ETF:VTI | ETF Holdings Page 17 | VANGUARD TOTAL STOCK MARKET INDEX FUND

VTI ETF holdings Page 17

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 STOCK MARKET INDEX FUND
Report date2026-03-31
Reported holdings3,524
SEC series IDS000002848

Positions 1,601–1,700 of 3,524

TickerIssuerWeightValue (USD)Balance
ARLOArlo Technologies Inc0.002258%44,981,698.813,161,047 NS
GABCGerman American Bancorp Inc0.002247%44,762,564.491,071,131 NS
Ivanhoe Electric Inc / USIvanhoe Electric Inc / US0.002246%44,740,496.643,785,152 NS
NVRIEnviri Corp0.002243%44,675,701.382,277,049 NS
HTHHilltop Holdings Inc0.002242%44,648,627.041,246,472 NS
XHRXenia Hotels & Resorts Inc0.002237%44,553,383.423,004,274 NS
CAPRCapricor Therapeutics Inc0.002235%44,511,8321,464,205 NS
ARDXArdelyx Inc0.002227%44,355,153.337,404,867 NS
CNXCConcentrix Corp0.002223%44,284,841.281,618,598 NS
EZPWEZCORP Inc0.002223%44,275,206.961,744,492 NS
Innovative Industrial Properties IncInnovative Industrial Properties Inc0.002217%44,159,760.48880,378 NS
MANManpowerGroup Inc0.002216%44,141,037.481,498,338 NS
TRVITrevi Therapeutics Inc0.002216%44,129,821.593,699,063 NS
HRMYHarmony Biosciences Holdings Inc0.002208%43,970,154.021,569,802 NS
CASHPathward Financial Inc0.002205%43,924,181.34492,258 NS
QUBTQuantum Computing Inc0.002202%43,859,570.456,402,857 NS
DVDoubleVerify Holdings Inc0.002202%43,858,9544,616,732 NS
IOVAIovance Biotherapeutics Inc0.002199%43,788,878.6412,475,464 NS
GTMZoomInfo Technologies Inc0.002192%43,665,846.387,301,981 NS
Kohl's CorpKohl's Corp0.002188%43,573,400.73,377,783 NS
HOPEHope Bancorp Inc0.002178%43,386,301.773,884,181 NS
WINAWinmark Corp0.002174%43,300,126.25101,275 NS
TILEInterface Inc0.00217%43,215,366.881,734,164 NS
Helix Energy Solutions Group IncHelix Energy Solutions Group Inc0.002169%43,197,818.924,367,828 NS
ATRCAtriCure Inc0.002169%43,196,673.871,514,079 NS
QCRHQCR Holdings Inc0.002168%43,180,704.85505,333 NS
UPWKUpwork Inc0.002168%43,178,103.683,939,608 NS
AMLXAmylyx Pharmaceuticals Inc0.002166%43,144,418.53,103,915 NS
COHUCohu Inc0.002154%42,906,489.341,401,257 NS
PRLBProto Labs Inc0.002152%42,855,946.9751,595 NS
PAYOPayoneer Global Inc0.002147%42,760,376.48,853,080 NS
ORCOrchid Island Capital Inc0.002144%42,705,007.436,074,681 NS
SBHSally Beauty Holdings Inc0.002143%42,676,018.853,081,301 NS
SEBSeaboard Corp0.002136%42,552,154.527,526 NS
RCATRed Cat Holdings Inc0.002134%42,509,788.093,247,501 NS
COLMColumbia Sportswear Co0.00213%42,423,323.67774,007 NS
CTSCTS Corp0.002129%42,393,925.2887,645 NS
Triumph Financial IncTriumph Financial Inc0.002121%42,234,089.58707,913 NS
DCHDauch Corporation0.002118%42,183,185.467,113,522 NS
NSSCNapco Security Technologies Inc0.002118%42,179,757.361,070,824 NS
Federal Agricultural Mortgage CorpFederal Agricultural Mortgage Corp0.002112%42,068,202.9283,574 NS
WWWWolverine World Wide Inc0.00211%42,026,350.082,575,144 NS
PRCTPROCEPT BioRobotics Corp0.00211%42,025,903.641,680,364 NS
FLYWFlywire Corp0.002109%42,013,776.843,609,431 NS
TCBKTriCo Bancshares0.002107%41,971,544.72882,868 NS
USLMUnited States Lime & Minerals Inc0.002105%41,924,373.29320,989 NS
HCSGHealthcare Services Group Inc0.002104%41,907,269.62,259,152 NS
