ETF Components for VXF - Vanguard Extended 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
CRWD D -3.90 1.03
KKR C -0.78 0.95
MRVL D -4.77 0.87
WDAY D -1.34 0.81
SNOW F -1.99 0.73
APO C 0.31 0.70
SQ D -2.28 0.66
COIN B -3.24 0.64
PLTR D -3.12 0.63
DASH B -2.24 0.59
TTD B -4.34 0.55
LNG B 0.96 0.54
DDOG C -3.94 0.53
VEEV D -0.58 0.48
HUBS A -2.82 0.45
TEAM D -1.06 0.44
DELL A -2.96 0.43
VRT A -7.41 0.41
NET D -3.01 0.41
MDB F -2.41 0.37
MSTR B -2.82 0.36
VST A -0.33 0.33
ARES C -0.90 0.32
ENTG D -3.85 0.30
DKNG B -2.31 0.30
WSM A -0.12 0.29
PINS D -1.55 0.29
FCNCA A 1.00 0.28
LPLA B 1.09 0.28
MKL B 1.43 0.28
ALNY F -0.52 0.27
RBLX D -0.59 0.27
CSL A 0.00 0.27
RS B -0.21 0.27
BAH C 1.89 0.27
AVTR B -0.82 0.25
GDDY A -1.01 0.24
ZM F -0.82 0.24
ZS F -2.17 0.24
SUI D -0.23 0.23
EME A -2.21 0.23
BMRN B -1.60 0.23
OKTA D -1.79 0.23
MANH D -1.78 0.22
RPM C -0.75 0.22
PSTG B -4.55 0.22
TRU D -0.46 0.22
LII C -0.32 0.22
SAIA D -0.96 0.22
GGG C 0.33 0.22
LECO C -0.24 0.21
OC A -0.26 0.21
BURL D -0.40 0.21
NTNX B -1.31 0.21
SSNC C 0.58 0.20
FND D -1.35 0.20
BLD C -1.41 0.20
RBA C 0.17 0.20
XPO B -0.76 0.20
OVV A 0.87 0.19
DKS A -0.07 0.19
ACM A 0.12 0.19
TOL B -0.84 0.19
WSO B -1.25 0.19
FNF C 2.50 0.19
NBIX C -0.41 0.19
WPC B 2.85 0.18
RNR B 0.85 0.18
EXAS D -3.97 0.18
NVT A 0.13 0.18
APP A -2.99 0.18
RGA A 2.21 0.18
AMH C 0.69 0.17
RPRX D 0.97 0.17
WMS C -0.79 0.17
CASY A 0.33 0.17
SNAP D -4.04 0.17
EQH A 0.88 0.17
IBKR A 0.86 0.17
RRX C 2.41 0.17
ELS D 0.64 0.17
BSY B 0.77 0.17
SWAV A 0.45 0.17
TW C 0.05 0.17
SRPT D -0.80 0.17
DOCU B -2.35 0.17
USFD C 0.18 0.17
GLPI F 1.06 0.17
CELH D -1.61 0.17
FTI A 0.24 0.16
SCI C 0.78 0.16
ALLY A 0.88 0.16
DT D -1.86 0.16
TWLO D -1.49 0.16
ITT B -0.15 0.16
EWBC C 1.50 0.16
FIX B -0.52 0.16
CLF B -0.10 0.16
KNSL B -0.02 0.16
PFGC C 0.65 0.16
TXRH A 0.18 0.15
NTRA B -2.29 0.15
HOOD B -2.63 0.15
LAMR C 0.65 0.15
REXR F -1.04 0.15
THC B 2.32 0.15
WING A -2.53 0.15
TPL A 0.03 0.15
UTHR A 0.42 0.15
LSCC F -3.17 0.15
TREX C -0.57 0.15
ELF D -6.44 0.15
RGEN D 0.05 0.14
GWRE C -0.24 0.14
TTC D 0.71 0.14
CHE C 0.50 0.14
UNM A 1.12 0.14
TPX C -1.57 0.14
CNM A -0.77 0.14
CW A 0.69 0.14
CHK A 0.22 0.14
TTEK A -1.16 0.14
ERIE C 0.29 0.14
FIVE F -1.13 0.14
HEI A 0.22 0.14
BJ A 1.61 0.14
WEX A 0.25 0.14
CLH A 1.47 0.14
CG B 0.92 0.14
CUBE C 0.45 0.14
PRI D 2.36 0.13
ALV B 0.41 0.13
AFG B 1.95 0.13
ONTO B -4.64 0.13
KNX D 0.54 0.13
GPK A 0.51 0.13
WSC D 1.26 0.13
DCI A 0.36 0.13
CVNA B 0.30 0.13
X D -0.90 0.13
LNW D -0.99 0.13
EXP C -1.73 0.13
PATH F -1.52 0.13
HEI A 0.22 0.13
JLL C 0.06 0.13
WWD A 0.46 0.13
TOST B -2.57 0.13
WTRG D 0.80 0.13
BWXT C -2.01 0.13
DINO B 1.01 0.13
MEDP C -0.62 0.13
ATR B 0.17 0.13
CCK B 0.98 0.13
