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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%22.8016.980.31+14.39%+12.74%1.24
351
MDUMdu Resources Group Inc0.06%$20.76$4.50BUtilities - Regulated GasUtilities+5.83%23.0221.052.82N/AN/A62+12.19%$23+13.25%0.53
352
MATMattel Inc0.06%$14.34$4.43BLeisureConsumer CyclicalN/A13.2110.731.19N/AN/A62+30.47%$19-7.06%0.94
353
AMTMAmentum Holdings Inc0.05%$23.14$5.64BSpecialty Business ServicesIndustrialsN/A38.078.72N/AN/AN/A65+44.77%$340.00%1.27
354
THOThor Industries Inc0.05%$79.71$4.16BRecreational VehiclesConsumer Cyclical-0.09%24.0514.6630.37N/AN/A55+28.06%$102-5.54%1.08
355
KRCKilroy Realty Corp0.05%$35.28$4.07BReit - OfficeReal Estate-15.00%16.9548.541.68N/AN/A54+2.45%$36-8.52%0.96
356
KBRKbr Inc0.05%$35.73$4.19BEngineering & ConstructionIndustrials+37.72%10.468.882.26N/AN/A63+30.34%$47-1.28%0.82
357
LOPEGrand Canyon Education Inc0.05%$148.61$4.06BEducation & Training ServicesConsumer Defensive+7.33%18.8914.8816.16N/AN/A87+44.00%$214+10.67%0.64
358
HLNEHamilton Lane Inc Class A0.05%$80.83$4.92BAsset ManagementFinancial Services+9.76%19.7813.503.22N/AN/A78+68.25%$136+0.18%1.40
359
APPFAppfolio Inc Class A0.05%$166.27$5.82BSoftware - ApplicationTechnology+27.81%40.84128.213.20N/AN/A83+37.88%$229+4.39%0.86
360
BFAMBright Horizons Family Solutions Inc0.05%$59.63$3.31BPersonal ServicesConsumer Cyclical+127.63%18.5215.020.88N/AN/A66+55.22%$93-16.16%0.51
361
COLDAmericold Realty Trust Inc0.05%$14.60$4.37BReit - IndustrialReal Estate+105.28%N/A119.055.84N/AN/AN/AN/AN/A-14.41%N/A
362
ADTAdt Inc0.05%$6.65$6.23BSecurity & Protection ServicesIndustrialsN/AN/A7.41N/AN/AN/A50+22.71%$8.16-7.48%0.77
363
TREXTrex Co Inc0.05%$40.56$4.31BBuilding Products & EquipmentIndustrials+2.79%23.0323.871.00N/AN/A57+18.86%$48-15.95%1.37
364
TNLTravel&leisure Co0.05%$69.87$4.32BTravel ServicesConsumer Cyclical-5.23%12.109.7815.24N/AN/A75+24.63%$87+5.65%1.27
365
OLEDUniversal Display Corp0.05%$90.84$4.29BElectronic ComponentsTechnology+7.92%20.3419.121.23N/AN/A71+41.03%$128-15.00%1.64
366
NVSTEnvista Holdings Corp Ordinary Shares0.05%$22.40$3.80BMedical Instruments & SuppliesHealthcare-11.48%56.4320.33N/AN/AN/A63+33.26%$30-11.86%1.28
367
RYANRyan Specialty Holdings Inc Class A0.05%$30.86$9.72BInsurance - SpecialtyFinancial Services-29.84%310.0516.23N/AN/AN/A67+38.20%$430.00%0.35
368
GTLBGitlab Inc Class A0.05%$30.93$4.42BSoftware - InfrastructureTechnologyN/AN/A42.02N/AN/AN/A54-2.04%$300.00%1.40
369
MRPMillrose Properties Inc Class A0.05%$27.54$4.66BReit - ResidentialReal EstateN/A12.24N/AN/AN/AN/A80+40.16%$390.00%0.73
370
MORNMorningstar Inc0.05%$180.73$6.72BFinancial Data & Stock ExchangesFinancial Services+10.99%17.6116.291.50N/AN/A66+39.62%$252-4.40%0.75
371
OGNOrganon & Co Ordinary Shares0.05%$13.40$3.51BDrug Manufacturers - GeneralHealthcare-35.81%14.215.09N/AN/AN/A40-16.04%$11-13.61%0.87
372
SLMSlm Corp0.05%$21.62$4.28BCredit ServicesFinancial Services+27.23%5.456.950.08N/AN/A65+33.30%$29+3.84%1.11
373
SHCSotera Health Co Ordinary Shares0.05%$15.27$4.43BDiagnostics & ResearchHealthcareN/A63.4315.700.23N/AN/A77+31.76%$20-9.46%1.08
374
PVHPvh Corp0.05%$98.02$4.63BApparel ManufacturingConsumer Cyclical-42.18%165.257.730.07N/AN/A67+1.68%$100-2.22%1.34
375
