V
NPORT-P

VANGUARD GROWTH INDEX FUND

VANGUARD INDEX FUNDS
Period2025-09-30FY End2025-12-31CIK0000036405SeriesS000002842LEI8DLNZLT9FCSJNCMHQC12
Net Assets$342.51B
Total Assets$342.80B
Liabilities$295.85M
Holdings162+ 4 derivatives

Holdings

#IssuerTitleTickerCUSIPValue% NAVCategoryCountry
1NVIDIA CorpNVIDIA CORP67066G104$41.16B
12.02%
Equity CommonUS
2Microsoft CorpMICROSOFT CORP594918104$36.66B
10.70%
Equity CommonUS
3Apple IncAPPLE INC037833100$35.88B
10.48%
Equity CommonUS
4Amazon.com IncAMAZON.COM INC023135106$19.01B
5.55%
Equity CommonUS
5Broadcom IncBROADCOM INC11135F101$14.60B
4.26%
Equity CommonUS
6Meta Platforms IncMETA PLATFORMS-A30303M102$14.46B
4.22%
Equity CommonUS
7Alphabet IncALPHABET INC-A02079K305$12.92B
3.77%
Equity CommonUS
8Tesla IncTESLA INC88160R101$12.70B
3.71%
Equity CommonUS
9Alphabet IncALPHABET INC-C02079K107$10.27B
3.00%
Equity CommonUS
10Eli Lilly & CoELI LILLY & CO532457108$6.81B
1.99%
Equity CommonUS
11Visa IncVISA INC-CLASS A92826C839$5.83B
1.70%
Equity CommonUS
12Netflix IncNETFLIX INC64110L106$5.36B
1.56%
Equity CommonUS
13Mastercard IncMASTERCARD INC-A57636Q104$4.84B
1.41%
Equity CommonUS
14Costco Wholesale CorpCOSTCO WHOLESALE22160K105$4.34B
1.27%
Equity CommonUS
15Palantir Technologies IncPALANTIR TECHN-A69608A108$4.20B
1.23%
Equity CommonUS
16Advanced Micro Devices IncADV MICRO DEVICE007903107$2.83B
0.83%
Equity CommonUS
17Oracle CorpORACLE CORP68389X105$2.58B
0.75%
Equity CommonUS
18McDonald's CorpMCDONALDS CORP580135101$2.35B
0.68%
Equity CommonUS
19Salesforce IncSALESFORCE INC79466L302$2.33B
0.68%
Equity CommonUS
20Uber Technologies IncUBER TECHNOLOGIE90353T100$2.23B
0.65%
Equity CommonUS
21ServiceNow IncSERVICENOW INC81762P102$2.09B
0.61%
Equity CommonUS
22Intuit IncINTUIT INC461202103$2.08B
0.61%
Equity CommonUS
23AppLovin CorpAPPLOVIN CO-CL A03831W108$1.99B
0.58%
Equity CommonUS
24Booking Holdings IncBOOKING HOLDINGS09857L108$1.92B
0.56%
Equity CommonUS
25Lam Research CorpLAM RESEARCH512807306$1.90B
0.55%
Equity CommonUS
26GE Vernova IncGE VERNOVA INC36828A101$1.85B
0.54%
Equity CommonUS
27Texas Instruments IncTEXAS INSTRUMENT882508104$1.83B
0.54%
Equity CommonUS
28Boeing Co/TheBOEING CO/THE097023105$1.79B
0.52%
Equity CommonUS
29TJX Cos Inc/TheTJX COS INC872540109$1.78B
0.52%
Equity CommonUS
30Intuitive Surgical IncINTUITIVE SURGIC46120E602$1.76B
0.51%
Equity CommonUS
31Amphenol CorpAMPHENOL CORP-A032095101$1.69B
0.49%
Equity CommonUS
32General Electric CoGENERAL ELECTRIC369604301$1.69B
0.49%
Equity CommonUS
33S&P Global IncS&P GLOBAL INC78409V104$1.67B
0.49%
Equity CommonUS
34Adobe IncADOBE INC00724F101$1.66B
0.48%
Equity CommonUS
35Arista Networks IncARISTA NETWORKS040413205$1.63B
0.48%
Equity CommonUS
36KLA CorpKLA CORP482480100$1.61B
0.47%
Equity CommonUS
37Boston Scientific CorpBOSTON SCIENTIFC101137107$1.60B
0.47%
Equity CommonUS
38Palo Alto Networks IncPALO ALTO NETWOR697435105$1.52B
0.44%
Equity CommonUS
39Stryker CorpSTRYKER CORP863667101$1.42B
0.41%
Equity CommonUS
40Blackstone IncBLACKSTONE INC09260D107$1.41B
0.41%
Equity CommonUS
