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VTCAX

Vanguard Communication Services Index Fund Admiral Shares
1W: -2.7% 1M: +0.3% 3M: -0.1% YTD: -2.1% 1Y: +1.7% 3Y: +85.0% 5Y: +35.2%
$96.89
+0.61 (+0.63%)
 
Weekly Expected Move ±3.1%
$90 $93 $96 $99 $102
ETF NASDAQ · AUM $6.2B
Total Changes (90d)
342
New Holdings
6
Removed Holdings
7
1063 changes · Page 1 of 22
Date Holding Name Ticker Change Type Old Value New Value
2026-09-16 FWONK FWONK shares 776283 767427
2026-09-16 MSGE MSGE shares 140405 138541
2026-09-16 GTM GTM shares 901408 823513
2026-09-16 APP APP shares 312059 487285
2026-09-16 SSTK SSTK shares 90170 89602
2026-09-16 STGW STGW shares 417316 312715
2026-09-16 UNIT UNIT shares 503269 503512
2026-09-16 SHEN SHEN shares 161443 159201
2026-09-16 GSAT GSAT shares 188147 185408
2026-09-16 BMBL BMBL shares 344811 342651
2026-09-16 NWSA NWSA shares 1335835 1302813
2026-09-16 IHRT IHRT shares 366374 364078
2026-09-16 SPCX SPCX shares 842835 1170398
2026-09-16 ANGI ANGI shares 102453 101813
2026-09-16 META META shares 2139902 2137818
2026-09-16 IBTA IBTA shares 36001 36639
2026-09-16 DV DV shares 503520 484231
2026-09-16 WLY WLY shares 140152 136319
2026-09-16 ZIP ZIP shares 241759 216094
2026-09-16 AMCX AMCX shares 113932 117010
2026-09-16 LBTYA LBTYA shares 600788 595691
2026-09-16 GOGO GOGO shares 270312 268601
2026-09-16 GTN GTN shares 322046 316898
2026-09-16 WBD WBD shares 5431183 5398510
2026-09-16 BATRK BATRK shares 172263 171435
2026-09-16 PSKY PSKY shares 1186208 1177587
2026-09-16 YELP YELP shares 189032 183395
2026-09-16 TKO TKO shares 242440 222801
2026-09-16 TDS TDS shares 350024 344974
2026-09-16 AMC AMC shares 3265608 3218925
2026-09-16 GOOGL GOOGL shares 2545700 2485430
2026-09-16 IRDM IRDM shares 338393 333696
2026-09-16 LLYVK LLYVK shares 163402 160984
2026-09-16 ROKU ROKU shares 476568 475389
2026-09-16 GRND GRND shares 124970 134577
2026-09-16 NCMI NCMI shares 221342 219959
2026-09-16 TMUS TMUS shares 897153 917101
2026-09-16 NXDR NXDR shares 854527 823911
2026-09-16 T T shares 10187647 10127020
2026-09-16 PUBM PUBM shares 132143 134286
2026-09-16 OMC OMC shares 1039155 1026785
2026-09-16 BAND BAND shares 105107 105686
2026-09-16 CCO CCO shares 882743 870972
2026-09-16 IMAX IMAX shares 162995 163209
2026-09-16 NWS NWS shares 421559 407150
2026-09-16 LUMN LUMN shares 3485146 3431847
2026-09-16 PPLI PPLI shares 221215 216416
2026-09-16 SCHL SCHL shares 50757 50019
2026-09-16 ASTS ASTS shares 805231 876810
2026-09-16 DJT DJT shares 582293 574262
1 2 3 ... 22 Next →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms