Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3582 Holdings
1-50 of 3582 |   Next>

Holding Shares Market Value
Allen Organ Co. Escrow Shares11,462$1
CTPartners Executive Search Inc.100,659$10
Gerber Scientific Inc. CVR388,581$39
NorthStar Realty Europe Corp.22$255
Micronet Enertec Technologies Inc.606$709
Seventy Seven Energy Inc. Escrow Line7,222$794
GWG Holdings Inc.100$1,080
Onconova Therapeutics Inc.488$1,479
Bridgford Foods Corp.153$1,749
Jewett-Cameron Trading Co. Ltd.185$2,220
CPS Technologies Corp.1,900$2,812
Radio One Inc. Class A950$2,993
US Antimony Corp.6,500$3,221
American Shared Hospital Services892$3,879
Interlink Electronics Inc.462$4,158
Social Reality Inc.1,882$4,253
Monster Digital Inc.3,800$4,522
Electro-Sensors Inc.1,291$5,061
Baldwin & Lyons Inc.225$5,220
Spanish Broadcasting System Inc.8,430$6,323
Intelligent Systems Corp.1,383$6,341
Issuer Direct Corp.600$6,480
Universal Travel Group42,843$6,855
LM Funding America Inc.1,700$6,987
Paramount Gold Nevada Corp.5,300$8,957
Medovex Corp.5,893$9,016
Bagger Dave's Burger Tavern Inc.151,742$9,105
Harte-Hanks Inc.6,962$9,747
Porter Bancorp Inc.1,131$10,620
Biomerica Inc.5,200$11,128
Finjan Holdings Inc.6,800$11,832
National Security Group Inc.800$12,864
GlassBridge Enterprises Inc.2,673$12,884
Viacom Inc. Class A300$14,625
Intersections Inc.4,274$17,181
TOR Minerals International Inc.2,580$17,931
SPAR Group Inc.19,446$19,835
Sears Hometown and Outlet Stores Inc.5,100$19,890
RiceBran Technologies25,262$21,223
Triangle Petroleum Corp.245,902$21,393
Tel-Instrument Electronics Corp.4,297$22,130
Otelco Inc. Class A3,254$22,778
Socket Mobile Inc.5,500$23,595
Long Island Iced Tea Corp.6,400$24,960
Koss Corp.12,072$25,713
Art's-Way Manufacturing Co. Inc.7,669$27,608
Pro-Dex Inc.6,000$27,900
Lake Shore Bancorp Inc.1,884$29,296
ITUS Corp.10,080$29,736
PHI Inc.2,644$30,670
3582 Holdings
1-50 of 3582 |   Next>