ETF:VTI | ETF Holdings Page 26 | VANGUARD TOTAL STOCK MARKET INDEX FUND

VTI ETF holdings Page 26

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 2,501–2,600 of 3,524

TickerIssuerWeightValue (USD)Balance
New Issuer: BB Company ID:71535938New Issuer: BB Company ID:715359380.000373%7,421,839.62540,163 NS
Ready Capital CorpReady Capital Corp0.000372%7,404,678.184,570,789 NS
PKOHPark-Ohio Holdings Corp0.00037%7,378,068.32306,908 NS
CNTXContext Therapeutics Inc0.00037%7,376,573.322,815,486 NS
OBIOOrchestra BioMed Holdings Inc0.000369%7,343,842.751,727,963 NS
EVMNEvommune Inc0.000368%7,331,442.03318,897 NS
RMRRMR Group Inc/The0.000368%7,322,709.03473,349 NS
ALXOALX Oncology Holdings Inc0.000367%7,303,922.273,642,854 NS
FCCOFirst Community Corp/SC0.000365%7,278,883.83249,021 NS
JRVRJames River Group Holdings Inc0.000365%7,278,371.11,155,297 NS
ELDNEledon Pharmaceuticals Inc0.000364%7,256,670.962,356,062 NS
TWFGTWFG Inc0.000364%7,248,455.28394,152 NS
Flotek Industries IncFlotek Industries Inc0.000362%7,214,965.2425,160 NS
WiSA Technologies IncWiSA Technologies Inc0.000361%7,192,140.4111,632,121 NS
FUNCFirst United Corp0.000359%7,146,778.56195,054 NS
Citizens Inc/TXCitizens Inc/TX0.000358%7,136,855.741,418,858 NS
VTIXVirtuix Holdings Inc0.000358%7,133,454.221,053,686 NS
SMRTSmartRent Inc0.000358%7,132,744.54,755,163 NS
Biglari Holdings IncBiglari Holdings Inc0.000357%7,111,563.4321,577 NS
American Integrity Insurance GAmerican Integrity Insurance G0.000357%7,108,285.36368,687 NS
HYLNHyliion Holdings Corp0.000357%7,106,522.724,037,797 NS
AVBHAvidbank Holdings Inc0.000356%7,089,261248,746 NS
CFFIC&F Financial Corp0.000355%7,071,095.3696,944 NS
BKTIBK Technologies Corp0.000354%7,043,504.7794,379 NS
CLWClearwater Paper Corp0.000353%7,024,845.7488,515 NS
Velo3D IncVelo3D Inc0.000352%7,004,001745,900 NS
Hudson Technologies IncHudson Technologies Inc0.000351%6,995,042.041,189,633 NS
LENZLENZ Therapeutics Inc0.00035%6,973,709.1762,154 NS
ARECAmerican Resources Corp0.000348%6,940,794.742,868,097 NS
SVCService Properties Trust0.000346%6,900,792.785,092,836 NS
WESTWestrock Coffee Co0.000346%6,893,542.51,622,010 NS
USCBUSCB Financial Holdings Inc0.000345%6,874,557.84370,796 NS
CHMGChemung Financial Corp0.000344%6,857,852.04127,422 NS
ABEOAbeona Therapeutics Inc0.000344%6,850,036.481,529,026 NS
EVGOEVgo Inc0.000344%6,847,481.683,981,094 NS
EOLSEvolus Inc0.000344%6,846,820.231,665,893 NS
NKSHNational Bankshares Inc0.000344%6,841,912.33187,913 NS
RMNIRimini Street Inc0.000343%6,823,643.122,080,379 NS
Franklin Financial Services CorpFranklin Financial Services Corp0.000342%6,818,975.68133,496 NS
Meridian CorpMeridian Corp0.000342%6,807,436.32359,042 NS
CVCapsoVision Inc0.000339%6,744,708925,200 NS
PPIHPerma-Pipe International Holdings Inc0.000337%6,710,201.19225,099 NS
SPOKSpok Holdings Inc0.000337%6,704,775.3615,117 NS
EGHT8x8 Inc0.000336%6,701,049.824,036,777 NS
TLSTelos Corp0.000336%6,694,928.651,597,835 NS
QUADQuad/Graphics Inc0.000336%6,689,538.131,012,033 NS
ALCOAlico Inc0.000336%6,688,576.08162,108 NS
BNTCBenitec Biopharma Inc0.000336%6,685,995.45627,793 NS
ASURAsure Software Inc0.000335%6,668,526775,410 NS
