VSTCX Mutual Fund

VSTCX Mutual Fund

NAV$52.19
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Showing top 50 of 636 holdings · as of Mar 31, 2026
VSTCX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1
JAZZ
Jazz Pharmaceuticals Plc.Health Care · Pharmaceuticals
0.77%
0.8%100,698$19.04MHealth CarePharmaceuticals
2
BRX
Brixmor Property Group IncReal Estate · Equity Real Estate Investment Trusts (REITs)
0.73%
1.5%625,459$18.01MReal EstateEquity Real Estate Investment Trusts (REITs)
Sector and industry · Pro
3
ENS
Enersys
0.72%
2.2%101,900$17.70M
4
PRIM
Primoris Services Corp.
0.72%
2.9%124,267$17.78M
5
BPOP
Popular Inc_None_0
0.69%
3.6%126,274$16.94M
6
AMG
Affiliated Managers Group Inc.
0.66%
4.3%58,685$16.24M
7Zions Bancorp Na
0.66%
4.9%281,387$16.21M
8
ALSN
Allison Transmission Holdings Inc.
0.65%
5.6%136,135$15.94M
9
IONS
Ionis Pharmaceuticals Inc
0.63%
6.2%206,933$15.54M
10
ASB
Associated Banc-Corp
0.61%
6.8%585,296$15.14M
11Federated Investors Inc Class B
0.59%
7.4%255,175$14.47M
12
EXTR
Extreme Networks, Inc.
0.59%
8.0%960,864$14.49M
13
CRUS
Cirrus Logic Inc
0.59%
8.6%100,792$14.58M
14
FSLY
Fastly Inc Class A
0.58%
9.2%489,887$14.24M
15
NFG
National Fuel Gas Co
0.58%
9.8%152,589$14.34M
16
AVA
Avista Corp
0.57%
10.3%353,407$14.19M
17
TNL
Travel + Leisure Co.
0.57%
10.9%202,495$14.01M
18
SAM
Boston Beer Co., Inc. - Class A
0.56%
11.5%59,839$13.79M
19
ENVA
Enova International Inc
0.55%
12.0%100,187$13.61M
20First Hawaiia
0.54%
12.6%541,854$13.35M
21
BYD
Boyd Gaming Corp
0.54%
13.1%161,004$13.23M
22
PIPR
Piper Sandler Companies
0.54%
13.6%175,660$13.45M
23First Bancorp/puerto Rico
0.53%
14.2%-$13.15M
24
MTG
Mgic Investment Corp
0.52%
14.7%488,026$12.81M
25
EME
Emcor Group Inc
0.52%
15.2%17,449$12.88M
26
CSTM
Constellium Se Ordinary Shares
0.51%
15.7%512,534$12.60M
27
LC
Lendingclub Corp
0.51%
16.2%872,461$12.49M
28Essent Group Ltd
0.50%
16.7%-$12.31M
29
AIT
Applied Industrial Technologies Inc
0.50%
17.2%46,743$12.40M
30
LEG
Leggett & Platt Inc
0.49%
17.7%1,236,201$12.21M
31
BANC
Banc Of California Inc
0.49%
18.2%693,878$12.20M
32
SKYW
Skywest Inc
0.49%
18.7%132,042$12.13M
33
XHR
Xenia Hotels & Resorts Inc
0.49%
19.2%817,243$12.12M
34
OFC
Corporate Office Properties Trust
0.48%
19.7%384,801$11.77M
35
REX
Rex American Resources Corp
0.48%
20.1%262,249$11.95M
36
AXS
Axis Capital Holdings Ltd.
0.48%
20.6%117,245$11.89M
37
POR
Portland General
0.47%
21.1%222,101$11.72M
38
MYRG
Myr Group Inc
0.46%
21.6%40,231$11.36M
39
LASR
Nlight
0.46%
22.0%200,750$11.45M
40
MTDR
Matador Resources Co
0.46%
22.5%181,265$11.45M
41
GFF
Griffon Corp.
0.45%
22.9%152,652$11.09M
42
MTZ
Mastec Inc
0.45%
23.4%34,667$11.15M
43
BWXT
Bwx Technologies, Inc.
0.44%
23.8%52,818$10.80M
44
SAIC
Science Applications International Corp
0.42%
24.2%109,625$10.41M
45
FR
First Industrial Realty Trust, Inc
0.42%
24.7%180,081$10.42M
46
MATX
Matson Inc
0.41%
25.1%61,554$10.09M
47
ADT
Adt Inc
0.41%
25.5%1,550,473$10.19M
48
FLS
Flowserve Corp.
0.41%
25.9%137,142$10.08M
49
LPG
Dorian Lpg Ltd
0.41%
26.3%297,290$10.17M
50
OII
Oceaneering International Inc.
0.41%
26.7%284,088$10.08M
More holdings · Pro
Not reported for this fund: share changes.
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VSTCX Mutual Fund All Holdings

VSTCX holdings total 636 positions. The top 10 holdings account for 6.8% of the fund, led by Jazz Pharmaceuticals Plc. at 0.8%, Brixmor Property Group Inc at 0.7%, Enersys at 0.7%.

VSTCX portfolio concentration is well-diversified, with the top 10 representing 6.8% of total assets. The largest sector exposure is Financials at 16.6%.

VSTCX sectors provide a detailed breakdown. VSTCX overlap shows how holdings compare to other funds in your portfolio.