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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%27.4221.780.53+15.99%+21.10%1.15
2101
DNUTKrispy Kreme Inc0.00%$3.30$587MGrocery StoresConsumer DefensiveN/AN/AN/AN/AN/AN/A46+31.82%$4.350.00%0.99
2102
LRMRLarimar Therapeutics Inc0.00%$3.20$366MBiotechnologyHealthcare-8.46%N/AN/AN/AN/AN/A77+372.19%$15-16.87%1.60
2103
KEKimball Electronics Inc0.00%$25.95$639MElectrical Equipment & PartsIndustrials-5.66%24.7325.970.52N/AN/A75+25.24%$33+3.71%1.29
2104
LELands' End Inc0.00%$11.27$375MApparel RetailConsumer Cyclical-11.47%68.0012.000.68N/AN/A75+188.38%$33-20.32%1.49
2105
LAKELakeland Industries Inc0.00%$9.79$106MApparel ManufacturingConsumer CyclicalN/AN/A45.05N/AN/AN/AN/A+58.32%$16-16.76%1.20
2106
LKFNLakeland Financial Corp0.00%$58.41$1.50BBanks - RegionalFinancial Services+4.01%13.8820.080.61N/AN/A60+12.14%$66+1.71%0.76
2107
LGNLegence Corp Ordinary Shares Class A0.00%$88.13$3.40BEngineering & ConstructionIndustrialsN/AN/A55.25N/AN/AN/A76+19.41%$1050.00%2.48
2108
LEGHLegacy Housing Corp0.00%$23.22$570MResidential ConstructionConsumer Cyclical+2.46%13.4612.250.61N/AN/A62+11.97%$26+3.62%0.70
2109
DRSLeonardo Drs Inc0.00%$45.61$12BAerospace & DefenseIndustrialsN/A41.6037.451.78N/AN/A72+15.98%$530.00%1.07
2110
LCIILci Industries Inc0.00%$106.71$2.74BRecreational VehiclesConsumer Cyclical+0.38%13.6612.580.39N/AN/A63+36.82%$146-3.24%1.01
2111
SWIMLatham Group Inc0.00%$5.28$655MBuilding Products & EquipmentIndustrialsN/A75.43N/AN/AN/AN/A56+54.17%$8.14-28.86%1.69
2112
LEN-BLennar Corp Class B0.00%$87.60$22BResidential ConstructionConsumer Cyclical+11.58%12.0014.330.74N/AN/AN/AN/AN/A+5.68%0.72
2113
TREELendingtree Inc0.00%$36.02$529MFinancial ConglomeratesFinancial ServicesN/A2.886.463.55N/AN/A87+82.76%$66-28.96%1.35
2114
LCLendingclub Corp0.00%$16.39$1.93BBanks - RegionalFinancial ServicesN/A10.9510.500.05N/AN/A87+40.68%$23+0.95%2.03
2115
FWONALiberty Media Corp A0.00%$79.73$29BEntertainmentCommunication ServicesN/A74.3160.240.62N/AN/A75+36.30%$109+15.87%0.64
2116
LMATLemaitre Vascular Inc0.00%$91.64$2.19BMedical Instruments & SuppliesHealthcare+25.11%34.8630.490.86N/AN/A69+29.58%$119+13.41%0.71
2117
LEGLeggett & Platt Inc0.00%$9.81$1.43BFurnishings, Fixtures & AppliancesConsumer Cyclical-7.11%6.1914.562.96N/AN/AN/A+17.29%$12-26.14%1.14
2118
LCNBLcnb Corp0.00%$16$239MBanks - RegionalFinancial Services+0.54%10.4013.050.25N/AN/A50+9.38%$18+3.41%0.74
2119
MECMayville Engineering Co Inc0.00%$32.58$553MMetal FabricationIndustrialsN/AN/A22.08N/AN/AN/A75+3.44%$34+11.60%0.79
2120
MXLMaxlinear Inc0.00%$91.39$9.05BSemiconductorsTechnology+6.97%N/A64.940.39N/AN/A68-36.24%$58+19.10%2.51
2121
MXCTMaxcyte Inc0.00%$1.20$116MMedical DevicesHealthcare+12.02%N/AN/AN/AN/AN/A67+242.25%$4.11-27.15%1.27
2122
MAXMediaalpha Inc Ordinary Shares Class A0.00%$8.28$481MInternet Content & InformationCommunication ServicesN/A86.407.36N/AN/AN/A78+65.58%$14-27.55%0.92
2123
MATWMatthews International Corp Class A0.00%$25.44$856MConglomeratesIndustrials-13.00%29.8811.150.07N/AN/A87+49.37%$38-5.00%0.97
2124
MPWMedical Properties Trust Inc0.00%$5.02$3BReit - Healthcare FacilitiesReal EstateN/AN/A6.67N/AN/AN/A42+2.99%$5.17-18.45%0.67
2125
