ETF Components for VTI - Vanguard Total Stock Market ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
MSFT D 1.65 6.12
AAPL F 0.64 4.93
NVDA B 3.65 4.20
AMZN B 1.30 3.30
META B 2.98 2.09
GOOGL A 1.27 1.74
BRK.A C -0.34 1.46
GOOG A 1.25 1.44
LLY D 1.96 1.30
AVGO D 2.02 1.22
JPM B 1.44 1.13
TSLA F 1.85 0.93
UNH D -1.03 0.90
XOM A 0.39 0.90
V C 0.65 0.86
MA C 1.33 0.79
JNJ F 0.30 0.75
HD C 0.86 0.75
PG A 0.60 0.75
MRK A -0.05 0.66
COST C 1.01 0.64
ABBV C 0.98 0.63
AMD D 2.44 0.57
CVX A 0.57 0.55
CRM D 1.05 0.54
WMT B -1.75 0.52
NFLX D 4.17 0.51
BAC A 1.70 0.50
PEP A -2.97 0.47
KO B 0.15 0.46
ADBE F 1.29 0.45
DIS B 1.54 0.44
LIN D -0.43 0.44
ACN F -0.19 0.43
TMO B 4.78 0.43
ORCL D 0.49 0.41
WFC A -0.26 0.41
MCD D 0.47 0.40
ABT D 0.49 0.39
INTC F -0.38 0.37
QCOM B 0.73 0.37
GE A 8.28 0.36
CSCO D 0.37 0.36
CAT A 1.58 0.36
AMAT D 2.00 0.34
CMCSA D -0.52 0.34
INTU C 3.46 0.34
IBM D 0.16 0.34
DHR B 7.21 0.33
NOW D 2.63 0.31
PFE F 0.23 0.31
TXN D 1.25 0.31
VZ D 2.85 0.31
UBER D 2.64 0.30
AMGN C 0.60 0.30
LOW C 1.49 0.29
COP B 0.39 0.29
UNP C 0.78 0.29
ISRG D 2.21 0.28
PM A 3.83 0.28
MU B 3.06 0.26
SPGI D -0.88 0.26
HON C 0.30 0.26
T C 1.16 0.25
LRCX D 2.23 0.25
NEE A 1.36 0.25
RTX A -0.18 0.25
PLD F 0.72 0.24
ELV A 0.13 0.24
PGR A 0.48 0.24
SYK D 2.21 0.24
BKNG C 2.05 0.24
GS A 1.59 0.24
ETN A 1.54 0.24
AXP A 2.56 0.23
MS A 1.81 0.23
TJX C 0.45 0.23
MDT C 0.89 0.23
BLK C 0.86 0.23
BA F -0.76 0.23
LMT A -0.27 0.22
C A 2.82 0.22
NKE D -0.18 0.22
CB C -0.64 0.21
CI A -0.15 0.21
UPS D 2.41 0.21
VRTX C 1.25 0.21
DE B -0.60 0.21
BMY F -0.31 0.21
CVS D -1.62 0.20
BSX A 1.43 0.20
MMC C 0.14 0.20
ADP B 0.22 0.20
SCHW A 1.31 0.20
SBUX F -0.35 0.20
KLAC D 2.30 0.19
BX C 1.82 0.19
ADI D 1.94 0.19
REGN C 0.80 0.19
GILD F 0.12 0.18
PANW C 4.19 0.18
AMT F 1.09 0.18
MDLZ B 1.93 0.18
CDNS D -1.14 0.17
WM B 0.60 0.17
TMUS B 0.55 0.17
SNPS D 2.33 0.17
SHW D -2.23 0.16
CMG A 1.07 0.16
TGT B -0.36 0.16
CL A 0.28 0.15
EOG A 0.67 0.15
DUK A 0.08 0.15
ITW D 0.27 0.15
MPC B 0.71 0.15
MO A 0.70 0.15
CME B 0.60 0.15
EQIX D 0.95 0.15
SO A 0.37 0.15
SLB F 0.08 0.15
ICE C 0.52 0.15
APH A 2.15 0.14
GD A 0.48 0.14
USB C -0.19 0.14
ZTS F 2.76 0.14
PSX B 1.14 0.14
MCK A 0.89 0.14
PH A 1.98 0.14
BDX F 0.21 0.14
PYPL A 1.96 0.14
ANET D 2.33 0.14
CSX D 0.29 0.14
CRWD D 3.63 0.14
PNC A 1.08 0.13
NOC B 0.79 0.13
PCAR D 0.66 0.13
EMR B 1.05 0.13
TDG A 3.45 0.13
FDX A 0.59 0.13
HCA C 2.94 0.13
ORLY C 0.08 0.13
KKR B 3.70 0.13
FCX B -1.96 0.13
TT A 1.35 0.13
MSI A 0.09 0.12
CEG A 2.75 0.12
CTAS B 0.20 0.12
ECL D 0.16 0.12
ROP C 0.09 0.12
MCO C 0.77 0.12
MRVL D 1.56 0.12
PXD A 0.63 0.12
ABNB B 2.77 0.12
AON D 0.27 0.12
HLT D 0.97 0.11
COF A 0.44 0.11
