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VTI · VANGUARD TOTAL STOCK MARKET INDEX FUND ETF

VANGUARD INDEX FUNDS

SEC fund profile
$379.73 -0.32% At close · Sep 4
Net assets $2,297,839,156,548
Holdings3,546
1 month
-0.54%
Year to date
+13.94%
52-week range
$310.40–$385.12
30-session avg volume
3,037,503

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Open-end / ETF
SEC series
S000002848
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings32.03%

Calculated only when the SEC filing is stored with complete portfolio coverage.

Asset allocation

EC99.78%
STIV0.70%
EP0.00%
DE0.00%

Country allocation

US100.48%
DK0.00%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
NVIDIA Corp$146,036,467,4516.36%
Apple Inc$134,920,536,5245.87%
Microsoft Corp$87,967,987,9743.83%
Amazon.com Inc$73,253,917,9323.19%
Alphabet Inc$66,533,355,1042.90%
Broadcom Inc$56,779,449,8892.47%
Alphabet Inc$52,391,036,0602.28%
Micron Technology Inc$41,325,447,3331.80%
Meta Platforms Inc$39,270,837,1071.71%
Tesla Inc$37,611,340,2981.64%
Eli Lilly & Co$32,273,677,1181.40%
Advanced Micro Devices Inc$30,071,321,4171.31%
Berkshire Hathaway Inc$28,586,593,1641.24%
JPMorgan Chase & Co$25,705,965,6481.12%
Johnson & Johnson$19,408,799,8470.84%
Applied Materials Inc$18,223,586,6220.79%
Exxon Mobil Corp$17,990,461,4360.78%
Intel Corp$17,823,238,3470.78%
Visa Inc$17,725,509,4900.77%
Lam Research Corp$17,203,769,5290.75%
Walmart Inc$15,763,030,8340.69%
Caterpillar Inc$15,571,013,5910.68%
AbbVie Inc$14,114,529,6240.61%
Cisco Systems Inc$13,227,568,7890.58%
Costco Wholesale Corp$13,175,093,0620.57%
Mastercard Inc$12,869,690,1890.56%
KLA Corp$12,511,924,2600.54%
General Electric Co$12,378,368,5110.54%
UnitedHealth Group Inc$11,983,020,6330.52%
Bank of America Corp$11,553,003,1480.50%
Home Depot Inc/The$11,163,844,1670.49%
Procter & Gamble Co/The$10,839,821,9250.47%
Sandisk Corp$10,689,493,6700.47%
Merck & Co Inc$10,075,861,5590.44%
GE Vernova Inc$10,022,614,3490.44%
Vanguard Cmt Funds-Vanguard Market Liquidity Fund$9,988,243,1160.43%
Chevron Corp$9,956,099,0730.43%
Netflix Inc$9,544,661,1790.42%
Philip Morris International Inc$8,951,329,8320.39%
Coca-Cola Co/The$8,879,784,9930.39%
Palo Alto Networks Inc$8,834,208,6960.38%
Goldman Sachs Group Inc/The$8,787,808,0890.38%
Texas Instruments Inc$8,611,845,8920.37%
Marvell Technology Inc$8,485,957,2790.37%
International Business Machines Corp$8,390,836,7790.37%
RTX Corp$8,110,763,2160.35%
Palantir Technologies Inc$8,079,145,9590.35%
Oracle Corp$8,028,443,2280.35%
Wells Fargo & Co$8,028,425,0940.35%
Morgan Stanley$7,850,333,3130.34%