PR A -0.58 0.12
OSK A 0.05 0.12
ROKU F -3.05 0.12
SKX C -0.79 0.12
ESTC D 0.92 0.12
AR A 1.49 0.12
AYI B 0.08 0.12
LEA D 1.30 0.12
LAD D 0.25 0.12
EHC A 0.76 0.12
RRC A 1.41 0.12
SWN A 0.14 0.12
APG B -1.07 0.12
WFRD A 1.68 0.12
MKSI D -3.50 0.12
PVH D 0.44 0.12
CHDN D -0.28 0.12
GNTX C 0.98 0.12
CACI B 1.46 0.12
MTN D -5.00 0.12
ARMK A 2.15 0.12
ACI F -0.54 0.12
EGP F 0.03 0.12
KBR A 0.87 0.12
MIDD C 1.13 0.12
FHN B 2.45 0.12
PEN F 0.44 0.12
Z F 0.02 0.12
CROX D -0.45 0.12
WBS C 2.47 0.12
BRKR D -1.02 0.12
SSD D 1.28 0.12
VKTX B -1.93 0.12
AFRM D -0.45 0.12
MTDR A -0.20 0.11
DAR D 3.47 0.11
PCTY F -0.18 0.11
JEF C 1.57 0.11
WCC D 0.37 0.11
AXTA C -2.96 0.11
JAZZ F 0.61 0.11
VOYA D 1.22 0.11
UFPI C 1.03 0.11
OWL A -0.60 0.11
INGR B 1.15 0.11
AIT C -0.29 0.11
AGCO B 1.73 0.11
NOV B 1.35 0.11
BRBR C -0.46 0.11
OHI D 1.47 0.11
NNN C 0.58 0.11
RBC D 0.85 0.11
SITE D -1.47 0.11
DUOL D -2.39 0.11
MUSA A 1.06 0.11
SF C 0.57 0.11
ORI A 2.20 0.11
RGLD A 0.88 0.11
COHR D -3.41 0.11
ELAN D -4.57 0.11
MORN B 1.91 0.11
LYFT B -3.35 0.10
CFLT F -1.90 0.10
SAIC C 1.43 0.10
SPSC D 1.45 0.10
CMC A -0.13 0.10
AGNC C 0.99 0.10
HRB B 0.58 0.10
CHX A -2.07 0.10
CRBG A 1.62 0.10
FN D -1.74 0.10
CYTK D 0.82 0.10
OGE A 2.71 0.10
RHP C -0.14 0.10
GTLS A -0.36 0.10
LSTR D 2.22 0.10
FR D -0.96 0.10
ENSG C 1.53 0.10
ARW B -0.27 0.10
WAL B 3.05 0.10
STAG D 1.60 0.10
MAT D -0.66 0.10
SNX A -0.38 0.10
ATKR A 0.37 0.10
HQY B 1.30 0.10
BERY D 0.43 0.10
VNT C -0.92 0.10
BRX D 0.75 0.10
H B -0.97 0.10
NYT D 1.99 0.10
OLN C 0.79 0.10
SEIC C 0.18 0.10
SOFI F -0.28 0.10
MSA A -0.09 0.10
CIEN F -0.48 0.10
FLR B 0.00 0.10
EXEL A 0.13 0.10
CFR A 2.26 0.10
ALSN A -1.26 0.10
CHRD A 0.76 0.10
ACHC D -0.17 0.10
CGNX D -0.59 0.10
PCOR D -1.99 0.10
AZEK C -1.26 0.10
OLED D -2.06 0.10
FCN A 1.74 0.10
RIVN F -2.27 0.10
APLS F 0.04 0.09
FLS A 0.37 0.09
LFUS D 0.28 0.09
AA A 0.17 0.09
MTG C 1.28 0.09
STWD B 1.25 0.09
IBP B -1.45 0.09
BCC B -0.78 0.09
OMF A 1.67 0.09
QLYS D 0.44 0.09
MLI A -0.08 0.09
HXL D 0.50 0.09
DBX F 0.97 0.09
PB C 1.81 0.09
GMED D -0.79 0.09
BILL F -2.26 0.09
ITCI A 0.51 0.09
TRNO D 0.35 0.09
BECN A 1.22 0.09
IONS D -0.32 0.09
NOVT D -0.41 0.09
PBF A 0.77 0.09
THO D 1.51 0.09
ESAB A 0.22 0.09
CBSH A 1.41 0.09
FAF D 2.43 0.09
ANF D 0.95 0.09
ESNT C 1.50 0.09
INSP B -4.95 0.09
BPOP C 1.67 0.09
WH D 0.88 0.09
MTH D 0.23 0.09
U F -2.30 0.09
WTFC C 2.11 0.09
GXO F 3.26 0.09
UHAL C 0.40 0.09
ZION B 1.73 0.09
SSB C 2.37 0.09
IOT D -2.77 0.09
PNFP C 1.33 0.09
CIVI A 1.03 0.09
MASI B -0.85 0.09
ATI A -1.06 0.09
BFAM C 0.70 0.09
SFM A 3.25 0.09
WHR F 0.54 0.09
BC D 2.27 0.09
MUR A 1.77 0.09
SIGI B 1.06 0.09
COLD F 0.48 0.09
RMBS D -3.15 0.09
TMHC C 0.35 0.09
EVR B 0.58 0.09
PCVX D 0.35 0.09
