ETF:VTWO | ETF Holdings Page 17 | VANGUARD RUSSELL 2000 INDEX FUND

VTWO ETF holdings Page 17

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 1,601–1,700 of 1,969

TickerIssuerWeightValue (USD)Balance
NFENew Fortress Energy Inc0.006241%947,548.99869,311 NS
HWBKHawthorn Bancshares Inc0.006231%946,120.2128,679 NS
ALTIAlTi Global Inc0.006229%945,809.43213,501 NS
MGMistras Group Inc0.006198%941,018.861,585 NS
SEVNSeven Hills Realty Trust0.006158%935,068.72109,237 NS
FHTXFoghorn Therapeutics Inc0.006148%933,525.04164,353 NS
MASS908 Devices Inc0.006145%933,018135,220 NS
LEGHLegacy Housing Corp0.006138%931,972.6442,517 NS
RPAYRepay Holdings Corp0.006091%924,919.9332,705 NS
Sky Harbour Group CorpSky Harbour Group Corp0.006083%923,656105,200 NS
LINKBANCORP IncLINKBANCORP Inc0.006053%919,097.1106,254 NS
Kingstone Cos IncKingstone Cos Inc0.006046%917,952.4855,701 NS
CMRCCommerce.com Inc0.006035%916,324.14329,613 NS
LDIloanDepot Inc0.006011%912,634.02440,886 NS
ESOAEnergy Services of America Corp0.006007%912,098.6658,393 NS
AMMO IncAMMO Inc0.006003%911,516.46427,942 NS
Better Home & Finance Holding CoBetter Home & Finance Holding Co0.005997%910,507.527,675 NS
VABKVirginia National Bankshares Corp0.005985%908,758.423,470 NS
WYFIWhitefiber Inc0.005974%907,052.3553,831 NS
PALProficient Auto Logistics Inc0.005963%905,477.98119,614 NS
HRTXHeron Therapeutics Inc0.00595%903,449.19759,201 NS
RSVRReservoir Media Inc0.005941%902,032.17100,561 NS
RGCORGC Resources Inc0.005933%900,864.2240,837 NS
Accendra Health IncAccendra Health Inc0.005932%900,755.46372,213 NS
FLXSFlexsteel Industries Inc0.005927%900,004.4217,486 NS
AGLagilon health Inc0.005904%896,404.861,521,135 NS
RMNIRimini Street Inc0.005901%896,058.72240,876 NS
INNVInnovage Holding Corp0.005895%895,10499,900 NS
RICKRCI Hospitality Holdings Inc0.005895%895,025.7240,444 NS
OmniAb IncOmniAb Inc0.005894%894,998.56520,348 NS
SNWVSANUWAVE Health Inc0.005871%891,413.9536,646 NS
Meridian CorpMeridian Corp0.005849%888,174.7245,688 NS
CBKCommercial Bancgroup Inc0.005838%886,498.8334,083 NS
ANIKAnika Therapeutics Inc0.005821%883,915.4461,554 NS
BPRNPrinceton Bancorp Inc0.005812%882,472.6625,978 NS
CHRSCoherus Oncology Inc0.005764%875,183.54524,062 NS
VIAVia Transportation Inc0.005761%874,771.2450,918 NS
Crawford & CoCrawford & Co0.005709%866,782.5680,556 NS
SEGSeaport Entertainment Group Inc0.005662%859,64836,800 NS
PLTKPlaytika Holding Corp0.00566%859,412.43278,127 NS
BSVNBank7 Corp0.005637%855,907.221,040 NS
GLSIGreenwich Lifesciences Inc0.005628%854,496.7230,826 NS
Humacyte IncHumacyte Inc0.005624%853,933.9765,860 NS
IMMRImmersion Corp0.005588%848,538.47138,877 NS
RNAAtrium Therapeutics Inc0.005571%845,82457,344 NS
LOVELovesac Co/The0.00554%841,141.2665,817 NS
IIIInformation Services Group Inc0.005507%836,165.59173,839 NS
EVCMEverCommerce Inc0.005497%834,607.4872,701 NS
MDWDMediWound Ltd0.005477%831,628.348,071 NS
CMDBCostamare Bulkers Holdings Ltd0.005455%828,224.6443,408 NS
SMHISEACOR Marine Holdings Inc0.005438%825,640.76107,786 NS
European Wax Center IncEuropean Wax Center Inc0.005434%825,041.36144,238 NS
