VEXAX
VANGUARD EXTENDED MARKET INDEX FUND
VANGUARD INDEX FUNDS
ETFIndex fund

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
3358
Top-10 weight
8.36%
Effective holdings ?
503
Crowding ?
443.5

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 Vanguard Market Liquidity Fund 16,189,278 $1.62B 1.99%
2 MARVELL TECHNOLOGY INC 9,731,551 $963.91M 1.18%
3 CLOUDFLARE INC-A 3,541,852 $730.83M 0.90%
4 CHENIERE ENERGY INC 2,402,147 $681.63M 0.84%
5 SNOWFLAKE INC CL A 3,819,661 $576.08M 0.71%
6 FERGUSON ENTERPRISES INC 2,182,333 $509.05M 0.62%
7 ALNYLAM PHARMACEUTICALS INC 1,480,260 $489.77M 0.60%
8 STRATEGY INC CL A 3,498,806 $436.65M 0.54%
9 ROBLOX CORP - A 7,385,414 $417.72M 0.51%
10 BLOOM ENERGY CORP CL A 2,880,981 $390.34M 0.48%
11 INSMED INC 2,380,795 $389.31M 0.48%
12 ROCKET LAB CORP 5,246,935 $336.96M 0.41%
13 AMRIZE LTD 5,741,220 $321.62M 0.39%
14 TECHNIPFMC PLC 4,513,398 $312.01M 0.38%
15 NATERA INC 1,543,997 $308.78M 0.38%
16 CASEY'S GENERAL 413,671 $301.09M 0.37%
17 VEEVA SYSTEMS-A 1,687,875 $296.49M 0.36%
18 UNITED THERAPEUTICS CORP DEL 480,606 $284.99M 0.35%
19 COUPANG INC A 15,087,601 $284.85M 0.35%
20 FTAI AVIATION LT 1,144,909 $280.50M 0.34%
21 CURTISS WRIGHT CORPORATION 411,438 $280.24M 0.34%
22 MARKEL GROUP INC 140,600 $269.12M 0.33%
23 LPL FINL HLDGS INC 893,679 $268.85M 0.33%
24 FLEX LTD 4,103,321 $268.60M 0.33%
25 XPO LOGISTICS INC 1,307,608 $254.40M 0.31%
26 ZOOM VIDEO COMMUNICATIONS INC CL A 2,963,848 $238.26M 0.29%
27 WOODWARD INC 665,384 $238.15M 0.29%
28 AST SPACEMOBILE INC 2,781,129 $230.47M 0.28%
29 ROYAL GOLD INC 904,283 $230.13M 0.28%
30 US FOODS HOLDING CORP 2,461,236 $226.95M 0.28%
31 BURLINGTON STORES INC 694,095 $225.84M 0.28%
32 SOFI TECHNOLOGIES INC A 14,184,690 $225.25M 0.28%
33 MONGODB INC CL A 908,494 $222.37M 0.27%
34 ATI INC 1,516,226 $220.55M 0.27%
35 MASTEC INC 684,384 $220.19M 0.27%
36 CARPENTER TECHNOLOGY CORP 555,984 $219.14M 0.27%
37 COEUR MINING INC 11,550,052 $216.79M 0.27%
38 LIBERTY MEDIA CORP LIBERTY FORMULA ONE CL C 2,513,719 $213.72M 0.26%
39 NVENT ELECTRIC 1,800,740 $212.99M 0.26%
40 TWILIO INC CLASS A 1,692,350 $212.93M 0.26%
41 ILLUMINA INC 1,706,458 $210.34M 0.26%
42 COREWEAVE INC 2,695,790 $208.84M 0.26%
43 BWX TECHNOLOGIES INC 1,020,480 $208.68M 0.26%
44 FABRINET 399,883 $208.55M 0.26%
45 PURE STORAGE INC CL A 3,500,409 $206.66M 0.25%
46 FIRST CITIZENS BANCSHARES INC CL A 108,505 $204.50M 0.25%
47 ROYALTY PHARMA-A 4,207,099 $201.81M 0.25%
48 NEXTRACKER INC CL A 1,657,249 $199.78M 0.25%
49 FLUTTER ENTER-DI 1,956,393 $199.45M 0.24%
50 ENTEGRIS INC 1,696,393 $198.89M 0.24%
1 / 68 Next ›

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.