ETF:VTHR | ETF Holdings | VANGUARD RUSSELL 3000 INDEX FUND

VTHR ETF holdings

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 RUSSELL 3000 INDEX FUND
Report date2026-02-28
Reported holdings2,939
SEC series IDS000030006

Positions 1–100 of 2,939

TickerIssuerWeightValue (USD)Balance
NVDANVIDIA Corp6.260765%335,664,129.061,894,374 NS
AAPLApple Inc5.814556%311,741,117.941,180,033 NS
MSFTMicrosoft Corp4.397407%235,762,214.74600,301 NS
AMZNAmazon.com Inc3.041194%163,050,300776,430 NS
GOOGAlphabet Inc2.73695%146,738,573.28470,678 NS
AVGOBroadcom Inc2.227949%119,449,068.2373,804 NS
GOOGLAlphabet Inc2.224183%119,247,169.86382,902 NS
METAMeta Platforms Inc2.136541%114,548,314.14176,723 NS
TSLATesla Inc1.71454%91,923,221.25228,375 NS
Berkshire Hathaway IncBerkshire Hathaway Inc1.406156%75,389,539.95149,301 NS
LLYEli Lilly & Co1.272303%68,213,135.5864,842 NS
JPMorgan Chase & CoJPMorgan Chase & Co1.15315%61,824,863.1205,877 NS
Exxon Mobil CorpExxon Mobil Corp0.972717%52,151,187.5341,975 NS
JNJJohnson & Johnson0.902549%48,389,195.4194,780 NS
WMTWalmart Inc0.840435%45,058,999.95352,161 NS
VVisa Inc0.813613%43,620,995.84136,256 NS
MUMicron Technology Inc0.695532%37,290,206.7390,429 NS
COSTCostco Wholesale Corp0.677449%36,320,717.0735,933 NS
MAMastercard Inc0.628276%33,684,335.6765,127 NS
ABBVAbbVie Inc0.620692%33,277,719.12143,389 NS
NFLXNetflix Inc0.615742%33,012,341.04343,021 NS
PGProcter & Gamble Co/The0.592935%31,789,568.8190,129 NS
HDHome Depot Inc/The0.572416%30,689,458.4880,609 NS
GEGeneral Electric Co0.537439%28,814,184.8884,188 NS
CVXChevron Corp0.528314%28,324,955.4151,665 NS
CATCaterpillar Inc0.519195%27,836,068.5937,473 NS
AMDAdvanced Micro Devices Inc0.48672%26,094,970.98130,338 NS
KOCoca-Cola Co/The0.478942%25,677,942.6314,835 NS
CSCOCisco Systems Inc0.477531%25,602,329.84322,204 NS
Bank of America CorpBank of America Corp0.476929%25,570,015.35513,145 NS
MRKMerck & Co Inc0.470914%25,247,517.1203,905 NS
PLTRPalantir Technologies Inc0.452349%24,252,173.82176,778 NS
AMATApplied Materials Inc0.450741%24,165,99364,910 NS
LRCXLam Research Corp0.443246%23,764,159.56101,604 NS
PMPhilip Morris International Inc0.439344%23,554,965.91126,077 NS
RTXRTX Corp0.409284%21,943,340.76108,298 NS
UNHUnitedHealth Group Inc0.402852%21,598,455.6973,647 NS
Wells Fargo & CoWells Fargo & Co0.386527%20,723,242.05254,429 NS
Oracle CorpOracle Corp0.369453%19,807,842136,230 NS
McDonald's CorpMcDonald's Corp0.368167%19,738,847.557,875 NS
Goldman Sachs Group Inc/TheGoldman Sachs Group Inc/The0.362577%19,439,175.5522,615 NS
GEVGE Vernova Inc0.360478%19,326,652.822,123 NS
LINLinde PLC0.360274%19,315,677.3638,017 NS
PEPPepsiCo Inc0.35116%18,827,051.58110,917 NS
IBMInternational Business Machines Corp0.337363%18,087,332.5875,298 NS
VZVerizon Communications Inc0.319685%17,139,556.76341,834 NS
AMGNAmgen Inc0.315103%16,893,887.6843,523 NS
ABTAbbott Laboratories0.304183%16,308,430.45140,167 NS
INTCIntel Corp0.303794%16,287,559.05357,105 NS
