Vanguard ActiveLife Climate Aware 60-70% Equity Fund holdings
As of , Vanguard ActiveLife Climate Aware 60-70% Equity Fund (Vanguard ActiveLife Climate Aware 60-70% Equity Fund, ISIN GB00BZ82ZZ20) has 560 holdings on our record. Vanguard reports 711 positions in all. Weights are shares of the whole fund.
Vanguard ActiveLife Climate Aware 60-70% Equity Fund: price, returns and charges
- Holdings
- 560
- 711 reported by the issuer
- Ten largest
- 19.5%
- of the whole fund
- Effective number of holdings
- 117
- As concentrated as this many equal-sized holdings (how it is worked out)
- Largest holding
- 3.5%
- Cash and cash equivalents
Where it invests
Every line of each split, as a share of the whole fund. Bonds, cash and positions the source does not classify are shown as they come, not guessed.
By sector
Added up from the holdings Vanguard publishes, as of 30/06/2026.
- Financials17.1%
- Information Technology14.0%
- Health Care9.3%
- Industrials8.2%
- Energy4.9%
- Consumer Discretionary4.7%
- Utilities4.7%
- Consumer Staples4.4%
- Communication Services4.0%
- Materials1.5%
- Real Estate1.4%
- Not classified26.4%
By country
Added up from the holdings Vanguard publishes, as of 30/06/2026.
- United States55.5%
- Japan8.4%
- France6.4%
- United Kingdom5.4%
- Germany3.9%
- Taiwan3.2%
- Switzerland2.5%
- Hong Kong2.2%
- South Korea2.0%
- Netherlands1.1%
- Italy1.0%
- Austria0.9%
- Finland0.9%
- Canada0.8%
- Australia0.4%
- Luxembourg0.4%
- Ireland0.3%
- SNAT0.3%
- Denmark0.2%
- Portugal0.2%
- Spain0.2%
- Guernsey0.1%
- Mexico0.1%
- Czech Republic0.1%
- Norway0.1%
- Bulgaria0.1%
- Israel0.1%
- Belgium0.1%
- Jersey0.1%
- Cayman Islands0.0%
- Bermuda0.0%
- Not classified3.5%
By type of asset
Added up from the holdings Vanguard publishes, as of 30/06/2026.
- Equity65.5%
- Bonds31.6%
- Cash and money market3.5%
More:Vanguard ActiveLife Climate Aware 60-70% Equity Fund: key facts, returns and chargesCompare what it holds with another fundHoldings overlapHow overlap is measured
Holdings and weights are as published by Vanguard on 30/06/2026 and change as the fund trades. This is information, not advice.