41Welltower IncWELLTOWER INC95040Q104$1.35B
0.39%
Equity CommonUS
42Automatic Data Processing IncAUTOMATIC DATA053015103$1.34B
0.39%
Equity CommonUS
43Crowdstrike Holdings IncCROWDSTRIKE HO-A22788C105$1.33B
0.39%
Equity CommonUS
44Robinhood Markets IncROBINHOOD MARK-A770700102$1.31B
0.38%
Equity CommonUS
45T-Mobile US IncT-MOBILE US INC872590104$1.22B
0.36%
Equity CommonUS
46Vertex Pharmaceuticals IncVERTEX PHARM92532F100$1.15B
0.34%
Equity CommonUS
47Starbucks CorpSTARBUCKS CORP855244109$1.11B
0.32%
Equity CommonUS
48Cadence Design Systems IncCADENCE DESIGN127387108$1.10B
0.32%
Equity CommonUS
49DoorDash IncDOORDASH INC-A25809K105$1.08B
0.31%
Equity CommonUS
50O'Reilly Automotive IncO'REILLY AUTOMOT67103H107$1.06B
0.31%
Equity CommonUS
51American Tower CorpAMERICAN TOWER C03027X100$1.04B
0.30%
Equity CommonUS
52Synopsys IncSYNOPSYS INC871607107$1.04B
0.30%
Equity CommonUS
53ROBLOX CorpROBLOX CORP - A771049103$1.00B
0.29%
Equity CommonUS
54Applied Materials IncAPPLIED MATERIAL038222105$988.16M
0.29%
Equity CommonUS
55Strategy IncSTRATEGY INC594972408$987.99M
0.29%
Equity CommonUS
56Howmet Aerospace IncHOWMET AEROSPACE443201108$943.69M
0.28%
Equity CommonUS
57Sherwin-Williams Co/TheSHERWIN-WILLIAMS824348106$909.06M
0.27%
Equity CommonUS
58Equinix IncEQUINIX INC29444U700$907.96M
0.27%
Equity CommonUS
59Marvell Technology IncMARVELL TECHNOLO573874104$902.21M
0.26%
Equity CommonUS
60TransDigm Group IncTRANSDIGM GROUP893641100$886.33M
0.26%
Equity CommonUS
61Coinbase Global IncCOINBASE GLOBA-A19260Q107$879.00M
0.26%
Equity CommonUS
62Moody's CorpMOODY'S CORP615369105$858.46M
0.25%
Equity CommonUS
63AutoZone IncAUTOZONE INC053332102$858.24M
0.25%
Equity CommonUS
64Cintas CorpCINTAS CORP172908105$841.68M
0.25%
Equity CommonUS
65Ecolab IncECOLAB INC278865100$837.25M
0.24%
Equity CommonUS
66Snowflake IncSNOWFLAKE INC833445109$814.80M
0.24%
Equity CommonUS
67Autodesk IncAUTODESK INC052769106$814.17M
0.24%
Equity CommonUS
68Cloudflare IncCLOUDFLARE INC-A18915M107$774.19M
0.23%
Equity CommonUS
69Quanta Services IncQUANTA SERVICES74762E102$766.44M
0.22%
Equity CommonUS
70Hilton Worldwide Holdings IncHILTON WORLDWIDE43300A203$740.10M
0.22%
Equity CommonUS
71Vertiv Holdings CoVERTIV HOLDING-A92537N108$736.06M
0.21%
Equity CommonUS
72Alnylam Pharmaceuticals IncALNYLAM PHARMACE02043Q107$733.97M
0.21%
Equity CommonUS
73Zoetis IncZOETIS INC98978V103$712.94M
0.21%
Equity CommonUS
74Fastenal CoFASTENAL CO311900104$699.47M
0.20%
Equity CommonUS
75Marriott International Inc/MDMARRIOTT INTL-A571903202$697.87M
0.20%
Equity CommonUS
76Fortinet IncFORTINET INC34959E109$689.11M
0.20%
Equity CommonUS
77Apollo Global Management IncAPOLLO GLOBAL MA03769M106$671.64M
0.20%
Equity CommonUS
78Axon Enterprise IncAXON ENTERPRISE05464C101$666.74M
0.19%
Equity CommonUS
79Workday IncWORKDAY INC-A98138H101$660.21M
0.19%
Equity CommonUS
80Chipotle Mexican Grill IncCHIPOTLE MEXICAN169656105$653.12M
0.19%
Equity CommonUS
81IDEXX Laboratories IncIDEXX LABS45168D104$643.00M
0.19%
Equity CommonUS
82Carvana CoCARVANA CO146869102$629.64M
0.18%
