ETF:VTI | ETF Holdings Page 33 | VANGUARD TOTAL STOCK MARKET INDEX FUND

VTI ETF holdings Page 33

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 3,201–3,300 of 3,524

TickerIssuerWeightValue (USD)Balance
BATLBattalion Oil Corp0.000043%852,727.2218,648 NS
VANIVivani Medical Inc0.000043%849,075849,075 NS
ECORElectroCore Inc0.000043%848,421140,700 NS
USIOUsio Inc0.000042%844,860.84741,106 NS
VERUVeru Inc0.000042%841,214.4380,640 NS
XTNTXtant Medical Holdings Inc0.000042%836,590.431,499,266 NS
Vivid Seats IncVivid Seats Inc0.000042%831,241.5140,650 NS
ELUTElutia Inc0.000041%824,927.25785,645 NS
Cara Therapeutics IncCara Therapeutics Inc0.000041%821,794.68258,426 NS
DXLGDestination XL Group Inc0.000041%815,570.071,599,157 NS
CRWSCrown Crafts Inc0.000041%807,028.18313,409 NS
MKTWMarketWise Inc0.00004%805,802.443,045 NS
DOMHDominari Holdings Inc0.00004%805,333.75247,795 NS
New Issuer: BB Company ID:71545298New Issuer: BB Company ID:715452980.00004%792,893.88233,892 NS
AWREAware Inc/MA0.00004%789,073.75631,259 NS
PPHCPublic Policy Holding Co Inc0.00004%788,109.2460,253 NS
Inhibrx IncInhibrx Inc0.00004%787,540.011,216,278 NS
ACTUActuate Therapeutics Inc0.00004%787,434.9287,385 NS
INUVInuvo Inc0.000039%781,387.74377,482 NS
KYNBKyntra Bio Inc0.000039%774,133.62114,179 NS
BEEPMobile Infrastructure Corp0.000039%770,604.8344,020 NS
Spectral AI IncSpectral AI Inc0.000039%769,736.1523,630 NS
ACRVAcrivon Therapeutics Inc0.000038%758,301.99545,541 NS
LITSLite Strategy Inc0.000038%756,709.76652,336 NS
CVVCVD Equipment Corp0.000038%755,893.62182,583 NS
ATRAAtara Biotherapeutics Inc0.000038%750,395.58158,646 NS
MBBCMarathon Bancorp Inc0.000038%749,56255,400 NS
SLNGStabilis Solutions Inc0.000037%741,689.08166,298 NS
Jasper Therapeutics IncJasper Therapeutics Inc0.000037%730,217.19833,391 NS
Children's Place Inc/TheChildren's Place Inc/The0.000037%729,066.24216,984 NS
HOWLWerewolf Therapeutics Inc0.000037%727,480.09873,745 NS
TOONKartoon Studios Inc0.000036%722,832.241,158,385 NS
CTSOCytoSorbents Corp0.000036%721,671.771,274,363 NS
OneMedNet CorpOneMedNet Corp0.000036%718,368.5845,040 NS
N/AN/A0.000036%716,577.021,885,729 NC
RLYBRallybio Corp0.000036%712,845.979,470 NS
TELATela Bio Inc0.000036%712,800.361,149,678 NS
Nuburu IncNuburu Inc0.000036%711,781.494,014,560 NS
RMTIRockwell Medical Inc0.000036%710,984.52795,997 NS
BRFHBarfresh Food Group Inc0.000035%702,280.82249,922 NS
BAFNBayfirst Financial Corp0.000035%698,658.75110,025 NS
NTHINeonc Technologies Holdings Inc0.000034%683,874.5797,557 NS
Great Elm Group IncGreat Elm Group Inc0.000034%683,167.1365,330 NS
OESXOrion Energy Systems Inc0.000034%680,828.5277,898 NS
BEEMBeam Global0.000034%676,191.18459,994 NS
LanzaTech Global IncLanzaTech Global Inc0.000034%676,134.3242,232 NS
IPWRIdeal Power Inc0.000033%665,482.99235,153 NS
NMTCNeuroOne Medical Technologies Corp0.000033%663,575.93854,573 NS
N/AN/A0.000033%663,311.752,653,247 NC
