VV is a large-cap U.S. equity ETF from Vanguard. Its largest disclosed positions include NVDA, AAPL, and MSFT, and the top three holdings account for 19.71% of portfolio weight shown here. On ETF Overlap Checker, it currently connects to 61 comparison pages.
Issuer
Vanguard
Asset Class
Large Cap Equity
Holdings
442
Compare Pages
61
Seeks to track the performance of the CRSP US Large Cap Index.Provides a convenient way to match the performance of a diversified group of stocks of large U.S. companies.Follows a passively managed, full-replication approach.With respect to 75% of its total assets, the fund may not: (1) purchase more than 10% of the outstanding voting securities of any one issuer or (2) purchase securities of any issuer if, as a result, more than 5% of the fund’s total assets would be invested in that issuer’s securities; except as may be necessary to approximate the composition of its target index. This limitation does not apply to obligations of the U.S. government or its agencies or instrumentalities.
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Compare VV with another ETF
The disclosed top holdings suggest a middle-ground portfolio shape. NVDA, AAPL, and MSFT are the main visible positions, with the top three accounting for 19.71% and the top ten for 38.73% of portfolio weight shown here. Sector labels are limited in the visible top holdings, so the concentration read is driven mainly by the largest names themselves.
VV is broad enough that it often overlaps with other core equity building blocks, especially large-cap and total-market funds. In practice, the overlap usually comes from the same mega-cap positions, including NVDA, AAPL, and MSFT, which is why broad-fund comparisons are some of the most useful pages on this site.
On this site, investors often compare VV with VOO, VTI, and QQQ. Those matchups usually answer a simple question: does adding this fund create a different sleeve, or does it mostly duplicate exposure you already own? VV currently connects to 61 live comparison pages.
Concentration
These numbers help show whether VV behaves more like a broad portfolio building block or a fund where the biggest positions dominate the ride.
Visible Sector Mix
Sector labels are limited in the visible top holdings for VV, so the strongest signal here is still the size of the largest positions themselves.
These holdings help explain how VV overlaps with other funds. The top ten disclosed positions represent 38.73% of the portfolio shown here.
| Holding | Name | Sector | Weight |
|---|---|---|---|
| NVDA | NVIDIA Corp | N/A | 7.60% |
| AAPL | Apple Inc | N/A | 6.60% |
| MSFT | Microsoft Corp | N/A | 5.51% |
| AMZN | Amazon.com Inc | N/A | 3.96% |
| GOOGL | Alphabet Inc | N/A | 3.36% |
| GOOG | Alphabet Inc | N/A | 2.70% |
| AVGO | Broadcom Inc | N/A | 2.69% |
| META | Meta Platforms Inc | N/A | 2.69% |
| TSLA | Tesla Inc | N/A | 2.10% |
| LLY | Eli Lilly & Co | N/A | 1.52% |
Use these pages to see whether adding VV changes your exposure or mostly duplicates positions you already own.