ETF:VTHR | ETF Holdings Page 11 | VANGUARD RUSSELL 3000 INDEX FUND

VTHR ETF holdings Page 11

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 1,001–1,100 of 2,939

TickerIssuerWeightValue (USD)Balance
RDNRadian Group Inc0.007113%381,342.4411,047 NS
MWAMueller Water Products Inc0.007077%379,422.6112,677 NS
Universal Display CorpUniversal Display Corp0.007066%378,856.193,551 NS
BBWIBath & Body Works Inc0.00703%376,928.3616,561 NS
OSISOSI Systems Inc0.006995%375,0381,315 NS
KGSKodiak Gas Services Inc0.006994%374,950.476,871 NS
MTNVail Resorts Inc0.006986%374,563.982,758 NS
PCTYPaylocity Holding Corp0.006984%374,418.843,516 NS
DBXDropbox Inc0.00696%373,175.6714,933 NS
Liberty Live Holdings IncLiberty Live Holdings Inc0.006938%371,993.453,733 NS
BYDBoyd Gaming Corp0.006938%371,954.874,469 NS
BrightSpring Health Services IncBrightSpring Health Services Inc0.00692%371,005.658,955 NS
VICRVicor Corp0.006916%370,777.41,841 NS
TNLTravel + Leisure Co0.006906%370,268.85,024 NS
MRCYMercury Systems Inc0.006898%369,830.624,154 NS
AIRAAR Corp0.006884%369,085.53,150 NS
ANFAbercrombie & Fitch Co0.006873%368,510.43,768 NS
HRIHerc Holdings Inc0.006868%368,206.862,634 NS
ALGMAllegro MicroSystems Inc0.006846%367,034.0810,064 NS
CROXCrocs Inc0.006839%366,649.824,042 NS
KRMNKarman Holdings Inc0.00683%366,185.164,156 NS
BMIBadger Meter Inc0.006812%365,222.282,396 NS
Archer Aviation IncArcher Aviation Inc0.006782%363,597.0451,067 NS
HASIHA Sustainable Infrastructure Capital Inc0.006781%363,556.69,955 NS
MMSIMerit Medical Systems Inc0.006777%363,363.444,708 NS
EPR PropertiesEPR Properties0.006746%361,688.086,088 NS
Telephone and Data Systems IncTelephone and Data Systems Inc0.006744%361,5808,080 NS
TREXTrex Co Inc0.006724%360,478.268,703 NS
LOPEGrand Canyon Education Inc0.00672%360,293.552,265 NS
CVCOCavco Industries Inc0.006719%360,210.24624 NS
MURMurphy Oil Corp0.006711%359,776.9510,853 NS
Associated Banc-CorpAssociated Banc-Corp0.006695%358,938.3113,591 NS
LBRTLiberty Energy Inc0.00663%355,478.9512,655 NS
IESCIES Holdings Inc0.006606%354,175.25715 NS
Texas Capital Bancshares IncTexas Capital Bancshares Inc0.006604%354,039.53,715 NS
CWENClearway Energy Inc0.006561%351,762.429,182 NS
MCMoelis & Co0.006556%351,470.565,921 NS
TGTXTG Therapeutics Inc0.006554%351,360.9311,677 NS
CRCCalifornia Resources Corp0.006538%350,509.885,957 NS
SLGNSilgan Holdings Inc0.00651%349,035.27,264 NS
PATHUiPath Inc0.006508%348,896.6832,516 NS
SXTSensient Technologies Corp0.006505%348,755.553,435 NS
VSXYVictoria's Secret & Co0.006499%348,423.95,557 NS
EBCEastern Bankshares Inc0.006478%347,326.9217,757 NS
SAICScience Applications International Corp0.006477%347,266.643,764 NS
MMSMaximus Inc0.006473%347,049.94,590 NS
HLNEHamilton Lane Inc0.006473%347,036.583,307 NS
GLNGGolar LNG Ltd0.00647%346,876.927,802 NS
