ETF:VTI | ETF Holdings Page 27 | VANGUARD TOTAL STOCK MARKET INDEX FUND

VTI ETF holdings Page 27

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 2,601–2,700 of 3,524

TickerIssuerWeightValue (USD)Balance
GDRXGoodRx Holdings Inc0.000305%6,075,490.43,099,740 NS
CNDTConduent Inc0.000304%6,063,223.044,736,893 NS
MVISMicroVision Inc0.000304%6,056,791.879,446,026 NS
HWBKHawthorn Bancshares Inc0.000303%6,039,202.02179,258 NS
AMTXAemetis Inc0.000302%6,015,245.831,885,657 NS
SES AI CorpSES AI Corp0.000302%6,008,026.76,245,350 NS
LCNBLCNB Corp0.000301%5,998,657.84384,776 NS
DBIDesigner Brands Inc0.0003%5,979,211.321,050,828 NS
Palladyne AI CorpPalladyne AI Corp0.0003%5,971,052.93983,699 NS
SIDUSidus Space Inc0.000299%5,958,022.162,568,113 NS
RNAAtrium Therapeutics Inc0.000298%5,935,156.92443,916 NS
FDBCFidelity D&D Bancorp Inc0.000296%5,889,931.92136,089 NS
PESIPerma-Fix Environmental Services Inc0.000296%5,889,879.99550,971 NS
MEIMethode Electronics Inc0.000295%5,884,634.641,066,057 NS
CLYMClimb Bio Inc0.000294%5,856,654.1854,986 NS
ALMUAeluma Inc0.000293%5,843,127.29446,381 NS
SEVNSeven Hills Realty Trust0.000292%5,823,138.42708,411 NS
TWINTwin Disc Inc0.000292%5,816,598.04385,972 NS
NLOPNET Lease Office Properties0.000291%5,799,720.96503,448 NS
ELMDElectromed Inc0.000291%5,792,500.17247,437 NS
REFIChicago Atlantic Real Estate Finance Inc0.00029%5,768,977.64509,627 NS
IKTInhibikase Therapeutics Inc0.000289%5,755,643.043,425,978 NS
ESOAEnergy Services of America Corp0.000287%5,723,314.48435,896 NS
RICKRCI Hospitality Holdings Inc0.000287%5,719,310.97250,737 NS
BSVNBank7 Corp0.000286%5,691,673.6142,720 NS
ELMEElme Communities0.000285%5,683,351.382,827,538 NS
JACKJack in the Box Inc0.000285%5,678,311.03587,209 NS
BLZEBackblaze Inc0.000284%5,659,569.751,640,455 NS
INFUInfuSystem Holdings Inc0.000284%5,652,627.37612,419 NS
Pioneer Bancorp Inc/NYPioneer Bancorp Inc/NY0.000282%5,612,864.16403,223 NS
Medallion Financial CorpMedallion Financial Corp0.000282%5,609,136.88655,273 NS
NexPoint Diversified Real Estate TrustNexPoint Diversified Real Estate Trust0.000281%5,603,561.021,199,906 NS
ACTGAcacia Research Corp0.000281%5,601,346.011,164,521 NS
MGNXMacroGenics Inc0.000279%5,564,723.91,925,510 NS
CMTCore Molding Technologies Inc0.000279%5,554,214.4247,956 NS
OPBKOP Bancorp0.000279%5,552,191.4417,458 NS
RGCORGC Resources Inc0.000278%5,535,057.15251,023 NS
FCFranklin Covey Co0.000277%5,520,720.86349,634 NS
VERIVeritone Inc0.000277%5,517,294.292,800,657 NS
Multiplan CorpMultiplan Corp0.000276%5,506,841.44337,016 NS
BBCPConcrete Pumping Holdings Inc0.000276%5,504,840.04770,986 NS
LTRXLantronix Inc0.000276%5,503,655.841,050,316 NS
AMMO IncAMMO Inc0.000276%5,503,199.12,737,910 NS
US Gold CorpUS Gold Corp0.000275%5,483,893.8361,020 NS
Ategrity Specialty Holdings LLCAtegrity Specialty Holdings LLC0.000275%5,483,525.82277,366 NS
SMHISEACOR Marine Holdings Inc0.000275%5,481,781.92765,612 NS
TAYDTaylor Devices Inc0.000275%5,476,44696,078 NS
ALECAlector Inc0.000274%5,463,842.32,541,322 NS
NMRANeumora Therapeutics Inc0.000274%5,452,500.32,796,154 NS
DUOTDuos Technologies Group Inc0.000274%5,448,115.96794,186 NS
