ETF:VTWG | ETF Holdings Page 7 | VANGUARD RUSSELL 2000 GROWTH INDEX FUND

VTWG ETF holdings Page 7

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 601–700 of 1,128

TickerIssuerWeightValue (USD)Balance
Kestra Medical Technologies InKestra Medical Technologies In0.025538%367,335.1215,779 NS
PLAYDave & Buster's Entertainment Inc0.025314%364,113.9224,736 NS
RPDRapid7 Inc0.025311%364,075.2658,533 NS
KOPNKopin Corp0.02522%362,756.03164,143 NS
CMPXCompass Therapeutics Inc0.025076%360,684.763,838 NS
UPBDUpbound Group Inc0.024902%358,193.5516,699 NS
FUBOfuboTV Inc0.024884%357,933.42305,926 NS
IBOCInternational Bancshares Corp0.02484%357,293.645,324 NS
TREELendingTree Inc0.024811%356,883.59,550 NS
AVAHAveanna Healthcare Holdings Inc0.02468%354,987.5248,232 NS
FSBCFive Star Bancorp0.024645%354,496.589,106 NS
PARPAR Technology Corp0.024413%351,155.7521,425 NS
IIINInsteel Industries Inc0.024412%351,140.329,419 NS
RRRichtech Robotics Inc0.024322%349,840.02140,498 NS
ALTAltimmune Inc0.024316%349,760.8181,151 NS
VOXRVox Royalty Corp0.024313%349,714.8454,388 NS
Saul Centers IncSaul Centers Inc0.024205%348,161.2810,216 NS
NUTXNutex Health Inc0.024152%347,396.73,145 NS
John B Sanfilippo & Son IncJohn B Sanfilippo & Son Inc0.02384%342,914.114,151 NS
GRNDGrindr Inc0.023708%341,013.0829,966 NS
NPCENeuroPace Inc0.0236%339,466.1423,283 NS
AVXLAnavex Life Sciences Corp0.023514%338,226.0776,349 NS
CLMBClimb Global Solutions Inc0.023341%335,735.283,546 NS
TRNSTranscat Inc0.023157%333,087.844,272 NS
GDYNGrid Dynamics Holdings Inc0.023093%332,174.2549,211 NS
ADCTADC Therapeutics SA0.022515%323,85978,990 NS
Real Brokerage Inc/TheReal Brokerage Inc/The0.022318%321,018.35121,139 NS
ENSEnerSys0.022247%320,004.91,926 NS
JBIJanus International Group Inc0.022168%318,865.4445,814 NS
LTBRLightbridge Corp0.022082%317,625.4524,565 NS
IBTAIbotta Inc0.022033%316,919.2412,692 NS
NGVCNatural Grocers by Vitamin Cottage Inc0.021823%313,899.3911,613 NS
Atlanta Braves Holdings IncAtlanta Braves Holdings Inc0.021607%310,792.26,420 NS
SPTSprout Social Inc0.02159%310,554.648,148 NS
SVVSavers Value Village Inc0.021385%307,606.632,620 NS
NVECNVE Corp0.02134%306,957.564,459 NS
MAXMediaAlpha Inc0.021239%305,505.930,735 NS
Contango ORE IncContango ORE Inc0.021208%305,060.1510,145 NS
GOGOGogo Inc0.021195%304,868.7972,073 NS
LCIILCI Industries0.021188%304,761.62,288 NS
SAHSonic Automotive Inc0.021122%303,815.684,844 NS
BLNDBlend Labs Inc0.02112%303,780.96180,822 NS
PLSEPulse Biosciences Inc0.021094%303,407.2716,199 NS
FEIMFrequency Electronics Inc0.021073%303,117.776,037 NS
CLPTClearPoint Neuro Inc0.021016%302,295.9324,049 NS
MCBSMetrocity Bankshares Inc0.020888%300,445.210,692 NS
WERNWerner Enterprises Inc0.020875%300,265.138,557 NS
GRPNGroupon Inc0.020427%293,818.8423,282 NS
AMSFAMERISAFE Inc0.020359%292,835.069,002 NS
BLMNBloomin' Brands Inc0.020297%291,954.647,705 NS
