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All 2206 VTHR (VANGUARD RUSSELL 3000 INDEX FUND ETF SHARES) Holdings

There are 2206 VTHR holdings. Top 10 companies weight: 34.83%.

Screener with all companies

Total Market Cap: $73T
Rank
Average(2,206 stocks)+25.23%27.4221.820.53+14.70%+21.58%1.17
101
DEDeere & Co0.17%$579.47$143BFarm & Heavy Construction MachineryIndustrials+7.86%31.0630.771.63N/AN/A68+10.81%$642+11.51%0.71
102
CEGConstellation Energy Corp0.17%$272.65$105BUtilities - Independent Power ProducersUtilitiesN/A25.2222.571.26N/AN/A78+34.98%$3680.00%1.64
103
PHParker Hannifin Corp0.17%$836.32$108BSpecialty Industrial MachineryIndustrials+20.17%30.8824.211.84N/AN/A71+23.46%$1.03K+23.60%1.27
104
ADPAutomatic Data Processing Inc0.16%$231.18$87BSoftware - ApplicationTechnology+13.29%20.1919.232.07N/AN/A50+6.55%$246+5.48%0.48
105
BXBlackstone Inc0.16%$114.96$91BAsset ManagementFinancial Services+18.70%33.4919.461.68N/AN/A67+24.96%$144+8.11%1.49
106
CMECme Group Inc Class A0.15%$250.53$100BFinancial Data & Stock ExchangesFinancial Services+14.51%24.8222.371.32N/AN/A56+22.33%$306+7.22%N/A
107
SBUXStarbucks Corp0.15%$95.51$116BRestaurantsConsumer Cyclical-11.79%66.4932.791.70N/AN/A60+11.24%$106-0.69%0.97
108
DUKDuke Energy Corp0.15%$121.09$98BUtilities - Regulated ElectricUtilities+28.45%18.9817.892.58N/AN/A63+14.56%$139+7.63%N/A
109
MOAltria Group Inc0.15%$69.25$121BTobaccoConsumer Defensive+15.68%15.1312.251.65N/AN/A53+1.60%$70+15.53%N/A
110
LMTLockheed Martin Corp0.15%$513.58$122BAerospace & DefenseIndustrials+1.80%23.9217.611.13N/AN/A59+21.73%$625+8.69%0.15
111
CMCSAComcast Corp Class A0.15%$24.85$91BTelecom ServicesCommunication Services+15.49%4.677.470.12N/AN/A54+31.75%$33-10.33%0.52
112
NEMNewmont Corp0.15%$109.50$116BGoldBasic Materials+82.55%13.0611.090.04N/AN/A72+30.64%$143+12.22%0.72
113
BMYBristol-myers Squibb Co0.15%$54.46$117BDrug Manufacturers - GeneralHealthcare+5.08%13.549.06183.93N/AN/A61+15.83%$63+0.55%0.26
114
SOSouthern Co0.15%$90.51$105BUtilities - Regulated ElectricUtilities+3.88%19.6519.492.67N/AN/A55+11.97%$101+11.03%N/A
115
CVSCvs Health Corp0.15%$89.50$117BHealthcare PlansHealthcare-16.42%39.9712.300.26N/AN/A76+14.92%$103+3.93%0.32
116
ICEIntercontinental Exchange Inc0.14%$142.38$85BFinancial Data & Stock ExchangesFinancial Services+13.08%21.6521.010.51N/AN/A81+40.14%$200+6.35%0.42
117
TMUST-mobile Us Inc0.14%$188.83$207BTelecom ServicesCommunication Services+31.09%20.1117.790.76N/AN/A80+38.12%$261+6.76%0.16
118
SPOTSpotify Technology Sa0.14%$501.50$107BInternet Content & InformationCommunication ServicesN/A34.2534.360.23N/AN/A76+21.77%$611+16.65%0.97
119
MMCMarsh & Mclennan Companies Inc0.14%$182.70$88BInsurance BrokersFinancial Services+20.11%19.9417.321.56N/AN/A59+15.33%$211+11.92%0.33
120
MMM3m Co0.14%$152.91$81BConglomeratesIndustrials-12.00%29.4617.451.62N/AN/A61+12.62%$172+1.24%0.99
121
HOODRobinhood Markets Inc Class A0.14%$88.16$69BCapital MarketsFinancial ServicesN/A41.6146.080.14N/AN/A68+12.03%$990.00%2.76
122
TTTrane Technologies Plc Class A0.14%$458.92$101BBuilding Products & EquipmentIndustrials+14.59%35.0430.402.42N/AN/A62+13.36%$520+21.61%1.00
123
AMTAmerican Tower Corp0.13%$185.53$86BReit - SpecialtyReal Estate+7.70%28.7128.330.46N/AN/A73+16.50%$216-3.89%N/A
124
GDGeneral Dynamics Corp0.13%$337.66$93BAerospace & DefenseIndustrials+7.36%22.0121.230.96N/AN/AN/AN/AN/A+14.51%N/A
125
HCAHca Healthcare Inc0.13%$367.35$87BMedical Care FacilitiesHealthcare+16.92%13.1712.220.45N/AN/A66+39.09%$511+12.43%0.30
