972.28K shares 0.15 Common equity Long UK
CAT Caterpillar Inc. 48.12M 232.73K shares 0.15 Common equity Long USA
HSBC HOLDINGS PL
48.01M 8.7M shares 0.15 Common equity Long UK
SANOFI
47.57M 461.48K shares 0.15 Common equity Long France
AXP American Express Co. 47.14M 276.45K shares 0.15 Common equity Long USA
BRK.A Berkshire Hathaway Inc. 46.5M 111 shares 0.14 Common equity Long USA
MEITUAN-B
46.15M 1.67M shares 0.14 Common equity Long China
CVS CVS Health Corp 46.14M 560.21K shares 0.14 Common equity Long USA
SCHW Charles Schwab Corp. 45.33M 667.16K shares 0.14 Common equity Long USA
TOTALENERGIES SE
45.29M 1.04M shares 0.14 Common equity Long France
Vanguard Market Liquidity Fund 45.1M 45.1M shares 0.14 Short-term investment vehicle Long USA
SPGI S&P Global Inc 43.85M 102.28K shares 0.13 Common equity Long USA
DE Deere & Co. 43.48M 120.26K shares 0.13 Common equity Long USA
SHOP Shopify Inc 43.36M 28.91K shares 0.13 Common equity Long Canada
ALLIANZ SE-REG
43.09M 173.34K shares 0.13 Common equity Long Germany
KEYENCE CORP
42.29M 75.93K shares 0.13 Common equity Long Japan
CHTR Charter Communications Inc. 41.71M 56.06K shares 0.13 Common equity Long USA
GLAXOSMITHKLINE
41.62M 2.11M shares 0.13 Common equity Long UK
CSL LTD
41.4M 194.44K shares 0.13 Common equity Long Australia
SQ Square Inc 41.32M 167.12K shares 0.13 Common equity Long USA
ZTS Zoetis Inc 41.09M 202.7K shares 0.13 Common equity Long USA
PLD Prologis, L.P. 40.2M 313.95K shares 0.12 Common equity Long USA
ANTM Anthem Inc 39.96M 104.07K shares 0.12 Common equity Long USA
SYK Stryker Corp. 39.85M 147.08K shares 0.12 Common equity Long USA
RIO TINTO PLC
39.76M 468.06K shares 0.12 Common equity Long UK
FIS Fidelity National Information Services, Inc. 39.26M 263.4K shares 0.12 Common equity Long USA
LMT Lockheed Martin Corp. 38.91M 104.7K shares 0.12 Common equity Long USA
LRCX Lam Research Corp. 38.76M 60.81K shares 0.12 Common equity Long USA
BKNG Booking Holdings Inc 38.25M 17.56K shares 0.12 Common equity Long USA
MO Altria Group Inc. 37.91M 789.07K shares 0.12 Common equity Long USA
ADP Automatic Data Processing Inc. 37.79M 180.25K shares 0.12 Common equity Long USA
MDLZ Mondelez International Inc. 37.29M 589.44K shares 0.11 Common equity Long USA
SCHNEIDER ELECTR
37.22M 222.25K shares 0.11 Common equity Long France
PTSI P.A.M. Transportation Services, Inc. 37.14M 478.79K shares 0.11 Common equity Long USA
GILD Gilead Sciences, Inc. 36.56M 535.35K shares 0.11 Common equity Long USA
SOFTBANK GROUP C
36.56M 581.34K shares 0.11 Common equity Long Japan
TMUS T-Mobile US Inc 36.19M 251.31K shares 0.11 Common equity Long USA
ROYAL DUTCH SH-A
35.99M 1.79M shares 0.11 Common equity Long UK
TJX TJX Companies, Inc. 35.68M 518.55K shares 0.11 Common equity Long USA
CCI Crown Castle International Corp 35.4M 183.35K shares 0.11 Common equity Long USA
HKEX
34.9M 546.12K shares 0.11 Common equity Long Hong Kong
ZM Zoom Video Communications Inc 34.51M 91.28K shares 0.11 Common equity Long USA
ENB Enbridge Inc 34.24M 868.6K shares 0.11 Common equity Long Canada
BP PLC
34.17M 8.51M shares 0.11 Common equity Long UK
DCO Ducommun Inc. 34.12M 324.59K shares 0.10 Common equity Long USA
NASPERS LTD-N
33.86M 175.44K shares 0.10 Common equity Long South Africa
ADYEN NV
33.65M 12.42K shares 0.10 Common equity Long Netherlands
GM General Motors Company 33.32M 586.26K shares 0.10 Common equity Long USA
CI Cigna Holding Co 33.23M 144.81K shares 0.10 Common equity Long USA
AIRBUS SE
32.79M 239.08K shares 0.10 Common equity Long France
