Components Vanguard Mega Cap ETF - USD

ETF

MGC

US9219108738

Delayed Nyse 16:35:01 30/04/2024 BST 5-day change 1st Jan Change
181.4 USD -0.58% Intraday chart for Vanguard Mega Cap ETF - USD +1.45% +7.15%

Composition of Vanguard Mega Cap ETF - USD

Weight
173.9 USD +0.24%+4.19%-9.68%8.45%
396.5 USD -1.42%-2.61%+5.56%8.30%
178.7 USD -1.25%+0.00%+18.17%4.20%
867.3 USD -1.17%+6.01%+76.44%3.45%
165.4 USD -0.45%+4.63%+18.54%2.44%
435.6 USD +0.68%-11.88%+23.51%2.33%
183.2 USD -5.57%+27.03%-26.04%1.99%
770.5 USD +4.52%+3.64%+32.57%1.48%
1,325 USD -1.03%+6.50%+19.18%1.47%
193.3 USD +0.01%+0.75%+13.80%1.46%
483.8 USD -1.07%-0.53%-8.15%1.45%
270.1 USD -0.63%-1.51%+3.70%1.22%
119 USD -0.56%-1.32%+19.45%1.19%
145.8 USD -0.67%-2.65%-7.11%1.12%
454 USD -0.68%-1.82%+6.54%1.06%
162.5 USD +0.54%+0.51%+10.78%1.03%
333.9 USD -0.85%-1.40%-3.55%1.02%
719.4 USD -0.96%-0.69%+8.73%0.87%
130.5 USD +0.31%+2.51%+19.30%0.82%
162.2 USD +0.43%-4.38%+4.61%0.81%
469.2 USD -0.82%-0.67%-21.26%0.81%
163.8 USD -1.53%+0.77%+10.02%0.80%
271.7 USD -1.46%-1.57%+3.49%0.72%
160.3 USD +0.07%+5.49%+8.97%0.71%
175.9 USD -0.15%+2.48%+3.31%0.69%
59.35 USD -1.48%+0.29%+12.77%0.69%
61.95 USD -0.15%+1.94%+4.90%0.68%
37.44 USD -0.28%-2.25%+11.39%0.67%
301 USD -0.70%-5.02%-14.25%0.65%
274.1 USD +0.21%-1.39%-7.92%0.64%
551.8 USD -1.37%-4.36%+13.49%0.63%
30.86 USD -1.59%-9.96%-38.57%0.63%
571.9 USD -0.86%-0.27%+7.96%0.61%
440.9 USD -0.94%-0.86%+7.43%0.59%
106.4 USD -0.81%-1.05%-3.28%0.57%
47.26 USD -1.10%-2.48%-6.73%0.55%
59.62 USD -0.30%-2.03%+21.29%0.53%
38.2 USD -1.69%-5.35%-12.88%0.52%
114.3 USD -1.85%-0.59%+8.52%0.52%
631.5 USD -1.08%+0.10%+1.04%0.49%
111.4 USD -0.62%-1.97%+23.46%0.49%
25.7 USD +0.21%-2.62%-10.98%0.48%
167 USD -1.32%+3.82%+15.82%0.48%
172.4 USD -0.61%+2.30%-33.60%0.47%
178.3 USD -0.54%+8.00%+4.84%0.46%
273.7 USD -0.97%-0.08%-5.10%0.46%
245.8 USD -0.43%-2.81%+6.34%0.46%
336.6 USD -3.76%-6.87%+14.42%0.45%
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ETF Ratings

Description

US9219108738
Total Expense Ratio 0.07%
Asset Class
Sector
Size
Currency
Provider
Underlying CRSP U.S. Mega Cap Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
16/12/2007
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 4,998 M€
AuM 1M 4,856 M€
AuM 3 months 4,306 M€
AuM 6 months 3,867 M€
AuM 12 months 3,425 M€
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