ETF:VXF | ETF Holdings Page 17 | VANGUARD EXTENDED MARKET INDEX FUND

VXF ETF holdings Page 17

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 1,601–1,700 of 3,369

TickerIssuerWeightValue (USD)Balance
SPRYARS Pharmaceuticals Inc0.007235%5,896,565.51734,317 NS
ERIIEnergy Recovery Inc0.007226%5,889,832.23584,889 NS
SDSandRidge Energy Inc0.007226%5,889,296.35361,085 NS
BIOABioAge Labs Inc0.007215%5,880,645.21336,229 NS
WLFCWillis Lease Finance Corp0.007188%5,858,306.0834,408 NS
VTSVitesse Energy Inc0.00717%5,843,670.08321,788 NS
GSBCGreat Southern Bancorp Inc0.007164%5,839,019.9692,492 NS
Hovnanian Enterprises IncHovnanian Enterprises Inc0.00715%5,827,765.9552,545 NS
LPTHLightPath Technologies Inc0.007147%5,824,852.29580,743 NS
MLRMiller Industries Inc/TN0.007142%5,821,335.55127,801 NS
URGUr-Energy Inc0.007139%5,818,676.483,905,152 NS
UHTUniversal Health Realty Income Trust0.007135%5,815,215.24143,692 NS
HZOMarineMax Inc0.007132%5,812,677.42214,807 NS
SPFISouth Plains Financial Inc0.00713%5,810,985.3138,687 NS
BANDBandwidth Inc0.007123%5,805,453.06325,783 NS
DCDakota Gold Corp0.007089%5,777,548.451,144,069 NS
Alexander's IncAlexander's Inc0.007067%5,760,209.424,387 NS
CDNLCardinal Infrastructure Group Inc0.007058%5,752,314.65145,059 NS
CARECarter Bankshares Inc0.007052%5,747,307.28246,454 NS
RLMDRelmada Therapeutics Inc0.007045%5,741,839.92824,977 NS
AMCAMC Entertainment Holdings Inc0.007035%5,733,562.525,850,574 NS
ACNBACNB Corp0.007013%5,716,204.57119,411 NS
Flushing Financial CorpFlushing Financial Corp0.006995%5,700,940.8371,155 NS
CEVACEVA Inc0.006993%5,699,211.96305,097 NS
Strive IncStrive Inc0.006991%5,697,692.64568,632 NS
SBGISinclair Inc0.006987%5,694,855.18440,097 NS
ETDEthan Allen Interiors Inc0.006985%5,692,661.1255,735 NS
NAVNNavan Inc0.006961%5,673,882.84428,541 NS
NRIMNorthrim BanCorp Inc0.006961%5,673,553.6247,970 NS
IRWDIronwood Pharmaceuticals Inc0.006943%5,658,621.931,612,143 NS
CNNECannae Holdings Inc0.006941%5,657,336.79497,567 NS
CASSCass Information Systems Inc0.006928%5,646,357.36128,268 NS
CRMDCorMedix Inc0.006907%5,629,622.95829,105 NS
SERVServe Robotics Inc0.006905%5,628,121.16666,839 NS
HSTMHealthStream Inc0.006893%5,618,436.61271,291 NS
CWCOConsolidated Water Co Ltd0.00689%5,615,827.2169,560 NS
PFISPeoples Financial Services Corp0.006863%5,593,463.72104,884 NS
PKEPark Aerospace Corp0.006857%5,588,887.74204,123 NS
CPSCooper-Standard Holdings Inc0.006854%5,586,039.84200,432 NS
First Foundation IncFirst Foundation Inc0.00685%5,583,276.2946,318 NS
MLABMesa Laboratories Inc0.006812%5,552,333.962,795 NS
RIGLRigel Pharmaceuticals Inc0.00678%5,526,110.72204,368 NS
ASPIASP Isotopes Inc0.006776%5,522,860.721,249,516 NS
MBUUMalibu Boats Inc0.006736%5,490,115.2211,810 NS
SIBNSI-BONE Inc0.00673%5,485,398.45434,315 NS
NUTXNutex Health Inc0.006715%5,473,068.4857,587 NS
MNROMonro Inc0.006696%5,457,658.12340,253 NS
CLBKColumbia Financial Inc0.006682%5,445,855.14311,014 NS
TREELendingTree Inc0.006659%5,427,536126,575 NS
Northfield Bancorp IncNorthfield Bancorp Inc0.006658%5,426,371.64400,766 NS