PNC PNC Financial Services Group 32.77M 179.63K shares 0.10 Common equity Long USA
COP Conoco Phillips 32.51M 579.95K shares 0.10 Common equity Long USA
EL Estee Lauder Cos., Inc. 32.51M 97.39K shares 0.10 Common equity Long USA
CME CME Group Inc 32.42M 152.82K shares 0.10 Common equity Long USA
CB Chubb Limited 32.29M 191.35K shares 0.10 Common equity Long USA
BRIT AMER TOBACC
32.24M 866.93K shares 0.10 Common equity Long UK
BAM Brookfield Asset Management Inc. 31.93M 591.48K shares 0.10 Common equity Long Canada
DAIMLER AG
31.92M 357.66K shares 0.10 Common equity Long Germany
MMC Marsh & McLennan Cos., Inc. 31.58M 214.5K shares 0.10 Common equity Long USA
EQIX Equinix Inc 31.42M 38.3K shares 0.10 Common equity Long USA
BNS Bank Of Nova Scotia 31.41M 503.31K shares 0.10 Common equity Long Canada
USB U.S. Bancorp. 31.4M 565.4K shares 0.10 Common equity Long USA
BDX Becton, Dickinson And Co. 31.39M 122.73K shares 0.10 Common equity Long USA
TFC Truist Financial Corporation 30.97M 568.9K shares 0.10 Common equity Long USA
CSX CSX Corp. 30.93M 957.07K shares 0.10 Common equity Long USA
COF Capital One Financial Corp. 30.89M 191K shares 0.10 Common equity Long USA
ILMN Illumina Inc 30.87M 62.26K shares 0.09 Common equity Long USA
MELI MercadoLibre Inc 30.79M 19.63K shares 0.09 Common equity Long USA
ENEL SPA
30.49M 3.31M shares 0.09 Common equity Long Italy
ROYAL DUTCH SH-B
30.31M 1.53M shares 0.09 Common equity Long UK
BASF SE
30.23M 384.67K shares 0.09 Common equity Long Germany
ADSK Autodesk Inc. 30.19M 94.01K shares 0.09 Common equity Long USA
SHW Sherwin-Williams Co. 30.15M 103.6K shares 0.09 Common equity Long USA
IBERDROLA SA
30.09M 2.5M shares 0.09 Common equity Long Spain
UBER Uber Technologies Inc 29.93M 688.58K shares 0.09 Common equity Long USA
EW Edwards Lifesciences Corp 29.76M 265.09K shares 0.09 Common equity Long USA
ADIDAS AG
29.7M 81.82K shares 0.09 Common equity Long Germany
RECRUIT HOLDINGS
29.68M 572.63K shares 0.09 Common equity Long Japan
ITW Illinois Tool Works, Inc. 29.43M 129.83K shares 0.09 Common equity Long USA
FDX Fedex Corp 29.29M 104.61K shares 0.09 Common equity Long USA
SHOP Shopify Inc 29.24M 19.48K shares 0.09 Common equity Long Canada
FISV Fiserv, Inc. 29.07M 252.5K shares 0.09 Common equity Long USA
BHP GROUP PLC
28.94M 893.96K shares 0.09 Common equity Long UK
DEUTSCHE POST-RG
28.51M 420.65K shares 0.09 Common equity Long Germany
DEUTSCHE TELEKOM
28.32M 1.36M shares 0.09 Common equity Long Germany
ICE Intercontinental Exchange Inc 28.28M 236.04K shares 0.09 Common equity Long USA
CIE FINANCI-REG
28.24M 220.71K shares 0.09 Common equity Long Switzerland
SO Southern Company 28.21M 441.66K shares 0.09 Common equity Long USA
WESTPAC BANKING
28.02M 1.56M shares 0.09 Common equity Long Australia
BNP PARIBAS
28.01M 459.39K shares 0.09 Common equity Long France
MITSUBISHI UFJ F
27.99M 5.3M shares 0.09 Common equity Long Japan
KERING
27.94M 31.15K shares 0.09 Common equity Long France
CL Colgate-Palmolive Co. 27.89M 350.79K shares 0.09 Common equity Long USA
CCB-H
27.87M 40.01M shares 0.09 Common equity Long China
HCA HCA Healthcare Inc 27.65M 111.4K shares 0.09 Common equity Long USA
CNI Canadian National Railway Co. 27.6M 254.06K shares 0.08 Common equity Long Canada
BSX Boston Scientific Corp. 27.55M 604.07K shares 0.08 Common equity Long USA
SHIN-ETSU CHEM
27.55M 168.86K shares 0.08 Common equity Long Japan
ATVI Activision Blizzard Inc 27.47M 328.52K shares 0.08 Common equity Long USA
APD Air Products & Chemicals Inc. 27.25M 93.64K shares 0.08 Common equity Long USA