ETF:VTWG | ETF Holdings Page 10 | VANGUARD RUSSELL 2000 GROWTH INDEX FUND

VTWG ETF holdings Page 10

Weights reproduce the dated portfolio and may not sum to exactly 100% because of cash, derivatives, rounding, liabilities, or other positions. Provenance stays internal.

Snapshot fieldReported value
FundVANGUARD RUSSELL 2000 GROWTH INDEX FUND
Report date2026-02-28
Reported holdings1,128
SEC series IDS000030005

Positions 901–1,000 of 1,128

TickerIssuerWeightValue (USD)Balance
GOSSGossamer Bio Inc0.005166%74,301.41174,868 NS
KIDSOrthoPediatrics Corp0.005087%73,171.893,817 NS
Gambling.com Group LtdGambling.com Group Ltd0.00507%72,925.3616,726 NS
SANASana Biotechnology Inc0.004973%71,536.3216,992 NS
MYFWFirst Western Financial Inc0.004972%71,520.122,828 NS
First Internet BancorpFirst Internet Bancorp0.00497%71,4873,525 NS
USCBUSCB Financial Holdings Inc0.004944%71,120.013,757 NS
CBNKCapital Bancorp Inc0.004932%70,936.922,412 NS
OBKOrigin Bancorp Inc0.004853%69,804.81,678 NS
CDXSCodexis Inc0.004801%69,061.7868,378 NS
HOPEHope Bancorp Inc0.00477%68,607.186,093 NS
YORWYork Water Co/The0.004759%68,456.162,082 NS
PMTSCPI Card Group Inc0.004739%68,168.875,558 NS
ZVIAZevia PBC0.004719%67,876.3650,654 NS
INNVInnovage Holding Corp0.004648%66,850.567,461 NS
Falcon's Beyond Global IncFalcon's Beyond Global Inc0.004619%66,439.4410,253 NS
CWBCCommunity West Bancshares0.0046%66,159.042,848 NS
DINDine Brands Global Inc0.004595%66,099.62,135 NS
OMDAOmada Health Inc0.004594%66,078.685,381 NS
SSTISoundThinking Inc0.004592%66,050.49,048 NS
LifeMD IncLifeMD Inc0.004582%65,903.6124,683 NS
EMBCEmbecta Corp0.00456%65,592.186,393 NS
REPXRiley Exploration Permian Inc0.004555%65,524.482,272 NS
Diamond Hill Investment Group IncDiamond Hill Investment Group Inc0.004505%64,794.99377 NS
MTRXMatrix Service Co0.00439%63,148.545,746 NS
DMRCDigimarc Corp0.004383%63,044.3614,312 NS
CARLCarlsmed Inc0.004356%62,6514,300 NS
MAZEMaze Therapeutics Inc0.004307%61,956.811,359 NS
EGYVAALCO Energy Inc0.004225%60,77011,800 NS
WTTRSelect Water Solutions Inc0.004203%60,462.414,423 NS
Rocket Pharmaceuticals IncRocket Pharmaceuticals Inc0.004155%59,764.2911,929 NS
SMTISanara Medtech Inc0.00406%58,397.082,857 NS
FPSForgent Power Solutions Inc0.004041%58,119.11,690 NS
Northfield Bancorp IncNorthfield Bancorp Inc0.004025%57,895.64,340 NS
California BanCorpCalifornia BanCorp0.004023%57,859.63,160 NS
ALNTAllient Inc0.004019%57,807.52878 NS
IIIInformation Services Group Inc0.003992%57,426.5911,939 NS
American Integrity Insurance GAmerican Integrity Insurance G0.003955%56,885.842,794 NS
Flotek Industries IncFlotek Industries Inc0.003922%56,411.253,675 NS
Livewire Group IncLivewire Group Inc0.003876%55,752.4833,186 NS
LUNGPulmonx Corp0.00387%55,669.7235,234 NS
Avita Medical IncAvita Medical Inc0.003861%55,531.211,040 NS
FTLFFitLife Brands Inc0.003837%55,194.243,648 NS
MAPSWM Technology Inc0.003834%55,152.5982,502 NS
Emerald Holding IncEmerald Holding Inc0.003802%54,681.2113,113 NS
ITICInvestors Title Co0.003756%54,030.6234 NS
AIROAIRO Group Holdings Inc0.003724%53,566.85,466 NS
