ETF:VT | ETF Holdings Page 35 | VANGUARD TOTAL WORLD STOCK INDEX FUND

VT ETF holdings Page 35

Weights reproduce the dated portfolio and may not sum to exactly 100% because of cash, derivatives, rounding, liabilities, or other positions. Provenance stays internal.

Snapshot fieldReported value
FundVANGUARD TOTAL WORLD STOCK INDEX FUND
Report date2026-04-30
Reported holdings10,093
SEC series IDS000022482

Positions 3,401–3,500 of 10,093

TickerIssuerWeightValue (USD)Balance
Dialog Group BhdDialog Group Bhd0.002196%1,974,667.943,450,848 NS
Yamaha CorpYamaha Corp0.002196%1,974,666.89276,700 NS
Engie Brasil Energia SAEngie Brasil Energia SA0.002194%1,972,562.44276,628 NS
Lojas Renner SALojas Renner SA0.002193%1,971,511.13717,833 NS
Kewpie CorpKewpie Corp0.002193%1,971,466.6574,300 NS
Dongyue Group LtdDongyue Group Ltd0.002193%1,971,244.971,197,000 NS
Riyadh Cables Group CoRiyadh Cables Group Co0.002192%1,970,316.4355,823 NS
Far East Horizon LtdFar East Horizon Ltd0.002191%1,969,788.012,055,000 NS
CAKECheesecake Factory Inc/The0.002188%1,967,202.331,290 NS
Yamaguchi Financial Group IncYamaguchi Financial Group Inc0.002187%1,965,731.35114,400 NS
Union Bank of India LtdUnion Bank of India Ltd0.002186%1,965,166.341,117,308 NS
Hill & Smith PLCHill & Smith PLC0.002185%1,964,487.3255,866 NS
Ansell LtdAnsell Ltd0.002184%1,963,832.27102,372 NS
SMGScotts Miracle-Gro Co/The0.002184%1,963,76431,320 NS
Bucher Industries AGBucher Industries AG0.002184%1,963,641.714,945 NS
TRMKTrustmark Corp0.002184%1,963,283.7644,248 NS
Modon Holding PSCModon Holding PSC0.002183%1,962,846.192,457,506 NS
Maxis BhdMaxis Bhd0.002181%1,961,213.712,228,300 NS
CALXCalix Inc0.002181%1,960,984.0845,018 NS
DOF Group ASADOF Group ASA0.002181%1,960,535.5132,335 NS
Gruma SAB de CVGruma SAB de CV0.00218%1,960,036.09112,940 NS
GF Securities Co LtdGF Securities Co Ltd0.002174%1,954,325.12862,029 NS
Piramal Finance LtdPiramal Finance Ltd0.002174%1,954,249.7392,354 NS
Choice Properties Real Estate Investment TrustChoice Properties Real Estate Investment Trust0.002173%1,953,935.58176,120 NS
GPKGraphic Packaging Holding Co0.002173%1,953,792.95205,015 NS
Technogym SpATechnogym SpA0.002173%1,953,490.6382,916 NS
PBHPrestige Consumer Healthcare Inc0.002172%1,952,727.0434,672 NS
Keppel REITKeppel REIT0.002171%1,951,540.22,771,821.11 NS
National Storage Affiliates TrustNational Storage Affiliates Trust0.00217%1,950,780.1645,836 NS
Prestige Estates Projects LtdPrestige Estates Projects Ltd0.002169%1,950,362.85130,184 NS
Aroundtown SAAroundtown SA0.002168%1,949,205.44674,162 NS
LCIILCI Industries0.002168%1,949,008.5616,348 NS
Blue Star LtdBlue Star Ltd0.002168%1,948,998.75103,315 NS
KNKnowles Corp0.002166%1,947,191.762,430 NS
UPSTUpstart Holdings Inc0.002165%1,946,212.2461,628 NS
Bakkafrost P/FBakkafrost P/F0.002164%1,945,51939,105 NS
WKWorkiva Inc0.002163%1,944,425.8436,358 NS
KALUKaiser Aluminum Corp0.002161%1,943,242.8611,402 NS
SVMSilvercorp Metals Inc0.002161%1,943,178.03161,636 NS
SHOOSteven Madden Ltd0.002161%1,942,565.6451,719 NS
Thule Group ABThule Group AB0.002157%1,939,610.0877,651 NS
ATS CorpATS Corp0.002156%1,938,450.5959,748 NS
QinetiQ Group PLCQinetiQ Group PLC0.002156%1,938,411.18319,870 NS
VZ Holding AGVZ Holding AG0.002156%1,938,267.049,935 NS
Toyo Tire CorpToyo Tire Corp0.002152%1,934,478.2278,900 NS
Volkswagen AGVolkswagen AG0.002151%1,934,117.4418,733 NS
AUO CorpAUO Corp0.002151%1,933,674.183,516,400 NS
SpareBank 1 SMNSpareBank 1 SMN0.00215%1,932,535.686,574 NS
