ETF:VTHR | ETF Holdings Page 15 | VANGUARD RUSSELL 3000 INDEX FUND

VTHR ETF holdings Page 15

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 1,401–1,500 of 2,939

TickerIssuerWeightValue (USD)Balance
LMATLeMaitre Vascular Inc0.003265%175,035.241,618 NS
HUNHuntsman Corp0.003264%175,012.7513,835 NS
DXCDXC Technology Co0.00325%174,220.4213,838 NS
NMRKNewmark Group Inc0.003236%173,470.4411,947 NS
MTXMinerals Technologies Inc0.003235%173,442.722,456 NS
WTWisdomTree Inc0.003231%173,204.5310,123 NS
CACCCredit Acceptance Corp0.00323%173,183.88366 NS
NHCNational HealthCare Corp0.00323%173,146.51,059 NS
First Bancorp/Southern Pines NCFirst Bancorp/Southern Pines NC0.003226%172,982.343,046 NS
Globant SAGlobant SA0.003224%172,866.243,474 NS
PRDOPerdoceo Education Corp0.003222%172,719.655,179 NS
KALUKaiser Aluminum Corp0.003219%172,565.641,326 NS
SEISolaris Energy Infrastructure Inc0.003219%172,563.513,477 NS
BHEBenchmark Electronics Inc0.003198%171,464.462,966 NS
PLABPhotronics Inc0.003166%169,745.054,535 NS
NTCTNetScout Systems Inc0.003165%169,710.15,810 NS
Bank of NT Butterfield & Son Ltd/TheBank of NT Butterfield & Son Ltd/The0.003145%168,642.253,323 NS
OIO-I Glass Inc0.003143%168,518.412,576 NS
NWNNorthwest Natural Holding Co0.003136%168,136.83,170 NS
LGNLegence Corp0.003132%167,938.652,893 NS
ACHCAcadia Healthcare Co Inc0.003132%167,900.727,163 NS
DRHDiamondRock Hospitality Co0.00313%167,798.5216,713 NS
OSWOneSpaWorld Holdings Ltd0.003127%167,675.647,788 NS
ANDEAndersons Inc/The0.003113%166,881.242,556 NS
GEOGEO Group Inc/The0.003111%166,793.611,090 NS
PARRPar Pacific Holdings Inc0.00311%166,754.363,908 NS
EYENational Vision Holdings Inc0.00311%166,728.546,182 NS
KNTKKinetik Holdings Inc0.003096%165,993.013,649 NS
ARMOUR Residential REIT IncARMOUR Residential REIT Inc0.003093%165,840.059,239 NS
BANRBanner Corp0.003086%165,427.352,811 NS
AMRXAmneal Pharmaceuticals Inc0.003077%164,960.4511,945 NS
WERNWerner Enterprises Inc0.003075%164,887.914,699 NS
HOGHarley-Davidson Inc0.003074%164,8089,156 NS
CASHPathward Financial Inc0.003074%164,783.851,815 NS
Customers Bancorp IncCustomers Bancorp Inc0.003068%164,486.162,439 NS
Dynex Capital IncDynex Capital Inc0.003067%164,445.6311,721 NS
BCRXBioCryst Pharmaceuticals Inc0.003051%163,59018,696 NS
KWRQuaker Chemical Corp0.003044%163,203.31,110 NS
EWTXEdgewise Therapeutics Inc0.003043%163,127.965,359 NS
IMVTImmunovant Inc0.00304%162,969.215,877 NS
STCStewart Information Services Corp0.003034%162,638.092,291 NS
ROGRogers Corp0.003023%162,068.491,503 NS
IMNMImmunome Inc0.003018%161,829.587,403 NS
Kemper CorpKemper Corp0.003012%161,470.724,996 NS
First Commonwealth Financial CorpFirst Commonwealth Financial Corp0.003006%161,188.359,195 NS
STRAStrategic Education Inc0.003003%161,021.961,957 NS
Dave IncDave Inc0.002974%159,447.75825 NS