Equity CommonUS
83Monster Beverage CorpMONSTER BEVERAGE61174X109$600.30M
0.18%
Equity CommonUS
84Airbnb IncAIRBNB INC-A009066101$597.97M
0.17%
Equity CommonUS
85Datadog IncDATADOG INC-A23804L103$596.89M
0.17%
Equity CommonUS
86Take-Two Interactive Software IncTAKE-TWO INTERAC874054109$592.83M
0.17%
Equity CommonUS
87Waste Connections IncWASTE CONNECTION94106B101$582.89M
0.17%
Equity CommonUS
88Veeva Systems IncVEEVA SYSTEMS-A922475108$579.38M
0.17%
Equity CommonUS
89Flutter Entertainment PLCFLUTTER ENTER-DIG3643J108$560.78M
0.16%
Equity CommonUS
90WW Grainger IncWW GRAINGER INC384802104$558.52M
0.16%
Equity CommonUS
91Yum! Brands IncYUM! BRANDS INC988498101$557.88M
0.16%
Equity CommonUS
92Monolithic Power Systems IncMONOLITHIC POWER609839105$556.25M
0.16%
Equity CommonUS
93MSCI IncMSCI INC55354G100$549.47M
0.16%
Equity CommonUS
94Vulcan Materials CoVULCAN MATERIALS929160109$541.10M
0.16%
Equity CommonUS
95Paychex IncPAYCHEX INC704326107$533.11M
0.16%
Equity CommonUS
96ResMed IncRESMED INC761152107$528.75M
0.15%
Equity CommonUS
97Block IncBLOCK INC852234103$522.27M
0.15%
Equity CommonUS
98Royal Caribbean Cruises LtdROYAL CARIBBEANV7780T103$515.16M
0.15%
Equity CommonUS
99Copart IncCOPART INC217204106$511.72M
0.15%
Equity CommonUS
100Motorola Solutions IncMOTOROLA SOLUTIO620076307$504.40M
0.15%
Equity CommonUS
101Targa Resources CorpTARGA RESOURCES87612G101$492.50M
0.14%
Equity CommonUS
102CoStar Group IncCOSTAR GROUP INC22160N109$478.86M
0.14%
Equity CommonUS
103Verisk Analytics IncVERISK ANALYTI92345Y106$471.14M
0.14%
Equity CommonUS
104Fair Isaac CorpFAIR ISAAC CORP303250104$466.17M
0.14%
Equity CommonUS
105Equifax IncEQUIFAX INC294429105$447.77M
0.13%
Equity CommonUS
106Ares Management CorpARES MANAGEM- A03990B101$443.69M
0.13%
Equity CommonUS
107Zscaler IncZSCALER INC98980G102$440.72M
0.13%
Equity CommonUS
108Realty Income CorpREALTY INCOME756109104$406.69M
0.12%
Equity CommonUS
109Seagate Technology Holdings PLCSEAGATE TECHNOLOG7997R103$406.04M
0.12%
Equity CommonUS
110Broadridge Financial Solutions IncBROADRIDGE FINL11133T103$398.77M
0.12%
Equity CommonUS
111Live Nation Entertainment IncLIVE NATION ENTE538034109$393.70M
0.11%
Equity CommonUS
112Vanguard Cmt Funds-Vanguard Market Liquidity FundVanguard Market Liquidity FundN/A$392.96M
0.11%
Short-Term Investment VehicleUS
113LPL Financial Holdings IncLPL FINANCIAL HO50212V100$391.52M
0.11%
Equity CommonUS
114Super Micro Computer IncSUPER MICRO COMP86800U302$389.92M
0.11%
Equity CommonUS
115Roper Technologies IncROPER TECHNOLOGI776696106$389.64M
0.11%
Equity CommonUS
116Brown & Brown IncBROWN & BROWN115236101$387.08M
0.11%
Equity CommonUS
117Old Dominion Freight Line IncOLD DOMINION FRT679580100$383.99M
0.11%
Equity CommonUS
118Atlassian CorpATLASSIAN CORP-A049468101$382.30M
0.11%
Equity CommonUS
119Expedia Group IncEXPEDIA GROUP IN30212P303$377.06M
0.11%
Equity CommonUS
120Baker Hughes CoBAKER HUGHES CO05722G100$372.99M
0.11%
Equity CommonUS
121Mettler-Toledo International IncMETTLER-TOLEDO592688105$370.90M
0.11%
Equity CommonUS
