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VTI — All Holdings

Vanguard Total Stock Market ETF · 3,521 holdings

RankSymbolNameWeight %SharesMarket Value
2051HSTMHealthStream Inc0.00%751,138$16.7M
2052HTBHomeTrust Bancshares Inc0.00%493,581$21.3M
2053HTBKHeritage Commerce Corp0.00%1,842,925$23.5M
2054HTFLHeartFlow Inc0.00%509,056$15.2M
2055HTLDHeartland Express Inc0.00%1,338,233$13.5M
2056HTZHertz Global Holdings Inc0.00%3,862,369$18.9M
2057HVTHaverty Furniture Cos Inc0.00%422,808$10.7M
2058HYHyster-Yale Inc0.00%315,861$10.6M
2059HZOMarineMax Inc0.00%618,428$16.7M
2060IARTIntegra LifeSciences Holdings Corp0.00%2,079,195$23.2M
2061IBCPIndependent Bank Corp/MI0.00%635,973$22.4M
2062ICHRIchor Holdings Ltd0.00%1,024,476$31.1M
2063IDRIdaho Strategic Resources Inc0.00%465,376$16.8M
2064IDTIDT Corp0.00%632,098$30.7M
2065IHRTiHeartMedia Inc0.00%3,423,276$11.1M
2066IIINInsteel Industries Inc0.00%578,931$19.2M
2067IIIVI3 Verticals Inc0.00%721,999$16.0M
2068IMMRImmersion Corp0.00%1,625,208$10.9M
2069IMXIInternational Money Express Inc0.00%858,388$13.3M
2070INBXInhibrx Biosciences Inc0.00%363,841$27.8M
2071INDIindie Semiconductor Inc0.00%5,410,238$22.2M
2072INNSummit Hotel Properties Inc0.00%3,330,207$14.7M
2073IOVAIovance Biotherapeutics Inc0.00%11,224,064$28.6M
2074IPIIntrepid Potash Inc0.00%379,874$12.5M
2075IRMDiRadimed Corp0.00%259,566$25.4M
2076IRWDIronwood Pharmaceuticals Inc0.00%4,334,784$21.2M
2077ITICInvestors Title Co0.00%41,538$10.8M
2078IVRInvesco Mortgage Capital Inc0.00%2,118,375$18.2M
2079IVVDInvivyd Inc0.00%7,392,820$12.9M
2080JACKJack in the Box Inc0.00%587,209$12.3M
2081JANXJanux Therapeutics Inc0.00%1,225,837$16.8M
2082JBIJanus International Group Inc0.00%4,160,035$28.5M
2083JBIOJade Biosciences Inc0.00%1,385,335$21.6M
2084JBSSJohn B Sanfilippo & Son Inc0.00%263,496$21.3M
2085JCAPJefferson Capital Inc0.00%678,362$14.5M
2086KALVKalVista Pharmaceuticals Inc0.00%1,349,851$21.1M
2087KEKimball Electronics Inc0.00%764,178$23.1M
2088KFRCKforce Inc0.00%573,375$20.3M
2089KMTSKestra Medical Technologies Ltd0.00%811,907$20.0M
2090KODKodiak Sciences Inc0.00%1,226,568$27.9M
2091KODKEastman Kodak Co0.00%2,784,208$20.4M
2092KOPKoppers Holdings Inc0.00%598,437$17.6M
2093KOPNKopin Corp0.00%5,448,047$13.9M
2094KREFKKR Real Estate Finance Trust Inc0.00%1,683,938$13.9M
2095KRNYKearny Financial Corp/MD0.00%1,721,464$13.4M
2096KROSKeros Therapeutics Inc0.00%595,316$10.7M
2097KRUSKura Sushi USA Inc0.00%191,714$12.8M
2098KURAKura Oncology Inc0.00%2,726,738$22.1M
2099KYTXKyverna Therapeutics Inc0.00%1,347,397$10.8M
2100LABStandard BioTools Inc0.00%8,945,142$12.5M