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VTI — All Holdings

Vanguard Total Stock Market ETF · 3,521 holdings

RankSymbolNameWeight %SharesMarket Value
651NCLHNorwegian Cruise Line Holdings Ltd0.01%14,296,019$313.9M
652MODModine Manufacturing Co0.01%1,659,267$306.4M
653GNRCGenerac Holdings Inc0.01%1,856,909$312.0M
654GMEDGlobus Medical Inc0.01%3,554,433$322.3M
655FLSFlowserve Corp0.01%3,991,395$311.9M
656ENSGEnsign Group Inc/The0.01%1,823,146$313.0M
657EGPEastGroup Properties Inc0.01%1,690,010$307.0M
658DYDycom Industries Inc0.01%869,739$316.9M
659CNMCore & Main Inc0.01%5,988,116$319.5M
660ARMKAramark0.01%8,282,488$318.8M
661AMHAmerican Homes 4 Rent0.01%9,930,636$311.0M
662ZZillow Group Inc0.01%5,150,786$324.7M
663Synthetic Cash - CML USD0.01%290,419,500$290.4M
664AFGAmerican Financial Group Inc/OH0.01%2,242,027$292.1M
665APAApa Corp0.01%11,111,365$293.5M
666ALSNAllison Transmission Holdings Inc0.01%2,638,414$286.8M
667REXRRexford Industrial Realty Inc0.01%7,320,815$296.7M
668TTMITTM Technologies Inc0.01%3,073,517$301.8M
669OGEOGE Energy Corp0.01%6,529,944$285.2M
670OSKOshkosh Corp0.01%1,984,582$285.4M
671OKLOOklo Inc0.01%3,688,602$293.7M
672GTLSChart Industries Inc0.01%1,432,594$297.0M
673MPMP Materials Corp0.01%5,031,740$295.7M
674MOHMolina Healthcare Inc0.01%1,620,442$291.0M
675MDLNMedline Inc0.01%6,489,498$286.8M
676MANHManhattan Associates Inc0.01%1,905,784$287.8M
677JAZZJazz Pharmaceuticals PLC0.01%1,819,234$299.2M
678HLIHoulihan Lokey Inc0.01%1,716,693$289.0M
679GMEGameStop Corp0.01%12,718,257$303.7M
680FOXFox Corp0.01%4,462,135$292.6M
681FDSFactSet Research Systems Inc0.01%1,175,706$299.1M
682OWLBlue Owl Capital Inc0.01%20,906,354$285.2M
683EHCEncompass Health Corp0.01%3,174,111$300.0M
684AYIAcuity Inc0.01%964,800$298.4M
685AREAlexandria Real Estate Equities Inc0.01%5,465,793$298.7M
686WALWestern Alliance Bancorp0.01%3,315,896$295.6M
687CRCrane Co0.01%1,543,777$282.0M
688COLBColumbia Banking System Inc0.01%9,456,645$278.4M
689COKECoca-Cola Consolidated Inc0.01%1,779,916$270.7M
690CNHCNH Industrial NV0.01%25,708,005$276.6M
691CMCCommercial Metals Co0.01%3,475,006$267.1M
692CFRCullen/Frost Bankers Inc0.01%1,922,154$264.9M
693CAGConagra Brands Inc0.01%15,103,733$279.6M
694BPOPPopular Inc0.01%2,072,866$276.8M
695ARWRArrowhead Pharmaceuticals Inc0.01%4,079,009$282.8M
696APLDApplied Digital Corp0.01%7,939,116$269.0M
697AOSA O Smith Corp0.01%3,591,810$264.0M
698COMPCompass Inc0.01%21,362,649$267.5M
699AHRAmerican Healthcare REIT Inc0.01%5,838,606$273.9M
700AALAmerican Airlines Group Inc0.01%20,919,977$278.2M