VSTCX Mutual Fund

VSTCX Mutual Fund

NAV$50.18
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Showing top 50 of 681 holdings · as of Jun 30, 2026
VSTCX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1
JAZZ
Jazz Pharmaceuticals Plc.Health Care · Pharmaceuticals
0.79%
0.8%103,688$24.99MHealth CarePharmaceuticals
2—Zions Bancorp NaFinancials · Banks
0.73%
1.5%335,879$23.24MFinancialsBanks
Sector and industry · Pro
3
ENS
Enersys
0.73%
2.3%99,569$23.28M
4
EXTR
Extreme Networks, Inc.
0.73%
3.0%719,805$23.30M
5
BPOP
Popular Inc
0.73%
3.7%141,605$23.25M
6
AMG
Affiliated Managers Group Inc.
0.71%
4.4%66,387$22.47M
7
MKSI
Mks Instruments Inc
0.70%
5.1%50,152$22.31M
8—Mktliq
0.68%
5.8%21,518,839$21.52M
9
MYRG
Myrgroupinc.
0.67%
6.5%42,504$21.27M
10
VIRT
Virtu Financial Inc Class A
0.65%
7.1%344,652$20.53M
11
BRX
Brixmor Property Group Inc
0.62%
7.7%625,459$19.72M
12
HAPN
Happen Inc
0.62%
8.4%949,040$19.68M
13
ASB
Associated Banc-Corp
0.59%
8.9%604,372$18.60M
14
UCTT
Ultra Clean Hold
0.58%
9.5%129,681$18.49M
15
BANC
Banc Of California Inc
0.56%
10.1%865,758$17.69M
16—Ttm Techologies
0.53%
10.6%90,684$16.96M
17
IONS
Ionis Pharmaceuticals Inc
0.52%
11.1%206,933$16.41M
18
XHR
Xenia Hotels & Resorts Inc
0.52%
11.7%817,243$16.64M
19
ENVA
Enova International Inc. (usd)
0.52%
12.2%68,987$16.61M
20
CSTM
Constellium Se
0.51%
12.7%512,534$16.33M
21—First Hawaiia
0.50%
13.2%541,854$15.88M
22
AIT
Applied Industrial Technologies Inc
0.50%
13.7%46,743$15.81M
23
RARE
Ultragenyx Pharmaceutical Inc
0.50%
14.2%479,188$16.00M
24
AWR
American States Water Co
0.50%
14.7%193,896$16.02M
25
TNL
Travel + Leisure Co.
0.49%
15.2%202,495$15.48M
26
CVLT
Commvaultsystems Inc.
0.48%
15.7%107,190$15.19M
27
AVA
Avista Corp
0.47%
16.1%364,111$14.90M
28
GFF
Griffon Corp.
0.47%
16.6%152,652$14.89M
29
PECO
Phillips Edison & Company Inc.
0.46%
17.1%352,366$14.67M
30
PRLB
Proto Labs Inc
0.45%
17.5%176,033$14.35M
31
KALU
Kaiser Aluminum Corp
0.45%
18.0%72,547$14.19M
32
OFC
Corporate Office Properties Trust
0.44%
18.4%384,801$14.00M
33
MTG
Mgic Investment Corp
0.43%
18.8%488,026$13.76M
34—Federated Investors Inc.
0.43%
19.3%248,549$13.72M
35
TENB
Tenable Holdings Inc
0.43%
19.7%373,858$13.79M
36
EME
Emcor Group Inc
0.43%
20.1%16,525$13.71M
37
KEX
Kirby Corp
0.42%
20.5%97,914$13.31M
38
SKYW
Skywest Inc
0.41%
20.9%132,042$13.12M
39
MTZ
Mastec Inc
0.41%
21.4%31,185$12.97M
40
SANM
Sanmina Corp
0.40%
21.8%50,270$12.72M
41
TXG
10x Genomics Inc Com Usd 1 Cl A
0.40%
22.2%328,564$12.60M
42
AXS
Axis Capital Holdings Ltd.
0.40%
22.6%117,245$12.60M
43
PIPR
Piper Sandler Companies
0.40%
23.0%175,660$12.71M
44
MATX
Matson Inc
0.39%
23.3%64,610$12.42M
45
TILE
Interface Inc
0.39%
23.7%346,362$12.41M
46
NJR
New Jersey Res
0.39%
24.1%220,036$12.33M
47
VICR
Vicor Corp
0.39%
24.5%32,285$12.26M
48
NFG
National Fuel Gas Co
0.39%
24.9%158,818$12.26M
49—Ofg Bancorp
0.39%
25.3%251,242$12.33M
50
SAIC
Science Applications International Corp
0.38%
25.7%109,625$12.10M
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 7.1% of the fund, led by Jazz Pharmaceuticals Plc. at 0.8%, Zions Bancorp Na at 0.7%, Enersys at 0.7%.

VSTCX portfolio concentration is well-diversified, with the top 10 representing 7.1% of total assets. The largest sector exposure is Information Technology at 18.0%.

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