ETF:VTI | ETF Holdings Page 29 | VANGUARD TOTAL STOCK MARKET INDEX FUND

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

Positions 2,801–2,900 of 3,524

TickerIssuerWeightValue (USD)Balance
CCLDCareCloud Inc0.00019%3,778,994.651,035,341 NS
Quantum-Si IncQuantum-Si Inc0.000189%3,773,041.024,874,730 NS
GALTGalectin Therapeutics Inc0.000189%3,770,525.971,351,443 NS
CURICuriosityStream Inc0.000189%3,768,538.81,273,155 NS
SDHCSmith Douglas Homes Corp0.000186%3,713,638.4290,128 NS
LWAYLifeway Foods Inc0.000186%3,697,305.16191,174 NS
Landmark Bancorp Inc/Manhattan KSLandmark Bancorp Inc/Manhattan KS0.000185%3,676,128.8148,231 NS
TASKTaskUS Inc0.000184%3,666,639.24546,444 NS
RGPResources Connection Inc0.000183%3,652,106.41979,117 NS
FRDFriedman Industries Inc0.000182%3,632,316.48204,984 NS
Assertio Holdings IncAssertio Holdings Inc0.000182%3,629,004.94190,399 NS
INOInovio Pharmaceuticals Inc0.000182%3,622,318.082,081,792 NS
LIDRAEye Inc0.000181%3,601,9001,990,000 NS
TriSalus Life Sciences IncTriSalus Life Sciences Inc0.000181%3,597,268899,317 NS
FATEFate Therapeutics Inc0.000179%3,568,933.22,974,111 NS
DHXDHI Group Inc0.000178%3,550,019.121,263,352 NS
Avita Medical IncAvita Medical Inc0.000178%3,546,083.7958,401 NS
THRYThryv Holdings Inc0.000177%3,533,923.221,289,753 NS
STXSStereotaxis Inc0.000177%3,523,623.921,915,013 NS
ACNTAscent Industries Co0.000177%3,517,180.81264,251 NS
FNKOFunko Inc0.000175%3,481,181.551,105,137 NS
LUCDLucid Diagnostics Inc0.000175%3,479,097.33,025,302 NS
OFLXOmega Flex Inc0.000174%3,464,405.44111,611 NS
DTILPrecision BioSciences Inc0.000174%3,461,364.5629,339 NS
Toro Combineco IncToro Combineco Inc0.000173%3,455,399.96890,567 NS
SFBCSound Financial Bancorp Inc0.000173%3,445,134.7878,818 NS
TBITrueBlue Inc0.000172%3,424,510.94875,834 NS
AGENAgenus Inc0.000171%3,414,054.481,022,172 NS
RMAXRE/MAX Holdings Inc0.000171%3,412,506.24592,449 NS
New Issuer: BB Company ID:71839948New Issuer: BB Company ID:718399480.000171%3,409,584.12272,331 NS
MLPMaui Land & Pineapple Co Inc0.000171%3,407,530.68221,412 NS
NVCTNuvectis Pharma Inc0.000171%3,398,780.51439,687 NS
ATOMAtomera Inc0.00017%3,394,157.55890,855 NS
RVSBRiverview Bancorp Inc0.00017%3,382,362.5614,975 NS
CRDFCardiff Oncology Inc0.000169%3,358,464.122,073,126 NS
CVGICommercial Vehicle Group Inc0.000168%3,352,231.19983,059 NS
NFENew Fortress Energy Inc0.000168%3,348,790.445,675,916 NS
PLBYPlayboy Inc0.000168%3,347,050.642,202,007 NS
STEXStreamex Corp0.000168%3,344,446.312,959,687 NS
GWRSGlobal Water Resources Inc0.000168%3,338,704.38439,882 NS
Bakkt Holdings Inc/USBakkt Holdings Inc/US0.000168%3,336,413.12453,317 NS
RXTRackspace Technology Inc0.000167%3,334,017.393,402,753 NS
TRAKReposiTrak Inc0.000166%3,312,528.4435,859 NS
ONEWOneWater Marine Inc0.000166%3,308,104.8350,064 NS
PZGParamount Gold Nevada Corp0.000165%3,287,221.641,980,254 NS
CXDOCrexendo Inc0.000164%3,271,371.02530,206 NS
RTYM6N/A0.000164%3,257,146.894,224 NC
MEDMedifast Inc0.000163%3,250,406.2318,980 NS
ESPEspey Mfg. & Electronics Corp0.000163%3,249,385.4458,632 NS