APD D -0.28 0.11
AJG C 0.15 0.11
AZO D -0.02 0.11
ADSK F 0.37 0.11
VLO B 0.99 0.11
WDAY D 1.30 0.11
EW D 0.91 0.11
NSC C 0.17 0.11
MAR D 0.96 0.11
MMM A 0.41 0.11
SPG C 0.96 0.10
NUE B -8.87 0.10
DHI C 3.47 0.10
COIN A 4.68 0.10
ROST D -0.51 0.10
AFL B 0.28 0.10
CARR C 2.83 0.10
SMCI D 6.25 0.10
CPRT B 1.89 0.10
TFC A 2.05 0.10
F B 0.47 0.10
GM A 4.37 0.10
TRV D 0.02 0.10
WELL A 1.44 0.10
AIG B -0.04 0.10
DXCM B 1.89 0.10
KMB A 5.51 0.09
BK A 0.49 0.09
PCG A 0.06 0.09
FIS A 0.84 0.09
AMP D -3.25 0.09
FAST D 0.09 0.09
AEP B 0.78 0.09
WCN C -0.06 0.09
JCI A 0.82 0.09
APO B 2.87 0.09
FTNT D 1.74 0.09
TEL A -0.38 0.09
STZ A 0.74 0.09
DLR D 1.97 0.09
IDXX D 2.97 0.09
LULU D 0.80 0.09
GWW D 1.46 0.09
SRE B 0.55 0.09
MET B 0.36 0.09
ALL A -0.07 0.09
CCI D 0.41 0.09
PSA D 0.30 0.09
IQV C 3.15 0.09
PLTR D 3.20 0.09
O B 0.11 0.09
OKE A 0.55 0.09
SQ C 5.04 0.09
WMB A 0.31 0.09
SNOW F 2.69 0.09
MCHP C 3.18 0.09
URI C 5.09 0.09
IR D 2.19 0.08
TTD D 4.15 0.08
LEN C 3.06 0.08
DASH B 1.64 0.08
RSG A -0.60 0.08
GEHC C 2.29 0.08
CSGP D -0.81 0.08
PAYX C 0.32 0.08
GIS A -0.49 0.08
OXY B 0.58 0.08
CMI A 0.79 0.08
OTIS A 1.23 0.08
SYY C -0.47 0.08
LHX C -0.22 0.08
CTVA B -0.04 0.08
DOW B -0.44 0.08
D A 0.08 0.08
NEM B 0.67 0.08
HUM D 0.82 0.08
CNC C 0.34 0.08
PRU B 0.52 0.08
MSCI F -13.43 0.08
HES A 0.45 0.08
AME B 1.12 0.08
A C 3.95 0.08
ODFL B 3.63 0.08
MNST D 0.24 0.08
EFX D 2.53 0.07
ROK F 1.05 0.07
PEG A -0.33 0.07
BKR B 1.66 0.07
ADM B -1.14 0.07
DDOG B 3.58 0.07
VEEV D 1.02 0.07
VRSK D -0.41 0.07
EL B 1.06 0.07
PPG D -0.56 0.07
CDW D 1.19 0.07
DG D -0.08 0.07
KMI A -0.32 0.07
FANG A 0.88 0.07
IT D 1.63 0.07
EA D 0.02 0.07
LNG B -0.97 0.07
VMC C 1.91 0.07
CTSH D -0.63 0.07
MRNA A 3.28 0.07
KR B -2.28 0.07
KVUE F -1.07 0.07
EXC B -0.29 0.07
PWR A 2.60 0.07
MLM B 1.72 0.07
YUM A 0.75 0.07
HWM C 2.91 0.06
WTW C -0.56 0.06
CBRE D 1.24 0.06
VICI D 1.93 0.06
TSCO B 1.02 0.06
HPQ D -0.11 0.06
MTD C 3.49 0.06
DD B -0.15 0.06
HSY D 0.40 0.06
WST A 4.01 0.06
RMD C 2.15 0.06
KHC A -0.21 0.06
FICO C 3.26 0.06
VRT B 4.08 0.06
XEL C 0.56 0.06
FTV D 0.42 0.06
HUBS A 2.96 0.06
ANSS D 0.36 0.06
RCL A 3.55 0.06
DAL A 0.43 0.06
HIG A 0.21 0.06
TEAM D 2.66 0.06
MPWR D 1.79 0.06
EXR F 0.41 0.06
XYL A 1.35 0.06
KDP A 0.00 0.06
BIIB F -0.48 0.06
ED A 0.12 0.06
ON F 1.70 0.06
HAL B -0.34 0.06
DVN B 0.84 0.06
DFS A 2.02 0.06
ACGL A -0.07 0.06
HPE B 0.00 0.05
SBAC F 0.76 0.05
IRM B 0.99 0.05
AWK C 0.51 0.05
ALGN C 3.68 0.05
MOH D 0.37 0.05
BR D 0.86 0.05
RJF A 1.32 0.05
MTB A 0.81 0.05
DECK C 2.37 0.05
NVR A 0.36 0.05
MDB D 7.69 0.05
DOV A 1.18 0.05
VST A 2.59 0.05
TRGP A 1.93 0.05
TTWO F 1.26 0.05
GLW C -0.06 0.05
FITB A 1.40 0.05
ULTA F 0.31 0.05
