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All 491 SMMD (ISHARES RUSSELL 2500 ETF) Holdings

There are 491 SMMD holdings. Top 10 companies weight: 50.78%.

Screener with all companies

Total Market Cap: $4.98T
Rank
Average(491 stocks)+14.17%22.8017.020.31+15.18%+12.96%1.27
101
ROIVRoivant Sciences Ltd Ordinary Shares0.16%$28.25$21BBiotechnologyHealthcareN/AN/AN/AN/AN/AN/A76+38.19%$390.00%0.92
102
GLGlobe Life Inc0.16%$151.13$14BInsurance - LifeFinancial Services+13.91%12.4410.440.80N/AN/A77+16.40%$176+8.19%0.69
103
GLPIGaming And Leisure Properties Inc0.16%$46.39$14BReit - SpecialtyReal Estate+5.89%15.1614.141.35N/AN/A70+17.44%$54+6.17%0.31
104
GGGGraco Inc0.16%$74.06$13BSpecialty Industrial MachineryIndustrials+7.71%25.3423.8718.50N/AN/A63+24.22%$92+1.16%0.74
105
WSOWatsco Inc Ordinary Shares0.16%$363.86$15BIndustrial DistributionIndustrials+19.70%29.2427.251.75N/AN/A51+16.71%$425+7.80%0.90
106
PENPenumbra Inc0.16%$318.74$13BMedical DevicesHealthcare+46.16%76.5363.690.75N/AN/A58+14.00%$363+4.43%0.53
107
NTNXNutanix Inc Class A0.15%$55.49$14BSoftware - InfrastructureTechnologyN/A51.5725.771.05N/AN/A68+2.74%$57+10.79%1.16
108
WBSWebster Financial Corp0.15%$72.61$12BBanks - RegionalFinancial Services+14.90%11.6911.170.32N/AN/A53+2.31%$74+8.34%1.28
109
TXRHTexas Roadhouse Inc0.15%$170.94$12BRestaurantsConsumer Cyclical+41.33%28.2827.172.34N/AN/A61+15.81%$198+14.22%0.78
110
CGThe Carlyle Group Inc0.15%$44.49$16BAsset ManagementFinancial ServicesN/A30.9810.180.10N/AN/A66+35.99%$61+3.95%1.71
111
FHNFirst Horizon Corp0.15%$24$12BBanks - RegionalFinancial Services+2.14%12.3511.270.28N/AN/A64+11.98%$27+8.33%1.16
112
SWKStanley Black & Decker Inc0.15%$79.14$12BTools & AccessoriesIndustrials-22.54%39.6414.470.21N/AN/A56+14.40%$91-15.03%1.42
113
SAIASaia Inc0.15%$471.15$13BTruckingIndustrials+11.22%49.5142.192.58N/AN/A62-5.65%$445+16.75%1.44
114
DTDynatrace Inc Ordinary Shares0.15%$44.97$12BSoftware - ApplicationTechnology+15.09%71.8622.830.84N/AN/A71-2.49%$44-2.06%0.86
115
ELSEquity Lifestyle Properties Inc0.15%$61.47$12BReit - ResidentialReal Estate+10.23%30.1930.4017.99N/AN/A73+14.28%$70-0.67%0.12
116
IONSIonis Pharmaceuticals Inc0.15%$72.97$13BBiotechnologyHealthcare-21.44%N/A90.91N/AN/AN/A78+38.30%$101+16.01%0.74
117
GWREGuidewire Software Inc0.15%$162.79$11BSoftware - ApplicationTechnologyN/A112.9439.530.82N/AN/A80+38.69%$226+9.94%0.76
118
ALLYAlly Financial Inc0.15%$42.18$13BCredit ServicesFinancial Services-5.10%9.477.890.03N/AN/A75+28.06%$54-2.05%1.24
119
AITApplied Industrial Technologies Inc0.15%$308.15$12BIndustrial DistributionIndustrials+24.82%29.8125.713.63N/AN/A67+7.09%$330+27.27%1.22
120
FIVEFive Below Inc0.15%$220.37$12BSpecialty RetailConsumer Cyclical+26.97%33.2429.150.30N/AN/A68+19.78%$264+4.38%1.46
121
LFUSLittelfuse Inc0.15%$487.90$12BElectronic ComponentsTechnology+6.84%48.1832.792.84N/AN/A56-2.13%$478+14.78%1.53
122
NYTNew York Times Co Class A0.15%$75.24$12BPublishingCommunication Services+24.14%40.3526.881.11N/AN/A67+12.83%$85+13.46%0.49
123
KNXN/A0.14%$77.64$12BTruckingIndustrials-40.58%354.2239.370.62N/AN/A69-4.46%$74+11.51%1.06
124
DINOHf Sinclair Corp0.14%$73.23$12BOil & Gas Refining & MarketingEnergyN/A9.977.390.03N/AN/AN/AN/AN/A+19.75%N/A
125
EGPEastgroup Properties Inc0.14%$195.72$11BReit - IndustrialReal Estate+14.11%37.5042.021.77N/AN/A71+9.58%$214+6.57%0.61
126
