ETF:VXF | ETF Holdings Page 11 | VANGUARD EXTENDED MARKET INDEX FUND

VXF ETF holdings Page 11

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 EXTENDED MARKET INDEX FUND
Report date2026-03-31
Reported holdings3,369
SEC series IDS000002841

Positions 1,001–1,100 of 3,369

TickerIssuerWeightValue (USD)Balance
NVTSNavitas Semiconductor Corp0.023837%19,428,093.32,215,290 NS
Liberty Media Corp-Liberty Formula OneLiberty Media Corp-Liberty Formula One0.023727%19,338,151.68247,671 NS
HMNHorace Mann Educators Corp0.023712%19,326,357.6452,820 NS
Dillard's IncDillard's Inc0.023637%19,265,232.1433,674 NS
BWINBaldwin Insurance Group Inc/The0.023558%19,200,900.7875,155 NS
CHCOCity Holding Co0.023553%19,196,346.24160,612 NS
WTTRSelect Water Solutions Inc0.023551%19,194,676.21,254,554 NS
CNSCohen & Steers Inc0.023522%19,171,387.35306,497 NS
FLOFlowers Foods Inc0.0235%19,153,429.12,350,114 NS
Liberty Global LtdLiberty Global Ltd0.023484%19,140,368.131,583,157 NS
Sunstone Hotel Investors IncSunstone Hotel Investors Inc0.023409%19,079,026.392,117,539 NS
SPBSpectrum Brands Holdings Inc0.023384%19,059,041.1258,603 NS
CRVLCorVel Corp0.023364%19,042,409.95348,443 NS
ADUSAddus HomeCare Corp0.023352%19,033,051.4203,236 NS
MGNIMagnite Inc0.023323%19,008,795.961,600,067 NS
KWRQuaker Chemical Corp0.023231%18,934,391.22152,414 NS
SMASmartstop Self Storage REIT Inc0.023024%18,765,696.92619,739 NS
UNITUniti Group Inc0.022981%18,730,162.221,996,819 NS
DCODucommun Inc0.022979%18,728,708153,514 NS
STOKStoke Therapeutics Inc0.02294%18,696,896.24574,229 NS
WTWisdomTree Inc0.022907%18,669,749.281,282,263 NS
CRKComstock Resources Inc0.022877%18,645,449.72884,509 NS
RAMPLiveRamp Holdings Inc0.022874%18,643,029.6702,980 NS
Stellar Bancorp IncStellar Bancorp Inc0.022804%18,585,908.53507,673 NS
FRSHFreshworks Inc0.022797%18,580,199.442,313,848 NS
VRDNViridian Therapeutics Inc0.022746%18,539,065.8947,805 NS
IPARInterparfums Inc0.022745%18,538,445.52204,078 NS
AXGNAxogen Inc0.022704%18,504,330.81558,537 NS
HCI Group IncHCI Group Inc0.022688%18,491,819.83119,603 NS
ZDZiff Davis Inc0.022688%18,491,478.28440,693 NS
SMRNuScale Power Corp0.022681%18,486,048.21,705,355 NS
ASGN IncASGN Inc0.022669%18,475,973.32477,292 NS
LendingClub CorpLendingClub Corp0.022664%18,471,926.481,289,939 NS
Thermon Group Holdings IncThermon Group Holdings Inc0.022647%18,457,840.8366,227 NS
TPBTurning Point Brands Inc0.022636%18,449,297.46212,574 NS
INVAInnoviva Inc0.022591%18,412,685.2790,244 NS
ATENA10 Networks Inc0.022587%18,409,323.12796,251 NS
ADPTAdaptive Biotechnologies Corp0.022584%18,406,892.61,326,145 NS
HLMNHillman Solutions Corp0.022413%18,267,233.922,195,581 NS
Pitney Bowes IncPitney Bowes Inc0.022395%18,252,622.051,651,821 NS
Soleno Therapeutics IncSoleno Therapeutics Inc0.022388%18,246,733.92545,004 NS
WORWorthington Enterprises Inc0.022262%18,144,563.58347,997 NS
VCELVericel Corp0.022259%18,141,628.1563,930 NS
Greenbrier Cos Inc/TheGreenbrier Cos Inc/The0.022216%18,107,230.05343,917 NS
SONOSonos Inc0.022196%18,090,241.21,350,018 NS
Pilgrim's Pride CorpPilgrim's Pride Corp0.022072%17,989,883.52476,427 NS
AMSCAmerican Superconductor Corp0.022069%17,986,739.1531,366 NS
ICHRIchor Holdings Ltd0.021993%17,924,994.14384,574 NS
