ETF:VXF | ETF Holdings Page 30 | VANGUARD EXTENDED MARKET INDEX FUND

VXF ETF holdings Page 30

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 2,901–3,000 of 3,369

TickerIssuerWeightValue (USD)Balance
AXILAXIL Brands Inc0.000286%233,42233,346 NS
U-Haul Holding CoU-Haul Holding Co0.000285%232,497.484,866 NS
HITHealth In Tech Inc0.000284%231,244.55159,479 NS
RYMRYTHM Inc0.000282%230,18413,344 NS
OneMedNet CorpOneMedNet Corp0.000282%229,973.3270,525 NS
DAIOData I/O Corp0.000281%229,258.4890,616 NS
Issuer Direct CorpIssuer Direct Corp0.000274%223,378.3225,212 NS
INMBInmune Bio Inc0.000273%222,324.11196,747 NS
AYTUAytu BioPharma Inc0.000272%221,528.5881,146 NS
TXMDTherapeuticsMD Inc0.000271%220,947.6109,380 NS
CELUCelularity Inc0.000271%220,854.48166,056 NS
GIFTGiftify Inc0.000271%220,788220,788 NS
BEEMBeam Global0.00027%219,944.34149,622 NS
TEADTeads Holding Co0.000268%218,247.53331,381 NS
NOMANomadar Corp0.000266%216,872.453,155 NS
Royalty Management Holding CorpRoyalty Management Holding Corp0.000265%215,916.0372,699 NS
CUECue Biopharma Inc0.000264%215,515.62937,432 NS
Fold Holdings IncFold Holdings Inc0.000263%214,535.64162,527 NS
NHTCNatural Health Trends Corp0.000262%213,725.1676,604 NS
bioAffinity Technologies IncbioAffinity Technologies Inc0.000261%212,729.6955,543 NS
SKILSkillsoft Corp0.00026%212,097.649,440 NS
MGLDMarygold Companies Inc/The0.00026%212,027.46185,989 NS
TPSTTempest Therapeutics Inc0.000259%211,468.16128,944 NS
Reading International IncReading International Inc0.000259%211,012.81186,737 NS
OTLKOutlook Therapeutics Inc0.000259%210,812.261,024,355 NS
Lakeside Holding LtdLakeside Holding Ltd0.000253%206,085.48295,675 NS
Spectrum Pharmaceuticals IncSpectrum Pharmaceuticals Inc0.000252%205,588.522,524,293 NS
ARLAmerican Realty Investors Inc0.000252%205,562.2513,305 NS
IPWRIdeal Power Inc0.000252%205,370.2772,569 NS
NIXXNixxy Inc0.000252%205,126.46192,607 NS
VNRXVolitionRX Ltd0.000251%204,761.951,013,673 NS
Southland Holdings IncSouthland Holdings Inc0.00025%203,881.6156,832 NS
SHIMShimmick Corp0.000249%202,984.0355,309 NS
INTGInterGroup Corp/The0.000249%202,720.565,403 NS
CLIRClearSign Technologies Corp0.000248%202,317.0846,403 NS
NEPHNephros Inc0.000248%201,871.1667,742 NS
BRLTBrilliant Earth Group Inc0.000247%201,201.07151,279 NS
MYOMyomo Inc0.000246%200,437.01296,680 NS
FLUXFlux Power Holdings Inc0.000244%198,801.72185,796 NS
YHCLQR House Inc0.00024%195,271.24200,114 NS
SLSNSolesence Inc0.000239%195,091.92205,663 NS
HBIOHarvard Bioscience Inc0.000238%194,035.4139,843 NS
Offerpad Solutions IncOfferpad Solutions Inc0.000237%193,159.51294,810 NS
Flanigan's Enterprises IncFlanigan's Enterprises Inc0.000237%193,137.125,874 NS
Greenland Mines LtdGreenland Mines Ltd0.000234%190,501.08577,276 NS
Meridian Holdings IncMeridian Holdings Inc0.000233%189,907.6626,303 NS
UPLDUpland Software Inc0.000232%189,260.55284,175 NS
IGCIGC Pharma Inc0.000232%188,948.67718,436 NS
NEONNeonode Inc0.000232%188,736.8134,812 NS
LGVNLongeveron Inc0.000231%187,961.28180,732 NS