HCCWarrior Met Coal Inc0.006465%346,611.364,164 NS
NWENorthwestern Energy Group Inc0.006464%346,581.844,954 NS
BFAMBright Horizons Family Solutions Inc0.006452%345,921.844,642 NS
OUTOutfront Media Inc0.00644%345,259.0411,984 NS
MDUMDU Resources Group Inc0.006413%343,80516,625 NS
ITRIItron Inc0.006412%343,763.053,659 NS
SKYWSkyWest Inc0.006393%342,735.443,293 NS
SFBSServisFirst Bancshares Inc0.006385%342,348.264,226 NS
STNEStoneCo Ltd0.006383%342,21620,370 NS
SIRISirius XM Holdings Inc0.006381%342,114.8415,579 NS
IRTCIRhythm Holdings Inc0.006341%339,992.52,542 NS
Amicus Therapeutics IncAmicus Therapeutics Inc0.006325%339,13223,600 NS
SKTTanger Inc0.006324%339,061.949,149 NS
MYRGMYR Group Inc0.006314%338,529.841,254 NS
FFINFirst Financial Bankshares Inc0.006301%337,817.4610,922 NS
Bruker CorpBruker Corp0.006294%337,445.438,413 NS
RYANRyan Specialty Holdings Inc0.006291%337,268.858,571 NS
MSMMSC Industrial Direct Co Inc0.006289%337,167.123,593 NS
MORNMorningstar Inc0.006282%336,794.461,839 NS
CONSOL Energy IncCONSOL Energy Inc0.006257%335,460.964,087 NS
LAURLaureate Education Inc0.006238%334,427.9410,341 NS
Brown-Forman CorpBrown-Forman Corp0.006214%333,130.9811,543 NS
ABGAsbury Automotive Group Inc0.006212%333,069.241,558 NS
YOUClear Secure Inc0.006165%330,508.86,795 NS
ADTADT Inc0.006151%329,774.3841,119 NS
ACIWACI Worldwide Inc0.006135%328,947.28,290 NS
KBHKB Home0.00613%328,645.025,169 NS
LTHLife Time Group Holdings Inc0.006125%328,37412,162 NS
AZZAZZ Inc0.00612%328,119.742,413 NS
URBNUrban Outfitters Inc0.006107%327,425.24,946 NS
PATKPatrick Industries Inc0.006105%327,300.762,644 NS
DLBDolby Laboratories Inc0.006065%325,194.454,885 NS
CRNXCrinetics Pharmaceuticals Inc0.006056%324,6907,900 NS
NGNovagold Resources Inc0.006056%324,661.6824,374 NS
CNO Financial Group IncCNO Financial Group Inc0.006052%324,487.417,761 NS
United Community Banks Inc/GAUnited Community Banks Inc/GA0.006043%323,984.0710,071 NS
CBTCabot Corp0.006038%323,747.284,252 NS
DANDana Inc0.006036%323,602.249,451 NS
NHINational Health Investors Inc0.006035%323,585.433,849 NS
KAIKadant Inc0.006035%323,568.18954 NS
FRPTFreshpet Inc0.006006%322,007.853,813 NS
ASOAcademy Sports & Outdoors Inc0.006005%321,936.025,354 NS
GPIGroup 1 Automotive Inc0.005997%321,505.38987 NS
INDVIndivior Pharmaceuticals Inc0.005986%320,950.489,809 NS
PSMTPriceSmart Inc0.005978%320,527.262,073 NS
CRCLCircle Internet Group Inc0.005964%319,742.083,832 NS
APPFAppfolio Inc0.005958%319,434.721,797 NS
IRTIndependence Realty Trust Inc0.005952%319,105.0619,258 NS
HRBH&R Block Inc0.005947%318,846.0610,413 NS
FELEFranklin Electric Co Inc0.005888%315,695.783,169 NS
Tidewater IncTidewater Inc0.005885%315,535.663,973 NS
INDBIndependent Bank Corp0.005883%315,402.84,040 NS

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