EMLEastern Co/The0.000162%3,227,672.8159,470 NS
KLTRKaltura Inc0.000162%3,222,072.462,641,043 NS
Humacyte IncHumacyte Inc0.000161%3,213,062.575,295,966 NS
PRLDPrelude Therapeutics Inc0.000161%3,201,123.42936,001 NS
Bowlero CorpBowlero Corp0.00016%3,193,116.16383,788 NS
AXRAMREP Corp0.00016%3,184,119.09113,193 NS
RAILFreightCar America Inc0.000159%3,174,562.58398,314 NS
CBUSCibus Inc0.000159%3,172,888.621,602,469 NS
Nexpoint Real Estate Finance IncNexpoint Real Estate Finance Inc0.000159%3,171,915.6235,480 NS
FFFutureFuel Corp0.000156%3,106,873806,980 NS
TENXTenax Therapeutics Inc0.000156%3,104,602.41194,159 NS
OPRXOptimizeRx Corp0.000156%3,103,902.56494,252 NS
JELDJELD-WEN Holding Inc0.000156%3,100,406.722,500,328 NS
REKRRekor Systems Inc0.000155%3,090,370.93,768,745 NS
RDNWRideNow Group Inc0.000155%3,081,146.38436,423 NS
APAmpco-Pittsburgh Corp0.000155%3,079,372.8458,240 NS
CHPTChargePoint Holdings Inc0.000155%3,079,252.26633,591 NS
New Issuer: BB Company ID:14084137New Issuer: BB Company ID:140841370.000155%3,079,192.188,229 NS
GETYGetty Images Holdings Inc0.000155%3,077,320.913,878,650 NS
Aadi Bioscience IncAadi Bioscience Inc0.000154%3,063,503.4887,972 NS
KULRKULR Technology Group Inc0.000154%3,062,004.451,291,985 NS
LFCRLifecore Biomedical Inc0.000154%3,058,260.36822,113 NS
AGLagilon health Inc0.000153%3,044,073.64384,838.64 NS
Comstock Holding Cos IncComstock Holding Cos Inc0.000153%3,040,684.42160,543 NS
Seritage Growth PropertiesSeritage Growth Properties0.000153%3,038,618.791,081,359 NS
ZONECleancore Solutions Inc0.000152%3,028,044.058,498,580 NS
SUIGSui Group Holdings Ltd0.000152%3,022,143.192,497,639 NS
DOMODomo Inc0.000152%3,018,432.96986,416 NS
ALDXAldeyra Therapeutics Inc0.000151%3,015,691.771,784,433 NS
BOOMDMC Global Inc0.000151%3,010,020.19577,739 NS
NKTXNkarta Inc0.00015%2,987,386.531,415,823 NS
RCMTRCM Technologies Inc0.00015%2,982,337.38155,817 NS
Great Ajax CorpGreat Ajax Corp0.000149%2,972,446.1221,990 NS
INVEIdentiv Inc0.000149%2,960,218.3800,059 NS
BDSXBiodesix Inc0.000149%2,959,450204,100 NS
VTVTvTv Therapeutics Inc0.000148%2,948,562.3674,346 NS
STHOStar Holdings0.000147%2,937,409.81388,033 NS
TLYSTilly's Inc0.000147%2,928,490.2723,084 NS
America's Car-Mart Inc/TXAmerica's Car-Mart Inc/TX0.000146%2,905,533.39228,243 NS
LAWCS Disco Inc0.000146%2,901,717.84759,612 NS
SPROSpero Therapeutics Inc0.000145%2,894,055.841,236,776 NS
BMEABiomea Fusion Inc0.000145%2,887,460.371,887,229 NS
KEQUKewaunee Scientific Corp0.000145%2,885,122.7684,188 NS
GNLXGenelux Corp0.000145%2,882,524.921,191,126 NS
GPROGoPro Inc0.000144%2,866,912.513,723,263 NS
Coeptis Therapeutics Holdings IncCoeptis Therapeutics Holdings Inc0.000144%2,858,283.78254,749 NS
SRZNSurrozen Inc0.000143%2,844,107.5597,635 NS
HURATuHURA Biosciences Inc0.000143%2,840,132.141,586,666 NS
KPTIKaryopharm Therapeutics Inc0.000142%2,835,848.53509,129 NS
DTCXDatacentrex Inc0.000142%2,832,330.451,317,363 NS
PROVProvident Financial Holdings Inc0.000141%2,814,809.92174,616 NS

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