ETF:VTWO | ETF Holdings Page 20 | VANGUARD RUSSELL 2000 INDEX FUND

VTWO ETF holdings Page 20

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 1,901–1,969 of 1,969

TickerIssuerWeightValue (USD)Balance
MANEVeraDermics Inc0.001195%181,520.153,959 NS
CIXCompX International Inc0.00116%176,085.57,493 NS
ACTUActuate Therapeutics Inc0.001147%174,115.746,555 NS
VHIValhi Inc0.001126%171,020.7412,242 NS
CURVTorrid Holdings Inc0.001123%170,501.16167,158 NS
EIKNEikon Therapeutics Inc0.001077%163,596.1611,872 NS
TEADTeads Holding Co0.001037%157,491.59184,050 NS
CVCapsoVision Inc0.001006%152,731.827,820 NS
BETABeta Technologies Inc0.000966%146,6407,800 NS
MWHSolv Energy Inc0.000961%145,843.044,627 NS
VALUValue Line Inc0.000944%143,322.743,901 NS
COOKTraeger Inc0.00093%141,273.92164,272 NS
TKNOAlpha Teknova Inc0.00091%138,195.1253,564 NS
MKTWMarketWise Inc0.000893%135,545.369,668 NS
US Goldmining IncUS Goldmining Inc0.000891%135,289.4411,232 NS
MYOMyomo Inc0.000885%134,331.53173,331 NS
SVCOSilvaco Group Inc0.000884%134,211.8439,944 NS
SIEBSiebert Financial Corp0.000866%131,531.369,227 NS
INMBInmune Bio Inc0.00085%129,028.38100,022 NS
AIRSAirSculpt Technologies Inc0.00085%129,00781,650 NS
SLSNSolesence Inc0.00078%118,408.9692,507 NS
EzFill Holdings IncEzFill Holdings Inc0.000762%115,720.58175,547 NS
NEONNeonode Inc0.000737%111,837.1861,449 NS
ARLAmerican Realty Investors Inc0.000732%111,1506,500 NS
Cara Therapeutics IncCara Therapeutics Inc0.000693%105,188.3726,363 NS
SKILSkillsoft Corp0.000686%104,188.5424,866 NS
LIFEEthos Technologies Inc0.000644%97,836.77,922 NS
BOBSBob's Discount Furniture Inc0.000644%97,788.964,604 NS
Vivid Seats IncVivid Seats Inc0.000637%96,766.5616,236 NS
SGPSpyGlass Pharma Inc0.000601%91,2523,259 NS
YSSYork Space Systems Inc0.000581%88,1923,445 NS
Inhibrx IncInhibrx Inc0.000553%83,936.72129,632 NS
Seqll IncSeqll Inc0.000546%82,90826,320 NS
Vroom IncVroom Inc0.000527%80,064.815,327 NS
AKTSAktis Oncology Inc0.000524%79,594.023,954 NS
APCARKO Petroleum Corp0.000495%75,165.543,954 NS
Southland Holdings IncSouthland Holdings Inc0.000455%69,049.1261,651 NS
GoHealth IncGoHealth Inc0.000417%63,330.9946,227 NS
Golden Matrix Group IncGolden Matrix Group Inc0.0004%60,810.1104,845 NS
BTGOBitgo Holdings Inc0.000384%58,351.25,930 NS
Tevogen Bio Holdings IncTevogen Bio Holdings Inc0.000351%53,233.13201,488 NS
flyExclusive IncflyExclusive Inc0.000348%52,836.8426,028 NS
PLSEPulse Biosciences Inc0.000332%50,399.66,520 NS
Fold Holdings IncFold Holdings Inc0.000298%45,291.5330,397 NS
LPALogistic Properties Of The Americas0.000257%39,042.3615,493 NS
TSEOQTrinseo PLC0.000256%38,847.69168,903 NS
SAFXXCF Global Inc0.000255%38,701.67186,694 NS
Verde Clean Fuels IncVerde Clean Fuels Inc0.000207%31,358.1720,767 NS
Tobira Therapeutics IncTobira Therapeutics Inc0.000186%28,208.316,227 NS
PMIPicard Medical Inc0.000173%26,242.9224,299 NS
ARAIArrive AI Inc0.000105%15,875.214,432 NS
New Issuer: BB Company ID:44046691New Issuer: BB Company ID:440466910.000055%8,369.3231,714 NS
ELMEElme Communities0.000033%4,998.752,325 NS
Third Harmonic Bio IncThird Harmonic Bio Inc0.000024%3,604.74120,158 NS
PFEPfizer Inc0.000022%3,381690 NS
Chinook Therapeutics IncChinook Therapeutics Inc0.000021%3,207.1317,431 NS
EPEmpire Petroleum Corp0.000013%2,038.2669,211 NS
Apartment Investment and Management CoApartment Investment and Management Co0.00001%1,508.22342 NS
Oncternal Therapeutics IncOncternal Therapeutics Inc0.000006%867.15846 NS
Bed Bath & Beyond IncBed Bath & Beyond Inc0.000001%184.82240 NS
Gen Digital IncGen Digital Inc0.000001%133.35105 NS
PCRXPacira BioSciences Inc0%68.82111 NS
RNACCartesian Therapeutics Inc0%66.96372 NS
iTeos Therapeutics InciTeos Therapeutics Inc0%29.46286 NS
Sterling Bancorp Inc/MISterling Bancorp Inc/MI0%199,637 NS
OmniAb IncOmniAb Inc0%0.1414,203 NS
OmniAb IncOmniAb Inc0%0.1414,203 NS
Chinook Therapeutics IncChinook Therapeutics Inc0%0704 NS
RTYH6N/A-0.000863%-131,003.72130 NC

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