OPTUOptimum Communications Inc0.003712%53,38837,075 NS
CRDFCardiff Oncology Inc0.003705%53,293.7427,471 NS
BRCCBRC Inc0.00368%52,933.484,088 NS
CHRSCoherus Oncology Inc0.003668%52,763.6531,595 NS
NRDYNerdy Inc0.003655%52,578.7154,497 NS
New Issuer: BB Company ID:69708088New Issuer: BB Company ID:697080880.003626%52,159.5444,203 NS
ARKOArko Corp0.003596%51,729.358,045 NS
ARAYAccuray Inc0.003589%51,623.8889,392 NS
LAWCS Disco Inc0.003586%51,587.2515,873 NS
HURATuHURA Biosciences Inc0.003585%51,572.9430,882 NS
West BanCorp IncWest BanCorp Inc0.003584%51,548.952,117 NS
WLFCWillis Lease Finance Corp0.003583%51,538.63253 NS
AEYEAudioEye Inc0.003567%51,313.687,524 NS
CSPICSP Inc0.003503%50,392.935,593 NS
EVGOEVgo Inc0.00345%49,624.1418,111 NS
FENCFennec Pharmaceuticals Inc0.003433%49,377.845,816 NS
LUCDLucid Diagnostics Inc0.003425%49,263.8434,211 NS
AMPHAmphastar Pharmaceuticals Inc0.003422%49,219.592,433 NS
BARKBARK Inc0.003421%49,205.4962,979 NS
BWFGBankwell Financial Group Inc0.003419%49,175.11,053 NS
Ategrity Specialty Holdings LLCAtegrity Specialty Holdings LLC0.003386%48,708.242,202 NS
F&G Annuities & Life IncF&G Annuities & Life Inc0.003319%47,746.22,108 NS
FCCOFirst Community Corp/SC0.003312%47,639.461,653 NS
Airship AI Holdings IncAirship AI Holdings Inc0.003298%47,431.0217,374 NS
SMBCSouthern Missouri Bancorp Inc0.003297%47,423.06766 NS
OSPNOneSpan Inc0.003283%47,229.124,278 NS
JCAPJefferson Capital Inc0.003236%46,541.282,256 NS
PFISPeoples Financial Services Corp0.003235%46,524.8868 NS
LFVNLifevantage Corp0.00322%46,318.659,961 NS
STIMNeuronetics Inc0.003187%45,837.3834,207 NS
Solid Power IncSolid Power Inc0.003163%45,492.5412,851 NS
PLPCPreformed Line Products Co0.003139%45,149.7178 NS
EPEmpire Petroleum Corp0.002992%43,035.313,041 NS
Forafric Global PLCForafric Global PLC0.002954%42,484.684,398 NS
INRInfinity Natural Resources Inc0.002952%42,462.82,558 NS
Viad CorpViad Corp0.002939%42,268.161,216 NS
AIPArteris Inc0.002921%42,016.272,473 NS
TECXTectonic Therapeutic Inc0.002871%41,295.451,761 NS
SIShoulder Innovations Inc0.002853%41,032.563,026 NS
Angel Oak Mortgage REIT IncAngel Oak Mortgage REIT Inc0.002826%40,652.044,738 NS
ISPRIspire Technology Inc0.002814%40,478.7517,225 NS
RMRegional Management Corp0.002783%40,029.561,258 NS
Humacyte IncHumacyte Inc0.002704%38,901.2434,889 NS
RXTRackspace Technology Inc0.002698%38,810.8519,903 NS
TZOOTravelzoo0.002671%38,416.25,956 NS
PLTKPlaytika Holding Corp0.002663%38,303.6412,396 NS
Hingham Institution For Savings TheHingham Institution For Savings The0.002639%37,960.32136 NS
OPALOPAL Fuels Inc0.002525%36,313.7517,375 NS
Day One Biopharmaceuticals IncDay One Biopharmaceuticals Inc0.002483%35,711.43,369 NS
IIIVI3 Verticals Inc0.002457%35,338.021,579 NS
Marine Products CorpMarine Products Corp0.002455%35,316.274,653 NS
Arena Group Holdings Inc/TheArena Group Holdings Inc/The0.00244%35,099.0512,145 NS
AKBAAkebia Therapeutics Inc0.002378%34,201.4826,108 NS

Research interface only. Not investment advice. Prices are a checked-in snapshot, not live quotes.