ETF:VXF | ETF Holdings Page 31 | VANGUARD EXTENDED MARKET INDEX FUND

VXF ETF holdings Page 31

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 3,001–3,100 of 3,369

TickerIssuerWeightValue (USD)Balance
SNTISenti Biosciences Inc0.000168%136,924.31168,626 NS
INTZIntrusion Inc0.000168%136,524.04166,371 NS
NAIINatural Alternatives International Inc0.000167%136,326.0551,835 NS
US Energy CorpUS Energy Corp0.000167%135,712.89153,504 NS
EzFill Holdings IncEzFill Holdings Inc0.000164%133,756334,390 NS
Greenidge Generation Holdings IncGreenidge Generation Holdings Inc0.000164%133,740.2121,582 NS
Fusemachines IncFusemachines Inc0.000163%132,911.29140,187 NS
INABIN8bio Inc0.000161%131,520.6988,865.33 NS
QCLSQ/C Technologies Inc0.000159%129,412.9537,511 NS
Willamette Valley Vineyards IncWillamette Valley Vineyards Inc0.000157%127,788.1149,723 NS
Nauticus Robotics IncNauticus Robotics Inc0.000156%127,440.79255,546 NS
DBGIDigital Brands Group Inc0.000156%127,249.270,694 NS
ELVNEnliven Therapeutics Inc0.000156%127,182.98140,767 NS
LIVELive Ventures Inc0.000155%126,558.910,817 NS
AQMSAqua Metals Inc0.000153%125,040.229,215 NS
XCURExicure Inc0.000151%123,330.4128,883 NS
MXCMexco Energy Corp0.000151%122,803.5212,016 NS
COHNCohen & Co Inc0.00015%122,319.548,106 NS
SMSISmith Micro Software Inc0.00015%122,135.55169,727 NS
Estrella Immunopharma IncEstrella Immunopharma Inc0.000149%121,331.84114,464 NS
BNKKBonk Inc0.000149%121,083.1246,392 NS
BuzzFeed IncBuzzFeed Inc0.000147%119,809.6196,861 NS
AIRIAir Industries Group0.000146%119,177.3136,897 NS
CCELCryo-Cell International Inc0.000144%116,997.3532,957 NS
SCNXScienture Holdings Inc0.000143%116,305.94408,091 NS
CYNCYNGN Inc0.000142%115,623.9869,653 NS
ACXPAcurx Pharmaceuticals Inc0.000142%115,377.2931,099 NS
MSGMMotorsport Games Inc0.000141%115,255.128,111 NS
TULPBloomia Holdings Inc0.000141%114,988.929,185 NS
Brand House Collective Inc/TheBrand House Collective Inc/The0.000141%114,975.35123,656 NS
CKXCKX Lands Inc0.00014%114,027.2511,020 NS
STISolidion Technology Inc0.00014%113,933.3618,056 NS
IRIXIRIDEX Corp0.00014%113,868.41112,741 NS
SKYESkye Bioscience Inc0.000139%113,687.48184,978 NS
XOSXos Inc0.000138%112,321.6768,909 NS
RVPRetractable Technologies Inc0.000138%112,146.08169,533 NS
Income Opportunity Realty Investors IncIncome Opportunity Realty Investors Inc0.000137%112,002.386,107 NS
SURGSurgePays Inc0.000137%111,844.18148,927 NS
LTRNLantern Pharma Inc0.000137%111,578.2881,444 NS
Hoth Therapeutics IncHoth Therapeutics Inc0.000134%108,979.35129,691 NS
PODCPodcastOne Inc0.000133%108,187.3253,033 NS
INKTMiNK Therapeutics Inc0.00013%106,079.2210,074 NS
GoHealth IncGoHealth Inc0.000129%105,530.8869,888 NS
Paltalk IncPaltalk Inc0.000129%104,881.568,550 NS
Origin Materials IncOrigin Materials Inc0.000128%104,633.7645,892 NS
LINKInterlink Electronics Inc0.000128%104,461.1435,531 NS
CISOCISO Global Inc0.000126%102,981.2297,978 NS
CSAICloudastructure Inc0.000126%102,530.18168,552 NS
CTORCitius Oncology Inc0.000125%102,112.41164,724 NS
