V
NPORT-P

VANGUARD MID-CAP VALUE INDEX FUND

VANGUARD INDEX FUNDS
Period2025-09-30FY End2025-12-31CIK0000036405SeriesS000012757LEIQ4QUKKUM8YYJ562GIO45
Net Assets$32.48B
Total Assets$32.58B
Liabilities$96.88M
Holdings182+ 4 derivatives

Holdings

#IssuerTitleTickerCUSIPValue% NAVCategoryCountry
1Newmont CorpNEWMONT CORP651639106$573.84M
1.77%
Equity CommonUS
2CRH PLCCRH PLCG25508105$499.73M
1.54%
Equity CommonUS
3Arthur J Gallagher & CoARTHUR J GALLAGH363576109$492.09M
1.51%
Equity CommonUS
4TE Connectivity PLCTE CONNECTIVITYG87052109$401.95M
1.24%
Equity CommonUS
5Corning IncCORNING INC219350105$391.87M
1.21%
Equity CommonUS
6United Rentals IncUNITED RENTALS911363109$380.59M
1.17%
Equity CommonUS
7Digital Realty Trust IncDIGITAL REALTY253868103$365.34M
1.12%
Equity CommonUS
8Marathon Petroleum CorpMARATHON PETROLE56585A102$363.10M
1.12%
Equity CommonUS
9Cummins IncCUMMINS INC231021106$360.60M
1.11%
Equity CommonUS
10General Motors CoGENERAL MOTORS C37045V100$359.69M
1.11%
Equity CommonUS
11Cencora IncCENCORA INC03073E105$356.69M
1.10%
Equity CommonUS
12L3Harris Technologies IncL3HARRIS TECHNOL502431109$354.08M
1.09%
Equity CommonUS
13Allstate Corp/TheALLSTATE CORP020002101$350.46M
1.08%
Equity CommonUS
14Phillips 66PHILLIPS 66718546104$340.44M
1.05%
Equity CommonUS
15Valero Energy CorpVALERO ENERGY91913Y100$327.76M
1.01%
Equity CommonUS
16Dominion Energy IncDOMINION ENERGY25746U109$323.45M
1.00%
Equity CommonUS
17PACCAR IncPACCAR INC693718108$319.89M
0.98%
Equity CommonUS
18Schlumberger NVSCHLUMBERGER NV806857108$319.46M
0.98%
Equity CommonUS
19Electronic Arts IncELECTRONIC ARTS285512109$312.73M
0.96%
Equity CommonUS
20Cheniere Energy IncCHENIERE ENERGY16411R208$303.99M
0.94%
Equity CommonUS
21Carrier Global CorpCARRIER GLOB14448C104$299.05M
0.92%
Equity CommonUS
22Baker Hughes CoBAKER HUGHES CO05722G100$297.62M
0.92%
Equity CommonUS
23Xcel Energy IncXCEL ENERGY INC98389B100$295.55M
0.91%
Equity CommonUS
24CBRE Group IncCBRE GROUP INC-A12504L109$290.49M
0.89%
Equity CommonUS
25Ford Motor CoFORD MOTOR CO345370860$289.69M
0.89%
Equity CommonUS
26Ameriprise Financial IncAMERIPRISE FINAN03076C106$286.97M
0.88%
Equity CommonUS
27Corteva IncCORTEVA INC22052L104$286.24M
0.88%
Equity CommonUS
28ONEOK IncONEOK INC682680103$284.74M
0.88%
Equity CommonUS
29Warner Bros Discovery IncWARNER BROS DISC934423104$284.63M
0.88%
Equity CommonUS
30Nasdaq IncNASDAQ INC631103108$283.05M
0.87%
Equity CommonUS
31DR Horton IncDR HORTON INC23331A109$281.67M
0.87%
Equity CommonUS
32Exelon CorpEXELON CORP30161N101$281.55M
0.87%
Equity CommonUS
33Ferguson Enterprises IncFERGUSON ENTERPR31488V107$274.39M
0.84%
Equity CommonUS
34American International Group IncAMERICAN INTERNA026874784$269.49M
0.83%
Equity CommonUS
35Crown Castle IncCROWN CASTLE INC22822V101$260.35M
0.80%
Equity CommonUS
36Western Digital CorpWESTERN DIGITAL958102105$258.09M
0.79%
Equity CommonUS
37Public Service Enterprise Group IncPUB SERV ENTERP744573106$258.09M
0.79%
Equity CommonUS
38Entergy CorpENTERGY CORP29364G103$257.76M
0.79%
Equity CommonUS
39eBay IncEBAY INC278642103$257.56M
0.79%
Equity CommonUS
40Kimberly-Clark CorpKIMBERLY-CLARK494368103$255.62M
0.79%
Equity CommonUS
41Target CorpTARGET CORP87612E106$252.41M
0.78%
Equity CommonUS
42Kroger Co/TheKROGER CO501044101$248.55M
0.77%
Equity CommonUS
43Sysco CorpSYSCO CORP871829107$244.00M
0.75%
Equity CommonUS
44Williams Cos Inc/TheWILLIAMS COS INC969457100$239.69M
0.74%
Equity CommonUS
45Hartford Financial Services Group Inc/TheHARTFORD INSURAN416515104$232.41M