De' Longhi SpADe' Longhi SpA0.002148%1,931,403.3749,668 NS
Samsung Episholdings Co LtdSamsung Episholdings Co Ltd0.002143%1,926,957.275,217 NS
Indian BankIndian Bank0.002142%1,925,414.97213,562 NS
Huhtamaki OyjHuhtamaki Oyj0.00214%1,924,026.860,119 NS
NARI Technology Co LtdNARI Technology Co Ltd0.00214%1,923,827.12504,771 NS
Daisyo CorpDaisyo Corp0.002139%1,923,361.32293,000 NS
TXG10X Genomics Inc0.002139%1,923,289.287,224 NS
Orange Polska SAOrange Polska SA0.002139%1,923,079.24468,530 NS
Taiheiyo Cement CorpTaiheiyo Cement Corp0.002139%1,923,010.9184,700 NS
NC CorpNC Corp0.002137%1,920,891.6710,404 NS
Turkiye Is Bankasi ASTurkiye Is Bankasi AS0.002137%1,920,831.536,050,392 NS
SMMTSummit Therapeutics Inc0.002136%1,920,476.8689,491 NS
Bank Al-JaziraBank Al-Jazira0.002135%1,919,573.01612,049 NS
Harbour Energy PLCHarbour Energy PLC0.002134%1,918,815.21482,493 NS
FRHCFreedom Holding Corp/NV0.002134%1,918,573.1512,805 NS
Nebras EnergyNebras Energy0.002134%1,918,235.55476,956 NS
Signify NVSignify NV0.002132%1,916,794.384,277 NS
Reece LtdReece Ltd0.00213%1,915,018.59192,091 NS
Taseko Mines LtdTaseko Mines Ltd0.00213%1,914,965.67267,063 NS
Asia Cement CorpAsia Cement Corp0.002128%1,913,094.721,725,264 NS
CURBCurbline Properties Corp0.002127%1,912,072.869,278 NS
Advance Residence Investment CorpAdvance Residence Investment Corp0.002126%1,911,359.361,849 NS
NOGNorthern Oil & Gas Inc0.002125%1,910,054.1670,326 NS
ADNOC Logistics & ServicesADNOC Logistics & Services0.002121%1,906,743.571,193,499 NS
JTEKT CorpJTEKT Corp0.002119%1,905,286.12156,000 NS
HEHawaiian Electric Industries Inc0.002117%1,903,310.86126,298 NS
Sweco ABSweco AB0.002115%1,901,838.18138,308 NS
New Issuer: BB Company ID:71327236New Issuer: BB Company ID:713272360.002113%1,900,093.44192,512 NS
AMP LtdAMP Ltd0.002113%1,899,883.751,789,572 NS
HNIHNI Corp0.002112%1,898,618.451,960 NS
APLEApple Hospitality REIT Inc0.00211%1,897,141.74140,842 NS
Outokumpu OyjOutokumpu Oyj0.002109%1,895,694.47281,828 NS
SASeabridge Gold Inc0.002108%1,894,872.0567,895 NS
BEPCBrookfield Renewable Corp0.002104%1,891,684.252,170 NS
ANA Holdings IncANA Holdings Inc0.002102%1,889,987.15113,730 NS
Chenbro Micom Co LtdChenbro Micom Co Ltd0.002102%1,889,891.2552,000 NS
Wistron NeWeb CorpWistron NeWeb Corp0.002102%1,889,463.2274,445 NS
Redefine Properties LtdRedefine Properties Ltd0.002101%1,889,045.484,957,422 NS
Red Planet Japan IncRed Planet Japan Inc0.0021%1,888,231.25878,200 NS
Mivne Real Estate KD LtdMivne Real Estate KD Ltd0.002099%1,886,931.8391,509 NS
WONIK IPS Co LtdWONIK IPS Co Ltd0.002098%1,886,239.0523,341 NS
Dubai Investments PJSCDubai Investments PJSC0.002096%1,884,816.411,706,207 NS
PFSIPennyMac Financial Services Inc0.002095%1,883,720.2720,863 NS
Canara BankCanara Bank0.002095%1,883,068.991,319,376 NS
Shaanxi Coal Industry Co LtdShaanxi Coal Industry Co Ltd0.002095%1,883,066492,600 NS
New Issuer: BB Company ID:69775740New Issuer: BB Company ID:697757400.002093%1,882,097.7224,646 NS
LINELineage Inc0.002092%1,880,437.4450,988 NS
Acer IncAcer Inc0.002091%1,879,437.152,137,551 NS
InnoScience Suzhou Technology Holding Co LtdInnoScience Suzhou Technology Holding Co Ltd0.00209%1,879,138.2228,400 NS
Aditya Birla Capital LtdAditya Birla Capital Ltd0.00209%1,879,042.53513,397 NS
Manila Electric CoManila Electric Co0.002087%1,876,676.36176,865 NS
Yanbu National Petrochemical CoYanbu National Petrochemical Co0.002087%1,875,917.9191,245 NS

Research interface only. Not investment advice. Prices are a checked-in snapshot, not live quotes.