Home · Stock · WST

WST West Pharmaceutical Services Inc

Which ETFs hold WST? West Pharmaceutical Services Inc is held by 4 funds tracked by ETFpeek.

Held by 4 funds todayData as of 31 Aug 2026
HealthcareMedical Instruments & Supplies
$363.27
+39.2% 1y
$223.8352-week range$386.00
Market cap
$25.7B
P/E
46.5
Dividend
0.24%
3-month
+2.8%
CEO
Mr. Michel Lagarde
Revenue · last 4 qtrs (+13.8% YoY)

West Pharmaceutical Services, Inc. designs, manufactures, and sells containment and delivery systems for injectable drugs and healthcare products in the Americas, Europe, the Middle East, Africa, and the Asia Pacific. It operates in two segments, Proprietary Products and Contract-Manufactured Products. The Proprietary Products segment offers stoppers and seals for injectable packaging systems; syringe and cartridge components, including custom solutions for the needs of injectable drug applications, as well as administration systems that enhance the safe delivery of drugs through advanced reconstitution, mixing, and transfer technologies; and films, coatings, washing, and vision inspection and sterilization processes and services to enhance the quality of packaging products. This segment also provides drug containment solutions in the form of vials, syringes, and cartridges; and self-injection devices; and a range of integrated solutions, including analytical lab services, pre-approval primary packaging support and engineering development, regulatory expertise, and after-sales technical support. This segment serves biologic, generic, and pharmaceutical drug companies. The Contract-Manufactured Products segment is involved in the design, manufacture, and automated assembly of devices used in surgical, diagnostic, ophthalmic, injectable, and other drug delivery systems, as well as consumer products. This segment primarily serves pharmaceutical, diagnostic, and medical device companies. It sells and distributes its products through its sales force and distribution network, contract sales agents, and regional distributors. West Pharmaceutical Services, Inc. was founded in 1923 and is headquartered in Exton, Pennsylvania.

Provider

Currently Held By

VANGUARD
VUG
Weight in fund0.08%
Shares held932,665
Market value$318.1M
View fund →
SMARTSHARES
USG
Smart US Large Growth ETF
via VUG
Weight in fund0.08%
Shares held—
Market value$527K NZD
View fund →
VANGUARD
VOO
Weight in fund0.04%
Shares held1,876,927
Market value$640.2M
View fund →
SMARTSHARES
USF
Smart US 500 ETF
via VOO
Weight in fund0.04%
Shares held—
Market value$456K NZD
View fund →
Not held by the selected provider.
last 90 days
No notable insider activity in the last 90 days. Show all 1 trades
Net flow (90d):+$16K·1 BUY / 0 SELL·showing all trades
DatePersonActionPlanSharesValueScore i
30 Sep 2026
Janet Brutschea Haugen
Director / Other
BUYVested (RSU)44$16K0
Data: Finnhub (SEC Form 4 filings) · Score: ETFpeek heuristic
0 trades
DateFundDirectionShares Changed% Δ ETF i% Δ Position i
No trades recorded yet.
No trade history for SmartShares funds — their underlying ETFs are passive index trackers, so day-to-day rebalancing is minimal.

More stocks in these funds