LBRDK F 2.09 0.09
HLI C 1.14 0.09
CADE B 3.03 0.08
PII F 0.99 0.08
AL A 0.62 0.08
RH F -1.99 0.08
R C 1.44 0.08
POST B 1.05 0.08
SUM C -0.42 0.08
PLNT F 0.05 0.08
HALO D 2.20 0.08
SEE F 0.10 0.08
LPX C 0.12 0.08
ETRN A 1.63 0.08
ALK A 1.28 0.08
LNC B 1.54 0.08
CRSP F -1.98 0.08
FYBR D -3.85 0.08
G D 2.27 0.08
M D -2.68 0.08
AWI C 0.11 0.08
ESI B 0.59 0.08
HOG B 0.56 0.08
NXST B 2.03 0.08
ST D 0.57 0.08
FRPT B 0.82 0.08
CWST B 1.15 0.08
KEX A 0.88 0.08
MTZ B 1.17 0.08
RYAN B 1.85 0.08
AMG B 0.20 0.08
SON A 1.26 0.08
TKR A 1.56 0.08
W D -1.94 0.08
ADC B 1.31 0.08
SM A 0.10 0.08
BPMC C -2.31 0.08
VVV C 0.00 0.08
TENB D 1.68 0.08
S F -2.72 0.08
WTS B 1.79 0.08
SNV C 2.98 0.08
DTM A 0.70 0.08
GPS D -1.28 0.08
RLI B 2.28 0.08
OPCH D 0.58 0.08
AAON A 0.20 0.08
SWX A 0.41 0.07
KNF B -0.54 0.07
SLAB F -1.97 0.07
MOG.A A 0.75 0.07
GKOS A 1.44 0.07
VNO B 1.01 0.07
HOMB B 3.40 0.07
WMG D -0.42 0.07
JXN A 1.26 0.07
BYD C -0.43 0.07
AIRC A -0.05 0.07
ZWS C 0.25 0.07
IDA B 1.76 0.07
VAL C 2.12 0.07
ALTR C 1.92 0.07
AGO D 1.65 0.07
HRI B -0.45 0.07
ZI F -1.52 0.07
BMI A -0.95 0.07
GATX A 1.52 0.07
KRG B 1.61 0.07
VMI F 1.66 0.07
SLM A 1.49 0.07
AM A 0.72 0.07
MGY A -0.23 0.07
OZK A 2.60 0.07
AEO C 0.18 0.07
EDR A 0.23 0.07
OGN B -0.22 0.07
EEFT D 1.21 0.07
UBSI B 3.17 0.07
ABG D 1.72 0.07
THG B 3.04 0.07
SRCL B 2.13 0.07
ASH A 0.52 0.07
WU C 0.70 0.07
WLK A 1.22 0.07
DV F -2.36 0.07
OLLI D 1.27 0.07
ASGN B 2.33 0.07
NFG A 2.73 0.07
MOD B -0.08 0.07
DLB F -0.14 0.07
KD C 0.10 0.07
ASO D 1.20 0.07
CRUS C -1.48 0.07
BCPC C 0.25 0.07
COOP A 2.35 0.07
AAP A 1.93 0.07
MARA D 9.78 0.07
APPF D -1.88 0.07
AXS A 1.63 0.07
FNB B 2.90 0.07
CBT A 1.46 0.07
ONB B 2.60 0.07
RDN B 1.26 0.07
MDU A 1.74 0.07
MMS B 1.75 0.07
UGI B 8.20 0.07
NSIT C 0.87 0.07
VRNS D 0.37 0.07
KBH D 1.03 0.07
FSS B -0.83 0.07
GTLB F -2.04 0.07
CPRI F 1.85 0.07
EXLS D 0.69 0.07
MTSI B -2.47 0.07
SMAR F -1.66 0.07
DXC F 2.86 0.06
KRC D 1.29 0.06
ITGR A -1.03 0.06
NSP A 1.45 0.06
BDC D 0.22 0.06
INSM D -1.94 0.06
CBZ A 0.94 0.06
CC F -2.15 0.06
GT D 1.45 0.06
SHAK C -0.87 0.06
TXG F -3.49 0.06
AMR D -2.29 0.06
MATX C 1.51 0.06
AVNT A 0.38 0.06
SLGN A 1.20 0.06
HWC B 3.60 0.06
COKE C 2.02 0.06
BBIO F -0.84 0.06
LOPE C -3.00 0.06
COLB D 3.21 0.06
SEDG F -2.77 0.06
WK F -0.23 0.06
POWI F -1.67 0.06
BOX D 0.76 0.06
HLNE B 0.39 0.06
WIRE A -0.91 0.06
HP A 1.92 0.06
EPRT A 1.27 0.06
ESGR B 2.80 0.06
TNET A -0.96 0.06
VRRM A 0.21 0.06
BCO A 0.87 0.06
MDGL D -4.60 0.06
RVMD A -2.54 0.06
ACA D 0.13 0.06
SPR A -0.66 0.06
EXPO B 1.34 0.06
NJR A 2.77 0.06
HUN D 0.00 0.06
CLSK C 5.98 0.06
ITRI A -0.90 0.06
DY A 0.63 0.06
LANC C 1.77 0.06
FFIN B 4.20 0.06
POR A 2.54 0.06
FELE B 0.93 0.06
LNTH B 2.37 0.06
TEX A 0.80 0.06
