VTI holdings (2026)
All 3455 positions in Vanguard Total Stock Market ETF, ranked by portfolio weight — led by NVDA at 7.0%. Weights come from the fund's own SEC N-PORT filing and update daily with prices; positions in stocks ChartRow doesn't track still appear, ranked by weight, without returns. Not investment advice.
Weights are the Mar 31, 2026 SEC filing rolled forward on each holding's price move (as of market close, Aug 13, 2026) — an estimate of today, not the filed figure. Switch the table below to see them exactly as filed.
CompareVTI vs VOOVTI vs VOO vs SPY
Top 10 holdings#
Sector weights#
Estimated portfolio characteristics#
Estimated by our own bottom-up analysis of the fund's SEC-filed holdings, covering 94% of portfolio weight (96% carries a valid trailing P/E). Funds publish similar figures on their own sites; ours are recomputed daily from public data.
VTI holdings by weight#
1–100 of 3455| # | Company | Weight | Price | 1D | YTD | 1Y | Mkt cap |
|---|---|---|---|---|---|---|---|
| 1 | NVDANVIDIA Corporation | 6.98% | $225.37 | +0.6% | +20.8% | +23.0% | $5.45T |
| 2 | AAPLApple Inc. | 6.01% | $305.32 | +1.0% | +12.3% | +33.0% | $4.46T |
| 3 | MSFTMicrosoft Corporation | 4.95% | $496.81 | +0.9% | +2.7% | -6.1% | $3.69T |
| 4 | GOOGLAlphabet Inc. Class A | 4.85% | $346.41 | +0.8% | +10.7% | +70.4% | $4.24T |
| 5 | AMZNAmazon.com Inc. | 3.44% | $265.16 | -0.8% | +14.9% | +19.7% | $2.86T |
| 6 | AVGOBroadcom Inc. | 2.66% | $417.85 | +0.4% | +20.7% | +33.6% | $1.99T |
| 7 | METAMeta Platforms Inc. | 1.75% | $594.91 | +2.8% | -9.9% | -24.7% | $1.51T |
| 8 | MUMicron Technology Inc. | 1.43% | $949.90 | +4.2% | +232.8% | +643.6% | $1.07T |
| 9 | LLYEli Lilly and Company | 1.38% | $1,209.77 | -0.9% | +12.6% | +89.2% | $1.08T |
| 10 | TSLATesla Inc. | 1.28% | $340.07 | +3.8% | -24.4% | -0.2% | $1.34T |
| 11 | BRK-BBerkshire Hathaway Inc. | 1.25% | $507.04 | -0.6% | +0.9% | +7.8% | $1.09T |
| 12 | JPMJPMorgan Chase & Co. | 1.24% | $363.13 | -0.6% | +12.7% | +24.0% | $965B |
| 13 | AMDAdvanced Micro Devices Inc. | 1.06% | $483.09 | +0.0% | +125.6% | +176.1% | $789B |
| 14 | XOMExxon Mobil Corporation | 0.89% | $158.65 | -0.7% | +31.8% | +49.5% | $652B |
| 15 | JNJJohnson & Johnson | 0.85% | $262.13 | +0.5% | +26.7% | +51.7% | $632B |
| 16 | VVisa Inc. | 0.81% | $365.14 | +1.6% | +4.1% | +8.4% | $677B |
| 17 | WMTWalmart Inc. | 0.68% | $115.73 | -0.2% | +3.9% | +11.7% | $921B |
| 18 | MAMastercard Incorporated | 0.61% | $567.18 | +1.3% | -0.6% | -1.2% | $497B |
| 19 | ABBVAbbVie Inc. | 0.60% | $250.84 | +0.8% | +9.8% | +26.3% | $443B |
| 20 | COSTCostco Wholesale Corporation | 0.57% | $961.87 | +1.3% | +11.5% | -3.0% | $427B |
| 21 | AMATApplied Materials Inc. | 0.57% | $535.52 | -2.3% | +108.4% | +184.2% | $425B |
| 22 | LRCXLam Research Corporation | 0.56% | $337.21 | +3.4% | +97.0% | +220.3% | $422B |
| 23 | INTCIntel Corporation | 0.56% | $104.64 | +3.7% | +183.6% | +379.8% | $528B |