UFPIUFP Industries Inc0.020161%290,000.382,818 NS
HCKTHackett Group Inc/The0.020048%288,362.621,110 NS
RealReal Inc/TheRealReal Inc/The0.019985%287,460.2223,447 NS
ConnectOne Bancorp IncConnectOne Bancorp Inc0.019802%284,826.0810,736 NS
AMTBAmerant Bancorp Inc0.019787%284,616.8513,331 NS
OOMAOoma Inc0.019661%282,796.822,880 NS
Helix Energy Solutions Group IncHelix Energy Solutions Group Inc0.019606%282,013.5330,687 NS
WEAVWeave Communications Inc0.019422%279,362.1655,429 NS
HLITHarmonic Inc0.019238%276,720.1626,032 NS
ABSIAbsci Corp0.018769%269,977.6898,532 NS
VMDViemed Healthcare Inc0.018709%269,108.430,932 NS
NAVNNavan Inc0.018661%268,414.9227,558 NS
CXWCoreCivic Inc0.018584%267,303.9215,119 NS
MHMcGraw Hill Inc0.01842%264,95018,925 NS
APPSDigital Turbine Inc0.01841%264,813.565,225 NS
IBEXIBEX Holdings Ltd0.018364%264,1469,140 NS
Cadiz IncCadiz Inc0.018326%263,598.450,692 NS
Eve Holding IncEve Holding Inc0.018316%263,46087,820 NS
MVSTMicrovast Holdings Inc0.018012%259,085.12115,663 NS
CYHCommunity Health Systems Inc0.017951%258,202.574,625 NS
BBUCBrookfield Business Corp0.017915%257,6867,480 NS
Rush Enterprises IncRush Enterprises Inc0.017812%256,207.953,963 NS
SYNASynaptics Inc0.01772%254,888.343,129 NS
INDIindie Semiconductor Inc0.017629%253,572.1269,282 NS
Resolute Holdings Management IResolute Holdings Management I0.017589%252,993.551,501 NS
HIPOHippo Holdings Inc0.017513%251,908.848,759 NS
REXREX American Resources Corp0.017347%249,524.527,017 NS
CMPRCimpress PLC0.017303%248,881.353,407 NS
DMACDiaMedica Therapeutics Inc0.017234%247,888.9531,181 NS
Voyager Technologies IncVoyager Technologies Inc0.01706%245,387.869,194 NS
ChromaDex CorpChromaDex Corp0.017054%245,298.748,574 NS
Nathan's Famous IncNathan's Famous Inc0.016957%243,906.52,425 NS
NRIMNorthrim BanCorp Inc0.016924%243,426.8710,363 NS
Esperion Therapeutics IncEsperion Therapeutics Inc0.016894%242,995.672,536 NS
DSGRDistribution Solutions Group Inc0.016873%242,698.38,117 NS
DCTHDelcath Systems Inc0.016849%242,355.927,231 NS
SWIMLatham Group Inc0.016787%241,466.0635,986 NS
ALGTAllegiant Travel Co0.016689%240,052.52,350 NS
FLYFirefly Aerospace Inc0.016647%239,449.0212,426 NS
Kingsway Financial Services IncKingsway Financial Services Inc0.01664%239,340.9619,554 NS
RXSTRxSight Inc0.016553%238,095.8831,831 NS
US Gold CorpUS Gold Corp0.016547%238,005.610,968 NS
MGTXMeiraGTx Holdings plc0.016213%233,203.3230,847 NS
ULCCFrontier Group Holdings Inc0.016191%232,895.7652,454 NS
ORICORIC Pharmaceuticals Inc0.016052%230,896.1517,167 NS
FLOCFlowco Holdings Inc0.016006%230,224.810,205 NS
MNPRMonopar Therapeutics Inc0.01598%229,852.174,194 NS
JACKJack in the Box Inc0.015971%229,722.8413,577 NS
PKEPark Aerospace Corp0.015903%228,744.368,658 NS
ARRYArray Technologies Inc0.015895%228,635.5430,163 NS

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