ETF:VXF | ETF Holdings Page 32 | VANGUARD EXTENDED MARKET INDEX FUND

VXF ETF holdings Page 32

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 3,101–3,200 of 3,369

TickerIssuerWeightValue (USD)Balance
BRIDBridgford Foods Corp0.000075%61,104.98,202 NS
CVKDCadrenal Therapeutics Inc0.000075%61,045.7611,923 NS
GTIMGood Times Restaurants Inc0.000075%60,814.2651,978 NS
Verde Clean Fuels IncVerde Clean Fuels Inc0.000075%60,725.0835,932 NS
BLINBridgeline Digital Inc0.000074%60,659.6776,110 NS
System1 IncSystem1 Inc0.000074%60,590.2620,063 NS
New Issuer: BB Company ID:47150256New Issuer: BB Company ID:471502560.000074%60,43116,975 NS
PAVMPAVmed Inc0.000074%60,057.555,917 NS
BRNBarnwell Industries Inc0.000074%60,032.8855,586 NS
JCTCJewett-Cameron Trading Co Ltd0.000073%59,706.936,630 NS
XWELXWELL Inc0.000072%59,006.551,310 NS
RIMEAlgorhythm Holdings Inc0.000072%58,957.0154,089 NS
New Issuer: BB Company ID:27040502New Issuer: BB Company ID:270405020.000072%58,424.5536,745 NS
MITQMoving Image Technologies Inc0.000071%58,131112,222 NS
Binah Capital Group IncBinah Capital Group Inc0.000071%57,799.5628,756 NS
Urban One IncUrban One Inc0.00007%57,351.829,787 NS
SNESSenestech Inc0.00007%57,009.6834,762 NS
RNAZTransCode Therapeutics Inc0.000069%56,352.456,545 NS
EDUCEducational Development Corp0.000069%56,072.5244,502 NS
AMSTAmesite Inc0.000068%55,569.8430,201 NS
WKSPWorksport Ltd0.000067%54,963.352,346 NS
TPETTrio Petroleum Corp0.000067%54,574.8679,094 NS
CHRSCoherus Oncology Inc0.000067%54,445.99579,706 NS
APVOAptevo Therapeutics Inc0.000067%54,284.5112,713 NS
VSee Health IncVSee Health Inc0.000066%53,429213,716 NS
COCPCocrystal Pharma Inc0.000065%53,232.0552,705 NS
BT Brands IncBT Brands Inc0.000065%52,881.530,218 NS
CRISCuris Inc0.000064%52,564.3396,043 NS
ATHRAether Holdings Inc0.000064%52,346.2522,275 NS
Tenon Medical IncTenon Medical Inc0.000064%52,036.471,715 NS
Myseum IncMyseum Inc0.000063%51,662.4232,906 NS
SINTSiNtx Technologies Inc0.000063%51,635.3520,905 NS
New Issuer: BB Company ID:33435619New Issuer: BB Company ID:334356190.000062%50,192.6138,909 NS
TOMZTOMI Environmental Solutions Inc0.000061%49,734.289,919 NS
AGIGAbundia Global Impact Group Inc0.000061%49,314.2434,246 NS
Art's-Way Manufacturing Co IncArt's-Way Manufacturing Co Inc0.000059%48,475.4623,194 NS
JUNSJupiter Neurosciences Inc0.000059%48,169.4128,042 NS
DSSDSS Inc0.000059%48,166.5658,032 NS
ASTCAstrotech Corp0.000059%48,142.159,205 NS
CALCCalciMedica Inc0.000059%48,036.2488,956 NS
USBCUSBC Inc0.000059%47,681.81123,496 NS
GYREGyre Therapeutics Inc0.000058%47,597.7475,977 NS
IMNNImunon Inc0.000058%47,472.1816,147 NS
aka Brands Holding Corpaka Brands Holding Corp0.000058%46,920.064,550 NS
QNCXQuince Therapeutics Inc0.000057%46,793.77461,477 NS
FG Nexus IncFG Nexus Inc0.000055%45,197.388,339 NS
REBNReborn Coffee Inc0.000055%44,736.7322,709 NS
COSMCosmos Health Inc0.000054%44,410.22140,007 NS
MTEXMannatech Inc0.000054%44,4007,400 NS
MGRXMangoceuticals Inc0.000054%44,307.06123,041 NS
