ETF:VTHR | ETF Holdings Page 29 | VANGUARD RUSSELL 3000 INDEX FUND

VTHR ETF holdings Page 29

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 2,801–2,900 of 2,939

TickerIssuerWeightValue (USD)Balance
PAMTPAMT CORP0.000152%8,132.4810 NS
TBITrueBlue Inc0.000152%8,130.061,922 NS
CARLCarlsmed Inc0.000151%8,115.49557 NS
CSPICSP Inc0.00015%8,045.93893 NS
ELAEnvela Corp0.000146%7,847.18583 NS
KinderCare Learning Cos IncKinderCare Learning Cos Inc0.000146%7,843.52,241 NS
HCATHealth Catalyst Inc0.000146%7,805.164,818 NS
Finance Of America Cos IncFinance Of America Cos Inc0.000144%7,720.65399 NS
CRDFCardiff Oncology Inc0.000144%7,699.863,969 NS
Falcon's Beyond Global IncFalcon's Beyond Global Inc0.000143%7,685.281,186 NS
Angel Oak Mortgage REIT IncAngel Oak Mortgage REIT Inc0.000143%7,644.78891 NS
Strive IncStrive Inc0.000142%7,622.4960 NS
New Issuer: BB Company ID:71472366New Issuer: BB Company ID:714723660.000142%7,616.882,682 NS
KULRKULR Technology Group Inc0.000141%7,575.762,696 NS
EVIEVI Industries Inc0.00014%7,519.41387 NS
MEDMedifast Inc0.000136%7,297.29693 NS
TRAKReposiTrak Inc0.000136%7,281.9837 NS
THRYThryv Holdings Inc0.000135%7,2503,125 NS
Multiplan CorpMultiplan Corp0.000135%7,246.86538 NS
FFFutureFuel Corp0.000135%7,214.41,670 NS
TCITranscontinental Realty Investors Inc0.000134%7,187.32196 NS
RCMTRCM Technologies Inc0.000133%7,147.98378 NS
GOSSGossamer Bio Inc0.000132%7,088.6116,683 NS
ATYRaTyr Pharma Inc0.000132%7,069.897,366 NS
CURICuriosityStream Inc0.000131%7,013.52,075 NS
TTECTTEC Holdings Inc0.000131%7,002.52,801 NS
EMLEastern Co/The0.00013%6,982.32376 NS
MLPMaui Land & Pineapple Co Inc0.00013%6,974.8424 NS
CDXSCodexis Inc0.000127%6,811.446,744 NS
HPKHighPeak Energy Inc0.000127%6,788.631,303 NS
SIShoulder Innovations Inc0.000125%6,698.64494 NS
MNTKMontauk Renewables Inc0.000125%6,678.984,337 NS
GYREGyre Therapeutics Inc0.000124%6,633.2805 NS
LAKELakeland Industries Inc0.000123%6,620.74722 NS
ARQArq Inc0.000123%6,605.821,882 NS
New Issuer: BB Company ID:69708088New Issuer: BB Company ID:697080880.000123%6,589.125,584 NS
LifeMD IncLifeMD Inc0.000123%6,584.222,466 NS
CWENClearway Energy Inc0.000121%6,483.6180 NS
FLWS1-800-Flowers.com Inc0.00012%6,455.41,855 NS
BRCCBRC Inc0.00012%6,430.3410,215 NS
HAINHain Celestial Group Inc/The0.000117%6,251.317,820 NS
MXCTMaxCyte Inc0.000115%6,164.267,598 NS
AIROAIRO Group Holdings Inc0.000115%6,154.4628 NS
MAPSWM Technology Inc0.000114%6,087.369,106 NS
Gambling.com Group LtdGambling.com Group Ltd0.000114%6,086.561,396 NS
SMTISanara Medtech Inc0.000112%6,009.36294 NS
HFFGHF Foods Group Inc0.000111%5,954.412,849 NS
