ETF:VTWO | ETF Holdings Page 16 | VANGUARD RUSSELL 2000 INDEX FUND

VTWO ETF holdings Page 16

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 INDEX FUND
Report date2026-02-28
Reported holdings1,969
SEC series IDS000030003

Positions 1,501–1,600 of 1,969

TickerIssuerWeightValue (USD)Balance
Citizens Inc/TXCitizens Inc/TX0.008029%1,219,039.3224,915 NS
PCBPCB Bancorp0.007978%1,211,397.7254,177 NS
TGTredegar Corp0.007975%1,210,897.08131,906 NS
JMSBJohn Marshall Bancorp Inc0.00795%1,207,065.662,868 NS
SPIRSpire Global Inc0.007899%1,199,369.7135,522 NS
XOMA Royalty CorpXOMA Royalty Corp0.00788%1,196,540.0446,868 NS
PACKRanpak Holdings Corp0.007879%1,196,293.12233,651 NS
DDD3D Systems Corp0.007835%1,189,663.58616,406 NS
ATLOAmes National Corp0.007816%1,186,765.3843,938 NS
CDChaince Digital Holdings Inc0.00777%1,179,734.99200,977 NS
FVCBFVCBankcorp Inc0.007752%1,176,991.276,230 NS
DBIDesigner Brands Inc0.007733%1,174,173.44164,912 NS
Blue Foundry BancorpBlue Foundry Bancorp0.007701%1,169,250.5288,714 NS
NCMINational CineMedia Inc0.007674%1,165,188327,300 NS
PESIPerma-Fix Environmental Services Inc0.007669%1,164,460.4485,371 NS
CLWClearwater Paper Corp0.007657%1,162,624.477,560 NS
MVISMicroVision Inc0.007654%1,162,154.951,487,844 NS
NKSHNational Bankshares Inc0.007648%1,161,233.7530,925 NS
LMNRLimoneira Co0.00763%1,158,550.2582,225 NS
New Issuer: BB Company ID:71535938New Issuer: BB Company ID:715359380.00763%1,158,472.7187,963 NS
TPG Mortgage Investment Trust IncTPG Mortgage Investment Trust Inc0.007582%1,151,279.81142,309 NS
WNEBWestern New England Bancorp Inc0.007579%1,150,781.7589,555 NS
ALCOAlico Inc0.007562%1,148,203.227,815 NS
CHMGChemung Financial Corp0.007555%1,147,209.7620,663 NS
Liberty Latin America LtdLiberty Latin America Ltd0.007549%1,146,215.84146,201 NS
USNAUSANA Health Sciences Inc0.007546%1,145,703.2853,239 NS
BYRNByrna Technologies Inc0.007539%1,144,781.2889,576 NS
NGNENeurogene Inc0.007504%1,139,358.9648,504 NS
ASURAsure Software Inc0.0075%1,138,761.74124,591 NS
NCNACCO Industries Inc0.007481%1,135,951.8619,797 NS
CADLCandel Therapeutics Inc0.007481%1,135,900.5216,362 NS
LCNBLCNB Corp0.007436%1,129,104.4366,457 NS
Olaplex Holdings IncOlaplex Holdings Inc0.007361%1,117,755.38694,258 NS
CTRNCiti Trends Inc0.007349%1,115,893.7623,552 NS
TARAProtara Therapeutics Inc0.007342%1,114,774.44175,279 NS
ABEOAbeona Therapeutics Inc0.007283%1,105,812.48215,979 NS
OSUROraSure Technologies Inc0.007264%1,103,026.05350,167 NS
EOLSEvolus Inc0.007258%1,101,982.5256,275 NS
CFFIC&F Financial Corp0.007252%1,101,184.0415,122 NS
NEXNNexxen International Ltd0.0072%1,093,235.08169,757 NS
USCBUSCB Financial Holdings Inc0.007198%1,092,866.7657,732 NS
BMBLBumble Inc0.007195%1,092,527.36359,384 NS
AVRAnteris Technologies Global Corp0.007195%1,092,521.22167,822 NS
OSGOctave Specialty Group Inc0.007184%1,090,854.3203,898 NS
CMTGClaros Mortgage Trust Inc0.00718%1,090,141.14456,126 NS
REFIChicago Atlantic Real Estate Finance Inc0.007179%1,090,061.5589,717 NS
ORGOOrganogenesis Holdings Inc0.007177%1,089,746.85339,485 NS