AN A -0.31 0.06
FUL B 1.05 0.06
AVAV A 2.26 0.06
HAE B -2.66 0.06
KRYS A -3.32 0.06
JHG B 0.69 0.06
MMSI D 1.46 0.06
NEU C 0.51 0.06
PRGO B 2.87 0.06
PECO D 1.88 0.06
SIG C 1.59 0.06
CVLT C 0.76 0.06
MSM D 1.12 0.06
GBCI B 5.24 0.06
TDW A 0.82 0.06
RIG B 2.16 0.06
AVT C 0.26 0.06
COTY D 1.00 0.06
WTM B 2.82 0.06
ALKS F 0.38 0.06
FIVN F -0.57 0.06
RYN D 0.33 0.06
FLO A 2.25 0.06

Recent News for Vanguard Extended Market ETF & its Holdings

Date Stock Title
Apr 20 MCB Q1 2024 Metropolitan Bank Holding Corp Earnings Call
Apr 20 WAL Western Alliance Bancorporation (WAL) Q1 2024 Earnings Call Transcript
Apr 19 CELH Celsius Holdings Inc CFO Jarrod Langhans Sells Company Shares
Apr 19 CAR Avis Budget Group to Announce First Quarter 2024 Results on May 1st
Apr 19 MAPS Unparalleled 4/20: Weedmaps Unveils Consumer Trends Ahead Of Cannabis Industry's Biggest Holiday
Apr 19 UAMY United States Antimony Corporation (UAMY) Q4 2023 Earnings Call Transcript
Apr 19 TMDX TransMedics Group: Founder Led Company With Solid Potential
Apr 19 NTNX Nutanix (NTNX) Falls More Steeply Than Broader Market: What Investors Need to Know
Apr 19 LNG Cheniere Energy (LNG) Gains As Market Dips: What You Should Know
Apr 19 IMMR Immersion (IMMR) Advances While Market Declines: Some Information for Investors
Apr 19 RUN Sunrun (RUN) Ascends While Market Falls: Some Facts to Note
Apr 19 BEEM Beam Global (BEEM) Q4 2023 Earnings Call Transcript
Apr 19 OCUL Baird sees weakness in Ocular shares as "overdone"
Apr 19 LWAY Why the Market Dipped But Lifeway Foods (LWAY) Gained Today
Apr 19 RBLX Roblox (RBLX) Stock Moves -0.59%: What You Should Know
Apr 19 UEC Uranium Energy (UEC) Stock Moves -0.59%: What You Should Know
Apr 19 THC UPDATE 1-Tenet Healthcare, union coalition reach tentative deal
Apr 19 SM Why the Market Dipped But SM Energy (SM) Gained Today
Apr 19 PLAY Dave & Buster's (PLAY) Ascends While Market Falls: Some Facts to Note
Apr 19 EAT Brinker International (EAT) Stock Moves -0.15%: What You Should Know
The investment seeks to track the performance of a benchmark index that measures the investment return of small- and mid-capitalization stocks. The fund employs an indexing investment approach designed to track the performance of the Standard & Poor's Completion Index, a broadly diversified index of stocks of small and mid-size U.S. companies. It invests all, or substantially all, of its assets in stocks of its target index, with nearly 80% of its assets invested in approximately 1,200 of the stocks in its target index, and the rest of its assets in a representative sample of the remaining stocks.
Investment Management Active Management
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