0.72%
Equity CommonUS
46Cardinal Health IncCARDINAL HEALTH14149Y108$232.25M
0.72%
Equity CommonUS
47Delta Air Lines IncDELTA AIR LI247361702$229.61M
0.71%
Equity CommonUS
48WEC Energy Group IncWEC ENERGY GROUP92939U106$228.53M
0.70%
Equity CommonUS
49Prudential Financial IncPRUDENTL FINL744320102$226.25M
0.70%
Equity CommonUS
50Consolidated Edison IncCONS EDISON INC209115104$224.62M
0.69%
Equity CommonUS
51Johnson Controls International plcJOHNSON CONTROLSG51502105$222.90M
0.69%
Equity CommonUS
52Otis Worldwide CorpOTIS WORLDWI68902V107$222.35M
0.68%
Equity CommonUS
53Occidental Petroleum CorpOCCIDENTAL PETE674599105$216.17M
0.67%
Equity CommonUS
54VICI Properties IncVICI PROPERTIES925652109$215.47M
0.66%
Equity CommonUS
55Fidelity National Information Services IncFIDELITY NATIONA31620M106$213.44M
0.66%
Equity CommonUS
56Westinghouse Air Brake Technologies CorpWABTEC CORP929740108$212.37M
0.65%
Equity CommonUS
57Willis Towers Watson PLCWILLIS TOWERS WAG96629103$208.81M
0.64%
Equity CommonUS
58Keurig Dr Pepper IncKEURIG DR PEPPER49271V100$203.98M
0.63%
Equity CommonUS
59Cognizant Technology Solutions CorpCOGNIZANT TECH-A192446102$203.02M
0.63%
Equity CommonUS
60DuPont de Nemours IncDUPONT DE NEMOUR26614N102$202.09M
0.62%
Equity CommonUS
61GE HealthCare Technologies IncGE HEALTHCARE TE36266G107$201.84M
0.62%
Equity CommonUS
62PG&E CorpPG&E CORP69331C108$200.00M
0.62%
Equity CommonUS
63Hewlett Packard Enterprise CoHEWLETT PACKA42824C109$199.70M
0.61%
Equity CommonUS
64Arch Capital Group LtdARCH CAPITAL GRPG0450A105$199.33M
0.61%
Equity CommonUS
65Humana IncHUMANA INC444859102$193.89M
0.60%
Equity CommonUS
66State Street CorpSTATE ST CORP857477103$193.75M
0.60%
Equity CommonUS
67Kenvue IncKENVUE INC49177J102$192.99M
0.59%
Equity CommonUS
68Raymond James Financial IncRAYMOND JAMES754730109$191.93M
0.59%
Equity CommonUS
69IQVIA Holdings IncIQVIA HOLDINGS I46266C105$189.97M
0.58%
Equity CommonUS
70Keysight Technologies IncKEYSIGHT TEC49338L103$186.56M
0.57%
Equity CommonUS
71Iron Mountain IncIRON MOUNTAIN46284V101$186.56M
0.57%
Equity CommonUS
72United Airlines Holdings IncUNITED AIRLINES910047109$186.30M
0.57%
Equity CommonUS
73Nucor CorpNUCOR CORP670346105$182.99M
0.56%
Equity CommonUS
74Fifth Third BancorpFIFTH THIRD BANC316773100$182.72M
0.56%
Equity CommonUS
75SempraSEMPRA816851109$181.70M
0.56%
Equity CommonUS
76Simon Property Group IncSIMON PROPERTY828806109$180.33M
0.56%
Equity CommonUS
77Archer-Daniels-Midland CoARCHER-DANIELS039483102$177.85M
0.55%
Equity CommonUS
78American Water Works Co IncAMERICAN WATER W030420103$175.22M
0.54%
Equity CommonUS
79Ameren CorpAMEREN CORP023608102$174.91M
0.54%
Equity CommonUS
80Hershey Co/TheHERSHEY CO/THE427866108$171.66M
0.53%
Equity CommonUS
81AvalonBay Communities IncAVALONBAY COMMUN053484101$170.43M
0.52%
Equity CommonUS
82General Mills IncGENERAL MILLS IN370334104$167.05M
0.51%
Equity CommonUS
83Diamondback Energy IncDIAMONDBACK ENER25278X109$166.76M
0.51%
Equity CommonUS
84Becton Dickinson & CoBECTON DICKINSON075887109$166.22M
0.51%
Equity CommonUS
85Kinder Morgan IncKINDER MORGAN IN49456B101$165.67M
0.51%
Equity CommonUS
86Synchrony FinancialSYNCHRONY FINANC87165B103$163.82M
0.50%
Equity CommonUS
87Eversource EnergyEVERSOURCE ENERG30040W108$163.58M
0.50%
Equity CommonUS
88M&T Bank CorpM&T BANK CORP55261F104$162.72M
0.50%
Equity CommonUS
89PPL CorpPPL CORP69351T106$161.77M
0.50%
Equity CommonUS
90PulteGroup IncPULTEGROUP INC745867101$161.44M