TRAWTraws Pharma Inc0.000124%101,003.1955,193 NS
INTSIntensity Therapeutics Inc0.000121%99,025.0816,841 NS
Bitcoin Depot IncBitcoin Depot Inc0.000121%98,315.8245,099 NS
PHIOPhio Pharmaceuticals Corp0.00012%97,420.6679,853 NS
DLPNDolphin Entertainment Inc0.000119%96,940.6265,946 NS
FTHMFathom Holdings Inc0.000118%96,230.11181,532 NS
Pineapple Energy IncPineapple Energy Inc0.000117%95,653.843,479 NS
LIQTLiqTech International Inc0.000115%93,924.2549,175 NS
New Issuer: BB Company ID:69459788New Issuer: BB Company ID:694597880.000115%93,470.82175,631 NS
PRSOPeraso Inc0.000113%91,746.3890,838 NS
LESLLeslie's Inc0.000112%91,370.7281,581 NS
Inotiv IncInotiv Inc0.000112%91,331.37335,161 NS
SGRPSPAR Group Inc0.00011%89,378.32142,891 NS
N/AN/A0.000109%89,180686,000 NC
AEONAEON Biopharma Inc0.000109%89,171.0790,529 NS
SeaStar Medical Holding CorpSeaStar Medical Holding Corp0.000109%88,844.7623,883 NS
MOVECorvex Inc0.000104%85,006.826,151 NS
BTLNGlimpse Group Inc/The0.000103%84,306.14163,384 NS
EFOIEnergy Focus Inc0.000103%84,064.0843,332 NS
BCDABioCardia Inc0.000102%83,517.8369,023 NS
CVRChicago Rivet & Machine Co0.000102%83,420.88,384 NS
IDAIT Stamp Inc0.000102%83,322.5734,863 NS
GENKGEN Restaurant Group Inc0.0001%81,806.4841,738 NS
AMSAmerican Shared Hospital Services0.000099%80,709.955,662 NS
BNGOBionano Genomics Inc0.000098%79,687.5368,109 NS
OBAIOur Bond Inc0.000097%79,348.0854,348 NS
CLRBCellectar Biosciences Inc0.000097%79,029.5631,114 NS
GXAIGaxos.ai Inc0.000096%78,169.6364,603 NS
VNCEVince Holding Corp0.000092%75,298.0431,244 NS
MPTIM-Tron Industries Inc0.000092%74,953.235,692 NS
MultiSensor AI Holdings IncMultiSensor AI Holdings Inc0.000091%74,449.33322,152 NS
BCABBioAtla Inc0.000091%73,773.42458,220 NS
ELWTElauwit Connection Inc0.000088%71,859.7412,118 NS
VVOSVivos Therapeutics Inc0.000088%71,542.2260,629 NS
Local Bounti CorpLocal Bounti Corp0.000088%71,511.6861,648 NS
Altisource Portfolio Solutions SAAltisource Portfolio Solutions SA0.000088%71,429.2186,743 NS
Sacks Parente Golf IncSacks Parente Golf Inc0.000087%71,123.8844,732 NS
New Issuer: BB Company ID:71732550New Issuer: BB Company ID:717325500.000087%70,975.2227,943 NS
Oxbridge Re Holdings LtdOxbridge Re Holdings Ltd0.000085%69,009.9458,483 NS
SNGXSoligenix Inc0.000085%68,91258,400 NS
VRMEVerifyMe Inc0.000081%65,929.1481,394 NS
Bullfrog AI Holdings IncBullfrog AI Holdings Inc0.00008%64,816.0838,581 NS
SERSerina Therapeutics Inc0.000079%64,662.1433,331 NS
NVNOenVVeno Medical Corp0.000078%63,687.316,287 NS
TLFTandy Leather Factory Inc0.000078%63,360.9927,429 NS
SBDSSolo Brands Inc0.000078%63,280.816,830 NS
BioVie IncBioVie Inc0.000077%62,582.844,702 NS
APUSApimeds Pharmaceuticals US Inc0.000077%62,544.934,953 NS
Allied Gaming & Entertainment IncAllied Gaming & Entertainment Inc0.000076%62,333.56227,994 NS
Envirotech Vehicles IncEnvirotech Vehicles Inc0.000076%62,040.537,150 NS
MDRRMedalist Diversified Inc0.000075%61,244.65,396 NS

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