ELANElanco Animal Health Inc0.14%$23.66$12BDrug Manufacturers - Specialty & GenericHealthcare-17.32%N/A18.944.04N/AN/A77+25.94%$30-7.54%1.31
127
SFStifel Financial Corp0.14%$69.38$11BCapital MarketsFinancial Services+11.92%16.3510.640.75N/AN/A62+26.48%$88+10.80%1.31
128
RIVNRivian Automotive Inc Class A0.14%$17.29$19BAuto ManufacturersConsumer CyclicalN/AN/AN/AN/AN/AN/A56+4.97%$180.00%1.43
129
CPTCamden Property Trust0.14%$106.12$11BReit - ResidentialReal Estate+8.89%42.2469.440.70N/AN/A56+6.35%$113-0.54%0.45
130
CCKCrown Holdings Inc0.14%$95.75$11BPackaging & ContainersConsumer Cyclical+10.63%14.7611.900.06N/AN/A69+30.55%$125+0.10%0.56
131
CACICaci International Inc Class A0.14%$525.07$11BInformation Technology ServicesTechnology+7.72%20.9917.891.53N/AN/A71+29.63%$681+15.37%0.42
132
CGNXCognex Corp0.14%$66.08$11BScientific & Technical InstrumentsTechnology-7.89%78.2133.903.33N/AN/A75+15.39%$76-2.61%1.40
133
ALLEAllegion Plc0.14%$129.87$11BSecurity & Protection ServicesIndustrials+9.82%17.8114.796.70N/AN/A63+27.76%$166+0.24%0.63
134
n/aBlackrock Cash Funds Treasury Sl Agency0.14%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
135
BJBj's Wholesale Club Holdings Inc0.14%$88.56$11BDiscount StoresConsumer Defensive+7.61%19.0919.342.08N/AN/A58+14.16%$101+13.57%0.02
136
QXOQxo Inc0.14%$16.32$12BIndustrial DistributionIndustrialsN/AN/A45.452.33N/AN/A78+93.01%$32-18.34%1.13
137
AGNCAgnc Investment Corp0.14%$10.20$12BReit - MortgageReal Estate-25.22%7.796.510.05N/AN/A64+12.16%$11+1.61%0.67
138
ARWArrow Electronics Inc0.14%$228.41$11BElectronics & Computer DistributionTechnologyN/A18.375.030.59N/AN/A50-6.09%$215+13.61%1.08
139
AMHAmerican Homes 4 Rent Class A0.14%$32.08$12BReit - ResidentialReal Estate+26.36%22.8524.810.93N/AN/A69+9.66%$35-0.95%0.42
140
BLDTopbuild Corp0.14%$407.17$12BEngineering & ConstructionIndustrials+18.20%23.3522.99N/AN/AN/A62+16.36%$474+16.15%1.10
141
VMIValmont Industries Inc0.13%$543.48$10BConglomeratesIndustrials+22.76%35.4922.571.08N/AN/A80+0.33%$545+17.50%1.01
142
WTFCWintrust Financial Corp0.13%$150.10$10BBanks - RegionalFinancial Services+14.67%12.1911.900.85N/AN/A75+16.37%$175+14.87%1.18
143
OGEOge Energy Corp0.13%$46.61$9.94BUtilities - Regulated ElectricUtilities-0.71%21.5418.872.98N/AN/A57+7.66%$50+11.09%0.23
144
COKECoca-cola Consolidated Inc0.13%$175$13BBeverages - Non-alcoholicConsumer DefensiveN/A270.5017.420.36N/AN/AN/A+722.86%$1.44K+33.47%0.37
145
ARAntero Resources Corp0.13%$36.29$11BOil & Gas E&pEnergyN/A10.838.640.04N/AN/A67+38.74%$50+22.68%0.90
146
AESThe Aes Corp0.13%$14.70$11BUtilities - DiversifiedUtilities+117.33%7.746.391.81N/AN/A52+2.82%$15-6.54%0.87
147
FRTFederal Realty Investment Trust0.13%$119.34$11BReit - RetailReal Estate+29.35%20.6340.650.32N/AN/A72+5.13%$125+4.44%0.61
148
SCIService Corp International0.13%$71.01$11BPersonal ServicesConsumer Cyclical-0.14%20.0817.244.58N/AN/A83+35.66%$96+7.93%0.27
149
EHCEncompass Health Corp0.13%$101.58$10BMedical Care FacilitiesHealthcare+10.00%16.9917.060.37N/AN/A77+38.31%$141+9.98%0.47
150
JKHYJack Henry & Associates Inc0.13%$136.03$9.78BInformation Technology ServicesTechnology+12.26%19.6319.420.71N/AN/A73+39.09%$189-1.43%0.27

SMMD (ISHARES RUSSELL 2500 ETF) Sector Allocation

INDUSTRIALS
13.00%
INFORMATION TECHNOLOGY
11.60%
FINANCIALS
7.40%
CONSUMER DISCRETIONARY
5.90%
HEALTHCARE
4.50%
MATERIALS
3.00%
ENERGY
2.10%
CONSUMER STAPLES
2.00%
UTILITIES
1.50%
COMMUNICATION SERVICES
1.40%
REAL ESTATE
0.00%