122Dexcom IncDEXCOM252131107$369.94M
0.11%
Equity CommonUS
123MongoDB IncMONGODB INC60937P106$359.39M
0.10%
Equity CommonUS
124VeriSign IncVERISIGN INC92343E102$359.34M
0.10%
Equity CommonUS
125HubSpot IncHUBSPOT INC443573100$353.92M
0.10%
Equity CommonUS
126Tyler Technologies IncTYLER TECHNOLOG902252105$342.89M
0.10%
Equity CommonUS
127Trade Desk Inc/TheTRADE DESK INC-A88339J105$335.57M
0.10%
Equity CommonUS
128SBA Communications CorpSBA COMM CORP78410G104$328.75M
0.10%
Equity CommonUS
129Lululemon Athletica IncLULULEMON ATH550021109$324.38M
0.09%
Equity CommonUS
130West Pharmaceutical Services IncWEST PHARMACEUT955306105$317.30M
0.09%
Equity CommonUS
131Martin Marietta Materials IncMARTIN MAR MTLS573284106$314.77M
0.09%
Equity CommonUS
132GoDaddy IncGODADDY INC-A380237107$305.85M
0.09%
Equity CommonUS
133EQT CorpEQT CORP26884L109$298.94M
0.09%
Equity CommonUS
134Rollins IncROLLINS INC775711104$298.12M
0.09%
Equity CommonUS
135Las Vegas Sands CorpLAS VEGAS SANDS517834107$288.93M
0.08%
Equity CommonUS
136Pinterest IncPINTEREST INC -A72352L106$288.29M
0.08%
Equity CommonUS
137Interactive Brokers Group IncINTERACTIVE BROK45841N107$284.40M
0.08%
Equity CommonUS
138Burlington Stores IncBURLINGTON STORE122017106$268.11M
0.08%
Equity CommonUS
139HEICO CorpHEICO CORP-A422806208$267.71M
0.08%
Equity CommonUS
140Reddit IncREDDIT INC-A75734B100$255.97M
0.07%
Equity CommonUS
141Veralto CorpVERALTO CORP92338C103$248.05M
0.07%
Equity CommonUS
142Tradeweb Markets IncTRADEWEB MARKE-A892672106$242.69M
0.07%
Equity CommonUS
143First Solar IncFIRST SOLAR INC336433107$242.18M
0.07%
Equity CommonUS
144Coreweave IncCOREWEAVE I-CL A21873S108$229.23M
0.07%
Equity CommonUS
145Gartner IncGARTNER INC366651107$223.23M
0.07%
Equity CommonUS
146Texas Pacific Land CorpTEXAS PACIFIC LA88262P102$217.46M
0.06%
Equity CommonUS
147Insulet CorpINSULET CORP45784P101$216.13M
0.06%
Equity CommonUS
148Waters CorpWATERS CORP941848103$207.13M
0.06%
Equity CommonUS
149Coterra Energy IncCOTERRA ENERGY I127097103$204.32M
0.06%
Equity CommonUS
150Okta IncOKTA INC679295105$197.56M
0.06%
Equity CommonUS
151Teradyne IncTERADYNE INC880770102$191.15M
0.06%
Equity CommonUS
152HEICO CorpHEICO CORP422806109$185.65M
0.05%
Equity CommonUS
153Domino's Pizza IncDOMINO'S PIZZA25754A201$177.52M
0.05%
Equity CommonUS
154Blue Owl Capital IncBLUE OWL CAPITAL09581B103$166.53M
0.05%
Equity CommonUS
155Sun Communities IncSUN COMMUNITIES866674104$158.56M
0.05%
Equity CommonUS
156Bentley Systems IncBENTLEY SYSTEM-B08265T208$151.33M
0.04%
Equity CommonUS
157Warner Music Group CorpWARNER MUSIC-A934550203$146.95M
0.04%
Equity CommonUS
158Venture Global IncVENTURE GLOBAL-A92333F101$134.08M
0.04%
Equity CommonUS
159FactSet Research Systems IncFACTSET RESEARCH303075105$118.83M
0.03%
Equity CommonUS
160Vanguard Cmt Funds-Vanguard Market Liquidity FundVanguard Market Liquidity FundN/A$47.51M
0.01%
Short-Term Investment VehicleUS
161Figma IncFIGMA INC-A316841105$253.75K
0.00%
Equity CommonUS
162ABIOMED IncABIOMED INC-CVRN/A$15.30
0.00%
Equity CommonUS
Total (162)$342.58B100.02%

