Vanguard Total Stock Market Index Fund VTSMX Portfolio

Investor Shares VTSMX
$182.67 +1.24 (+0.67%)
At close: Aug 27, 2026 · 4:00 PM EDT
Vanguard Total Stock Market Index Fund last reported its portfolio on Jul 31, 2026. Everything on this page is drawn from that filing.

Portfolio Snapshot

3,487 positions reported

Vanguard Total Stock Market Index Fund reported 3,487 positions worth $2.30T as of Jul 31, 2026. Its largest position is NVIDIA Corp. at 6.39% of the portfolio.

Holdings
3,487
positions on file
Portfolio Value
$2.30T
total market value
Top 10 Weight
33.2%
of the portfolio
Report Date
Jul 31, 2026
quarterly N-PORT filing

Sector

12 buckets
41.42%
Technology

Note. “Other / Unclassified” covers bonds, cash and foreign listings with no equity sector assigned. A large share of it is normal, particularly for a bond fund.

See this breakdown over time

Portfolio as of Jul 31, 2026.

Geography

15 buckets
97.39%
United States
See this breakdown over time

Portfolio as of Jul 31, 2026.

Asset Class

3 buckets
99.57%
Equity
See this breakdown over time

Portfolio as of Jul 31, 2026.

Security Type

2 buckets
99.56%
Corporate
See this breakdown over time

Portfolio as of Jul 31, 2026.

Holdings

3,487 Positions

As of Jul 31, 2026
Top 10 33.2%
# Holding Ticker Weight Market Value Sector Country Asset Class
1 NVIDIA Corp. NVDA 6.39% $146.96B Technology United States Equity
2 Apple Inc. AAPL 6.29% $144.47B Technology United States Equity
3 Microsoft Corp. MSFT 4.78% $109.92B Technology United States Equity
4 Amazon.com Inc. AMZN 3.64% $83.72B Consumer Discretionary United States Equity
5 Alphabet Inc. Class A GOOGL 2.89% $66.51B Technology United States Equity
6 Broadcom Inc. AVGO 2.55% $58.69B Technology United States Equity
7 Alphabet Inc. Class C GOOG 2.31% $53.04B Technology United States Equity
8 Facebook Inc. Class A META 1.69% $38.93B Technology United States Equity
9 Eli Lilly & Co. LLY 1.35% $31.01B Healthcare United States Equity
10 JPMorgan Chase & Co. JPM 1.31% $30.01B Financial Services United States Equity
11 Micron Technology Inc. MU 1.29% $29.55B Technology United States Equity
12 Berkshire Hathaway Inc. Class B BRKB 1.28% $29.31B Financial Services United States Equity
13 Tesla Inc. TSLA 1.21% $27.91B Consumer Discretionary United States Equity
14 Advanced Micro Devices Inc. AMD 1.08% $24.72B Technology United States Equity
15 ExxonMobil Holdings Corp. XOM 0.89% $20.52B Energy United States Equity
3,472 more holdings Create a free account to keep reading this fund's full portfolio.
Showing 15 of 3,487 holdings Source:
See these positions over time

Portfolio as of Jul 31, 2026.