VTMSX
VANGUARD TAX-MANAGED SMALL-CAP FUND
VANGUARD TAX-MANAGED FUNDS
Index fund

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
605
Top-10 weight
5.03%
Effective holdings ?
407
Crowding ?
371.0

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 EASTMAN CHEMICAL CO 783,601 $59.80M 0.62%
2 FORMFACTOR INC 526,276 $51.04M 0.53%
3 CELANESE CORP 751,531 $49.43M 0.51%
4 ELEMENT SOLUTIONS INC 1,425,504 $48.67M 0.50%
5 VIAVI SOLUTIONS INC 1,427,207 $47.50M 0.49%
6 LKQ CORP 1,606,680 $47.19M 0.49%
7 ESCO TECHNOLOGIES INC 163,778 $46.08M 0.48%
8 ARMSTRONG WORLD INDUSTRIES INC 277,977 $45.81M 0.47%
9 SANMINA CORP 345,347 $44.77M 0.46%
10 AIR LEASE CORP CL A 681,765 $44.27M 0.46%
11 PRIMORIS SVCS CORP 308,734 $44.16M 0.46%
12 LUMEN TECHNOLOGIES INC 6,350,139 $44.13M 0.46%
13 ARGAN INC 80,714 $43.96M 0.46%
14 FED SIGNAL CORP 406,322 $43.94M 0.46%
15 JACKSON FINANCIAL INC 412,293 $43.59M 0.45%
16 SEMTECH CORP 561,810 $43.20M 0.45%
17 KRYSTAL BIOTECH INC 164,144 $42.40M 0.44%
18 PROTAGONIST THERAPEUTICS INC 400,021 $42.16M 0.44%
19 DIGITALOCEAN HOLDINGS INC 483,666 $41.49M 0.43%
20 MOLINA HEALTHCARE INC 307,782 $41.03M 0.43%
21 MATCH GROUP INC 1,333,249 $40.94M 0.42%
22 JOHN BEAN TECHNOLOGIES CORP 319,596 $40.87M 0.42%
23 TERRENO REALTY CORP 660,048 $40.54M 0.42%
24 INSTALLED BUILDING PRODUCTS INC 152,850 $40.53M 0.42%
25 ZURN ELKAY WATER SOLUTIONS CORP 900,775 $40.39M 0.42%
26 ARCHROCK INC 1,160,381 $40.38M 0.42%
27 SEALED AIR CORP 960,054 $40.37M 0.42%
28 NOBLE CORP PLC 819,044 $40.19M 0.42%
29 GLAUKOS CORP 373,062 $40.16M 0.42%
30 LINCOLN NATL CRP 1,123,728 $39.89M 0.41%
31 CARMAX INC 957,809 $39.83M 0.41%
32 BRINKER INTL 275,432 $39.32M 0.41%
33 EVERUS CONSTRUCTION GROUP INC 332,471 $39.25M 0.41%
34 MAGNOLIA OIL and GAS CORPO CL A 1,236,456 $39.03M 0.40%
35 SM ENERGY CO 1,250,799 $39.00M 0.40%
36 MARKETAXESS HLDGS INC 236,057 $38.94M 0.40%
37 VIASAT INC 839,203 $38.44M 0.40%
38 ALKERMES PLC 1,075,769 $38.04M 0.39%
39 ESSENTIAL PROPERTIES REALTY TRUST INC 1,244,816 $37.79M 0.39%
40 QORVO INC 479,014 $37.08M 0.38%
41 RYMAN HOSPITALITY PPTYS INC 398,926 $36.81M 0.38%
42 CAESARS ENTERTAINMENT INC 1,353,271 $35.77M 0.37%
43 BALCHEM CORP 211,028 $35.77M 0.37%
44 ENPRO INDUSTRIES INC 142,255 $35.66M 0.37%
45 MADISON SQUARE GARDEN SPORTS CORP 110,192 $35.42M 0.37%
46 MATSON INC 215,299 $35.30M 0.37%
47 TELEFLEX INC 292,869 $35.03M 0.36%
48 PAYCOM SOFTWARE INC 288,128 $35.02M 0.36%
49 STONEX GROUP INC 432,189 $34.86M 0.36%
50 PTC THERAPEUTICS INC 511,087 $34.82M 0.36%
1 / 13 Next ›

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