Derivatives

4

Swaps(2)

Title / ReferenceCounterpartyNotionalUnrealized P&L% NAVTerm/Exp
N/ABANK OF AMERICA, N.A.$156.54M-$4.63M-0.00%2026-08-31
N/ABANK OF AMERICA, N.A.$101.21M$1.20M0.00%2026-08-31

Futures(2)

Title / ReferenceCounterpartyNotionalUnrealized P&L% NAVTerm/Exp
NASDAQ 100 STOCK INDXMORGAN STANLEY & CO LLC$65.81M$432.21K0.00%2025-12-19
S&P 500 IndexMORGAN STANLEY & CO LLC$7.34M$69.36K0.00%2025-12-19

Portfolio Breakdown

By asset category — % of net assets
Equity Common
$342.14B
99.89%
Short-Term Investment Vehicle
$440.48M
0.13%
Equity Derivative
$6.33M
0.00%
By country
🇺🇸 US
$342.58B
100.02%
N/A
$6.33M
0.00%
Top 543.01%
Top 1059.70%
Top 2070.46%

Counterparty Exposure

2
Total notional · $330.90M
CounterpartyLEIPositionsTotal Notional
BANK OF AMERICA, N.A.B4TYDEB6GKMZO031MB272$257.75M
MORGAN STANLEY & CO LLC9R7GPTSO7KV3UQJZQ0782$73.15M

Performance

Monthly returns by class

ClassMonth 1Month 2Month 3
C000007783+3.75%+0.84%+4.70%
C000007784+3.76%+0.85%+4.71%
C000007785+3.76%+0.85%+4.71%
C000007786+3.76%+0.85%+4.71%

Monthly flows

MonthSalesReinvestmentRedemption
Month 1$2.97B$141.45M$2.47B
Month 2$3.24B$0$1.99B
Month 3$12.03B$139.49M$13.14B

Realized changes

MonthNet Realized GainNet Unrealized Appreciation
Month 1$527.46M$11.18B
Month 2$197.09M$2.35B
Month 3$7.98B$7.35B