ETF:VTWG | ETF Holdings Page 11 | VANGUARD RUSSELL 2000 GROWTH INDEX FUND

VTWG ETF holdings Page 11

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 1,001–1,100 of 1,128

TickerIssuerWeightValue (USD)Balance
NNOXNano-X Imaging Ltd0.002369%34,078.2314,379 NS
PESIPerma-Fix Environmental Services Inc0.002366%34,031.82,495 NS
AEBIAebi Schmidt Holding AG0.002359%33,930.262,353 NS
BOOMDMC Global Inc0.002358%33,920.515,759 NS
DNUTKrispy Kreme Inc0.002349%33,787.59,010 NS
TriSalus Life Sciences IncTriSalus Life Sciences Inc0.002276%32,743.266,471 NS
ACTUActuate Therapeutics Inc0.002231%32,092.948,581 NS
EVCEntravision Communications Corp0.002213%31,833.910,269 NS
BCAXBicara Therapeutics Inc0.002184%31,412.161,872 NS
CLBKColumbia Financial Inc0.002139%30,770.11,719 NS
PCBPCB Bancorp0.002092%30,096.561,346 NS
Ranger Bermuda Topco LtdRanger Bermuda Topco Ltd0.00208%29,918.161,944 NS
Meridian CorpMeridian Corp0.002077%29,879.281,537 NS
Prothena Corp PLCProthena Corp PLC0.002036%29,278.593,377 NS
GNEGenie Energy Ltd0.002001%28,783.931,981 NS
EXFYExpensify Inc0.001997%28,717.7230,226 NS
HZOMarineMax Inc0.001976%28,426932 NS
MECMayville Engineering Co Inc0.001955%28,1191,339 NS
LMRILumexa Imaging Holdings Inc0.001941%27,912.361,974 NS
BYNDBeyond Meat Inc0.001937%27,867.7829,471 NS
Bakkt Holdings Inc/USBakkt Holdings Inc/US0.001927%27,7242,900 NS
ANDGAndersen Group Inc0.001906%27,409.61,184 NS
INSGInseego Corp0.001886%27,132.952,197 NS
AROWArrow Financial Corp0.001864%26,814.55805 NS
US Goldmining IncUS Goldmining Inc0.001844%26,523.092,202 NS
RMNIRimini Street Inc0.001803%25,928.46,970 NS
FULCFulcrum Therapeutics Inc0.001766%25,408.163,032 NS
EVMNEvommune Inc0.001764%25,376976 NS
OmniAb IncOmniAb Inc0.001755%25,246.1614,678 NS
VALUValue Line Inc0.001727%24,836.24676 NS
ALMUAeluma Inc0.001713%24,643.711,593 NS
INMBInmune Bio Inc0.001699%24,437.7618,944 NS
QTRXQuanterix Corp0.001697%24,411.853,727 NS
BMBLBumble Inc0.00169%24,310.887,997 NS
TKNOAlpha Teknova Inc0.001665%23,942.49,280 NS
MYOMyomo Inc0.001657%23,829.730,748 NS
SFIXStitch Fix Inc0.00164%23,596.387,086 NS
SLSNSolesence Inc0.001576%22,663.6817,706 NS
Alta Equipment Group IncAlta Equipment Group Inc0.001565%22,507.83,262 NS
EQPTEquipmentShare.com Inc0.00156%22,432.46773 NS
CIXCompX International Inc0.001546%22,231946 NS
BNK Petroleum IncBNK Petroleum Inc0.001545%22,224.765,818 NS
FBIZFirst Business Financial Services Inc0.00152%21,860400 NS
HRTXHeron Therapeutics Inc0.001483%21,333.1317,927 NS
LINKBANCORP IncLINKBANCORP Inc0.001467%21,097.352,439 NS
OMOutset Medical Inc0.001464%21,062.156,035 NS
MNTKMontauk Renewables Inc0.001433%20,608.2813,382 NS
NWFLNorwood Financial Corp0.001364%19,615.5675 NS
BPRNPrinceton Bancorp Inc0.001349%19,396.87571 NS
CVCapsoVision Inc0.001329%19,110.693,481 NS