ALLRAllarity Therapeutics Inc0.00023%187,256.55171,795 NS
Dragonfly Energy Holdings CorpDragonfly Energy Holdings Corp0.000227%184,998.54106,321 NS
ABVC BioPharma IncABVC BioPharma Inc0.000227%184,875.84190,574 NS
Nutriband IncNutriband Inc0.000227%184,763.7352,341 NS
GTBPGT Biopharma Inc0.000226%184,410.19451,875 NS
AWREAware Inc/MA0.000226%183,823.75147,059 NS
USIOUsio Inc0.000225%183,600.42161,053 NS
SAFXXCF Global Inc0.000225%183,557.39502,209 NS
Stardust Power IncStardust Power Inc0.000225%182,996.7677,541 NS
PEDPEDEVCO Corp0.000224%182,91211,432 NS
LSFLaird Superfood Inc0.000223%182,057.784,678 NS
Vroom IncVroom Inc0.00022%179,205.8413,464 NS
PSQ Holdings IncPSQ Holdings Inc0.000215%175,238.14330,638 NS
ARKRArk Restaurants Corp0.000214%174,207.3626,556 NS
LEXXLexaria Bioscience Corp0.000213%173,388.54222,293 NS
PPHCPublic Policy Holding Co Inc0.000211%172,342.0813,176 NS
Qurate Retail IncQurate Retail Inc0.00021%170,969.9678,788 NS
Urban-Gro IncUrban-Gro Inc0.000206%168,117.127,614 NS
QRHCQuest Resource Holding Corp0.000206%168,031.57141,203 NS
BOLDBoundless Bio Inc0.000205%167,212.1152,011 NS
Allbirds IncAllbirds Inc0.000204%166,516.2155,321 NS
MRKRMarker Therapeutics Inc0.000204%166,498.8128,076 NS
Ashford Hospitality Trust IncAshford Hospitality Trust Inc0.000203%165,745.3460,491 NS
New Issuer: BB Company ID:71496967New Issuer: BB Company ID:714969670.000201%163,492.521,799 NS
Jerash Holdings US IncJerash Holdings US Inc0.000198%161,053.9255,728 NS
NTIPNetwork-1 Technologies Inc0.000194%158,245.92109,893 NS
VYNE Therapeutics IncVYNE Therapeutics Inc0.000194%158,072.81264,557 NS
Electro-Sensors IncElectro-Sensors Inc0.000193%157,558.4235,327 NS
SLNGStabilis Solutions Inc0.000193%157,259.635,260 NS
ZSTKZeroStack Corp0.000193%157,219.225,440 NS
New Issuer: BB Company ID:69697618New Issuer: BB Company ID:696976180.000193%157,077.76427,190 NS
VHUBVenHub Global Inc0.000193%156,960.75254,311 NS
HHSHarte Hanks Inc0.000193%156,959.1569,145 NS
KFFBKentucky First Federal Bancorp0.000192%156,769.436,458 NS
United Homes Group IncUnited Homes Group Inc0.000189%154,153.56132,891 NS
Liberty Global LtdLiberty Global Ltd0.000189%153,778.9512,195 NS
NYCAmerican Strategic Investment Co0.000189%153,760.4418,047 NS
NNVCNanoViricides Inc0.000187%152,157.43166,821 NS
Lixte Biotechnology Holdings IncLixte Biotechnology Holdings Inc0.000186%151,900.5349,479 NS
MLSSMilestone Scientific Inc0.000185%151,103.23524,664 NS
CTXRCitius Pharmaceuticals Inc0.000185%150,964.2167,738 NS
RMCFRocky Mountain Chocolate Factory Inc0.000185%150,637.566,950 NS
AUIDauthID Inc0.000182%148,714.8114,396 NS
LVLULulu's Fashion Lounge Holdings Inc0.000182%148,200.7211,651 NS
UUUUniversal Safety Products Inc0.00018%147,097.526,745 NS
Stran & Co IncStran & Co Inc0.000178%145,459.0588,157 NS
MODDModular Medical Inc0.000177%144,259.127,321.8 NS
T3 Defense IncT3 Defense Inc0.000175%142,272.87198,345 NS
AAMEAtlantic American Corp0.000174%141,722.2560,825 NS
LLYEli Lilly & Co0.000169%138,018.4172,523 NS

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