0.50%
Equity CommonUS
91Lennar CorpLENNAR CORP-A526057104$160.30M
0.49%
Equity CommonUS
92Cboe Global Markets IncCBOE GLOBAL MARK12503M108$158.95M
0.49%
Equity CommonUS
93HP IncHP INC40434L105$158.48M
0.49%
Equity CommonUS
94CenterPoint Energy IncCENTERPOINT ENER15189T107$156.93M
0.48%
Equity CommonUS
95Huntington Bancshares Inc/OHHUNTINGTON BANC446150104$156.10M
0.48%
Equity CommonUS
96FirstEnergy CorpFIRSTENERGY CORP337932107$155.67M
0.48%
Equity CommonUS
97FedEx CorpFEDEX CORP31428X106$154.99M
0.48%
Equity CommonUS
98DTE Energy CoDTE ENERGY CO233331107$154.58M
0.48%
Equity CommonUS
99Cincinnati Financial CorpCINCINNATI FIN172062101$153.19M
0.47%
Equity CommonUS
100International Paper CoINTL PAPER CO460146103$151.79M
0.47%
Equity CommonUS
101Northern Trust CorpNORTHERN TRUST665859104$151.52M
0.47%
Equity CommonUS
102Labcorp Holdings IncLABCORP HOLDINGS504922105$147.81M
0.46%
Equity CommonUS
103PPG Industries IncPPG INDS INC693506107$147.00M
0.45%
Equity CommonUS
104NetApp IncNETAPP INC64110D104$146.54M
0.45%
Equity CommonUS
105Regions Financial CorpREGIONS FINANCIA7591EP100$145.80M
0.45%
Equity CommonUS
106Equity ResidentialEQUITY RESIDENTI29476L107$145.51M
0.45%
Equity CommonUS
107MetLife IncMETLIFE INC59156R108$144.10M
0.44%
Equity CommonUS
108Dover CorpDOVER CORP260003108$141.77M
0.44%
Equity CommonUS
109KellanovaKELLANOVA487836108$141.38M
0.44%
Equity CommonUS
110Public StoragePUBLIC STORAGE74460D109$141.18M
0.43%
Equity CommonUS
111Dollar General CorpDOLLAR GENERAL C256677105$140.93M
0.43%
Equity CommonUS
112T Rowe Price Group IncT ROWE PRICE GRP74144T108$139.73M
0.43%
Equity CommonUS
113Devon Energy CorpDEVON ENERGY CO25179M103$137.91M
0.42%
Equity CommonUS
114Darden Restaurants IncDARDEN RESTAURAN237194105$137.56M
0.42%
Equity CommonUS
115CMS Energy CorpCMS ENERGY CORP125896100$135.88M
0.42%
Equity CommonUS
116W R Berkley CorpWR BERKLEY CORP084423102$135.07M
0.42%
Equity CommonUS
117Citizens Financial Group IncCITIZENS FINANCI174610105$135.00M
0.42%
Equity CommonUS
118Kraft Heinz Co/TheKRAFT HEINZ CO/T500754106$133.68M
0.41%
Equity CommonUS
119Quest Diagnostics IncQUEST DIAGNOSTIC74834L100$132.06M
0.41%
Equity CommonUS
120Edison InternationalEDISON INTL281020107$131.81M
0.41%
Equity CommonUS
121CDW Corp/DECDW CORP/DE12514G108$129.35M
0.40%
Equity CommonUS
122Biogen IncBIOGEN INC09062X103$127.26M
0.39%
Equity CommonUS
123KeyCorpKEYCORP493267108$127.01M
0.39%
Equity CommonUS
124ON Semiconductor CorpON SEMICONDUCTOR682189105$124.96M
0.38%
Equity CommonUS
125Global Payments IncGLOBAL PAYMENTS37940X102$124.90M
0.38%
Equity CommonUS
126Zoom Video Communications IncZOOM COMMUNICATI98980L101$122.62M
0.38%
Equity CommonUS
127Rockwell Automation IncROCKWELL AUTOMAT773903109$121.75M
0.37%
Equity CommonUS
128Packaging Corp of AmericaPACKAGING CORP695156109$121.50M
0.37%
Equity CommonUS
129Zimmer Biomet Holdings IncZIMMER BIOMET HO98956P102$120.92M
0.37%
Equity CommonUS
130Genuine Parts CoGENUINE PARTS CO372460105$119.45M
0.37%
Equity CommonUS
131Constellation Brands IncCONSTELLATION-A21036P108$117.66M
0.36%
Equity CommonUS
132Halliburton CoHALLIBURTON CO406216101$116.96M
0.36%
Equity CommonUS
133Dollar Tree IncDOLLAR TREE INC256746108$115.93M
0.36%
Equity CommonUS
134Estee Lauder Cos Inc/TheESTEE LAUDER518439104$115.16M
0.35%
Equity CommonUS
135Principal Financial Group IncPRINCIPAL FINL74251V102$114.45M
0.35%
Equity CommonUS
136SS&C Technologies Holdings IncSS&C TECHNOLOGIE78467J100$114.18M
0.35%
Equity CommonUS