126
ORLYO'reilly Automotive Inc0.13%$86.23$74BAuto PartsConsumer Cyclical+11.33%28.8327.102.33N/AN/A74+28.47%$111+19.61%0.22
127
NOCNorthrop Grumman Corp0.12%$536.59$78BAerospace & DefenseIndustrials+3.10%17.1719.270.66N/AN/A65+29.89%$697+9.68%0.06
128
SNOWSnowflake Inc Ordinary Shares0.12%$261.14$59BSoftware - ApplicationTechnologyN/AN/A144.93N/AN/AN/A76+7.72%$281+1.84%1.45
129
WMWaste Management Inc0.12%$211.93$87BWaste ManagementIndustrials+10.53%32.2725.772.19N/AN/A69+20.81%$256+10.16%0.19
130
SHWSherwin-williams Co0.12%$293$76BSpecialty ChemicalsBasic Materials+6.01%29.5725.062.40N/AN/A66+30.48%$382+1.64%0.74
131
SNPSSynopsys Inc0.12%$508.35$101BSoftware - InfrastructureTechnology-4.80%126.7732.573.47N/AN/A67+10.24%$560+15.20%1.57
132
HWMHowmet Aerospace Inc0.12%$250.73$103BAerospace & DefenseIndustrials+45.13%60.5752.080.88N/AN/A76+20.94%$303+48.84%1.23
133
JCIN/A0.12%$141.98$85BBuilding Products & EquipmentIndustrials-11.43%36.9723.360.61N/AN/A60+6.25%$151+18.73%1.14
134
REGNRegeneron Pharmaceuticals Inc0.12%$602.92$65BBiotechnologyHealthcare+20.31%14.9813.3983.17N/AN/A72+38.21%$833+3.75%0.64
135
CRHCrh Plc0.12%$106.54$75BBuilding MaterialsBasic MaterialsN/A20.5518.731.48N/AN/AN/AN/AN/A+18.42%N/A
136
BKBank Of New York Mellon Corp0.12%$141.28$95BBanks - DiversifiedFinancial Services+14.78%16.9515.480.52N/AN/AN/AN/AN/A+25.45%N/A
137
PAYXPaychex Inc0.12%$100.79$34BSoftware - ApplicationTechnology+9.22%20.7317.271.64N/AN/A47+0.87%$102+2.84%0.51
138
MRVLMarvell Technology Inc0.12%$290.79$168BSemiconductorsTechnologyN/A63.6754.052.33N/AN/A76-23.47%$223+44.43%2.44
139
ELVElevance Health Inc0.12%$388.99$85BHealthcare PlansHealthcare+3.82%16.5215.041.43N/AN/A70+4.79%$408+1.08%0.25
140
USBU.s. Bancorp0.12%$54.60$85BBanks - RegionalFinancial Services+1.81%11.4010.590.54N/AN/A67+16.39%$64+2.24%0.98
141
MCOMoodys Corp0.12%$453.57$80BFinancial Data & Stock ExchangesFinancial Services+14.37%32.1728.091.30N/AN/A71+18.17%$536+7.25%0.94
142
NKENike Inc Class B0.11%$43.73$68BFootwear & AccessoriesConsumer Cyclical-7.28%24.0023.811.58N/AN/A60+38.99%$61-18.75%0.92
143
WMBWilliams Companies Inc0.11%$71.31$91BOil & Gas MidstreamEnergy+26.09%33.0629.672.27N/AN/A74+16.07%$83+26.79%0.52
144
MARMarriott International Inc Class A0.11%$373.76$103BLodgingConsumer Cyclical+18.24%37.4732.683.26N/AN/A59+1.05%$378+22.61%1.05
145
UPSUnited Parcel Service Inc Class B0.11%$108.93$89BIntegrated Freight & LogisticsIndustrials-3.93%19.0915.221.65N/AN/A56+3.63%$113-8.43%0.72
146
TDGTransdigm Group Inc0.11%$1,246.98$72BAerospace & DefenseIndustrials+18.45%36.9927.253.14N/AN/A71+22.22%$1.52K+17.81%0.79
147
EMREmerson Electric Co0.11%$142.06$78BSpecialty Industrial MachineryIndustrials+4.14%32.1019.8010.26N/AN/A65+15.25%$164+10.01%1.33
148
PNCPnc Financial Services Group Inc0.11%$221$89BBanks - RegionalFinancial Services+7.53%13.0811.780.91N/AN/A73+15.48%$255+6.25%0.90
149
AONAon Plc Class A0.11%$317.87$68BInsurance BrokersFinancial Services+25.21%21.3616.580.77N/AN/A65+21.20%$385+5.64%0.27
150
MDLZMondelez International Inc Class A0.11%$61.07$80BConfectionersConsumer Defensive-3.90%34.3020.161.02N/AN/A71+10.05%$67+1.74%0.09

VTHR (VANGUARD RUSSELL 3000 INDEX FUND ETF SHARES) Sector Allocation

INFORMATION TECHNOLOGY
31.80%
FINANCIALS
11.50%
CONSUMER DISCRETIONARY
10.30%
COMMUNICATION SERVICES
10.00%
HEALTHCARE
9.90%
INDUSTRIALS
9.00%
CONSUMER STAPLES
4.50%
ENERGY
2.90%
UTILITIES
2.30%
MATERIALS
1.90%