Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3601 Holdings
1-50 of 3601 |   Next>

Holding Shares Market Value
Canadian Imperial Bank of Commerce0$0
Harvest Natural Resources Inc.51,829$1
Cobalt International Energy Inc.100$50
Bio-key International Inc.300$426
Meridian Waste Solutions Inc.600$606
JetPay Corp.400$760
Seventy Seven Energy Inc. Escrow Line7,222$794
GWG Holdings Inc.100$922
Stanley Furniture Co. Inc.1,200$1,020
Glen Burnie Bancorp100$1,137
Urban One Inc. Class A950$1,378
Cenveo Inc.1,675$1,524
Ciber Inc.401,000$2,406
Equitable Financial Corp.263$2,683
Interlink Electronics Inc.462$2,703
CPS Technologies Corp.2,000$2,720
Jewett-Cameron Trading Co. Ltd.185$2,775
DGSE Cos. Inc.2,900$3,016
FSB Bancorp Inc./NY200$3,288
Radisys Corp.4,700$3,509
MYnd Analytics Inc.1,200$4,332
Stewardship Financial Corp.500$4,700
Baldwin & Lyons Inc.225$5,338
Intelligent Systems Corp.1,383$5,351
Xcel Brands Inc.2,162$5,513
Electro-Sensors Inc.1,291$5,525
Micron Solutions Inc.1,608$5,869
Performant Financial Corp.3,662$6,592
HomeTown Bankshares Corp.600$6,672
Universal Travel Group42,843$6,855
Cambridge Bancorp100$7,300
Patriot National Inc.129,819$7,789
Rex Energy Corp.4,401$8,098
Youngevity International Inc.1,800$8,352
LM Funding America Inc.3,300$8,613
SilverSun Technologies Inc.2,301$9,365
Southwest Georgia Financial Corp.490$10,168
Viacom Inc. Class A300$10,215
NovaBay Pharmaceuticals Inc.2,451$10,294
US Antimony Corp.41,673$11,252
Tel-Instrument Electronics Corp.5,197$11,433
American Shared Hospital Services4,591$11,707
Professional Diversity Network Inc.2,485$11,878
Cinedigm Corp. Class A8,004$12,006
SAExploration Holdings Inc.8,164$13,471
TOR Minerals International Inc.2,580$13,803
JRjr33 Inc.80,833$14,421
Biomerica Inc.5,200$17,888
Coda Octopus Group Inc.3,731$19,737
Community West Bancshares1,924$19,913
3601 Holdings
1-50 of 3601 |   Next>