Ellington Financial IncEllington Financial Inc0.002101%41,846,082.753,531,315 NS
TRSTriMas Corp0.002099%41,814,536.761,163,454 NS
NVAXNovavax Inc0.002099%41,799,103.55,135,025 NS
LZBLa-Z-Boy Inc0.002098%41,791,770.561,300,304 NS
PGNYProgyny Inc0.002087%41,569,841.72,448,165 NS
Westamerica BanCorpWestamerica BanCorp0.002078%41,396,044.2793,788 NS
TNDMTandem Diabetes Care Inc0.002077%41,368,879.172,158,001 NS
ENOVEnovis Corp0.002077%41,357,907.51,817,930 NS
ZYMEZymeworks Inc0.002076%41,348,877.521,651,313 NS
GRCGorman-Rupp Co/The0.002073%41,284,887.96664,492 NS
IMKTAIngles Markets Inc0.002062%41,059,684.53456,777 NS
Sila Realty Trust IncSila Realty Trust Inc0.002059%41,010,989.441,731,883 NS
ConnectOne Bancorp IncConnectOne Bancorp Inc0.002058%40,996,996.811,531,453 NS
JBLUJetBlue Airways Corp0.002049%40,806,328.429,232,201 NS
LCIDLucid Group Inc0.002044%40,711,778.84,271,960 NS
CBZCBIZ Inc0.002038%40,600,019.251,512,105 NS
MIAXMiami International Holdings Inc0.002036%40,557,675.761,042,078 NS
ALGTAllegiant Travel Co0.002033%40,499,172.72499,743 NS
LNNLindsay Corp0.002029%40,405,332.87339,341 NS
OBKOrigin Bancorp Inc0.002026%40,344,974.76973,106 NS
CMPRCimpress PLC0.002021%40,250,740551,380 NS
FIGSFigs Inc0.002012%40,074,008.312,713,203 NS
New Issuer: BB Company ID:54419104New Issuer: BB Company ID:544191040.002011%40,053,891.521,038,742 NS
REXREX American Resources Corp0.00201%40,040,490.63878,659 NS
PACSPACS Group Inc0.002006%39,946,391.321,243,661 NS
GCI Liberty IncGCI Liberty Inc0.002005%39,932,469.651,073,165 NS
LEGLeggett & Platt Inc0.002003%39,901,259.324,038,589 NS
ProAssurance CorpProAssurance Corp0.002003%39,897,140.641,613,962 NS
HTFLHeartFlow Inc0.002003%39,890,397.481,639,556 NS
UVVUniversal Corp/VA0.001982%39,470,192748,960 NS
JJSFJ & J Snack Foods Corp0.001978%39,403,293.79497,077 NS
TIC Solutions IncTIC Solutions Inc0.001977%39,378,431.125,984,564 NS
TRIPTripAdvisor Inc0.001975%39,336,892.43,690,140 NS
SLDESlide Insurance Holdings Inc0.00196%39,032,4062,168,467 NS
RDWRedwire Corp0.001957%38,969,074.54,584,597 NS
Carter's IncCarter's Inc0.001951%38,860,177.441,086,694 NS
Arbor Realty Trust IncArbor Realty Trust Inc0.001951%38,850,073.25,038,920 NS
NBRNabors Industries Ltd0.00195%38,837,587.1451,285 NS
ASTEAstec Industries Inc0.001942%38,670,526.16718,249 NS
TNCTennant Co0.001941%38,663,192.8582,277 NS
MCRIMonarch Casino & Resort Inc0.001937%38,580,909.6403,566 NS
GLUEMonte Rosa Therapeutics Inc0.001933%38,501,669.152,340,527 NS
WGSGeneDx Holdings Corp0.001933%38,498,156.06599,473 NS
ICFIICF International Inc0.001932%38,476,963.96589,324 NS
Two Harbors Investment CorpTwo Harbors Investment Corp0.001926%38,358,797.883,358,914 NS
SMPLSimply Good Foods Co/The0.001923%38,304,928.552,669,333 NS
ATECAlphatec Holdings Inc0.00192%38,243,4723,515,025 NS
ACTEnact Holdings Inc0.001893%37,699,094.51923,771 NS
SRCE1st Source Corp0.001883%37,502,961.12541,872 NS
ROCKGibraltar Industries Inc0.001882%37,493,030.34940,382 NS
DFINDonnelley Financial Solutions Inc0.001875%37,337,944.1792,065 NS
Figure Technology Solutions IncFigure Technology Solutions Inc0.001868%37,198,675.51,095,690 NS
NUVBNuvation Bio Inc0.001865%37,135,501.268,656,294 NS

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