| 24 | CSCOCisco Systems Inc. | 0.54% | $113.49 | -8.4% | +47.3% | +59.0% | $447B |
| 25 | BACBank of America Corporation | 0.53% | $64.11 | -1.1% | +16.6% | +35.0% | $448B |
| 26 | CATCaterpillar Inc. | 0.53% | $854.85 | -0.1% | +49.2% | +107.1% | $393B |
| 27 | PLTRPalantir Technologies Inc. | 0.52% | $179.00 | +4.7% | +0.7% | -4.3% | $430B |
| 28 | Vanguard Cmt Funds-Vanguard Market Liquidity Fund | 0.51% | — | — | — | — | — |
| 29 | CVXChevron Corporation | 0.50% | $197.71 | +0.6% | +29.7% | +28.0% | $391B |
| 30 | UNHUnitedHealth Group Incorporated Common Stock (DE) | 0.49% | $399.30 | -1.6% | +21.0% | +52.7% | $363B |
| 31 | GEGE Aerospace | 0.48% | $360.63 | -1.3% | +17.1% | +29.0% | $374B |
| 32 | HDThe Home Depot Inc. | 0.46% | $341.69 | -0.5% | -0.7% | -13.7% | $341B |
| 33 | PGProcter & Gamble Company | 0.45% | $144.27 | +0.1% | +0.7% | -7.0% | $335B |
| 34 | MRKMerck & Co. Inc. | 0.45% | $135.58 | +2.0% | +28.8% | +68.8% | $335B |
| 35 | NFLXNetflix Inc. | 0.44% | $78.23 | +5.4% | -16.6% | -36.2% | $326B |
| 36 | PANWPalo Alto Networks Inc. | 0.43% | $395.94 | +2.3% | +115.0% | +125.7% | $323B |
| 37 | KOCoca-Cola Company | 0.40% | $87.44 | +0.8% | +25.1% | +23.7% | $376B |
| 38 | RTXRTX Corporation | 0.40% | $220.50 | -1.0% | +20.2% | +41.8% | $297B |
| 39 | PMPhilip Morris International Inc. | 0.39% | $188.92 | +1.5% | +17.8% | +12.1% | $294B |
| 40 | GSGoldman Sachs Group Inc. | 0.39% | $1,042.50 | +0.5% | +18.6% | +40.2% | $304B |
| 41 | GEVGE Vernova Inc. | 0.38% | $1,049.01 | +0.9% | +60.5% | +59.6% | $279B |
| 42 | KLACKLA Corporation | 0.37% | $209.53 | +0.6% | +72.4% | +124.0% | $274B |
| 43 | WFCWells Fargo & Company | 0.36% | $88.13 | -0.9% | -5.4% | +10.9% | $267B |
| 44 | ORCLOracle Corporation | 0.36% | $156.29 | +2.0% | -19.8% | -38.4% | $450B |
| 45 | MSMorgan Stanley | 0.35% | $218.37 | +0.3% | +23.0% | +48.3% | $343B |
| 46 | TXNTexas Instruments Incorporated | 0.33% | $273.43 | -1.1% | +57.6% | +41.7% | $250B |
| 47 | CCitigroup Inc. | 0.31% | $138.74 | +0.8% | +18.9% | +44.9% | $233B |
| 48 | AMGNAmgen Inc. | 0.30% | $417.93 | +0.4% | +27.7% | +46.7% | $226B |
| 49 | SNDKSandisk Corporation | 0.30% | $1,527.56 | +13.6% | +543.5% | +3161.9% | $226B |
| 50 | IBMInternational Business Machines Corporation | 0.30% | $237.00 | +0.4% | -20.0% | +0.9% | $223B |
| 51 | LINLinde plc | 0.30% | $478.22 | -0.3% | +12.2% | +1.1% | $220B |
| 52 | TMOThermo Fisher Scientific Inc. | 0.30% | $596.04 | -1.2% | +2.9% | +24.8% | $220B |
| 53 | ANETArista Networks Inc. | 0.29% | $203.62 | -3.3% | +55.4% | +44.2% | $257B |
| 54 | CRWDCrowdStrike Holdings Inc. | 0.29% | $225.54 | +1.7% | +92.5% | +107.0% | — |
| 55 | APHAmphenol Corporation | 0.27% | $165.75 | -2.5% | +22.6% | +48.2% | $204B |
| 56 | STXSeagate Technology Holdings PLC Ordinary Shares (Ireland) | 0.27% | $921.42 | +4.9% | +234.6% | +492.2% | $209B |