KLACKLA Corp0.302784%16,233,408.410,648 NS
TMOThermo Fisher Scientific Inc0.29714%15,930,853.8130,571 NS
NextEra Energy IncNextEra Energy Inc0.295311%15,832,783.19168,847 NS
AT&T IncAT&T Inc0.292263%15,669,354.2559,420 NS
TXNTexas Instruments Inc0.291041%15,603,872.1573,565 NS
DISWalt Disney Co/The0.289912%15,543,343.2146,580 NS
Morgan StanleyMorgan Stanley0.289457%15,518,898.5193,201 NS
GILDGilead Sciences Inc0.279951%15,009,244.65100,767 NS
Citigroup IncCitigroup Inc0.277995%14,904,409.59135,261 NS
CRMSalesforce Inc0.274492%14,716,579.2975,551 NS
TJX Cos Inc/TheTJX Cos Inc/The0.273107%14,642,354.590,575 NS
APHAmphenol Corp0.268942%14,419,043.298,720 NS
ISRGIntuitive Surgical Inc0.268284%14,383,770.1728,567 NS
ADIAnalog Devices Inc0.266488%14,287,459.0340,157 NS
Boeing Co/TheBoeing Co/The0.256737%13,764,654.8860,496 NS
AXPAmerican Express Co0.251826%13,501,401.243,708 NS
Charles Schwab Corp/TheCharles Schwab Corp/The0.24524%13,148,262.4138,112 NS
BlackRock Funding Inc/DEBlackRock Funding Inc/DE0.244836%13,126,637.5812,346 NS
UNPUnion Pacific Corp0.23932%12,830,861.5648,422 NS
PFEPfizer Inc0.23702%12,707,580.55459,587 NS
HONHoneywell International Inc0.233836%12,536,846.5351,467 NS
DEDeere & Co0.232263%12,452,515.2519,775 NS
QCOMQUALCOMM Inc0.232191%12,448,670.287,445 NS
UBERUber Technologies Inc0.2292%12,288,331.44162,932 NS
Lowe's Cos IncLowe's Cos Inc0.223889%12,003,540.945,370 NS
ETNEaton Corp PLC0.222331%11,920,047.2831,709 NS
Newmont CorpNewmont Corp0.215543%11,556,09088,893 NS
WELLWelltower Inc0.214986%11,526,22855,650 NS
COPConocoPhillips0.214157%11,481,811.62101,197 NS
BKNGBooking Holdings Inc0.208196%11,162,208.552,633 NS
ANETArista Networks Inc0.207867%11,144,58083,480 NS
Vanguard Cmt Funds-Vanguard Market Liquidity FundVanguard Cmt Funds-Vanguard Market Liquidity Fund0.205502%11,017,788.7111,018,890.6 NS
LMTLockheed Martin Corp0.204934%10,987,303.6816,696 NS
SPGIS&P Global Inc0.202223%10,841,967.6824,536 NS
SYKStryker Corp0.201412%10,798,510.227,870 NS
DHRDanaher Corp0.200233%10,735,267.650,965 NS
Prologis IncPrologis Inc0.199666%10,704,868.4575,085 NS
ACNAccenture PLC0.197193%10,572,294.1650,653 NS
VRTXVertex Pharmaceuticals Inc0.192777%10,335,554.4920,803 NS
PHParker-Hannifin Corp0.192767%10,335,012.3810,241 NS
Bristol-Myers Squibb CoBristol-Myers Squibb Co0.191823%10,284,376.41164,893 NS
MDTMedtronic PLC0.189109%10,138,865.88103,818 NS
Progressive Corp/TheProgressive Corp/The0.189012%10,133,680.1447,429 NS
CBChubb Ltd0.188187%10,089,45629,600 NS
MCKMcKesson Corp0.187128%10,032,666.5710,161 NS
Capital One Financial CorpCapital One Financial Corp0.185616%9,951,619.8850,867 NS
Corning IncCorning Inc0.17713%9,496,647.3863,151 NS
MOAltria Group Inc0.175763%9,423,338.64136,491 NS
PANWPalo Alto Networks Inc0.175311%9,399,085.863,115 NS
CMECME Group Inc0.173457%9,299,686.529,107 NS
BSXBoston Scientific Corp0.171245%9,181,115.8119,468 NS

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