DUOLDuolingo Inc0.05%$107.40$5.28BSoftware - ApplicationTechnologyN/A12.7315.720.03N/AN/A55-2.65%$1050.00%1.45
376
BHFN/A0.05%$62.40$3.60BInsurance - LifeFinancial Services-56.98%N/A3.33N/AN/AN/A43+4.17%$65+5.10%1.14
377
QSN/A0.05%$8.76$5.57BAuto PartsConsumer CyclicalN/AN/AN/AN/AN/AN/A44-18.26%$7.16-21.06%1.77
378
NWSNews Corp Class B0.05%$29.82$17BEntertainmentCommunication ServicesN/A34.4430.672.23N/AN/A75-2.75%$29+4.68%0.76
379
PLNTPlanet Fitness Inc Class A0.05%$51.53$4.15BLeisureConsumer CyclicalN/A18.8416.470.61N/AN/A77+29.32%$67-7.33%0.58
380
BBWIBath & Body Works Inc0.05%$18.02$3.91BSpecialty RetailConsumer Cyclical-6.75%5.416.330.78N/AN/A55+41.94%$26-17.77%1.46
381
OZKBank Ozk0.05%$47.71$5.34BBanks - RegionalFinancial Services+13.67%7.677.2217.64N/AN/A60+9.68%$52+5.17%1.04
382
YETIYeti Holdings Inc0.05%$46.92$3.56BLeisureConsumer Cyclical-0.07%23.0916.561.66N/AN/A67+9.40%$51-11.56%1.34
383
WINGWingstop Inc0.05%$144.05$4.14BRestaurantsConsumer Cyclical+33.49%37.5335.212.25N/AN/A72+64.23%$237+2.07%1.07
384
VNTVontier Corp Ordinary Shares0.05%$28.47$4.12BScientific & Technical InstrumentsTechnologyN/A10.188.370.66N/AN/A66+43.70%$41-3.40%1.16
385
VIRTVirtu Financial Inc Class A0.05%$50.78$3.53BCapital MarketsFinancial Services+280.71%7.559.810.08N/AN/A60+1.83%$52+13.99%0.68
386
VVVValvoline Inc0.05%$34.65$4.41BAuto & Truck DealershipsConsumer Cyclical-1.07%47.0615.131.10N/AN/A70+21.79%$42+0.99%0.76
387
VKTXViking Therapeutics Inc0.04%$29.33$3.67BBiotechnologyHealthcare+47.58%N/AN/AN/AN/AN/A78+215.65%$93+41.01%1.56
388
PSNParsons Corp0.04%$59.95$6.16BInformation Technology ServicesTechnology+18.11%27.2014.68N/AN/AN/A67+16.16%$70+8.06%0.75
389
PEGAPegasystems Inc0.04%$35.11$5.70BSoftware - ApplicationTechnologyN/A16.8612.990.23N/AN/A85+65.71%$58-9.95%1.23
390
KDKyndryl Holdings Inc Ordinary Shares0.04%$12.28$2.68BInformation Technology ServicesTechnologyN/A6.876.05N/AN/AN/A46+14.82%$140.00%1.27
391
KRMNKarman Holdings Inc0.04%$51.84$8.42BAerospace & DefenseIndustrialsN/A482.08102.04N/AN/AN/A77+103.70%$1060.00%1.48
392
OLNOlin Corp0.04%$25.76$2.96BChemicalsBasic Materials-16.86%N/A42.737.05N/AN/A51+12.58%$29-10.56%1.48
393
MKTXMarketaxess Holdings Inc0.04%$122.98$4.65BCapital MarketsFinancial Services+1.15%15.3915.870.32N/AN/A57+51.32%$186-21.84%N/A
394
NSANational Storage Affiliates Trust0.04%$42.37$2.71BReit - IndustrialReal Estate+5.87%39.8274.073.16N/AN/A52-1.44%$42+3.31%0.61
395
PAGPenske Automotive Group Inc0.04%$171.88$11BAuto & Truck DealershipsConsumer Cyclical+10.56%12.2112.712.12N/AN/A75+7.46%$185+19.07%0.76
396
DRSLeonardo Drs Inc0.04%$45.61$12BAerospace & DefenseIndustrialsN/A41.6037.451.78N/AN/A72+15.98%$530.00%1.07
397
GPKGraphic Packaging Holding Co0.04%$10.82$3.20BPackaging & ContainersConsumer Cyclical+14.72%11.6814.953.33N/AN/A45+9.02%$12-8.21%0.64
398
JHXJames Hardie Industries Plc0.04%$23.15$13BBuilding MaterialsBasic Materials-29.52%126.9122.831.25N/AN/A78+21.73%$28-6.66%1.23
399
RNGRingcentral Inc Class A0.04%$43.97$3.52BSoftware - ApplicationTechnologyN/A70.709.920.24N/AN/A65+3.25%$45-29.13%1.24
400
BILLBill Holdings Inc Ordinary Shares0.04%$35.19$3.44BSoftware - ApplicationTechnologyN/AN/A11.790.35N/AN/A68+56.58%$55-25.02%1.68

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%