PCYOPure Cycle Corp0.007163%1,087,631.86102,898 NS
OVLYOak Valley Bancorp0.007118%1,080,83233,776 NS
Flotek Industries IncFlotek Industries Inc0.007109%1,079,473.470,324 NS
BRCBBlack Rock Coffee Bar Inc0.007102%1,078,352.2480,836 NS
LENZLENZ Therapeutics Inc0.007091%1,076,758.3179,819 NS
Ardent Health Partners IncArdent Health Partners Inc0.007091%1,076,648.01114,659 NS
New Issuer: BB Company ID:9555612New Issuer: BB Company ID:95556120.007063%1,072,439.94103,818 NS
Franklin Financial Services CorpFranklin Financial Services Corp0.007023%1,066,356.7220,714 NS
SGHTSight Sciences Inc0.007019%1,065,772.2206,545 NS
FCCOFirst Community Corp/SC0.006982%1,060,172.5236,786 NS
TLSTelos Corp0.006961%1,056,994.68262,934 NS
Palladyne AI CorpPalladyne AI Corp0.006934%1,052,812.8149,760 NS
FUNCFirst United Corp0.006934%1,052,785.0729,681 NS
VELVelocity Financial Inc0.006932%1,052,547.2156,619 NS
CNDTConduent Inc0.006923%1,051,189.78719,993 NS
Xerox Holdings CorpXerox Holdings Corp0.006887%1,045,654.2580,919 NS
KRTKarat Packaging Inc0.006869%1,043,040.142,314 NS
OPRTOportun Financial Corp0.006824%1,036,077.7200,015 NS
MYFWFirst Western Financial Inc0.006802%1,032,818.3140,839 NS
RBBNRibbon Communications Inc0.006801%1,032,637.18463,066 NS
ARCTArcturus Therapeutics Holdings Inc0.006787%1,030,502.99125,213 NS
FDBCFidelity D&D Bancorp Inc0.006769%1,027,84423,440 NS
PLXProtalix BioTherapeutics Inc0.00676%1,026,469.44356,413 NS
BLZEBackblaze Inc0.006742%1,023,641.2272,245 NS
FXNCFirst National Corp/VA0.006737%1,022,998.0538,531 NS
CRCTCricut Inc0.006736%1,022,729.2237,844 NS
ASPNAspen Aerogels Inc0.006729%1,021,650.24327,452 NS
KRMDKORU Medical Systems Inc0.0067%1,017,340.83213,279 NS
STRSStratus Properties Inc0.006644%1,008,747.0433,052 NS
SLPSimulations Plus Inc0.006634%1,007,275.0382,361 NS
INSEInspired Entertainment Inc0.006624%1,005,785.28123,258 NS
FNKOFunko Inc0.006619%1,005,055201,011 NS
NLOPNET Lease Office Properties0.006614%1,004,285.9273,628 NS
PSFEPaysafe Ltd0.00661%1,003,665.8160,330 NS
UTMDUtah Medical Products Inc0.006588%1,000,282.3715,017 NS
WOOFPetco Health & Wellness Co Inc0.006587%1,000,161392,220 NS
WBTNWebtoon Entertainment Inc0.006567%997,11088,632 NS
ALMUAeluma Inc0.006551%994,643.6564,295 NS
LFCRLifecore Biomedical Inc0.006536%992,484137,845 NS
QUADQuad/Graphics Inc0.006501%987,065.86142,846 NS
EDITEditas Medicine Inc0.006483%984,361.4447,437 NS
FENCFennec Pharmaceuticals Inc0.006467%981,944.91115,659 NS
TBCHTurtle Beach Corp0.006437%977,442.8477,946 NS
SNDASonida Senior Living Inc0.006428%975,956.7727,193 NS
JAKKJAKKS Pacific Inc0.006426%975,677.3844,633 NS
Oncology Institute Inc/TheOncology Institute Inc/The0.006411%973,461.82336,838 NS
VUZIVuzix Corp0.006369%967,109.6334,640 NS
ALECAlector Inc0.006342%962,931.24396,268 NS
VTEXVTEX0.006274%952,627.62277,734 NS
TruBridge IncTruBridge Inc0.006272%952,385.8849,372 NS
EVCEntravision Communications Corp0.00627%951,951.1307,081 NS
VYGRVoyager Therapeutics Inc0.006267%951,507.5232,075 NS
WEYSWeyco Group Inc0.006257%950,107.6830,384 NS

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