NWLNewell Brands Inc0.002963%158,831.434,908 NS
LQDALiquidia Corp0.002961%158,760.365,118 NS
DYNDyne Therapeutics Inc0.002947%157,996.310,115 NS
Liberty Global LtdLiberty Global Ltd0.002944%157,845.912,833 NS
DBDDiebold Nixdorf Inc0.002944%157,8401,973 NS
PLUGPlug Power Inc0.002942%157,731.2288,118 NS
MGNIMagnite Inc0.002926%156,847.9211,516 NS
SMMTSummit Therapeutics Inc0.002913%156,194.859,415 NS
IOSPInnospec Inc0.002908%155,916.882,036 NS
HLFHerbalife Ltd0.002905%155,769.67,980 NS
ADNTAdient PLC0.002904%155,720.966,403 NS
OGNOrganon & Co0.002901%155,510.2821,332 NS
Under Armour IncUnder Armour Inc0.002898%155,352.5420,937 NS
ADUSAddus HomeCare Corp0.002895%155,191.471,499 NS
AGYSAgilysys Inc0.002891%155,021.162,148 NS
Liberty Global LtdLiberty Global Ltd0.002884%154,612.6412,136 NS
Liberty Live Holdings IncLiberty Live Holdings Inc0.002883%154,584.721,593 NS
Global Net Lease IncGlobal Net Lease Inc0.002878%154,299.616,380 NS
BLKBBlackbaud Inc0.002874%154,065.963,174 NS
EXTRExtreme Networks Inc0.00287%153,849.911,005 NS
FMCFMC Corp0.002866%153,679.2410,426 NS
TIC Solutions IncTIC Solutions Inc0.002862%153,451.8816,204 NS
TNKTeekay Tankers Ltd0.00286%153,330.931,959 NS
HMNHorace Mann Educators Corp0.00286%153,329.243,524 NS
IPARInterparfums Inc0.002852%152,883.261,517 NS
HCI Group IncHCI Group Inc0.00285%152,779.72866 NS
GRALGRAIL Inc0.002837%152,078.112,857 NS
NWBINorthwest Bancshares Inc0.002833%151,902.4512,201 NS
BLBDBlue Bird Corp0.002824%151,385.462,598 NS
CLDXCelldex Therapeutics Inc0.002824%151,382.795,031 NS
EVTCEVERTEC Inc0.002822%151,316.955,345 NS
TILEInterface Inc0.002822%151,309.454,805 NS
Ivanhoe Electric Inc / USIvanhoe Electric Inc / US0.00282%151,186.058,795 NS
AMRAlpha Metallurgical Resources Inc0.002812%150,776.55927 NS
GTYGetty Realty Corp0.002806%150,446.884,584 NS
SONOSonos Inc0.002805%150,365.69,764 NS
CALYCallaway Golf Co0.002804%150,343.5810,693 NS
PRGOPerrigo Co PLC0.002799%150,04711,350 NS
VACMarriott Vacations Worldwide Corp0.002793%149,718.032,303 NS
Pilgrim's Pride CorpPilgrim's Pride Corp0.002791%149,635.723,467 NS
LIONLionsgate Studios Holding Corp0.002786%149,36416,596 NS
DXP Enterprises Inc/TXDXP Enterprises Inc/TX0.002784%149,270.661,078 NS
CXWCoreCivic Inc0.002777%148,900.968,422 NS
PAGSPagseguro Digital Ltd0.002773%148,656.7114,011 NS
BLBlackLine Inc0.00277%148,508.254,213 NS
OMCLOmnicell Inc0.002766%148,288.83,608 NS
CLMTCalumet Inc0.002764%148,172.165,496 NS
Soleno Therapeutics IncSoleno Therapeutics Inc0.002758%147,879.953,785 NS
LUNRIntuitive Machines Inc0.002749%147,397.128,944 NS
Dillard's IncDillard's Inc0.002743%147,080.76244 NS
SNDXSyndax Pharmaceuticals Inc0.002741%146,976.76,770 NS
VCELVericel Corp0.002734%146,573.444,108 NS
WORWorthington Enterprises Inc0.002733%146,522.162,616 NS

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