Citizens Community Bancorp Inc/WICitizens Community Bancorp Inc/WI0.000333%6,628,089.6334,752 NS
PEBKPeoples Bancorp of North Carolina Inc0.000332%6,616,316.96168,956 NS
KROSKeros Therapeutics Inc0.00033%6,572,288.64595,316 NS
New Issuer: BB Company ID:811088New Issuer: BB Company ID:8110880.000329%6,558,540.12187,494 NS
VELVelocity Financial Inc0.000329%6,548,326.74361,986 NS
LMRILumexa Imaging Holdings Inc0.000329%6,542,905.8760,803 NS
WEYSWeyco Group Inc0.000328%6,536,341.1203,942 NS
TruBridge IncTruBridge Inc0.000328%6,533,334.24446,266 NS
TGTredegar Corp0.000328%6,532,467.3821,694 NS
NCMINational CineMedia Inc0.000328%6,532,105.72,141,674 NS
OPFIOppFi Inc0.000327%6,521,557.47845,857 NS
RBBNRibbon Communications Inc0.000327%6,504,7963,068,300 NS
CTRNCiti Trends Inc0.000327%6,504,627.96150,153 NS
ChromaDex CorpChromaDex Corp0.000326%6,486,307.381,470,818 NS
CVRXCVRx Inc0.000325%6,471,784.66684,121 NS
FOSLFossil Group Inc0.000325%6,467,797.191,500,649 NS
VABKVirginia National Bankshares Corp0.000324%6,460,116.6169,113 NS
AMC Networks IncAMC Networks Inc0.000324%6,458,810.96951,224 NS
JOUTJohnson Outdoors Inc0.000324%6,458,239.07138,857 NS
ASLEAerSale Corp0.000324%6,457,050.421,038,111 NS
VYGRVoyager Therapeutics Inc0.000324%6,453,476.11,671,885 NS
WOOFPetco Health & Wellness Co Inc0.000324%6,453,186.22,321,290 NS
SIGASIGA Technologies Inc0.000324%6,452,939.951,206,157 NS
OSUROraSure Technologies Inc0.000324%6,443,2892,147,763 NS
OSGOctave Specialty Group Inc0.000323%6,436,883.41,384,276 NS
MYFWFirst Western Financial Inc0.00032%6,376,838.56259,432 NS
LINKBANCORP IncLINKBANCORP Inc0.00032%6,374,262764,300 NS
TPG Mortgage Investment Trust IncTPG Mortgage Investment Trust Inc0.00032%6,363,508.51870,521 NS
LODEComstock Inc0.000319%6,356,925.92,084,238 NS
SLPSimulations Plus Inc0.000319%6,353,131.8537,490 NS
LOVELovesac Co/The0.000318%6,333,966.8428,840 NS
BPRNPrinceton Bancorp Inc0.000318%6,325,053.46187,298 NS
CBKCommercial Bancgroup Inc0.000316%6,296,840242,000 NS
INTTinTEST Corp0.000316%6,289,851.75460,795 NS
UTMDUtah Medical Products Inc0.000316%6,288,017.64101,436 NS
FXNCFirst National Corp/VA0.000315%6,279,036.16233,248 NS
RPAYRepay Holdings Corp0.000315%6,277,351.62,414,366 NS
TYGOTigo Energy Inc0.000315%6,267,179.281,666,803 NS
FLXSFlexsteel Industries Inc0.000313%6,226,481.94138,551 NS
ANIKAnika Therapeutics Inc0.000312%6,215,048428,624 NS
PCYOPure Cycle Corp0.000311%6,193,992.3615,705 NS
Olaplex Holdings IncOlaplex Holdings Inc0.000311%6,188,069.33,048,310 NS
BRCBBlack Rock Coffee Bar Inc0.000311%6,186,638.64478,842 NS
ARCTArcturus Therapeutics Holdings Inc0.000309%6,154,028.88797,154 NS
NCNACCO Industries Inc0.000309%6,148,258.88118,304 NS
PAYSPaysign Inc0.000309%6,147,764.61,041,994 NS
MPAAMotorcar Parts of America Inc0.000308%6,134,805.04554,684 NS
CHRSCoherus Oncology Inc0.000308%6,133,714.733,629,417 NS
USNAUSANA Health Sciences Inc0.000307%6,115,111.45350,035 NS
Sky Harbour Group CorpSky Harbour Group Corp0.000307%6,104,803.68633,936 NS
Ardent Health Partners IncArdent Health Partners Inc0.000305%6,081,794.4710,490 NS

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