13FBOX
Vanguard Global Advisers, LLC · 13F Holdings
Options Calculator Rankings

Vanguard Global Advisers, LLC

No.56 Data as of 2026Q2
Latest AUM (Q2 2026)
$214.60B
QoQ Change Q1 2026
+$29.64B+16.0%
Holdings
3638
New Buys
144
Adds
734
Reduces
1616
Exits
122
Unchanged
1144
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
VVANGUARD INDEX FDSVOO
13.21%12.79%$28.34B41.3M$23.66B39.6M+1.7M+4.22%Add
GGENERAL DYNAMICS CORPVTI
6.7%6.4%$14.37B38.8M$11.84B36.9M+1.9M+5.21%Add
NVIDIA CORPORATIONNVDA
4.86%5%$10.44B52.2M$9.26B53.1M-916,964-1.73%Reduce
APPLE INCAAPL
4.27%4.4%$9.16B31.7M$8.15B32.1M-432,673-1.35%Reduce
MICROSOFT CORPMSFT
2.79%3.25%$5.98B16.0M$6.01B16.2M-220,087-1.35%Reduce
AMAZON COM INCAMZN
2.34%2.4%$5.03B21.1M$4.45B21.4M-247,367-1.16%Reduce
ALPHABET INCGOOGL
2.11%1.98%$4.53B12.7M$3.67B12.7M-86,304-0.68%Reduce
BROADCOM INCAVGO
1.8%1.73%$3.86B10.2M$3.21B10.4M-151,290-1.46%Reduce
AAlphabet Inc Class CGOOG
1.68%1.59%$3.60B10.2M$2.94B10.2M-43,647-0.43%Reduce
VVANGUARD FSTEVWO
1.58%1.56%$3.40B56.9M$2.88B53.3M+3.6M+6.83%Add
MICRON TECHNOLOGY INCMU
1.31%0.45%$2.81B2.4M$834.8M2.5M-34,779-1.41%Reduce
META PLATFORMS INCMETA
1.24%1.48%$2.67B4.7M$2.74B4.8M-43,992-0.92%Reduce
TESLA INCTSLA
1.19%1.24%$2.56B6.1M$2.29B6.2M-72,858-1.18%Reduce
VVANGUARD SPECIALIZED FUNDSVIG
1.18%1.24%$2.52B10.7M$2.29B10.6M+39,692+0.37%Add
ROYAL BK CDA COMRY
1.04%0.86%$2.22B10.7M$1.59B9.8M+894,918+9.09%Add
ELI LILLY & COLLY
0.95%0.86%$2.05B1.7M$1.60B1.7M-27,594-1.59%Reduce
ADVANCED MICRO DEVICES INCAMD
0.95%0.39%$2.05B3.5M$726.9M3.6M-52,692-1.47%Reduce
BERKSHIRE HATHAWAY INC DELBRK.B
0.92%1.03%$1.97B3.9M$1.91B4.0M-47,965-1.21%Reduce
JPMORGAN CHASE & COJPM
0.82%0.87%$1.75B5.4M$1.61B5.5M-102,007-1.87%Reduce
TORONTO DOMINION BK ONT COM NEWTD
0.73%0.6%$1.56B12.8M$1.10B11.8M+1.0M+8.64%Add
VVANGUARD FTSEVEA
0.7%0.73%$1.51B21.2M$1.34B21.0M+222,154+1.06%Add
INTEL CORPINTC
0.66%0.25%$1.42B10.2M$455.7M10.3M-143,429-1.39%Reduce
VVANGUARD INDEX FDSVV
0.64%0.65%$1.38B4.0M$1.20B4.0M+12,938+0.32%Add
JOHNSON & JOHNSONJNJ
0.62%0.7%$1.33B5.2M$1.30B5.3M-62,211-1.17%Reduce
VVANGUARD TOTALBND
0.61%0.68%$1.32B18.0M$1.25B17.0M+916,931+5.38%Add
EXXON MOBIL CORPXOM
0.58%0.85%$1.24B9.1M$1.57B9.2M-159,168-1.72%Reduce
APPLIED MATLS INCAMAT
0.58%0.32%$1.24B1.7M$594.7M1.7M-24,147-1.39%Reduce
VISA INCV
0.57%0.6%$1.23B3.6M$1.11B3.7M-98,788-2.69%Reduce
LAM RESEARCH CORPLRCX
0.55%0.32%$1.17B2.7M$585.6M2.7M-35,013-1.28%Reduce
WALMART INCWMT
0.5%0.64%$1.07B9.4M$1.19B9.6M-126,758-1.32%Reduce
VVANGUARD TOTALBNDX
0.5%0.53%$1.06B21.9M$981.0M20.4M+1.5M+7.47%Add
CATERPILLAR INCCAT
0.49%0.39%$1.06B993,341$720.6M1.0M-23,797-2.34%Reduce
CISCO SYS INCCSCO
0.47%0.36%$1.00B8.6M$673.4M8.7M-127,944-1.47%Reduce
ABBVIE INCABBV
0.45%0.46%$963.6M3.8M$849.4M3.9M-76,339-1.95%Reduce
BANK MONTREAL MEDIUM COMBMO
0.45%0.36%$959.1M5.4M$675.1M5.0M+441,974+8.87%Add
ENBRIDGE INCENB
0.42%0.45%$908.9M16.8M$830.8M15.3M+1.4M+9.35%Add
COSTCO WHOLESALE CORPORATIONCOST
0.42%0.52%$895.4M957,168$967.7M971,143-13,975-1.44%Reduce
MASTERCARD INCORPORATEDMA
0.42%0.48%$894.0M1.7M$890.0M1.8M-40,430-2.27%Reduce
KLA CORPKLAC
0.4%0.23%$853.2M2.8M$423.8M287,798+2.5M+882.57%Add
GE AEROSPACEGE
0.39%0.35%$839.9M2.2M$650.6M2.3M-45,275-1.97%Reduce
BBANK OF AMER CORPBAC
0.38%0.36%$822.8M14.4M$673.4M13.8M+627,623+4.54%Add
BANK NOVA SCOTIA B CBNS
0.38%0.33%$822.5M9.5M$608.7M8.8M+685,801+7.81%Add
UNITEDHEALTH GROUP INCUNH
0.38%0.29%$819.3M2.0M$542.0M2.0M-31,980-1.60%Reduce
CANADIAN IMPERIAL BANK OF COCM
0.38%0.34%$814.1M7.1M$627.3M6.6M+450,566+6.81%Add
HOME DEPOT INCHD
0.36%0.39%$763.6M2.2M$720.8M2.2M-26,234-1.20%Reduce
PROCTER & GAMBLE COPG
0.35%0.4%$751.3M5.1M$746.7M5.2M-45,784-0.89%Reduce
SSANDISK CORP COMSNDK
0.34%0.11%$728.4M320,340$205.5M323,416-3,076-0.95%Reduce
MERCK & CO INCMRK
0.33%0.36%$708.4M5.5M$671.9M5.6M-73,156-1.31%Reduce
CHEVRON CORPORATIONCVX
0.32%0.46%$682.7M4.1M$848.1M4.1M+19,536+0.48%Add
GE VERNOVA INCGEV
0.32%0.28%$682.2M580,698$515.6M590,650-9,952-1.68%Reduce

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow