ETF:VTI | ETF Holdings Page 28 | VANGUARD TOTAL STOCK MARKET INDEX FUND

VTI ETF holdings Page 28

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 2,701–2,800 of 3,524

TickerIssuerWeightValue (USD)Balance
INNVInnovage Holding Corp0.000248%4,934,882.44615,322 NS
SNFCASecurity National Financial Corp0.000247%4,911,066.6518,045 NS
BYRNByrna Technologies Inc0.000246%4,906,755.9534,505 NS
FHTXFoghorn Therapeutics Inc0.000246%4,904,667.181,026,081 NS
GENCGencor Industries Inc0.000245%4,872,165324,811 NS
Richmond Mutual BanCorp IncRichmond Mutual BanCorp Inc0.000244%4,863,460.86358,398 NS
TBCHTurtle Beach Corp0.000243%4,847,295.18478,037 NS
CBFVCB Financial Services Inc0.000243%4,836,435.82141,499 NS
SPCEVirgin Galactic Holdings Inc0.000242%4,826,961.721,986,404 NS
KRMDKORU Medical Systems Inc0.000242%4,815,599.041,114,722 NS
LDIloanDepot Inc0.000241%4,792,789.683,375,204 NS
MASS908 Devices Inc0.00024%4,789,860.84782,657 NS
Braemar Hotels & Resorts IncBraemar Hotels & Resorts Inc0.00024%4,773,012.682,022,463 NS
VUZIVuzix Corp0.000239%4,766,419.352,063,385 NS
ULHUniversal Logistics Holdings Inc0.000239%4,765,019.42225,403 NS
Lions Gate Entertainment CorpLions Gate Entertainment Corp0.000238%4,739,012412,088 NS
PALProficient Auto Logistics Inc0.000238%4,734,616.38698,321 NS
SBFGSB Financial Group Inc0.000238%4,733,064225,384 NS
KVHIKVH Industries Inc0.000237%4,727,036.16527,571 NS
GSITGSI Technology Inc0.000237%4,725,875.34919,431 NS
ORGOOrganogenesis Holdings Inc0.000237%4,719,727.021,991,446 NS
FONAR CorpFONAR Corp0.000237%4,717,246.72254,162 NS
EGANeGain Corp0.000236%4,699,205.1595,590 NS
IDNIntellicheck Inc0.000235%4,673,234.4668,560 NS
KROKronos Worldwide Inc0.000234%4,666,033.71710,203 NS
VENUVenu Holding Corp0.000233%4,642,503.391,402,569 NS
SRBKSR Bancorp Inc0.000233%4,634,522.16274,557 NS
ACRES Commercial Realty CorpACRES Commercial Realty Corp0.000232%4,626,000.12239,441 NS
Xerox Holdings CorpXerox Holdings Corp0.000232%4,616,535.93,578,710 NS
GCBCGreene County Bancorp Inc0.000231%4,605,255205,500 NS
ACHVAchieve Life Sciences Inc0.000231%4,603,066.861,565,669 NS
SNWVSANUWAVE Health Inc0.00023%4,580,691.57264,933 NS
INGNInogen Inc0.00023%4,572,989.88739,966 NS
EVIEVI Industries Inc0.000228%4,535,276.34220,373 NS
ACUAcme United Corp0.000227%4,523,245.38100,718 NS
EAFGrafTech International Ltd0.000226%4,510,788.24665,308 NS
United Security Bancshares/Fresno CAUnited Security Bancshares/Fresno CA0.000225%4,485,415.76426,776 NS
TNYATenaya Therapeutics Inc0.000225%4,483,857.776,475,820 NS
FINWFinwise Bancorp0.000224%4,463,019.86281,401 NS
Tucows IncTucows Inc0.000222%4,425,649.8257,905 NS
QTRXQuanterix Corp0.000222%4,417,0721,254,850 NS
PDEXPro-Dex Inc0.000221%4,396,141.7689,498 NS
HRTXHeron Therapeutics Inc0.00022%4,380,505.095,474,947 NS
PNBKPatriot National Bancorp Inc0.00022%4,376,608.83,392,720 NS
UISUnisys Corp0.00022%4,372,808.762,112,468 NS
Gold Resource CorpGold Resource Corp0.000219%4,357,0203,630,850 NS
ALT5 Sigma CorpALT5 Sigma Corp0.000219%4,356,614.583,924,878 NS
BSETBassett Furniture Industries Inc0.000217%4,329,800.95305,993 NS
BRTBRT Apartments Corp0.000217%4,328,082.96324,444 NS