Lument Finance Trust IncLument Finance Trust Inc0.000111%5,947.84,310 NS
Montana Technologies CorpMontana Technologies Corp0.00011%5,894.751,825 NS
NODKNI Holdings Inc0.000109%5,869.76442 NS
FORRForrester Research Inc0.000109%5,848.44978 NS
DCGODocGo Inc0.000109%5,844.528,140 NS
CPSSConsumer Portfolio Services Inc0.000109%5,840.1721 NS
SNBRQSleep Number Corp0.000107%5,744.27931 NS
LAWCS Disco Inc0.000106%5,687.51,750 NS
GETYGetty Images Holdings Inc0.000106%5,665.47,282 NS
Ranger Bermuda Topco LtdRanger Bermuda Topco Ltd0.000106%5,663.52368 NS
JILLJ Jill Inc0.000105%5,630.02326 NS
Net Power IncNet Power Inc0.000104%5,575.772,889 NS
TMCITreace Medical Concepts Inc0.000103%5,540.942,979 NS
GAIAGaia Inc0.000102%5,481.631,617 NS
ZVIAZevia PBC0.000102%5,447.14,065 NS
TUSKMammoth Energy Services Inc0.000102%5,446.982,358 NS
MYPSPlaystudios Inc0.000099%5,291.3510,363 NS
OMOutset Medical Inc0.000098%5,241.981,502 NS
Livewire Group IncLivewire Group Inc0.000097%5,209.683,101 NS
KRROKorro Bio Inc0.000097%5,191.64428 NS
ANDGAndersen Group Inc0.000095%5,093220 NS
DMRCDigimarc Corp0.000095%5,070.161,151 NS
SSTISoundThinking Inc0.000094%5,058.9693 NS
Arena Group Holdings Inc/TheArena Group Holdings Inc/The0.000093%4,999.71,730 NS
BTMDBiote Corp0.000093%4,965.042,342 NS
LMRILumexa Imaging Holdings Inc0.000092%4,934.86349 NS
FSPFranklin Street Properties Corp0.000091%4,9005,956 NS
EVMNEvommune Inc0.00009%4,810185 NS
ADVAdvantage Solutions Inc0.000088%4,708.539,015 NS
RNACCartesian Therapeutics Inc0.000087%4,675.44616 NS
Airship AI Holdings IncAirship AI Holdings Inc0.000086%4,635.541,698 NS
VIRCVirco Mfg. Corp0.000086%4,603.75725 NS
EQPTEquipmentShare.com Inc0.000082%4,411.04152 NS
PROPPrairie Operating Co0.00008%4,274.552,415 NS
Tobira Therapeutics IncTobira Therapeutics Inc0.000079%4,244.61937 NS
Waldencast plcWaldencast plc0.000078%4,199.652,485 NS
OPALOPAL Fuels Inc0.000076%4,098.491,961 NS
STIMNeuronetics Inc0.000074%3,940.942,941 NS
LUNGPulmonx Corp0.000073%3,932.622,489 NS
EXFYExpensify Inc0.00007%3,7703,968 NS
EPEmpire Petroleum Corp0.000069%3,676.21,114 NS
CURVTorrid Holdings Inc0.000068%3,642.423,571 NS
HURATuHURA Biosciences Inc0.000068%3,630.582,174 NS
AEYEAudioEye Inc0.000067%3,607.78529 NS
OFRMOnce Upon a Farm PBC0.000067%3,574.34154 NS
ARAYAccuray Inc0.000064%3,417.075,917 NS
LFVNLifevantage Corp0.000063%3,389.85729 NS
EHTHeHealth Inc0.000061%3,257.82,506 NS
MANEVeraDermics Inc0.000061%3,255.3571 NS
NRDYNerdy Inc0.000061%3,247.523,366 NS
TZOOTravelzoo0.00006%3,212.1498 NS
EIKNEikon Therapeutics Inc0.000056%3,004.04218 NS
ISPRIspire Technology Inc0.000055%2,925.751,245 NS

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