BOCBoston Omaha Corp0.00129%18,549.71,502 NS
OFRMOnce Upon a Farm PBC0.001268%18,243.06786 NS
Tobira Therapeutics IncTobira Therapeutics Inc0.001256%18,070.173,989 NS
AIRSAirSculpt Technologies Inc0.001242%17,869.811,310 NS
MANEVeraDermics Inc0.001227%17,652.25385 NS
CBKCommercial Bancgroup Inc0.001208%17,374.68668 NS
Tucows IncTucows Inc0.001204%17,324.64954 NS
BTMDBiote Corp0.001203%17,299.28,160 NS
SunPower IncSunPower Inc0.001199%17,25113,270 NS
CZFSCitizens Financial Services Inc0.001194%17,177.16286 NS
NEONNeonode Inc0.001114%16,017.828,801 NS
EIKNEikon Therapeutics Inc0.001107%15,929.681,156 NS
Ginkgo Bioworks Holdings IncGinkgo Bioworks Holdings Inc0.001102%15,855.752,349 NS
Strive IncStrive Inc0.001064%15,300.381,927 NS
BETABeta Technologies Inc0.001016%14,607.6777 NS
WOOFPetco Health & Wellness Co Inc0.001015%14,606.45,728 NS
PNRGPrimeEnergy Resources Corp0.001009%14,519.773 NS
ALECAlector Inc0.001002%14,417.195,933 NS
MWHSolv Energy Inc0.001001%14,404.64457 NS
Ardent Health Partners IncArdent Health Partners Inc0.00099%14,235.241,516 NS
COSOCoastalSouth Bancshares Inc0.000975%14,018.05571 NS
ACRES Commercial Realty CorpACRES Commercial Realty Corp0.000941%13,530.81731 NS
GBFHGBank Financial Holdings Inc0.000935%13,443.45445 NS
OPBKOP Bancorp0.000927%13,333.28998 NS
Atlanticus Holdings CorpAtlanticus Holdings Corp0.000924%13,286.74254 NS
Inhibrx IncInhibrx Inc0.000921%13,251.0920,465 NS
GCOGenesco Inc0.000883%12,693.84466 NS
BSVNBank7 Corp0.000865%12,448.08306 NS
RGCORGC Resources Inc0.000837%12,044.76546 NS
Vivid Seats IncVivid Seats Inc0.000832%11,961.722,007 NS
CMDBCostamare Bulkers Holdings Ltd0.000814%11,715.12614 NS
RSVRReservoir Media Inc0.000777%11,176.621,246 NS
Golden Matrix Group IncGolden Matrix Group Inc0.000773%11,112.2219,159 NS
CDChaince Digital Holdings Inc0.000731%10,513.171,791 NS
BOBSBob's Discount Furniture Inc0.000669%9,621.72453 NS
LIFEEthos Technologies Inc0.000653%9,398.35761 NS
Seqll IncSeqll Inc0.000643%9,248.42,936 NS
New Issuer: BB Company ID:71472366New Issuer: BB Company ID:714723660.00064%9,201.63,240 NS
SGPSpyGlass Pharma Inc0.000623%8,960320 NS
FXNCFirst National Corp/VA0.000609%8,761.5330 NS
Toro Combineco IncToro Combineco Inc0.000599%8,613.542,454 NS
YSSYork Space Systems Inc0.000596%8,576335 NS
AVBHAvidbank Holdings Inc0.000594%8,548.48296 NS
EPSNEpsilon Energy Ltd0.000565%8,120.321,586 NS
RNACCartesian Therapeutics Inc0.000555%7,977.091,051 NS
ELDNEledon Pharmaceuticals Inc0.000553%7,959.563,038 NS
AKTSAktis Oncology Inc0.000539%7,750.05385 NS
Richmond Mutual BanCorp IncRichmond Mutual BanCorp Inc0.000532%7,654.5567 NS
IKTInhibikase Therapeutics Inc0.000516%7,429.23,624 NS
APCARKO Petroleum Corp0.000511%7,356.87387 NS

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