MFINMedallion Financial Corp0.00%$9.57$229MCredit ServicesFinancial ServicesN/A6.237.690.77N/AN/AN/A+17.55%$11+4.94%0.67
2126
MCHBN/A0.00%$14.27$3.20BBanks - RegionalFinancial ServicesN/A11.32N/AN/AN/AN/A62+15.63%$17-76.24%0.40
2127
MHMcgraw Hill Inc0.00%$11.45$2.28BEducation & Training ServicesConsumer DefensiveN/A71.059.50N/AN/AN/A78+78.42%$200.00%0.76
2128
LTCLtc Properties Inc0.00%$35.09$1.91BReit - Healthcare FacilitiesReal Estate+16.50%15.4412.450.55N/AN/A56+16.86%$41+4.46%0.17
2129
MCYMercury General Corp0.00%$96.73$5.50BInsurance - Property & CasualtyFinancial Services+6.22%6.5519.760.03N/AN/AN/A+24.06%$120+13.02%0.68
2130
MBXMbx Biosciences Inc0.00%$30.05$1.52BBiotechnologyHealthcareN/AN/AN/AN/AN/AN/A75+129.92%$690.00%1.47
2131
MBIMbia Inc0.00%$5.70$292MInsurance - SpecialtyFinancial Services-6.95%N/A86.961.71N/AN/A75+27.30%$7.25+4.99%0.92
2132
MRBKMeridian Corp Ordinary Shares0.00%$17.88$211MBanks - RegionalFinancial Services-7.75%9.629.740.33N/AN/A87+23.04%$22+10.30%0.73
2133
MBINMerchants Bancorp0.00%$45.56$2.15BBanks - RegionalFinancial Services-0.32%9.39N/AN/AN/AN/A83+13.41%$52+10.96%0.91
2134
MBWMMercantile Bank Corp0.00%$50.91$906MBanks - RegionalFinancial Services+13.92%9.7810.870.57N/AN/A70+16.54%$59+13.35%0.88
2135
MGTXMeiragtx Holdings Plc0.00%$9.39$806MBiotechnologyHealthcare-1.60%N/A1.62N/AN/AN/A81+200.85%$28-8.59%1.27
2136
MEDMedifast Inc0.00%$12.23$141MPersonal ServicesConsumer CyclicalN/AN/A12.48N/AN/AN/AN/A-1.88%$12-46.43%0.50
2137
CRDFCardiff Oncology Inc0.00%$1.40$124MBiotechnologyHealthcare-0.54%N/AN/AN/AN/AN/AN/AN/AN/A-28.67%N/A
2138
CAPRCapricor Therapeutics Inc0.00%$27.64$1.68BBiotechnologyHealthcare+22.65%N/A78.74N/AN/AN/A80+95.77%$54+48.25%1.47
2139
MGRCMcgrath Rentcorp0.00%$106.94$2.74BRental & Leasing ServicesIndustrials+8.33%17.7116.751.12N/AN/A91+35.96%$145+6.99%0.73
2140
CBZCbiz Inc0.00%$32.25$1.74BSpecialty Business ServicesIndustrials+1.55%19.8716.691.46N/AN/A70+27.13%$41-0.37%0.55
2141
CBFVCb Financial Services Inc0.00%$33.92$179MBanks - RegionalFinancial ServicesN/A26.0412.991.12N/AN/A75+15.95%$39+13.46%0.47
2142
CATYCathay General Bancorp0.00%$56.51$3.85BBanks - RegionalFinancial Services+11.23%11.7210.100.43N/AN/A45+1.57%$57+9.36%0.94
2143
CENTACentral Garden & Pet Co Class A0.00%$33.41$2.13BPackaged FoodsConsumer Defensive+15.40%8.8210.150.14N/AN/A65+30.20%$44-3.78%0.58
2144
CPRXCatalyst Pharmaceuticals Inc0.00%$31.28$3.83BBiotechnologyHealthcare+20.98%17.3412.871.72N/AN/A75+4.22%$33+41.68%0.89
2145
MVSTMicrovast Holdings Inc0.00%$1.44$483MAuto PartsConsumer CyclicalN/AN/A8.11N/AN/AN/A75+281.94%$5.50-33.41%1.38
2146
MIAXMiami International Holdings Inc0.00%$40.33$4.73BCapital MarketsFinancial ServicesN/A39.38N/AN/AN/AN/A71+26.97%$510.00%0.66
2147
MGPIMgp Ingredients Inc0.00%$16.29$391MBeverages - Wineries & DistilleriesConsumer DefensiveN/AN/A11.161.13N/AN/A70+74.34%$28-25.18%0.51
2148
MDXGMimedx Group Inc0.00%$3.61$538MBiotechnologyHealthcareN/A17.3819.532.88N/AN/A79+80.06%$6.50-19.76%0.75
2149
MGEEMge Energy Inc0.00%$73.41$2.81BUtilities - Regulated ElectricUtilities+9.25%19.5925.251.88N/AN/A62+1.72%$75+1.65%0.28
2150
MAZEMaze Therapeutics Inc0.00%$24.86$1.30BBiotechnologyHealthcareN/AN/A8.53N/AN/AN/A77+151.61%$630.00%0.88

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%