OPKOPKO Health Inc0.006618%5,393,916.844,731,506 NS
MATVMativ Holdings Inc0.006613%5,389,536.9619,487 NS
PHRPhreesia Inc0.006611%5,387,988.04642,958 NS
ANGOAngioDynamics Inc0.006594%5,374,394.34472,682 NS
CTKBCytek Biosciences Inc0.006593%5,373,710.341,229,682 NS
TRCTejon Ranch Co0.006588%5,369,362.32284,998 NS
FWRGFirst Watch Restaurant Group Inc0.006583%5,365,141.68511,941 NS
Summit Hotel Properties IncSummit Hotel Properties Inc0.006561%5,347,280.641,209,792 NS
KFRCKforce Inc0.006529%5,321,387.6181,990 NS
IMXIInternational Money Express Inc0.006516%5,311,027.8336,141 NS
TCBXThird Coast Bancshares Inc0.006513%5,308,192.11140,317 NS
FORForestar Group Inc0.00649%5,289,891.36216,444 NS
AROWArrow Financial Corp0.006475%5,277,136.86157,198 NS
CIVBCivista Bancshares Inc0.006462%5,267,133.64231,116 NS
IDRIdaho Strategic Resources Inc0.006437%5,246,127.48163,329 NS
Midland States Bancorp IncMidland States Bancorp Inc0.006433%5,242,827.69234,999 NS
DMRADamora Therapeutics Inc0.006411%5,224,936.5201,735 NS
SANASana Biotechnology Inc0.006411%5,224,8961,814,200 NS
HTLDHeartland Express Inc0.006408%5,222,422.4502,156 NS
BDNBrandywine Realty Trust0.006398%5,215,029.151,924,365 NS
MDXGMiMedx Group Inc0.006388%5,206,491.051,318,099 NS
AVAHAveanna Healthcare Holdings Inc0.006372%5,193,364.12806,423 NS
RPCRidgepost Capital Inc0.006366%5,188,540.5714,675 NS
WOLFWolfspeed Inc0.006334%5,162,081.28316,304 NS
CARSCars.com Inc0.006333%5,161,973.32635,711 NS
Aerovate Therapeutics IncAerovate Therapeutics Inc0.006323%5,153,792.9366,818 NS
BETABeta Technologies Inc0.006312%5,144,500.2349,966 NS
GLREGreenlight Capital Re Ltd0.006304%5,138,069.3297,170 NS
RDVTRed Violet Inc0.006301%5,135,643.4148,429 NS
CTGOContango Silver & Gold Inc0.006271%5,110,781.25272,575 NS
FBIZFirst Business Financial Services Inc0.00627%5,110,245.0194,757 NS
FPIFarmland Partners Inc0.00625%5,094,040.3453,610 NS
KRUSKura Sushi USA Inc0.006232%5,079,037.0472,776 NS
OFIXOrthofix Medical Inc0.006194%5,048,749.9440,170 NS
CCSIConsensus Cloud Solutions Inc0.006168%5,026,945211,750 NS
VREXVarex Imaging Corp0.006165%5,024,439.77473,557 NS
YORWYork Water Co/The0.006134%4,999,798.65164,197 NS
BBWBuild-A-Bear Workshop Inc0.006134%4,999,724.8133,504 NS
AH Realty Trust IncAH Realty Trust Inc0.006133%4,999,021.5908,913 NS
KRNYKearny Financial Corp/MD0.006124%4,991,101.15661,073 NS
PSTLPostal Realty Trust Inc0.006116%4,984,714.88268,573 NS
Calavo Growers IncCalavo Growers Inc0.006088%4,962,331.27192,413 NS
NPNeptune Insurance Holdings Inc0.006082%4,956,700.33204,907 NS
DJCODaily Journal Corp0.006078%4,954,114.1410,271 NS
IPIIntrepid Potash Inc0.006077%4,953,322.01115,813 NS
IIIVI3 Verticals Inc0.00605%4,930,603.6220,510 NS
ARKOArko Corp0.006045%4,927,177.48886,183 NS
EBSEmergent BioSolutions Inc0.006042%4,924,506.2593,314 NS
Diamond Hill Investment Group IncDiamond Hill Investment Group Inc0.006016%4,903,645.328,493 NS
GICGlobal Industrial Co0.006011%4,898,869.92155,421 NS

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