Superior Group of Cos IncSuperior Group of Cos Inc0.000216%4,303,491.52423,572 NS
CDXSCodexis Inc0.000216%4,293,045.12,633,770 NS
Alta Equipment Group IncAlta Equipment Group Inc0.000215%4,289,867.46798,858 NS
SNDSmart Sand Inc0.000214%4,268,180.48833,629 NS
BALYBally's Corp0.000213%4,249,842.2440,855 NS
GCI Liberty IncGCI Liberty Inc0.000213%4,248,731.3115,298 NS
HBBHamilton Beach Brands Holding Co0.000213%4,245,008.45224,011 NS
TONXTON Strategy Co0.000213%4,239,0141,716,200 NS
Finance Of America Cos IncFinance Of America Cos Inc0.000212%4,219,720254,200 NS
BRC Group Holdings IncBRC Group Holdings Inc0.000211%4,208,055.72574,871 NS
AOUTAmerican Outdoor Brands Inc0.00021%4,187,392.86448,329 NS
INSGInseego Corp0.00021%4,187,336.08376,559 NS
SMIDSmith-Midland Corp0.00021%4,179,649.58128,486 NS
HNVRHanover Bancorp Inc0.000209%4,155,448.89192,471 NS
QUIKQuickLogic Corp0.000208%4,142,639.48441,646 NS
Priority Technology Holdings IncPriority Technology Holdings Inc0.000208%4,139,270.08876,964 NS
ELTXElicio Therapeutics Inc0.000207%4,113,522.69384,801 NS
Terrestrial Energy IncTerrestrial Energy Inc0.000206%4,095,410682,000 NS
LifeMD IncLifeMD Inc0.000205%4,073,166.611,128,301 NS
SGMTSagimet Biosciences Inc0.000204%4,068,848.58778,727 NS
IMUXImmunic Inc0.000204%4,066,915.683,663,888 NS
FNWDFinward Bancorp0.000204%4,061,570.7111,889 NS
OmniAb IncOmniAb Inc0.000203%4,050,025.382,579,634 NS
APYXApyx Medical Corp0.000203%4,042,483.561,095,524 NS
UNCYUnicycive Therapeutics Inc0.000202%4,020,485.28611,016 NS
EPMEvolution Petroleum Corp0.000202%4,014,502.82876,529 NS
BCBPBCB Bancorp Inc0.000202%4,014,491.04447,048 NS
ALTIAlTi Global Inc0.000201%3,996,233.841,103,932 NS
Brand Engagement Network IncBrand Engagement Network Inc0.000201%3,993,932.32105,380.8 NS
WHGWestwood Holdings Group Inc0.0002%3,991,784.49242,367 NS
ZIPZipRecruiter Inc0.0002%3,984,860.42,165,685 NS
TRONTron Inc0.0002%3,983,645.71,754,910 NS
SGHTSight Sciences Inc0.000199%3,973,2031,053,900 NS
LELands' End Inc0.000199%3,972,058.64353,386 NS
ZNTLZentalis Pharmaceuticals Inc0.000199%3,964,956.841,694,426 NS
CFBKCF Bankshares Inc0.000199%3,961,852.41141,951 NS
DOUGDouglas Elliman Inc0.000199%3,960,214.62,414,765 NS
HYNEHoyne Bancorp Inc0.000199%3,958,912.5273,500 NS
CEA Industries IncCEA Industries Inc0.000199%3,954,666.961,354,338 NS
LIFEEthos Technologies Inc0.000197%3,919,832.25350,925 NS
DERMJourney Medical Corp0.000196%3,912,927.97834,313 NS
Open Lending CorpOpen Lending Corp0.000196%3,908,838.753,127,071 NS
Richardson Electronics Ltd/United StatesRichardson Electronics Ltd/United States0.000196%3,899,108.85356,083 NS
NeoVolta IncNeoVolta Inc0.000195%3,890,3481,263,100 NS
SRIStoneridge Inc0.000195%3,885,696.36804,492 NS
ADVAdvantage Solutions Inc0.000195%3,876,796.95183,386.8 NS
Modiv Industrial IncModiv Industrial Inc0.000194%3,872,013.44270,392 NS
Orion Office REIT IncOrion Office REIT Inc0.000193%3,838,900.251,785,535 NS
EPSNEpsilon Energy Ltd0.000193%3,834,144.16622,426 NS
JYNTJoint Corp/The0.000192%3,818,916.6431,516 NS
New Era Energy & Digital IncNew Era Energy & Digital Inc0.00019%3,779,454930,900 NS

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