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

Companies included in VTWO Page 16

This is VTWO's own dated portfolio constitution. Share counts are the calculation basis for constituent revenue and earnings analytics; rounded weights are reference values only. This page shows positions 1,501–1,600 of 1,969.

TickerIssuerShares ownedUnitReported weight
Citizens Inc/TXCitizens Inc/TX224,915NS0.008029%
PCBPCB Bancorp54,177NS0.007978%
TGTredegar Corp131,906NS0.007975%
JMSBJohn Marshall Bancorp Inc62,868NS0.00795%
SPIRSpire Global Inc135,522NS0.007899%
XOMA Royalty CorpXOMA Royalty Corp46,868NS0.00788%
PACKRanpak Holdings Corp233,651NS0.007879%
DDD3D Systems Corp616,406NS0.007835%
ATLOAmes National Corp43,938NS0.007816%
CDChaince Digital Holdings Inc200,977NS0.00777%
FVCBFVCBankcorp Inc76,230NS0.007752%
DBIDesigner Brands Inc164,912NS0.007733%
Blue Foundry BancorpBlue Foundry Bancorp88,714NS0.007701%
NCMINational CineMedia Inc327,300NS0.007674%
PESIPerma-Fix Environmental Services Inc85,371NS0.007669%
CLWClearwater Paper Corp77,560NS0.007657%
MVISMicroVision Inc1,487,844NS0.007654%
NKSHNational Bankshares Inc30,925NS0.007648%
LMNRLimoneira Co82,225NS0.00763%
New Issuer: BB Company ID:71535938New Issuer: BB Company ID:7153593887,963NS0.00763%
TPG Mortgage Investment Trust IncTPG Mortgage Investment Trust Inc142,309NS0.007582%
WNEBWestern New England Bancorp Inc89,555NS0.007579%
ALCOAlico Inc27,815NS0.007562%
CHMGChemung Financial Corp20,663NS0.007555%
Liberty Latin America LtdLiberty Latin America Ltd146,201NS0.007549%
USNAUSANA Health Sciences Inc53,239NS0.007546%
BYRNByrna Technologies Inc89,576NS0.007539%
NGNENeurogene Inc48,504NS0.007504%
ASURAsure Software Inc124,591NS0.0075%
NCNACCO Industries Inc19,797NS0.007481%
CADLCandel Therapeutics Inc216,362NS0.007481%
LCNBLCNB Corp66,457NS0.007436%
Olaplex Holdings IncOlaplex Holdings Inc694,258NS0.007361%
CTRNCiti Trends Inc23,552NS0.007349%
TARAProtara Therapeutics Inc175,279NS0.007342%
ABEOAbeona Therapeutics Inc215,979NS0.007283%
OSUROraSure Technologies Inc350,167NS0.007264%
EOLSEvolus Inc256,275NS0.007258%
CFFIC&F Financial Corp15,122NS0.007252%
NEXNNexxen International Ltd169,757NS0.0072%
USCBUSCB Financial Holdings Inc57,732NS0.007198%
BMBLBumble Inc359,384NS0.007195%
AVRAnteris Technologies Global Corp167,822NS0.007195%
OSGOctave Specialty Group Inc203,898NS0.007184%
CMTGClaros Mortgage Trust Inc456,126NS0.00718%
REFIChicago Atlantic Real Estate Finance Inc89,717NS0.007179%
ORGOOrganogenesis Holdings Inc339,485NS0.007177%
PCYOPure Cycle Corp102,898NS0.007163%
OVLYOak Valley Bancorp33,776NS0.007118%
Flotek Industries IncFlotek Industries Inc70,324NS0.007109%
BRCBBlack Rock Coffee Bar Inc80,836NS0.007102%
LENZLENZ Therapeutics Inc79,819NS0.007091%
Ardent Health Partners IncArdent Health Partners Inc114,659NS0.007091%
New Issuer: BB Company ID:9555612New Issuer: BB Company ID:9555612103,818NS0.007063%
Franklin Financial Services CorpFranklin Financial Services Corp20,714NS0.007023%
SGHTSight Sciences Inc206,545NS0.007019%
FCCOFirst Community Corp/SC36,786NS0.006982%
TLSTelos Corp262,934NS0.006961%
Palladyne AI CorpPalladyne AI Corp149,760NS0.006934%
FUNCFirst United Corp29,681NS0.006934%
VELVelocity Financial Inc56,619NS0.006932%
CNDTConduent Inc719,993NS0.006923%
Xerox Holdings CorpXerox Holdings Corp580,919NS0.006887%
KRTKarat Packaging Inc42,314NS0.006869%
OPRTOportun Financial Corp200,015NS0.006824%
MYFWFirst Western Financial Inc40,839NS0.006802%
RBBNRibbon Communications Inc463,066NS0.006801%
ARCTArcturus Therapeutics Holdings Inc125,213NS0.006787%
FDBCFidelity D&D Bancorp Inc23,440NS0.006769%
PLXProtalix BioTherapeutics Inc356,413NS0.00676%
BLZEBackblaze Inc272,245NS0.006742%
FXNCFirst National Corp/VA38,531NS0.006737%
CRCTCricut Inc237,844NS0.006736%
ASPNAspen Aerogels Inc327,452NS0.006729%
KRMDKORU Medical Systems Inc213,279NS0.0067%
STRSStratus Properties Inc33,052NS0.006644%
SLPSimulations Plus Inc82,361NS0.006634%
INSEInspired Entertainment Inc123,258NS0.006624%
FNKOFunko Inc201,011NS0.006619%
NLOPNET Lease Office Properties73,628NS0.006614%
PSFEPaysafe Ltd160,330NS0.00661%
UTMDUtah Medical Products Inc15,017NS0.006588%
WOOFPetco Health & Wellness Co Inc392,220NS0.006587%
WBTNWebtoon Entertainment Inc88,632NS0.006567%
ALMUAeluma Inc64,295NS0.006551%
LFCRLifecore Biomedical Inc137,845NS0.006536%
QUADQuad/Graphics Inc142,846NS0.006501%
EDITEditas Medicine Inc447,437NS0.006483%
FENCFennec Pharmaceuticals Inc115,659NS0.006467%
TBCHTurtle Beach Corp77,946NS0.006437%
SNDASonida Senior Living Inc27,193NS0.006428%
JAKKJAKKS Pacific Inc44,633NS0.006426%
Oncology Institute Inc/TheOncology Institute Inc/The336,838NS0.006411%
VUZIVuzix Corp334,640NS0.006369%
ALECAlector Inc396,268NS0.006342%
VTEXVTEX277,734NS0.006274%
TruBridge IncTruBridge Inc49,372NS0.006272%
EVCEntravision Communications Corp307,081NS0.00627%
VYGRVoyager Therapeutics Inc232,075NS0.006267%
WEYSWeyco Group Inc30,384NS0.006257%

SEC N-PORT snapshot as of .

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