FCAPFirst Capital Inc0.000272%5,418,801.92109,184 NS
CMTVCommunity Bancorp/VT0.000271%5,387,919.5173,245 NS
EVCEntravision Communications Corp0.00027%5,371,672.681,808,644 NS
HPKHighPeak Energy Inc0.00027%5,370,759.9778,371 NS
FENCFennec Pharmaceuticals Inc0.00027%5,369,134.5873,030 NS
CMRCCommerce.com Inc0.000269%5,358,190.712,006,813 NS
LEGHLegacy Housing Corp0.000269%5,357,215.89262,223 NS
VIAVia Transportation Inc0.000269%5,352,465356,831 NS
CRCTCricut Inc0.000268%5,344,628.31,429,045 NS
European Wax Center IncEuropean Wax Center Inc0.000267%5,327,096.54921,643 NS
BNEDBarnes & Noble Education Inc0.000267%5,308,375.25601,175 NS
OFRMOnce Upon a Farm PBC0.000266%5,302,419.45324,307 NS
Accendra Health IncAccendra Health Inc0.000266%5,294,554.442,322,173 NS
IIIInformation Services Group Inc0.000264%5,267,143.681,371,652 NS
BVFLBV Financial Inc0.000264%5,265,739.38275,117 NS
DSPViant Technology Inc0.000264%5,251,579.2468,891 NS
OSSOne Stop Systems Inc0.000264%5,250,218.92693,556 NS
GLSIGreenwich Lifesciences Inc0.000263%5,231,003.54217,777 NS
MPTIM-Tron Industries Inc0.000262%5,225,196.5578,163 NS
OPRTOportun Financial Corp0.000262%5,218,5201,132,000 NS
Bel Fuse IncBel Fuse Inc0.000261%5,199,130.428,852 NS
CRBUCaribou Biosciences Inc0.00026%5,185,998.72,729,473 NS
ESCAEscalade Inc0.00026%5,184,807.73301,969 NS
HOFTHooker Furnishings Corp0.00026%5,171,835.2401,540 NS
EBMTEagle Bancorp Montana Inc0.00026%5,171,177.76251,272 NS
New Issuer: BB Company ID:69708088New Issuer: BB Company ID:697080880.000259%5,163,896.922,837,306 NS
IMMRImmersion Corp0.000259%5,159,743.68945,008 NS
Kingstone Cos IncKingstone Cos Inc0.000259%5,151,427.48353,564 NS
MRAMEverspin Technologies Inc0.000258%5,140,392584,800 NS
ELAEnvela Corp0.000258%5,131,446.6308,010 NS
GEOSGeospace Technologies Corp0.000257%5,121,096.4419,762 NS
OVBCOhio Valley Banc Corp0.000257%5,117,409.36116,676 NS
PACKRanpak Holdings Corp0.000257%5,115,067.441,432,792 NS
MainStreet Bancshares IncMainStreet Bancshares Inc0.000256%5,102,270.4229,832 NS
MBOTMicrobot Medical Inc0.000255%5,084,832.492,109,889 NS
GYREGyre Therapeutics Inc0.000255%5,070,681.97727,501 NS
Kingsway Financial Services IncKingsway Financial Services Inc0.000254%5,062,169.21485,347 NS
JAKKJAKKS Pacific Inc0.000254%5,050,974.96253,563 NS
AIROAIRO Group Holdings Inc0.000253%5,040,289.8662,760 NS
SIShoulder Innovations Inc0.000253%5,035,095.43346,531 NS
ASYSAmtech Systems Inc0.000252%5,028,707.2430,540 NS
CAMPCAMP4 Therapeutics Corp0.000252%5,023,735.291,139,169 NS
CRBPCorbus Pharmaceuticals Holdings Inc0.000252%5,010,269.25533,575 NS
SEGSeaport Entertainment Group Inc0.000251%5,002,305.36232,882 NS
DIBS1stdibs.com Inc0.000251%4,995,540908,280 NS
XPOFXponential Fitness Inc0.00025%4,974,006.94826,247 NS
Angel Oak Mortgage REIT IncAngel Oak Mortgage REIT Inc0.00025%4,973,782.26605,083 NS
ECBKECB Bancorp Inc/MD0.000248%4,948,483.05295,785 NS
TNXPTonix Pharmaceuticals Holding Corp0.000248%4,946,260359,728 NS
First Internet BancorpFirst Internet Bancorp0.000248%4,936,076.76242,202 NS

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