Vanguard Total Stock Market Index Fund

as of:
Stock Holdings

3580 Holdings
1-50 of 3580 |   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$267
Seventy Seven Energy Inc. Escrow Line7,222$794
GWG Holdings Inc.100$938
Ciber Inc.3,242$1,058
Onconova Therapeutics Inc.488$1,342
Sears Holdings Corp.189$1,482
Bridgford Foods Corp.153$1,879
Jewett-Cameron Trading Co. Ltd.185$2,313
US Antimony Corp.6,500$2,470
Radio One Inc. Class A950$2,613
CPS Technologies Corp.1,900$3,040
Sound Financial Bancorp Inc.104$3,068
GNC Holdings Inc. Class A414$3,436
Infosonics Corp.5,844$3,553
American Shared Hospital Services892$3,613
Fitbit Inc. Class A621$3,856
Interlink Electronics Inc.462$4,389
Social Reality Inc.1,882$4,649
American Realty Investors Inc.668$5,010
Electro-Sensors Inc.1,291$5,177
Baldwin & Lyons Inc.225$5,398
Monster Digital Inc.3,800$5,510
Issuer Direct Corp.600$6,060
Micronet Enertec Technologies Inc.4,744$6,310
Intelligent Systems Corp.1,383$6,334
Basic Energy Services Inc.168$6,616
Universal Travel Group42,843$6,855
LM Funding America Inc.1,700$6,987
Medovex Corp.5,893$7,013
Bagger Dave's Burger Tavern Inc.151,742$9,105
Paramount Gold Nevada Corp.5,300$9,275
Finjan Holdings Inc.6,800$9,520
Porter Bancorp Inc.1,131$10,688
Harte-Hanks Inc.6,962$10,791
Vestin Realty Mortgage II Inc.4,452$10,863
Biomerica Inc.5,200$12,792
Paragon Commercial Corp.267$13,345
Viacom Inc. Class A300$13,665
Greif Inc. Class B197$13,721
National Security Group Inc.800$14,392
FunctionX Inc.15,579$14,426
Gemphire Therapeutics Inc.1,600$14,880
Spring Bank Pharmaceuticals Inc.1,496$15,588
Intersections Inc.4,274$15,771
hhgregg Inc.123,625$16,071
Lake Shore Bancorp Inc.1,050$16,212
Unico American Corp.1,600$16,400
3580 Holdings
1-50 of 3580 |   Next>