VITSX
VANGUARD TOTAL STOCK MARKET INDEX FUND
VANGUARD INDEX FUNDS
ETFIndex fund

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
3508
Top-10 weight
32.02%
Effective holdings ?
67
Crowding ?
1587.3

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
51 CITIGROUP INC 53,613,294 $6.08B 0.31%
52 VERIZON COMMUNICATIONS INC 120,541,145 $6.05B 0.30%
53 AMGEN INC 17,121,005 $6.02B 0.30%
54 THERMO FISHER SCIENTIFIC INC 11,795,894 $5.80B 0.29%
55 ABBOTT LABS 55,177,870 $5.67B 0.28%
56 TJX COS INC 35,262,869 $5.63B 0.28%
57 INTEL CORP 126,899,865 $5.60B 0.28%
58 TEXAS INSTRUMENTS INC 28,820,334 $5.60B 0.28%
59 GILEAD SCIENCES INC 39,428,113 $5.50B 0.28%
60 WALT DISNEY CO/T 56,248,921 $5.42B 0.27%
61 SALESFORCE INC 28,267,928 $5.28B 0.26%
62 INTUITIVE SURGICAL INC 11,277,268 $5.20B 0.26%
63 CONOCOPHILLIPS 38,816,967 $5.12B 0.26%
64 PFIZER INC 180,582,346 $5.07B 0.25%
65 SCHWAB CHARLES CORP 52,859,641 $4.97B 0.25%
66 BOEING CO/THE 24,932,388 $4.96B 0.25%
67 ANALOG DEVICES INC 15,503,255 $4.93B 0.25%
68 AMPHENOL CORPORATION CL A 39,034,028 $4.93B 0.25%
69 Vanguard Market Liquidity Fund 48,148,318 $4.81B 0.24%
70 UBER TECHNOLOGIES INC 65,355,244 $4.70B 0.24%
71 AMERICAN EXPRESS CO 15,263,288 $4.62B 0.23%
72 DEERE & CO 8,148,756 $4.59B 0.23%
73 UNION PACIFIC CORP 18,839,648 $4.57B 0.23%
74 HONEYWELL INTL INC 20,184,572 $4.56B 0.23%
75 LOCKHEED MARTIN CORP 7,305,945 $4.42B 0.22%
76 EATON CORP PLC 12,333,820 $4.41B 0.22%
77 WELLTOWER INC 22,158,660 $4.38B 0.22%
78 QUALCOMM INC 33,883,909 $4.36B 0.22%
79 BLACKROCK INC 4,445,842 $4.28B 0.21%
80 THE BOOKING HOLDINGS INC 1,005,727 $4.23B 0.21%
81 LOWES COS INC 17,816,738 $4.21B 0.21%
82 ARISTA NETWORKS INC 33,918,363 $4.16B 0.21%
83 PALO ALTO NETWORKS INC 25,911,718 $4.15B 0.21%
84 S&P GLOBAL INC 9,232,191 $3.93B 0.20%
85 BRISTOL-MYERS SQUIBB CO 64,679,742 $3.92B 0.20%
86 PROLOGIS INC REIT 29,408,574 $3.89B 0.20%
87 ACCENTURE PLC-A 19,541,028 $3.87B 0.19%
88 DANAHER CORP 20,209,834 $3.83B 0.19%
89 INTUIT INC 8,837,071 $3.82B 0.19%
90 NEWMONT CORP 34,546,737 $3.74B 0.19%
91 PROGRESSIVE CORP OHIO 18,610,928 $3.69B 0.19%
92 CHUBB LTD 11,175,519 $3.64B 0.18%
93 VERTEX PHARMACEUTICALS INC 8,069,219 $3.60B 0.18%
94 CAPITAL ONE FINANCIAL CORP 19,747,999 $3.60B 0.18%
95 STRYKER CORP 10,935,566 $3.59B 0.18%
96 PARKER HANNIFIN CORP 4,006,779 $3.59B 0.18%
97 MEDTRONIC PLC 40,759,911 $3.53B 0.18%
98 ALTRIA GROUP INC 53,091,357 $3.50B 0.18%
99 SERVICENOW INC 33,217,378 $3.47B 0.17%
100 SOUTHERN CO 34,943,792 $3.37B 0.17%

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