VTGNVistagen Therapeutics Inc0.000033%663,200.031,160,455 NS
PEDPEDEVCO Corp0.000033%661,87241,367 NS
SKILSkillsoft Corp0.000033%658,321.95153,455 NS
Air T IncAir T Inc0.000033%651,678.7230,856 NS
QRHCQuest Resource Holding Corp0.000033%651,439.32547,428 NS
GAMEGameSquare Holdings Inc0.000032%646,879.52,395,850 NS
Farmer Bros CoFarmer Bros Co0.000032%636,228.09500,967 NS
FAM6N/A0.000032%627,409.97194 NC
EzFill Holdings IncEzFill Holdings Inc0.000031%620,5321,551,330 NS
SIEBSiebert Financial Corp0.000031%618,768322,275 NS
PASGPassage Bio Inc0.000031%618,297.478,764 NS
Precision Optics Corp Inc/MassPrecision Optics Corp Inc/Mass0.000031%614,406.84139,956 NS
UPLDUpland Software Inc0.000031%612,452.93919,599 NS
SCWO374Water Inc0.000031%608,171.8214,145 NS
CELUCelularity Inc0.00003%605,215.17455,049 NS
PDSBPDS Biotechnology Corp0.00003%602,229.71995,421 NS
HBIOHarvard Bioscience Inc0.00003%601,298.9123,470 NS
UGUnited-Guardian Inc0.00003%598,450.3290,264 NS
HITHealth In Tech Inc0.00003%588,694.2405,996 NS
Fluent IncFluent Inc0.000029%584,252.4184,890 NS
CREXCreative Realities Inc0.000029%573,847.04166,816 NS
MYOMyomo Inc0.000029%572,668.29847,644 NS
Offerpad Solutions IncOfferpad Solutions Inc0.000029%569,294.76868,887 NS
SLSNSolesence Inc0.000028%566,793.24597,505 NS
NTIPNetwork-1 Technologies Inc0.000028%564,539.04392,041 NS
Reading International IncReading International Inc0.000028%562,278.96497,592 NS
INMBInmune Bio Inc0.000028%554,002.84490,268 NS
NCSMNCS Multistage Holdings Inc0.000028%552,169.368,929 NS
TCBSTexas Community Bancshares Inc0.000028%548,693.3631,336 NS
TPCSTechPrecision Corp0.000027%547,639.4181,940 NS
GLOOGloo Holdings Inc0.000027%543,549.24113,004 NS
MHHMastech Digital Inc0.000027%543,008.0895,432 NS
DAIOData I/O Corp0.000027%528,215.93208,781 NS
LVLULulu's Fashion Lounge Holdings Inc0.000026%524,725.4441,252 NS
INKTMiNK Therapeutics Inc0.000026%519,023.749,290 NS
LIVELive Ventures Inc0.000026%517,081.544,195 NS
LGLLGL Group Inc/The0.000026%507,926.8573,083 NS
CVMCEL-SCI Corp0.000025%503,780.61156,941 NS
Qurate Retail IncQurate Retail Inc0.000025%500,291.33230,549 NS
FLUXFlux Power Holdings Inc0.000025%499,915.77467,211 NS
Crawford & CoCrawford & Co0.000025%499,596.750,110 NS
BRLTBrilliant Earth Group Inc0.000025%496,145.86373,042 NS
FUSBFirst US Bancshares Inc0.000025%495,56732,390 NS
TXMDTherapeuticsMD Inc0.000025%493,520.34244,317 NS
BOLDBoundless Bio Inc0.000025%489,699.1445,181 NS
Spectrum Pharmaceuticals IncSpectrum Pharmaceuticals Inc0.000024%487,914.475,990,797 NS
DYAIDyadic International Inc0.000024%478,574.14583,627 NS
Flanigan's Enterprises IncFlanigan's Enterprises Inc0.000024%473,899.4414,413 NS
DXRDaxor Corp0.000024%469,281.648,280 NS
AYTUAytu BioPharma Inc0.000023%461,370169,000 NS
Ashford Hospitality Trust IncAshford Hospitality Trust Inc0.000023%459,204.82167,593 NS

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