| 57 | MRVLMarvell Technology Inc. | 0.26% | $222.29 | +2.4% | +161.6% | +185.7% | $194B |
| 58 | MCDMcDonald's Corporation | 0.26% | $272.25 | -1.3% | -10.9% | -9.7% | $193B |
| 59 | ABTAbbott Laboratories | 0.26% | $111.29 | +0.3% | -11.2% | -15.1% | $194B |
| 60 | PEPPepsiCo Inc. | 0.26% | $140.62 | +1.4% | -2.0% | -4.3% | $192B |
| 61 | ADIAnalog Devices Inc. | 0.25% | $381.30 | -0.8% | +40.6% | +64.3% | $186B |
| 62 | DISThe Walt Disney Company | 0.25% | $104.79 | +1.5% | -7.9% | -7.9% | $181B |
| 63 | SCHWCharles Schwab Corporation | 0.25% | $110.06 | +0.7% | +10.2% | +11.5% | $190B |
| 64 | VZVerizon Communications Inc. | 0.25% | $48.22 | +2.6% | +18.4% | +11.5% | $200B |
| 65 | BABoeing Company | 0.24% | $230.33 | -0.4% | +6.1% | -1.0% | $182B |
| 66 | NEENextEra Energy Inc. | 0.24% | $86.03 | +0.3% | +7.2% | +19.7% | $179B |
| 67 | CRMSalesforce Inc. | 0.24% | $201.34 | +4.1% | -24.0% | -13.1% | $165B |
| 68 | UNPUnion Pacific Corporation | 0.24% | $297.67 | +1.3% | +28.7% | +36.0% | $177B |
| 69 | ETNEaton Corporation plc | 0.24% | $453.34 | -1.4% | +42.3% | +24.8% | $176B |
| 70 | QCOMQUALCOMM Incorporated | 0.24% | $164.82 | +1.1% | -3.6% | +7.2% | $173B |
| 71 | TAT&T Inc. | 0.23% | $24.61 | +1.5% | -0.9% | -13.6% | $169B |
| 72 | GILDGilead Sciences Inc. | 0.23% | $138.14 | +1.7% | +12.5% | +15.1% | $171B |
| 73 | TJXTJX Companies Inc. | 0.23% | $153.80 | +0.8% | +0.1% | +15.3% | $170B |
| 74 | BKNGBooking Holdings Inc. | 0.23% | $213.36 | +0.5% | -0.4% | -2.3% | $160B |
| 75 | BLKBlackRock Inc. | 0.22% | $1,183.85 | +2.0% | +10.6% | +2.1% | $183B |
| 76 | AXPAmerican Express Company | 0.22% | $343.65 | -0.1% | -7.1% | +13.3% | $232B |
| 77 | WDCWestern Digital Corporation | 0.22% | $487.16 | +7.3% | +182.8% | +541.8% | $168B |
| 78 | WELLWelltower Inc. | 0.22% | $234.55 | +1.9% | +26.4% | +42.3% | $166B |
| 79 | DEDeere & Company | 0.21% | $612.39 | -1.2% | +31.5% | +21.1% | $165B |
| 80 | UBERUber Technologies Inc. | 0.21% | $75.87 | +0.7% | -7.1% | -17.3% | $155B |
| 81 | PFEPfizer Inc. | 0.20% | $26.80 | +1.8% | +7.6% | +8.7% | $153B |
| 82 | COPConocoPhillips | 0.20% | $124.52 | -2.2% | +33.0% | +31.6% | $150B |
| 83 | HONHoneywell International Inc. | 0.20% | $233.98 | -0.6% | +19.9% | +14.4% | $74B |
| 84 | DELLDell Technologies Inc. | 0.20% | $494.51 | +2.1% | +292.8% | +249.1% | $320B |
| 85 | ISRGIntuitive Surgical Inc. | 0.19% | $401.34 | +0.0% | -29.1% | -16.1% | $142B |
| 86 | COFCapital One Financial Corporation | 0.19% | $223.84 | +0.6% | -7.6% | +3.3% | $139B |
| 87 | LMTLockheed Martin Corporation | 0.18% | $598.28 | -1.4% | +23.7% | +38.6% | $138B |
| 88 | PHParker-Hannifin Corporation | 0.18% | $1,057.81 | -1.1% | +20.3% | +40.7% | $133B |
| 89 | NOWServiceNow Inc. | 0.18% | $127.23 | +1.8% | -16.9% | -25.5% | $132B |
| 90 | BMYBristol-Myers Squibb Company | 0.18% | $64.65 | +1.5% | +19.9% | +38.9% | $132B |
| 91 | VRTXVertex Pharmaceuticals Incorporated | 0.18% | $516.13 | -1.8% | +13.8% | +33.1% | $131B |