137Snap-on IncSNAP-ON INC833034101$112.01M
0.34%
Equity CommonUS
138Jacobs Solutions IncJACOBS SOLUTIONS46982L108$111.01M
0.34%
Equity CommonUS
139Weyerhaeuser CoWEYERHAEUSER CO962166104$110.83M
0.34%
Equity CommonUS
140Microchip Technology IncMICROCHIP TECH595017104$107.48M
0.33%
Equity CommonUS
141Alliant Energy CorpALLIANT ENERGY018802108$107.36M
0.33%
Equity CommonUS
142Essex Property Trust IncESSEX PROPERTY297178105$106.82M
0.33%
Equity CommonUS
143McCormick & Co Inc/MDMCCORMICK-N/V579780206$104.92M
0.32%
Equity CommonUS
144Southwest Airlines CoSOUTHWEST AIR844741108$103.86M
0.32%
Equity CommonUS
145Loews CorpLOEWS CORP540424108$103.29M
0.32%
Equity CommonUS
146Expeditors International of Washington IncEXPEDITORS INTL302130109$103.12M
0.32%
Equity CommonUS
147Fortive CorpFORTIVE CORP34959J108$102.72M
0.32%
Equity CommonUS
148Ingersoll Rand IncINGERSOLL-RAND I45687V106$101.74M
0.31%
Equity CommonUS
149Mid-America Apartment Communities IncMID-AMERICA APAR59522J103$101.38M
0.31%
Equity CommonUS
150Dow IncDOW INC260557103$100.26M
0.31%
Equity CommonUS
151International Flavors & Fragrances IncINTL FLVR & FRAG459506101$97.74M
0.30%
Equity CommonUS
152Gen Digital IncGEN DIGITAL INC668771108$97.54M
0.30%
Equity CommonUS
153Tyson Foods IncTYSON FOODS-A902494103$96.17M
0.30%
Equity CommonUS
154News CorpNEWS CORP-CL A65249B109$90.86M
0.28%
Equity CommonUS
155Fox CorpFOX CORP - A35137L105$80.39M
0.25%
Equity CommonUS
156LyondellBasell Industries NVLYONDELLBASELL-AN53745100$78.18M
0.24%
Equity CommonUS
157Charter Communications IncCHARTER COMMUN-A16119P108$75.66M
0.23%
Equity CommonUS
158STERIS PLCSTERIS PLCG8473T100$75.52M
0.23%
Equity CommonUS
159Leidos Holdings IncLEIDOS HOLDINGS525327102$75.11M
0.23%
Equity CommonUS
160Markel Group IncMARKEL GROUP INC570535104$71.19M
0.22%
Equity CommonUS
161Hubbell IncHUBBELL INC443510607$70.83M
0.22%
Equity CommonUS
162NVR IncNVR INC62944T105$67.78M
0.21%
Equity CommonUS
163NiSource IncNISOURCE INC65473P105$63.18M
0.19%
Equity CommonUS
164Steel Dynamics IncSTEEL DYNAMICS858119100$60.41M
0.19%
Equity CommonUS
165Trimble IncTRIMBLE INC896239100$60.22M
0.19%
Equity CommonUS
166Corebridge Financial IncCOREBRIDGE FINAN21871X109$54.59M
0.17%
Equity CommonUS
167Centene CorpCENTENE CORP15135B101$54.34M
0.17%
Equity CommonUS
168Evergy IncEVERGY INC30034W106$54.14M
0.17%
Equity CommonUS
169Invitation Homes IncINVITATION HOMES46187W107$52.88M
0.16%
Equity CommonUS
170TransUnionTRANSUNION89400J107$50.57M
0.16%
Equity CommonUS
171Fidelity National Financial IncFIDELITY NATIONA31620R303$48.38M
0.15%
Equity CommonUS
172Clorox Co/TheCLOROX CO189054109$46.78M
0.14%
Equity CommonUS
173Best Buy Co IncBEST BUY CO INC086516101$44.60M
0.14%
Equity CommonUS
174Fox CorpFOX CORP - B35137L204$43.66M
0.13%
Equity CommonUS
175Baxter International IncBAXTER INTL INC071813109$36.27M
0.11%
Equity CommonUS
176Hormel Foods CorpHORMEL FOODS CRP440452100$23.21M
0.07%
Equity CommonUS
177Molina Healthcare IncMOLINA HEALTHCAR60855R100$16.05M
0.05%
Equity CommonUS
178Lennar CorpLENNAR CORP-B526057302$14.71M
0.05%
Equity CommonUS
179News CorpNEWS CORP-CL B65249B208$5.51M
0.02%
Equity CommonUS
180Figma IncFIGMA INC-A316841105$158.67K
0.00%
Equity CommonUS
181Vanguard Cmt Funds-Vanguard Market Liquidity FundVanguard Market Liquidity FundN/A$7.46K
0.00%
Short-Term Investment VehicleUS
182Vanguard Cmt Funds-Vanguard Market Liquidity FundVanguard Market Liquidity FundN/A$0.7000
0.00%
Short-Term Investment VehicleUS
Total (182)$32.42B99.81%

