ETF:VTI | ETF Holdings Page 35 | VANGUARD TOTAL STOCK MARKET INDEX FUND

Companies included in VTI Page 35

This is VTI's own dated portfolio constitution. Share counts are the calculation basis for constituent revenue and earnings analytics; rounded weights are reference values only. This page shows positions 3,401–3,500 of 3,524.

TickerIssuerShares ownedUnitReported weight
TPSTTempest Therapeutics Inc104,944NS0.000009%
CVKDCadrenal Therapeutics Inc33,278NS0.000009%
GOAIEva Live Inc45,117NS0.000008%
MPTIM-Tron Industries Inc78,163NS0.000008%
GIFTGiftify Inc162,064NS0.000008%
CHRSCoherus Oncology Inc1,709,153NS0.000008%
MODDModular Medical Inc28,596.9002NS0.000008%
CISOCISO Global Inc433,900NS0.000008%
Local Bounti CorpLocal Bounti Corp127,432NS0.000007%
Verde Clean Fuels IncVerde Clean Fuels Inc86,608NS0.000007%
INLXIntellinetics Inc19,545NS0.000007%
NEUPNeuphoria Therapeutics Inc34,982NS0.000007%
AMSAmerican Shared Hospital Services98,075NS0.000007%
DWSNDawson Geophysical Co40,336NS0.000007%
LNAILunai Bioworks Inc327,042NS0.000007%
XOSXos Inc79,636NS0.000007%
CLRBCellectar Biosciences Inc50,770NS0.000006%
BNKKBonk Inc49,228NS0.000006%
PODCPodcastOne Inc62,706NS0.000006%
MultiSensor AI Holdings IncMultiSensor AI Holdings Inc542,779NS0.000006%
Altisource Portfolio Solutions SAAltisource Portfolio Solutions SA582,728NS0.000006%
Royalty Management Holding CorpRoyalty Management Holding Corp40,644NS0.000006%
CRISCuris Inc215,599NS0.000006%
Skillz IncSkillz Inc43,740NS0.000006%
Luby's IncLuby's Inc449,752NS0.000006%
NSYSNortech Systems Inc9,179NS0.000006%
TTRXTurn Therapeutics Inc33,874NS0.000005%
MGRXMangoceuticals Inc297,628NS0.000005%
AIRIAir Industries Group32,062NS0.000005%
QT Imaging Holdings IncQT Imaging Holdings Inc17,381NS0.000005%
WKSPWorksport Ltd90,344NS0.000005%
DTSTData Storage Corp23,118NS0.000004%
P3 Health Partners IncP3 Health Partners Inc28,358NS0.000004%
Electro-Sensors IncElectro-Sensors Inc18,604NS0.000004%
GYREGyre Therapeutics Inc826,502NS0.000004%
JVACoffee Holding Co Inc19,302NS0.000004%
BTOCArmlogi Holding Corp321,257NS0.000004%
FG Nexus IncFG Nexus Inc14,902NS0.000004%
KFFBKentucky First Federal Bancorp18,651NS0.000004%
Chinook Therapeutics IncChinook Therapeutics Inc415,255NS0.000004%
AIREreAlpha Tech Corp301,825NS0.000004%
Inotiv IncInotiv Inc266,700NS0.000004%
Tevogen Bio Holdings IncTevogen Bio Holdings Inc15,102NS0.000003%
BCDABioCardia Inc55,568NS0.000003%
New Issuer: BB Company ID:33435619New Issuer: BB Company ID:3343561950,861NS0.000003%
ANYSphere 3D Corp44,041NS0.000003%
MGLDMarygold Companies Inc/The53,168NS0.000003%
BioVie IncBioVie Inc39,365NS0.000003%
N/AN/A55,219NC0.000003%
FBLGFibrobiologics Inc39,896.55NS0.000003%
System1 IncSystem1 Inc17,069NS0.000003%
Allied Gaming & Entertainment IncAllied Gaming & Entertainment Inc184,779NS0.000003%
Bullfrog AI Holdings IncBullfrog AI Holdings Inc27,993NS0.000002%
RVPHReviva Pharmaceuticals Holdings Inc59,608NS0.000002%
CALCCalciMedica Inc80,154NS0.000002%
SRAX IncSRAX Inc590,641NS0.000002%
New York REIT Liquidating LLCNew York REIT Liquidating LLC19,100NS0.000002%
New Issuer: BB Company ID:69697618New Issuer: BB Company ID:6969761884,627NS0.000002%
New Issuer: BB Company ID:71732550New Issuer: BB Company ID:7173255011,700NS0.000001%
NYCAmerican Strategic Investment Co2,738NS0.000001%
Urban One IncUrban One Inc3,825NS0.000001%
ATHRAether Holdings Inc9,256NS0.000001%
SHIMShimmick Corp5,900NS0.000001%
IPWiPower Inc13,389NS0.000001%
XCURExicure Inc4,100NS0.000001%
INTGInterGroup Corp/The460NS0.000001%
NXPLNextPlat Corp44,512NS0.000001%
SNALSnail Inc30,903NS0.000001%
SNESSenestech Inc8,103NS0.000001%
JUNSJupiter Neurosciences Inc33,100NS0.000001%
Q32 Bio IncQ32 Bio Inc1,354,738NS0.000001%
CKXCKX Lands Inc1,131NS0.000001%
Alexza Pharmaceuticals IncAlexza Pharmaceuticals Inc327,391NS0.000001%
ARAIArrive AI Inc13,000NS0.000001%
Wellgistics Health IncWellgistics Health Inc101,276NS0%
Oncternal Therapeutics IncOncternal Therapeutics Inc8,933NS0%
DNTHDianthus Therapeutics Inc1,432,921NS0%
ALOYREalloys Inc27,277NS0%
CLROClearOne Inc24,648NS0%
Reading International IncReading International Inc600NS0%
N/AN/A500,000NC0%
ADGMAdagio Medical Holdings Inc4,000NS0%
F-star Therapeutics IncF-star Therapeutics Inc61,021NS0%
F-star Therapeutics IncF-star Therapeutics Inc61,021NS0%
IMNNImunon Inc1,089NS0%
New Issuer: BB Company ID:71496967New Issuer: BB Company ID:71496967391NS0%
Presidio Property Trust IncPresidio Property Trust Inc110,319NS0%
ARECAmerican Resources Corp373,321NS0%
PULMPulmatrix Inc1,300NS0%
Novo Nordisk A/SNovo Nordisk A/S2,352NS0%
Adapti IncAdapti Inc1,529NS0%
PFEPfizer Inc245NS0%
ABIOMED IncABIOMED Inc264NS0%
TRAWTraws Pharma Inc365,661NS0%
Carisma Therapeutics IncCarisma Therapeutics Inc6,822,627NS0%
Pivotal Software IncPivotal Software Inc2,226,463NS0%
Meta Materials IncMeta Materials Inc1,659,601NS0%
Sterling Bancorp Inc/MISterling Bancorp Inc/MI1,048,885NS0%
IMAImageneBio Inc1,028,743NS0%
ReElement Technologies CorpReElement Technologies Corp696,874NS0%

SEC N-PORT snapshot as of .

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