BLDR C 5.07 0.05
PHM B 4.57 0.05
CHD A 0.72 0.05
MSTR B 1.10 0.05
WAB A 1.92 0.05
WEC A -0.01 0.05
WY D 0.76 0.05
AVB A 0.96 0.05
LYB B -0.04 0.05
GPN C 2.13 0.05
EIX A 0.27 0.05
NDAQ A -0.18 0.05
CAH D 0.53 0.05
TROW D 0.39 0.05
KEYS D 1.42 0.05
EBAY A 0.61 0.05
CHTR F 0.46 0.05
DELL A 4.41 0.05
NET D 3.77 0.05
ZBH D 0.61 0.05
DLTR F 0.71 0.05
CNP B -0.17 0.04
ATO A -0.35 0.04
AVY D -0.21 0.04
TYL C 1.71 0.04
EXPE B 2.61 0.04
HOLX A 1.27 0.04
LH D 2.41 0.04
IEX C 1.04 0.04
TXT A 1.61 0.04
CE D 0.72 0.04
CSL A 2.44 0.04
ALNY F 0.19 0.04
CLX C 1.41 0.04
MKL C 0.56 0.04
RS D -1.75 0.04
OMC A 0.48 0.04
WBD D -0.35 0.04
BAH B 2.06 0.04
MKC A 0.44 0.04
J C 0.36 0.04
CBOE C -0.77 0.04
DKNG D 1.63 0.04
AEE B -0.48 0.04
CINF A -0.11 0.04
LVS F -1.18 0.04
STX C 1.58 0.04
RF B 0.89 0.04
DTE B 0.00 0.04
LPLA B 0.99 0.04
CTRA A 0.68 0.04
DRI C 0.87 0.04
BRO C 0.52 0.04
HBAN A 0.74 0.04
PPL B -0.47 0.04
TDY D 0.74 0.04
WAT D 4.70 0.04
WSM A 1.73 0.04
PFG B 0.20 0.04
PINS C 0.89 0.04
INVH B 1.04 0.04
VLTO A 2.73 0.04
ES A 0.08 0.04
FE B -0.24 0.04
ENTG D 1.72 0.04
RBLX F 3.83 0.04
BRK.A C -0.34 0.04
BALL A 0.11 0.04
PTC C 1.06 0.04
GPC A 0.18 0.04
NTAP B 1.54 0.04
BAX C 1.53 0.04
ILMN D 3.50 0.04
IFF A 0.64 0.04
STT A -0.16 0.04
ARES A 3.40 0.04
WDC B 4.28 0.04
STE D 2.53 0.04
HUBB A 1.90 0.04
AXON B 2.64 0.04
APTV F 0.21 0.04
ETR A -0.25 0.04
ARE C 0.78 0.04
GRMN A 1.06 0.04
EQR A 0.88 0.04
STLD B -2.29 0.04
WMS D 2.40 0.03
ACM A 1.57 0.03
TOL B 5.02 0.03
XPO D 4.08 0.03
ROL D 0.45 0.03
IP F -1.01 0.03
SSNC C -0.41 0.03
NBIX B 4.81 0.03
FNF B 2.85 0.03
KMX F 2.67 0.03
RBA C 0.58 0.03
CRL C 3.26 0.03
BLD D 2.72 0.03
PNR B -0.92 0.03
NDSN D 0.60 0.03
OVV B 1.13 0.03
CAG A 0.55 0.03
LKQ F -14.88 0.03
VTRS C 0.98 0.03
CELH D 3.21 0.03
OC A 1.93 0.03
L B 0.31 0.03
HST D 1.53 0.03
WSO A 1.74 0.03
LECO C 1.96 0.03
BG A -0.12 0.03
DGX A 5.08 0.03
POOL C 2.49 0.03
KEY B 0.55 0.03
NTNX D 2.02 0.03
BURL D 1.75 0.03
WBA F -0.93 0.03
SWK C 1.56 0.03
ZM F 3.49 0.03
LW D 1.95 0.03
MAA D 0.02 0.03
NRG B 1.56 0.03
RPM D -0.01 0.03
MANH D 1.01 0.03
TRU D 2.81 0.03
ALB F 1.71 0.03
HEI A 2.71 0.03
SAIA D 4.53 0.03
ZBRA D 1.81 0.03
ENPH D 2.69 0.03
LII B 3.78 0.03
SNA D 1.04 0.03
K A 0.28 0.03
PSTG B 2.55 0.03
GGG C 1.50 0.03
CF D -0.33 0.03
ESS A 0.94 0.03
UAL A 0.17 0.03
CFG A 1.22 0.03
BBY D -0.11 0.03
EPAM F 0.34 0.03
TRMB C 1.27 0.03
SUI D 1.48 0.03
JBL F 1.48 0.03
VRSN F 0.21 0.03
EQT B 0.03 0.03
MRO B 0.61 0.03
AKAM F 0.87 0.03
CCL D 3.57 0.03
BMRN A 2.87 0.03
JBHT F 0.10 0.03
EME B 1.65 0.03
OKTA D 1.21 0.03
TSN A 0.61 0.03
GDDY A 1.64 0.03
PKG D -4.69 0.03
LYV D 1.85 0.03
WRB D -5.21 0.03
FSLR A 2.17 0.03
ZS D 3.48 0.03
EG D -1.12 0.03