HeartSciences IncHeartSciences Inc0.000054%44,201.2817,968 NS
NXLNexalin Technology Inc0.000054%44,072.49126,536 NS
Wellgistics Health IncWellgistics Health Inc0.000054%43,664.38452,950 NS
MAMOMassimo Group0.000052%42,438.1242,600 NS
RVPHReviva Pharmaceuticals Holdings Inc0.000052%42,292.6857,959 NS
Biofrontera IncBiofrontera Inc0.000052%42,273.4952,254 NS
CELZCreative Medical Technology Holdings Inc0.000051%41,92120,350 NS
ARAIArrive AI Inc0.000051%41,715.7852,341 NS
PULMPulmatrix Inc0.000051%41,659.2632,294 NS
NSYSNortech Systems Inc0.00005%40,909.643,356 NS
ADGMAdagio Medical Holdings Inc0.00005%40,739.935,426 NS
HYFMHydrofarm Holdings Group Inc0.00005%40,476.6639,683 NS
TCRTAlaunos Therapeutics Inc0.000049%40,220.1814,063 NS
SCKTSocket Mobile Inc0.000049%40,077.7446,130 NS
SNOASonoma Pharmaceuticals Inc0.000049%40,016.3118,787 NS
P3 Health Partners IncP3 Health Partners Inc0.000049%39,959.9212,974 NS
Pasithea Therapeutics CorpPasithea Therapeutics Corp0.000049%39,919.9753,815 NS
New Issuer: BB Company ID:71957086New Issuer: BB Company ID:719570860.000049%39,569.888,313 NS
LNAILunai Bioworks Inc0.000048%39,323.3496,499 NS
Cardio Diagnostics Holdings IncCardio Diagnostics Holdings Inc0.000048%39,302.2520,155 NS
Altisource Portfolio Solutions SAAltisource Portfolio Solutions SA0.000048%39,216.03186,743 NS
Urban One IncUrban One Inc0.000048%39,191.887,178 NS
NXPLNextPlat Corp0.000047%38,390.03103,199 NS
Kiora Pharmaceuticals IncKiora Pharmaceuticals Inc0.000047%38,331.7319,861 NS
SKYQSky Quarry Inc0.000047%38,025.7214,796 NS
New Issuer: BB Company ID:71028657New Issuer: BB Company ID:710286570.000047%37,980.767,944 NS
YCBDcbdMD Inc0.000046%37,881.3351,053 NS
TOVXTheriva Biologics Inc0.000046%37,672.7192,404 NS
Ryvyl IncRyvyl Inc0.000045%37,049.047,351 NS
GRDXGridAI Technologies Corp0.000045%36,951.8618,293 NS
FBLGFibrobiologics Inc0.000045%36,655.2127,769.1 NS
IHTInnSuites Hospitality Trust0.000044%35,673.735,317 NS
PMCBPharmaCyte Biotech Inc0.000042%34,246.1451,467 NS
Sports Entertainment Gaming Global CorpSports Entertainment Gaming Global Corp0.000042%33,994.1753,959 NS
INHDInno Holdings Inc0.000041%33,521.1936,792 NS
Off The Hook YS IncOff The Hook YS Inc0.000041%33,248.9216,708 NS
ATERAterian Inc0.00004%32,687.9357,047 NS
Reading International IncReading International Inc0.00004%32,3823,598 NS
PCSAProcessa Pharmaceuticals Inc0.000039%32,077.0812,729 NS
CENNCenntro Inc0.000039%32,053.56267,113 NS
MBRXMoleculin Biotech Inc0.000039%31,760.0113,869 NS
DTSTData Storage Corp0.000039%31,598.558,165 NS
Nexgel IncNexgel Inc0.000038%30,966.3648,920 NS
BMRABiomerica Inc0.000038%30,624.5414,514 NS
SOPAQSociety Pass Inc0.000037%30,556.5470,700 NS
Avalon GloboCare CorpAvalon GloboCare Corp0.000037%30,451.0457,325 NS
CWDCaliberCos Inc0.000037%30,295.626,344 NS
BOLTBolt Biotherapeutics Inc0.000035%28,522.47,060 NS
Chinook Therapeutics IncChinook Therapeutics Inc0.000034%27,705.4150,581 NS
AWXAvalon Holdings Corp0.000034%27,580.9110,649 NS

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