← Back to VTI Profile

VTI — All Holdings

Vanguard Total Stock Market ETF · 3,521 holdings

RankSymbolNameWeight %SharesMarket Value
901OLEDUniversal Display Corp0.01%1,427,696$163.9M
902NUVLNuvalent Inc0.01%1,731,686$178.2M
903NPOEnpro Inc0.01%665,894$159.0M
904MTDRMatador Resources Co0.01%3,534,618$159.9M
905MRCYMercury Systems Inc0.01%1,703,153$159.9M
906MMSMaximus Inc0.01%1,717,064$162.2M
907MCMoelis & Co0.01%2,339,940$167.7M
908MATXMatson Inc0.01%997,242$159.9M
909MMacy's Inc0.01%7,940,803$159.0M
910LSTRLandstar System Inc0.01%1,096,695$163.8M
911KRGKite Realty Group Trust0.01%6,716,355$157.8M
912KDKyndryl Holdings Inc0.01%7,118,941$163.7M
913KBRKBR Inc0.01%3,953,960$169.3M
914HOMBHome BancShares Inc/AR0.01%5,810,947$167.9M
915HLNEHamilton Lane Inc0.01%1,242,105$175.4M
916HIMSHims & Hers Health Inc0.01%6,564,373$177.8M
917GVAGranite Construction Inc0.01%1,381,568$166.8M
918GNTXGentex Corp0.01%6,927,769$159.4M
919GLXYGalaxy Digital Inc0.01%5,761,170$162.8M
920FROGJFrog Ltd0.01%3,172,711$173.9M
921FORMFormFactor Inc0.01%2,440,209$172.0M
922HUTHut 8 Corp0.01%3,107,519$173.5M
923FCNFTI Consulting Inc0.01%969,806$169.4M
924ETSYEtsy Inc0.01%2,978,742$157.8M
925DUOLDuolingo Inc0.01%1,192,891$159.9M
926LPXLouisiana-Pacific Corp0.01%1,981,931$166.0M
927CRNXCrinetics Pharmaceuticals Inc0.01%3,229,672$161.3M
928CPBCampbell's Company/The0.01%6,161,474$172.4M
929CORZCore Scientific Inc0.01%9,308,528$167.5M
930COGTCogent Biosciences Inc0.01%4,568,428$164.1M
931CNXCNX Resources Corp0.01%4,057,133$157.4M
932CHRDChord Energy Corp0.01%1,765,308$177.0M
933BSYBentley Systems Inc0.01%4,613,222$162.0M
934NEUNewMarket Corp0.01%252,287$169.2M
935BOOTBoot Barn Holdings Inc0.01%969,219$173.0M
936BKHBlack Hills Corp0.01%2,378,008$173.5M
937BIOBio-Rad Laboratories Inc0.01%586,155$172.2M
938OPCHOption Care Health Inc0.01%4,976,787$169.2M
939BFAMBright Horizons Family Solutions Inc0.01%1,804,153$167.1M
940BCPCBalchem Corp0.01%1,024,845$174.4M
941BCOBrink's Co/The0.01%1,307,577$166.1M
942RIGTransocean Ltd0.01%31,677,538$157.4M
943BCBrunswick Corp/DE0.01%2,014,244$161.6M
944AXAxos Financial Inc0.01%1,708,902$169.2M
945AVTAvnet Inc0.01%2,523,757$157.5M
946AUBAtlantic Union Bankshares Corp0.01%4,509,625$175.2M
947AMTMAmentum Holdings Inc0.01%4,612,877$165.0M
948ALKSAlkermes PLC0.01%5,241,673$177.6M
949ACAArcosa Inc0.01%1,545,617$176.9M
950ABCBAmeris Bancorp0.01%2,055,570$165.7M