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All 1951 VTWO (VANGUARD RUSSELL 2000 INDEX FUND ETF SHARES) Holdings

There are 1951 VTWO holdings. Top 10 companies weight: 6.77%.

Screener with all companies

Total Market Cap: $3.59T
Rank
Average(1,951 stocks)+9.61%18.3814.550.24+26.84%+11.56%1.22
851
REXRex American Resources Corp0.03%$45.33$1.55BChemicalsBasic Materials+78.63%22.4412.451.74N/AN/AN/A+10.30%$50+27.85%0.55
852
RZLTRezolute Inc0.03%$5.31$481MBiotechnologyHealthcare-10.29%N/AN/AN/AN/AN/A70+44.44%$7.67-12.17%0.95
853
BFSTBusiness First Bancshares Inc0.03%$30.47$900MBanks - RegionalFinancial Services+14.25%9.929.680.58N/AN/A80+6.99%$33+8.25%0.88
854
IRMDIradimed Corp0.03%$93.86$1.20BMedical DevicesHealthcare+87.99%50.8141.152.71N/AN/A75+25.72%$118+24.47%0.75
855
IARTIntegra Lifesciences Holdings Corp0.03%$18.56$1.45BMedical DevicesHealthcareN/AN/A7.73N/AN/AN/A50+0.32%$19-22.98%1.35
856
n/aN/A0.03%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
857
NTLAIntellia Therapeutics Inc0.03%$11.10$1.34BBiotechnologyHealthcare+8.10%N/AN/AN/AN/AN/A62+135.77%$26-39.57%1.78
858
CPFCentral Pacific Financial Corp0.03%$38.69$1.01BBanks - RegionalFinancial Services+12.71%12.759.430.31N/AN/AN/A+7.70%$42+14.56%0.74
859
CLOVN/A0.03%$4.55$2.44BHealthcare PlansHealthcareN/AN/A81.97N/AN/AN/A58+0.73%$4.58-10.78%0.93
860
CIMChimera Investment Corp0.03%$12.34$1.05BReit - MortgageReal EstateN/AN/A6.253.33N/AN/A55+20.23%$15-12.37%0.80
861
PRCHN/A0.03%$11.63$1.29BInsurance - Property & CasualtyFinancial ServicesN/AN/A84.03N/AN/AN/A78+44.02%$17-8.55%2.32
862
PLYMPlymouth Industrial Reit Inc0.03%$21.98$979MReit - IndustrialReal EstateN/A10.88N/AN/AN/AN/AN/AN/AN/A+3.42%N/A
863
EVLVN/A0.03%$5.27$962MSecurity & Protection ServicesIndustrialsN/AN/A43.29N/AN/AN/A75+92.03%$10-13.21%1.48
864
EXPIExp World Holdings Inc0.03%$6.74$1.11BReal Estate ServicesReal EstateN/AN/A172.41N/AN/AN/A62+40.95%$9.50-23.82%1.10
865
KURAKura Oncology Inc0.03%$10.45$936MBiotechnologyHealthcare+15.40%N/AN/AN/AN/AN/A76+198.28%$31-11.08%1.06
866
n/aPros Holdings Inc0.03%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
867
LFSTN/A0.03%$10.81$4.27BMedical Care FacilitiesHealthcareN/A184.1276.34N/AN/AN/A75+8.23%$12-13.61%0.76
868
EYPTEyepoint Inc0.03%$12.47$1.06BBiotechnologyHealthcare+6.42%N/A6.16N/AN/AN/A81+223.10%$40+8.64%1.24
869
PUMPPropetro Holding Corp0.03%$12.30$1.59BOil & Gas Equipment & ServicesEnergyN/AN/A3.10N/AN/AN/A77+52.60%$19+9.51%1.56
870
TNGXTango Therapeutics Inc0.03%$27.45$4.05BBiotechnologyHealthcareN/AN/AN/AN/AN/AN/A72+61.49%$44+21.17%1.42
871
TSHAN/A0.03%$5.83$1.63BBiotechnologyHealthcareN/AN/AN/AN/AN/AN/A80+125.56%$13-20.82%1.42
872
QNSTQuinstreet Inc0.03%$14.98$898MAdvertising AgenciesCommunication Services+14.84%13.4011.001.13N/AN/A75+26.84%$19-4.26%1.11
873
UPBUpstream Bio Inc0.03%$6.40$376MBiotechnologyHealthcareN/AN/AN/AN/AN/AN/A78+497.66%$380.00%1.10
