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VTI — All Holdings

Vanguard Total Stock Market ETF · 3,521 holdings

RankSymbolNameWeight %SharesMarket Value
1901CBLCBL & Associates Properties Inc0.00%583,309$20.9M
1902CBLLCeribell Inc0.00%874,053$18.0M
1903CBNKCapital Bancorp Inc0.00%354,580$10.9M
1904CBRLCracker Barrel Old Country Store Inc0.00%701,412$21.1M
1905CCBGCapital City Bank Group Inc0.00%440,238$18.4M
1906CCNECNB Financial Corp/PA0.00%908,749$25.2M
1907CCOClear Channel Outdoor Holdings Inc0.00%8,592,838$18.0M
1908CCSIConsensus Cloud Solutions Inc0.00%567,206$12.1M
1909CERSCerus Corp0.00%5,721,066$13.3M
1910CEVACEVA Inc0.00%801,663$16.9M
1911CFFNCapitol Federal Financial Inc0.00%3,727,021$27.1M
1912CGEMCullinan Therapeutics Inc0.00%1,855,966$22.2M
1913CHCTCommunity Healthcare Trust Inc0.00%842,249$14.6M
1914CIMChimera Investment Corp0.00%2,481,733$30.6M
1915CIVBCivista Bancshares Inc0.00%612,195$14.8M
1916CLBCore Laboratories Inc0.00%1,065,400$20.8M
1917CLBKColumbia Financial Inc0.00%908,489$14.8M
1918CLFDClearfield Inc0.00%371,525$11.1M
1919CLMBClimb Global Solutions Inc0.00%130,504$15.5M
1920CLNEClean Energy Fuels Corp0.00%5,143,976$11.3M
1921CLOVClover Health Investments Corp0.00%11,871,507$26.6M
1922CLPTClearPoint Neuro Inc0.00%887,504$11.5M
1923CMCOColumbus McKinnon Corp/NY0.00%856,762$18.1M
1924CMPXCompass Therapeutics Inc0.00%4,190,854$26.8M
1925CNNECannae Holdings Inc0.00%1,291,333$18.6M
1926CNXNPC Connection Inc0.00%368,558$21.7M
1927CODICompass Diversified Holdings0.00%2,109,785$13.9M
1928COFSChoiceOne Financial Services Inc0.00%465,202$13.3M
1929COURCoursera Inc0.00%4,547,857$27.6M
1930CPFCentral Pacific Financial Corp0.00%805,025$26.2M
1931CPSCooper-Standard Holdings Inc0.00%525,802$16.5M
1932CRMDCorMedix Inc0.00%2,227,723$17.3M
1933CRNCCerence Inc0.00%1,271,166$14.4M
1934CSVCarriage Services Inc0.00%428,897$18.4M
1935CTBICommunity Trust Bancorp Inc0.00%505,203$31.2M
1936CTGOContango ORE Inc0.00%397,928$11.3M
1937CTKBCytek Biosciences Inc0.00%3,411,248$17.1M
1938CTLPCantaloupe Inc0.00%1,950,971$21.0M
1939CTMXCytomX Therapeutics Inc0.00%4,792,833$27.3M
1940CTNMContineum Therapeutics Inc0.00%910,659$13.0M
1941CTOCTO Realty Growth Inc0.00%982,198$17.5M
1942CTOSCustom Truck One Source Inc0.00%1,777,542$11.2M
1943CVGWCalavo Growers Inc0.00%530,530$13.5M
1944CVICVR Energy Inc0.00%952,061$21.6M
1945CVLGCovenant Logistics Group Inc0.00%477,827$11.8M
1946CWBCCommunity West Bancshares0.00%532,063$12.8M
1947CWCOConsolidated Water Co Ltd0.00%496,323$18.8M
1948CWHCamping World Holdings Inc0.00%1,878,671$24.8M
1949CXMSprinklr Inc0.00%3,737,412$23.8M
1950CYHCommunity Health Systems Inc0.00%3,959,288$12.7M