V

    VTSAX (VTSAX)

    Diversified Equity • Large Blend

    $184.65
    -0.67 (-0.36%)

    Last updated: Aug 28, 2026 at 5:00 PM ET

    Dividends

    Dividend Metrics

    Yield1.02%
    Annual/Share$1.88
    Pay MonthsMar, Jun, Sep, Dec

    Growth

    3Y CAGR+5.61%
    5Y CAGR+6.25%
    View VTSAX's full dividend history

    VTSAX (VTSAX)

    Large Blend • USA

    Net Assets (AUM)N/A
    Expense RatioN/A
    Dividend YieldN/A
    Portfolio TurnoverN/A
    Inception DateN/A

    Sector Allocations

    Technology32.2%
    Financial Services11.0%
    Communication Services10.0%
    Consumer Cyclical10.0%
    Healthcare9.5%
    Industrials8.0%
    Consumer Defensive4.4%
    Energy2.9%
    Unknown2.8%
    Utilities2.2%
    Basic Materials1.4%
    Real Estate0.2%
    Sector Equity0.0%
    Financials0.0%

    Note: Total allocation shown is 94.5%. Some sectors may not be classified.

    Technical Indicators

    RSI: Neutral
    RSI (14)55.29
    VWAP
    $184.650

    Simple Moving Averages

    SMA 10
    $184.43
    SMA 20
    $184.89
    SMA 50
    $181.32
    SMA 200
    $169.76

    Exponential Moving Averages

    EMA 10
    $184.49
    EMA 20
    $183.92
    EMA 50
    $181.52
    EMA 200
    $170.80

    Holdings (3,099)

    Holdings as of May 26, 2026
    Rank
    Symbol
    Name
    Weight
    1NVDANVIDIA Corp6.57%
    2AAPLApple Inc6.13%
    3MSFTMicrosoft Corp5.49%
    4AMZNAmazon.com Inc3.39%
    5GOOGLAlphabet Inc2.78%
    6AVGOBroadcom Inc2.50%
    7GOOGAlphabet Inc2.20%
    8METAMeta Platforms Inc2.20%
    9TSLATesla Inc1.94%
    10LLYEli Lilly & Co1.40%
    11BRK/BBerkshire Hathaway Inc1.38%
    12JPMJPMorgan Chase & Co1.28%
    13VVisa Inc0.89%
    14XOMExxon Mobil Corp0.78%
    15JNJJohnson & Johnson0.76%
    16WMTWalmart Inc0.75%
    17MAMastercard Inc0.70%
    18ABBVAbbVie Inc0.62%
    19NFLXNetflix Inc0.61%
    20PLTRPalantir Technologies Inc0.59%
    21COSTCostco Wholesale Corp0.58%
    22AMDAdvanced Micro Devices Inc0.53%
    23BACBank of America Corp0.53%
    24HDHome Depot Inc/The0.52%
    25PGProcter & Gamble Co/The0.51%
    Showing 1-25 of 3099
    Show:
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