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VTI — All Holdings

Vanguard Total Stock Market ETF · 3,521 holdings

RankSymbolNameWeight %SharesMarket Value
1301CWTCalifornia Water Service Group0.00%1,871,654$83.7M
1302IMNMImmunome Inc0.00%3,136,406$77.2M
1303CWENClearway Energy Inc0.00%2,369,492$85.7M
1304CVBFCVB Financial Corp0.00%4,152,991$81.9M
1305CUBICustomers Bancorp Inc0.00%968,044$76.5M
1306LINELineage Inc0.00%2,192,909$78.3M
1307CTRICenturi Holdings Inc0.00%2,678,246$73.9M
1308CRGYCrescent Energy Co0.00%7,795,939$76.2M
1309CPRXCatalyst Pharmaceuticals Inc0.00%3,679,058$89.4M
1310MCYMercury General Corp0.00%872,646$76.4M
1311CPRICapri Holdings Ltd0.00%3,594,076$81.1M
1312CONConcentra Group Holdings Parent Inc0.00%3,609,076$80.0M
1313COCOVita Coco Co Inc/The0.00%1,538,708$82.1M
1314CNKCinemark Holdings Inc0.00%3,298,048$78.1M
1315CLSKCleanspark Inc0.00%7,677,463$90.9M
1316CHHChoice Hotels International Inc0.00%804,994$82.8M
1317CENXCentury Aluminum Co0.00%1,791,204$81.2M
1318NMRKNewmark Group Inc0.00%4,199,107$74.9M
1319CARGCargurus Inc0.00%2,406,838$78.0M
1320CALXCalix Inc0.00%1,856,639$82.9M
1321CAKECheesecake Factory Inc/The0.00%1,418,744$82.2M
1322OLNOlin Corp0.00%3,658,679$76.1M
1323BRBRBellRing Brands Inc0.00%3,759,579$93.5M
1324BOKFBOK Financial Corp0.00%700,182$91.0M
1325BLKBBlackbaud Inc0.00%1,533,765$82.4M
1326PFSIPennyMac Financial Services Inc0.00%908,449$90.8M
1327BLBlackLine Inc0.00%1,681,500$78.1M
1328BEAMBeam Therapeutics Inc0.00%2,886,405$79.7M
1329BBTBeacon Financial Corp0.00%2,657,236$75.3M
1330BANCBanc of California Inc0.00%4,037,603$80.7M
1331AWRAmerican States Water Co0.00%1,218,772$88.9M
1332ATROAstronics Corp0.00%994,691$75.3M
1333ATKRAtkore Inc0.00%1,066,455$74.1M
1334RRRRed Rock Resorts Inc0.00%1,318,263$83.2M
1335ASHAshland Inc0.00%1,446,858$88.5M
1336ARQTArcutis Biotherapeutics Inc0.00%3,426,887$86.9M
1337APLSApellis Pharmaceuticals Inc0.00%3,394,842$76.7M
1338SMGScotts Miracle-Gro Co/The0.00%1,372,944$88.2M
1339APLEApple Hospitality REIT Inc0.00%6,741,864$78.5M
1340APAMArtisan Partners Asset Management Inc0.00%2,118,664$94.3M
1341AMRXAmneal Pharmaceuticals Inc0.00%5,438,135$74.4M
1342SXIStandex International Corp0.00%383,322$92.0M
1343AMBAAmbarella Inc0.00%1,274,173$81.6M
1344AKRAcadia Realty Trust0.00%4,148,495$83.0M
1345ADPTAdaptive Biotechnologies Corp0.00%4,575,166$84.6M
1346ACMRACM Research Inc0.00%1,603,497$93.2M
1347ACLSAxcelis Technologies Inc0.00%976,243$86.0M
1348ABMABM Industries Inc0.00%1,880,918$86.6M
1349AAPAdvance Auto Parts Inc0.00%1,903,471$91.4M
1350AAOIApplied Optoelectronics Inc0.00%2,056,615$89.7M