FDS D -4.22 0.03
TER D 2.14 0.03
MAS C 1.37 0.03
AVTR A 5.08 0.03
SWKS D 1.21 0.03
NTRS B 0.77 0.03
DPZ B 2.10 0.03
LUV C -0.91 0.03
SYF B 1.68 0.03
VTR C 1.00 0.03
FCNCA A 0.00 0.03
CMS B -0.08 0.03
EXPD D -0.89 0.03
LDOS B 2.10 0.03

Recent News for Vanguard Total Stock Market ETF & its Holdings

Date Stock Title
Apr 23 NVDA Dow Jones Futures: Stock Market Rallies, But Big Tests Loom; Tesla Jumps On Affordable EV Relief
Apr 23 ENPH Why Sunrun, SolarEdge, Sunnova Energy Shares Are Moving Lower After Hours
Apr 23 ACN IBM's Moment Of Truth As Earnings Expected To Impress With Strong AI Influence, Analyst Says
Apr 23 IBM IBM's Moment Of Truth As Earnings Expected To Impress With Strong AI Influence, Analyst Says
Apr 23 V Visa Shares Rise After Better-Than-Expected Q2 Results
Apr 23 ENPH Enphase Energy Q1 Earnings: Revenue, EPS Come In Below Estimates Amid 'Softening' US Demand
Apr 23 NVDA How big will tech earnings be for markets? Top Takeaways
Apr 23 NFLX What's Going On With Netflix Shares?
Apr 23 FICO Decoding Fair Isaac's Options Activity: What's the Big Picture?
Apr 23 VLTO Veralto Non-GAAP EPS of $0.84 beats by $0.08, revenue of $1.25B beats by $20M
Apr 23 VLTO Veralto Reports First Quarter 2024 Results
Apr 23 VZ Why Verizon Stock Recovered From Earnings Losses
Apr 23 ALL My Squad is Delicious
Apr 23 DRI Baum Family Investments Embarks on Triple Net Lease Strategy with $250 Million Acquisition Goal
Apr 23 LOW What the Options Market Tells Us About Lowe's Companies
Apr 23 BALL Analyzing Q1 Earnings Beat or Miss for CAT & Four Industrial Stocks
Apr 23 DOV Analyzing Q1 Earnings Beat or Miss for CAT & Four Industrial Stocks
Apr 23 AVY Analyzing Q1 Earnings Beat or Miss for CAT & Four Industrial Stocks
Apr 23 CAT Analyzing Q1 Earnings Beat or Miss for CAT & Four Industrial Stocks
Apr 23 GWW Analyzing Q1 Earnings Beat or Miss for CAT & Four Industrial Stocks
The investment seeks to track the performance of a benchmark index that measures the investment return of the overall stock market. The fund employs an indexing investment approach designed to track the performance of the CRSP US Total Market Index, which represents approximately 100% of the investable U.S. stock market and includes large-, mid-, small-, and micro-cap stocks regularly traded on the New York Stock Exchange and Nasdaq. It invests by sampling the index, meaning that it holds a broadly diversified collection of securities that, in the aggregate, approximates the full index in terms of key characteristics.
Exchange Traded Fund ETF Bloomberg Barclays Us Aggregate Bond Index New York Stock Exchange
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