| 92 | PLDPrologis Inc. | 0.18% | $141.19 | +0.3% | +10.6% | +34.7% | $132B |
| 93 | SPGIS&P Global Inc. | 0.17% | $422.66 | +3.1% | -14.5% | -20.1% | $125B |
| 94 | DHRDanaher Corporation | 0.17% | $204.02 | -0.9% | -10.9% | -0.8% | $143B |
| 95 | NEMNewmont Corporation | 0.17% | $114.20 | -3.1% | +14.4% | +65.7% | $120B |
| 96 | SBUXStarbucks Corporation | 0.17% | $108.57 | +0.1% | +28.9% | +16.3% | $124B |
| 97 | LOWLowe's Companies Inc. | 0.16% | $218.23 | +1.0% | -9.5% | -10.9% | $122B |
| 98 | GLWCorning Incorporated | 0.16% | $158.55 | -5.3% | +81.1% | +141.1% | $136B |
| 99 | PGRProgressive Corporation | 0.16% | $208.86 | +0.7% | -8.3% | -14.1% | $121B |
| 100 | CBChubb Limited | 0.16% | $344.50 | +0.3% | +10.4% | +27.7% | $134B |
Methodology#
Holdings and weights are sourced from the fund's portfolio as disclosed to the SEC on Form N-PORT — a public filing. Portfolio filings are quarterly (public ~60 days after quarter end), so we anchor on the latest one and roll each weight forward daily by that holding's price move, keeping the numbers current between filings; positions in stocks ChartRow doesn't track carry their filed weight unchanged and show "—" where we have no data. Returns are total returns (dividends reinvested). One row per company, not per ticker: when a fund holds more than one share class of the same company (Alphabet's GOOGL and GOOG, for example), we combine them into a single row whose weight is the sum of its classes. Past performance does not predict future returns; not investment advice.
FAQ#
- What are the top 10 holdings of VTI?
- VTI's top 10 holdings are NVIDIA Corporation (NVDA), 7.0%; Apple Inc. (AAPL), 6.0%; Microsoft Corporation (MSFT), 4.9%; Alphabet Inc. Class A (GOOGL), 4.8%; Amazon.com Inc. (AMZN), 3.4%; Broadcom Inc. (AVGO), 2.7%; Meta Platforms Inc. (META), 1.7%; Micron Technology Inc. (MU), 1.4%; Eli Lilly and Company (LLY), 1.4%; Tesla Inc. (TSLA), 1.3% — together about 35% of the fund, per its Mar 31, 2026 SEC filing with weights rolled forward to today.
- How many holdings does VTI have?
- Vanguard Total Stock Market ETF (VTI) held 3455 positions as of its latest SEC N-PORT filing (Mar 31, 2026).
- How current are VTI's holdings?
- Funds disclose their full portfolio to the SEC on Form N-PORT; the quarter-end report becomes public about 60 days later. ChartRow anchors on the latest public filing (Mar 31, 2026) and rolls each weight forward daily by that holding's price move, so the weights shown estimate today rather than the filing date.
- Is ChartRow affiliated with VTI or Vanguard?
- No. ChartRow is independent and is not affiliated with, sponsored by, or endorsed by Vanguard or Vanguard Total Stock Market ETF. Everything on this page is derived independently from the fund's public SEC filings; fund names and trademarks belong to their owners. For information only — not investment advice.