DOUGDouglas Elliman Inc0.005433%824,990.64361,838 NS
JELDJELD-WEN Holding Inc0.005421%823,058.88419,928 NS
FCAPFirst Capital Inc0.005385%817,676.816,096 NS
Citizens Community Bancorp Inc/WICitizens Community Bancorp Inc/WI0.005362%814,091.646,760 NS
RXTRackspace Technology Inc0.005341%811,024.5415,910 NS
Medallion Financial CorpMedallion Financial Corp0.005331%809,460.1680,224 NS
JCAPJefferson Capital Inc0.005302%805,065.1239,024 NS
American Integrity Insurance GAmerican Integrity Insurance G0.005302%805,054.7639,541 NS
UISUnisys Corp0.005284%802,252.35330,145 NS
TNXPTonix Pharmaceuticals Holding Corp0.005277%801,305.2357,359 NS
BNTCBenitec Biopharma Inc0.005271%800,27873,420 NS
OVBCOhio Valley Banc Corp0.005258%798,417.2718,729 NS
PEBKPeoples Bancorp of North Carolina Inc0.005256%798,015.8520,885 NS
GENCGencor Industries Inc0.005253%797,650.9251,066 NS
FATEFate Therapeutics Inc0.005232%794,461.04536,798 NS
ELMDElectromed Inc0.00522%792,575.433,442 NS
EBMTEagle Bancorp Montana Inc0.005217%792,093.436,502 NS
Braemar Hotels & Resorts IncBraemar Hotels & Resorts Inc0.005213%791,604.39272,029 NS
NexPoint Diversified Real Estate TrustNexPoint Diversified Real Estate Trust0.005204%790,142177,560 NS
New Issuer: BB Company ID:811088New Issuer: BB Company ID:8110880.005186%787,396.3522,685 NS
WESTWestrock Coffee Co0.005178%786,211.92177,876 NS
National Research CorpNational Research Corp0.005177%786,053.9758,617 NS
AARDAardvark Therapeutics Inc0.00517%784,971.5262,848 NS
BRTBRT Apartments Corp0.005159%783,333.9953,397 NS
CBFVCB Financial Services Inc0.005147%781,519.3122,451 NS
First Internet BancorpFirst Internet Bancorp0.005134%779,563.238,440 NS
OPBKOP Bancorp0.005112%776,269.4458,104 NS
Pioneer Bancorp Inc/NYPioneer Bancorp Inc/NY0.005109%775,725.4754,977 NS
FINWFinwise Bancorp0.005093%773,360.1645,924 NS
MainStreet Bancshares IncMainStreet Bancshares Inc0.005072%770,162.434,692 NS
INSGInseego Corp0.005057%767,898.362,178 NS
MPTIM-Tron Industries Inc0.005043%765,682.4212,098 NS
GCBCGreene County Bancorp Inc0.005027%763,313.0234,586 NS
TriSalus Life Sciences IncTriSalus Life Sciences Inc0.005002%759,516.12150,102 NS
ATOMAtomera Inc0.004978%755,828.64149,966 NS
Priority Technology Holdings IncPriority Technology Holdings Inc0.004955%752,413.5135,570 NS
NNOXNano-X Imaging Ltd0.004935%749,389.26316,198 NS
BVFLBV Financial Inc0.004933%749,049.3240,099 NS
ACUAcme United Corp0.004923%747,436.0616,606 NS
EGANeGain Corp0.004909%745,322.6679,799 NS
DSPViant Technology Inc0.004899%743,876.2973,433 NS
Quantum-Si IncQuantum-Si Inc0.004896%743,412.59777,303 NS
LELands' End Inc0.004852%736,664.8745,841 NS
Richardson Electronics Ltd/United StatesRichardson Electronics Ltd/United States0.004826%732,723.0459,668 NS
BBCPConcrete Pumping Holdings Inc0.004813%730,804.72108,428 NS
CMTCore Molding Technologies Inc0.00481%730,346.7540,019 NS
SNFCASecurity National Financial Corp0.004783%726,303.9680,166 NS
ELDNEledon Pharmaceuticals Inc0.00478%725,836.94277,037 NS

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