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

Companies included in VTWO Page 20

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 1,901–1,969 of 1,969.

TickerIssuerShares ownedUnitReported weight
MANEVeraDermics Inc3,959NS0.001195%
CIXCompX International Inc7,493NS0.00116%
ACTUActuate Therapeutics Inc46,555NS0.001147%
VHIValhi Inc12,242NS0.001126%
CURVTorrid Holdings Inc167,158NS0.001123%
EIKNEikon Therapeutics Inc11,872NS0.001077%
TEADTeads Holding Co184,050NS0.001037%
CVCapsoVision Inc27,820NS0.001006%
BETABeta Technologies Inc7,800NS0.000966%
MWHSolv Energy Inc4,627NS0.000961%
VALUValue Line Inc3,901NS0.000944%
COOKTraeger Inc164,272NS0.00093%
TKNOAlpha Teknova Inc53,564NS0.00091%
MKTWMarketWise Inc9,668NS0.000893%
US Goldmining IncUS Goldmining Inc11,232NS0.000891%
MYOMyomo Inc173,331NS0.000885%
SVCOSilvaco Group Inc39,944NS0.000884%
SIEBSiebert Financial Corp69,227NS0.000866%
INMBInmune Bio Inc100,022NS0.00085%
AIRSAirSculpt Technologies Inc81,650NS0.00085%
SLSNSolesence Inc92,507NS0.00078%
EzFill Holdings IncEzFill Holdings Inc175,547NS0.000762%
NEONNeonode Inc61,449NS0.000737%
ARLAmerican Realty Investors Inc6,500NS0.000732%
Cara Therapeutics IncCara Therapeutics Inc26,363NS0.000693%
SKILSkillsoft Corp24,866NS0.000686%
LIFEEthos Technologies Inc7,922NS0.000644%
BOBSBob's Discount Furniture Inc4,604NS0.000644%
Vivid Seats IncVivid Seats Inc16,236NS0.000637%
SGPSpyGlass Pharma Inc3,259NS0.000601%
YSSYork Space Systems Inc3,445NS0.000581%
Inhibrx IncInhibrx Inc129,632NS0.000553%
Seqll IncSeqll Inc26,320NS0.000546%
Vroom IncVroom Inc5,327NS0.000527%
AKTSAktis Oncology Inc3,954NS0.000524%
APCARKO Petroleum Corp3,954NS0.000495%
Southland Holdings IncSouthland Holdings Inc61,651NS0.000455%
GoHealth IncGoHealth Inc46,227NS0.000417%
Golden Matrix Group IncGolden Matrix Group Inc104,845NS0.0004%
BTGOBitgo Holdings Inc5,930NS0.000384%
Tevogen Bio Holdings IncTevogen Bio Holdings Inc201,488NS0.000351%
flyExclusive IncflyExclusive Inc26,028NS0.000348%
PLSEPulse Biosciences Inc6,520NS0.000332%
Fold Holdings IncFold Holdings Inc30,397NS0.000298%
LPALogistic Properties Of The Americas15,493NS0.000257%
TSEOQTrinseo PLC168,903NS0.000256%
SAFXXCF Global Inc186,694NS0.000255%
Verde Clean Fuels IncVerde Clean Fuels Inc20,767NS0.000207%
Tobira Therapeutics IncTobira Therapeutics Inc6,227NS0.000186%
PMIPicard Medical Inc24,299NS0.000173%
ARAIArrive AI Inc14,432NS0.000105%
New Issuer: BB Company ID:44046691New Issuer: BB Company ID:4404669131,714NS0.000055%
ELMEElme Communities2,325NS0.000033%
Third Harmonic Bio IncThird Harmonic Bio Inc120,158NS0.000024%
PFEPfizer Inc690NS0.000022%
Chinook Therapeutics IncChinook Therapeutics Inc17,431NS0.000021%
EPEmpire Petroleum Corp69,211NS0.000013%
Apartment Investment and Management CoApartment Investment and Management Co342NS0.00001%
Oncternal Therapeutics IncOncternal Therapeutics Inc846NS0.000006%
Bed Bath & Beyond IncBed Bath & Beyond Inc240NS0.000001%
Gen Digital IncGen Digital Inc105NS0.000001%
PCRXPacira BioSciences Inc111NS0%
RNACCartesian Therapeutics Inc372NS0%
iTeos Therapeutics InciTeos Therapeutics Inc286NS0%
Sterling Bancorp Inc/MISterling Bancorp Inc/MI99,637NS0%
OmniAb IncOmniAb Inc14,203NS0%
OmniAb IncOmniAb Inc14,203NS0%
Chinook Therapeutics IncChinook Therapeutics Inc704NS0%
RTYH6N/A130NC-0.000863%

SEC N-PORT snapshot as of .

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