TGRW ETF largest sector is Information Technology at 49.2% as of Jun 30, 2026

TGRW ETF largest sector is Information Technology at 49.2% as of Jun 30, 2026
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Information Technology is TGRW's largest sector at 49.2% of the fund as of Jun 30, 2026. TGRW is T. Rowe Price Growth Stock ETF.

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Sector Concentration AnalysisPRO

Top 3 Sectors
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of total portfolio
Concentration Level
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concentration risk
Largest Sector
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Sector AllocationPRO

Sector BreakdownPRO

SectorHoldingsWeight
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Industry BreakdownPRO

Top 15 industries by allocation

TGRW ETF Sector Allocation

TGRW sector allocation breaks down across Information Technology (49.2%), Communication Services (16.4%), Industrials (7.7%), Consumer Discretionary (7.3%), Health Care (6.2%). Across 69 holdings, this breakdown reveals the ETF's investment focus and diversification.

TGRW sector exposure is important for understanding concentration risk. With Information Technology at 49.2%, the fund has significant sector concentration.

TGRW by country shows geographic exposure. TGRW overlap reveals how sector exposure compares with other funds.

TGRW ETF Sector Allocation

Sector Concentration Analysis

Top 3 Sectors

73.3%

of total portfolio

Concentration Level

High

concentration risk

Largest Sector

49.2%

Information Technology

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Sector Breakdown

  • 1Information Technology
    49.24%
  • 2Communication Services
    16.40%
  • 3Industrials
    7.68%
  • 4Consumer Discretionary
    7.33%
  • 5Health Care
    6.22%
  • 6Financials
    2.55%
  • 7Real Estate
    0.57%
  • 8Materials
    0.56%
  • 9Consumer Staples
    0.20%

Industry Breakdown (Top 15)

Semiconductors
28.5%
5 holdings
Internet Content & Information
15.1%
2 holdings
Application Software
8.2%
9 holdings
Technology Hardware, Storage & Peripherals
6.1%
2 holdings
Pharmaceuticals
3.4%
1 holding
Internet & Direct Marketing Retail
2.9%
4 holdings
Automobile Manufacturers
2.8%
1 holding
Data Processing & Outsourced Services
2.2%
1 holding
Industrial Conglomerates
2.0%
1 holding
Semiconductor Equipment
2.0%
1 holding
Aerospace & Defense
2.0%
4 holdings
Diversified Capital Markets
1.7%
1 holding
Health Care Equipment
1.5%
2 holdings
Construction Machinery & Heavy Trucks
1.4%
1 holding
Movies & Entertainment
1.3%
2 holdings