Derivatives

4

Swaps(2)

Title / ReferenceCounterpartyNotionalUnrealized P&L% NAVTerm/Exp
N/ABANK OF AMERICA, N.A.$10.50M-$884.63K-0.00%2026-08-31
N/ABANK OF AMERICA, N.A.$29.09M-$456.29K-0.00%2026-08-31

Futures(2)

Title / ReferenceCounterpartyNotionalUnrealized P&L% NAVTerm/Exp
S&P 400 IndexMERRILL LYNCH, PIERCE, FENNER & SMITH INCORPORATED$15.48M-$38.39K-0.00%2025-12-19
S&P 500 IndexMERRILL LYNCH, PIERCE, FENNER & SMITH INCORPORATED$4.69M$29.51K0.00%2025-12-19

Portfolio Breakdown

By asset category — % of net assets
Equity Common
$32.42B
99.81%
Equity Derivative
$1.41M
0.00%
Short-Term Investment Vehicle
$7.46K
0.00%
By country
🇺🇸 US
$32.42B
99.81%
N/A
$1.41M
0.00%
Top 57.26%
Top 1012.90%
Top 2023.08%

Counterparty Exposure

2
Total notional · $59.76M
CounterpartyLEIPositionsTotal Notional
BANK OF AMERICA, N.A.B4TYDEB6GKMZO031MB272$39.59M
MERRILL LYNCH, PIERCE, FENNER & SMITH INCORPORATED8NAV47T0Y26Q87Y0QP812$20.17M

Performance

Monthly returns by class

ClassMonth 1Month 2Month 3
C000034429+1.70%+3.31%+1.50%
C000034430+1.70%+3.32%+1.52%
C000105307+1.70%+3.31%+1.52%

Monthly flows

MonthSalesReinvestmentRedemption
Month 1$187.06M$59.74M$230.25M
Month 2$288.00M$0$337.33M
Month 3$951.60M$58.67M$897.74M

Realized changes

MonthNet Realized GainNet Unrealized Appreciation
Month 1$18.43M$482.48M
Month 2$3.65M$953.75M
Month 3$67.90M$346.34M