Vanguard Total Stock Market Fund

as of:
Stock Holdings

3601 Holdings
3301-3350 of 3601 | <Prev  Next>

Holding Shares Market Value
Wireless Telecom Group Inc.185,057$449,689
Cyclacel Pharmaceuticals Inc.244,005$448,969
Pain Therapeutics Inc.109,368$439,659
Titan Pharmaceuticals Inc.283,616$439,605
ParkerVision Inc.331,909$438,120
Lands' End Inc.35,756$436,223
Trovagene Inc.738,894$435,947
Westwater Resources Inc.427,389$431,663
Biolase Inc.857,379$428,690
Zedge Inc. Class B143,177$420,940
Famous Dave's of America Inc.86,505$419,549
Tracon Pharmaceuticals Inc.154,856$418,111
Five Star Senior Living Inc.275,937$413,906
Emmis Communications Corp. Class A112,373$410,161
TechnipFMC plc14,185$406,258
Joint Corp.76,449$402,886
Live Ventures Inc.27,874$402,222
Enservco Corp.553,228$399,099
ClearSign Combustion Corp.175,146$398,457
Centrus Energy Corp. Class A91,778$392,810
Vertex Energy Inc.440,810$392,321
Hudson Global Inc.286,626$384,079
Synlogic Inc.37,421$382,068
IsoRay Inc.848,470$381,812
Solitario Zinc Corp.605,274$381,323
Good Times Restaurants Inc.154,244$377,898
Cleveland BioLabs Inc.155,269$377,304
ONE Group Hospitality Inc.165,711$376,164
HV Bancorp Inc.24,924$373,860
Biocept Inc.512,481$368,986
Neuralstem Inc.323,301$368,563
Oncobiologics Inc.298,375$367,001
First Acceptance Corp.280,268$364,348
Odyssey Marine Exploration Inc.93,730$361,798
Orion Energy Systems Inc.393,206$361,750
Chicago Rivet & Machine Co.11,328$348,902
Netlist Inc.1,089,336$348,588
General Moly Inc.1,017,058$345,800
Vical Inc.194,881$342,991
Cemtrex Inc.120,430$336,000
Reed's Inc.176,831$335,979
Apricus Biosciences Inc.211,849$334,721
Kona Grill Inc.152,060$330,731
Westmoreland Coal Co.287,003$330,053
Lantronix Inc.164,876$329,752
CSP Inc.30,760$329,132
Rush Enterprises Inc. Class B7,149$328,783
DLH Holdings Corp.51,584$326,011
Aethlon Medical Inc.315,217$324,674
Sunworks Inc.317,501$323,851
3601 Holdings
3301-3350 of 3601 | <Prev  Next>