Eos Energy Enterprises IncEos Energy Enterprises Inc0.021976%17,910,9323,611,075 NS
GTMZoomInfo Technologies Inc0.02195%17,890,276.32,991,685 NS
OIO-I Glass Inc0.021943%17,884,520.171,701,667 NS
KOSKosmos Energy Ltd0.021894%17,844,6816,418,950 NS
RXRXRecursion Pharmaceuticals Inc0.021711%17,695,648.855,764,055 NS
ADNTAdient PLC0.021695%17,681,910.89874,909 NS
NVRIEnviri Corp0.021672%17,663,552.46900,283 NS
DEIDouglas Emmett Inc0.021662%17,655,727.021,874,281 NS
GABCGerman American Bancorp Inc0.021479%17,506,416.06418,914 NS
NCNOnCino Inc0.021433%17,468,447.641,166,118 NS
Day One Biopharmaceuticals IncDay One Biopharmaceuticals Inc0.021414%17,452,953.28814,037 NS
STBAS&T Bancorp Inc0.021393%17,435,747.92416,824 NS
MQMarqeta Inc0.021388%17,432,391.64,272,645 NS
ECPGEncore Capital Group Inc0.021387%17,431,200.92248,591 NS
OGNOrganon & Co0.021349%17,400,123.382,904,862 NS
AORTArtivion Inc0.021179%17,261,496.16471,368 NS
TCBKTriCo Bancshares0.021128%17,220,366.66362,229 NS
KODKodiak Sciences Inc0.021003%17,118,548.4449,070 NS
BigBear.ai Holdings IncBigBear.ai Holdings Inc0.020991%17,108,579.844,860,392 NS
GRALGRAIL Inc0.020966%17,088,353.76330,657 NS
Veris Residential IncVeris Residential Inc0.020958%17,081,803.32905,236 NS
John Wiley & Sons IncJohn Wiley & Sons Inc0.020901%17,035,538.7447,127 NS
HLFHerbalife Ltd0.020828%16,975,251.21,153,210 NS
BKEBuckle Inc/The0.020741%16,904,744.08335,678 NS
ARLOArlo Technologies Inc0.020676%16,851,450.61,184,220 NS
WDWalker & Dunlop Inc0.020638%16,820,641.32379,014 NS
Arbor Realty Trust IncArbor Realty Trust Inc0.020613%16,800,105.422,179,002 NS
AINAlbany International Corp0.020561%16,758,365.8320,980 NS
OMCLOmnicell Inc0.020495%16,704,386.78500,431 NS
NRIXNurix Therapeutics Inc0.020493%16,702,660.51,077,591 NS
MLYSMineralys Therapeutics Inc0.020459%16,674,545.16615,524 NS
EZPWEZCORP Inc0.02043%16,651,081.98656,071 NS
Trump Media & Technology Group CorpTrump Media & Technology Group Corp0.020413%16,637,044.81,792,785 NS
UFPTUFP Technologies Inc0.02037%16,602,748.885,758 NS
HTHHilltop Holdings Inc0.020362%16,595,441.82463,301 NS
NTLAIntellia Therapeutics Inc0.020312%16,555,183.921,291,356 NS
PRGOPerrigo Co PLC0.020309%16,552,863.91,541,235 NS
OCULOcular Therapeutix Inc0.02026%16,512,307.351,949,505 NS
Ellington Financial IncEllington Financial Inc0.020207%16,469,793.61,389,856 NS
ECVTEcovyst Inc0.0201%16,381,916.761,273,866 NS
SEBSeaboard Corp0.020027%16,323,155.742,887 NS
CCSCentury Communities Inc0.019994%16,296,206.9284,005 NS
TILEInterface Inc0.019943%16,254,693652,275 NS
YELPYelp Inc0.019888%16,209,722.22655,203 NS
LKFNLakeland Financial Corp0.019878%16,201,357.76282,352 NS
ARDXArdelyx Inc0.019863%16,189,149.042,702,696 NS
Diversified Healthcare TrustDiversified Healthcare Trust0.01977%16,113,334.482,426,707 NS
Kohl's CorpKohl's Corp0.01975%16,097,226.31,247,847 NS
Brightsphere Investment Group IncBrightsphere Investment Group Inc0.019699%16,055,097.24295,022 NS
NWLNewell Brands Inc0.019671%16,032,571.174,674,219 NS
Pebblebrook Hotel TrustPebblebrook Hotel Trust0.019597%15,972,567.391,264,653 NS
UPWKUpwork Inc0.019557%15,939,708.881,454,353 NS

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