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VANGUARD INSTITUTIONAL TOTAL STOCK MARKET INDEX FUND (VITNX) is an MF managed by Vanguard. Its largest position is NVIDIA CORP (NVDA), representing 6.40% of fund assets.

VANGUARD INSTITUTIONAL TOTAL STOCK MARKET INDEX FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
VITNX
Type:
MF
Manager:
Vanguard
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 28, 2026
Showing 50 out of 3091 holdings
Holding Weight Market Value Shares
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NVIDIA CORP
6.40% $1,938,687,080.00 11,116,325
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Apple Inc.
5.93% $1,794,115,109.10 7,069,290
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MICROSOFT CORP
4.37% $1,323,606,874.41 3,575,673
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AMAZON COM INC
3.20% $969,025,118.45 4,652,735
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Alphabet Inc.
2.66% $805,243,340.72 2,800,262
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Broadcom Inc.
2.33% $706,677,874.65 2,283,215
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Alphabet Inc.
2.11% $639,536,010.96 2,229,436
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Meta Platforms, Inc.
1.99% $602,650,274.85 1,053,345
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Tesla, Inc.
1.66% $503,946,530.50 1,355,606
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BERKSHIRE HATHAWAY INC
1.32% $400,962,453.60 836,733
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ELI LILLY & Co
1.24% $376,136,262.42 408,946
-
JPMORGAN CHASE & CO
1.19% $360,260,399.44 1,224,709
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ExxonMobil Holdings Corp
1.12% $340,365,105.60 2,006,160
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JOHNSON & JOHNSON
0.94% $283,636,198.44 1,160,351
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Walmart Inc.
0.87% $262,432,506.44 2,111,623
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VISA INC.
0.73% $221,946,921.60 734,340
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COSTCO WHOLESALE CORP /NEW
0.70% $212,922,144.55 213,685
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NETFLIX INC
0.65% $195,531,409.20 2,033,608
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Mastercard Inc
0.63% $191,630,602.52 383,522
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CHEVRON CORP
0.62% $188,858,113.10 912,799
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AbbVie Inc.
0.61% $185,266,681.60 851,840
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MICRON TECHNOLOGY INC
0.60% $183,176,848.00 542,200
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APPLIED MATERIALS INC /DE
0.59% $177,955,028.22 177,972,826
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PROCTER & GAMBLE Co
0.53% $161,729,468.00 1,119,700
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ADVANCED MICRO DEVICES INC
0.53% $159,770,056.83 785,381
-
CATERPILLAR INC
0.52% $158,848,067.36 224,216
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HOME DEPOT, INC.
0.52% $157,649,803.71 479,339
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Palantir Technologies Inc.
0.51% $153,414,953.28 1,048,776
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BANK OF AMERICA CORP /DE/
0.48% $146,129,538.75 2,997,529
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Merck & Co., Inc.
0.47% $143,321,204.56 1,191,464
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GENERAL ELECTRIC CO
0.45% $136,222,369.65 480,045
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CISCO SYSTEMS, INC.
0.44% $132,792,258.99 1,711,461
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APPLIED MATERIALS INC /DE
0.43% $130,701,521.37 382,403
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LAM RESEARCH CORP
0.42% $128,582,724.60 601,810
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COCA COLA CO
0.42% $125,964,428.85 1,656,337
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RTX Corp
0.41% $124,713,322.20 646,518
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Philip Morris International Inc.
0.41% $124,040,382.76 750,214
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ORACLE CORP
0.40% $122,199,863.70 830,670
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WELLS FARGO & COMPANY/MN
0.39% $118,351,649.23 1,486,643
-
UNITEDHEALTH GROUP INC
0.39% $118,109,558.51 436,489
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GOLDMAN SACHS GROUP INC
0.38% $114,778,001.27 135,673
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GE Vernova Inc.
0.37% $113,413,278.30 129,927
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LINDE PLC
0.37% $110,674,949.68 223,243
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INTERNATIONAL BUSINESS MACHINES CORP
0.36% $109,604,152.59 452,181
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MCDONALDS CORP
0.35% $106,347,986.94 342,186
-
PEPSICO INC
0.34% $102,232,686.86 658,334
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AT&T INC.
0.32% $97,720,419.68 3,370,832
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MORGAN STANLEY
0.31% $94,461,698.87 573,991
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NEXTERA ENERGY INC
0.31% $93,201,271.92 1,003,459
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KLA CORP
0.31% $92,992,998.37 63,157
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