874
ALNTAllient Inc0.03%$88.62$1.51BElectronic ComponentsTechnology-0.85%62.8735.340.44N/AN/A75-13.34%$77+22.68%1.30
875
UNITUniti Group Inc0.03%$11.02$2.62BReit - SpecialtyReal EstateN/A2.0011.860.29N/AN/A47-4.99%$10-4.21%1.23
876
UTLUnitil Corp0.03%$55.28$995MUtilities - DiversifiedUtilities+9.34%17.6519.883.37N/AN/A50+0.71%$56+4.41%0.11
877
UVEUniversal Insurance Holdings Inc0.03%$37.70$1.05BInsurance - Property & CasualtyFinancial ServicesN/A13.299.980.03N/AN/A100+16.71%$44+28.78%0.41
878
CFFNCapitol Federal Financial Inc0.03%$8.55$1.10BBanks - RegionalFinancial Services+1.49%14.4420.450.29N/AN/A50+3.27%$8.83+1.32%0.82
879
KODKodiak Sciences Inc0.03%$41.02$2.61BBiotechnologyHealthcare+4.23%N/AN/AN/AN/AN/A78+52.78%$63-13.72%1.70
880
UVSPUnivest Financial Corp0.03%$44.18$1.22BBanks - RegionalFinancial Services+4.64%13.0013.020.51N/AN/A50-3.42%$43+14.58%0.82
881
UPBDUpbound Group Inc0.03%$21.08$1.23BSoftware - ApplicationTechnology-13.01%13.625.221.39N/AN/A75+35.86%$29-12.84%1.23
882
ROOTRoot Inc Ordinary Shares Class A0.03%$57.54$915MInsurance - Property & CasualtyFinancial ServicesN/A12.791.70N/AN/AN/A62+19.57%$69-16.04%1.45
883
CDNACaredx Inc0.03%$37.61$1.94BDiagnostics & ResearchHealthcare-10.97%N/A94.34N/AN/AN/A60-5.88%$35-15.14%1.27
884
PAHCPhibro Animal Health Corp Class A0.03%$34.04$1.37BDrug Manufacturers - Specialty & GenericHealthcare+15.27%13.8613.830.03N/AN/A50+33.96%$46+9.72%1.16
885
FWRGFirst Watch Restaurant Group Inc0.03%$11.96$760MRestaurantsConsumer CyclicalN/A42.8563.690.72N/AN/A79+62.63%$190.00%1.19
886
RPDRapid7 Inc0.03%$9.56$662MSoftware - InfrastructureTechnologyN/A28.866.800.58N/AN/A51-15.27%$8.10-39.21%0.96
887
CNNECannae Holdings Inc Ordinary Shares0.03%$14.37$676MRestaurantsConsumer CyclicalN/AN/A74.07N/AN/AN/A83+27.56%$18-13.51%0.85
888
INBXInhibrx Biosciences Inc0.03%$85$1.26BBiotechnologyHealthcareN/AN/AN/AN/AN/AN/A66+226.47%$2780.00%1.38
889
INVXInnovex International Inc0.03%$26.67$1.87BOil & Gas Equipment & ServicesEnergyN/A36.18N/AN/AN/AN/A75+23.73%$33-1.10%1.02
890
FMBHFirst Mid Bancshares Inc0.03%$50.05$1.29BBanks - RegionalFinancial Services+10.74%12.4712.050.81N/AN/A71+1.32%$51+8.11%0.76
891
JAMFJamf Holding Corp Ordinary Shares0.03%$13.05$1.74BSoftware - ApplicationTechnologyN/AN/A9.19N/AN/AN/AN/AN/AN/A-16.27%N/A
892
JBIN/A0.03%$5.26$737MBuilding Products & EquipmentIndustrialsN/A15.8310.52N/AN/AN/A70+46.39%$7.70-16.29%1.04
893
DOLEDole Plc0.03%$14.04$1.36BFarm ProductsConsumer Defensive-9.96%26.5110.20N/AN/AN/A62+26.04%$180.00%0.28
894
NBBKNb Bancorp Inc0.03%$22.29$944MBanks - RegionalFinancial ServicesN/A16.92N/A1.22N/AN/A75+7.67%$240.00%0.67
895
NEXTNextdecade Corp0.03%$7.96$2.02BOil & Gas Equipment & ServicesEnergy+45.45%N/AN/AN/AN/AN/A65+16.21%$9.25+18.76%0.66
896
MDXGMimedx Group Inc0.03%$4.13$621MBiotechnologyHealthcareN/A20.0719.532.88N/AN/A80+59.81%$6.60-18.97%0.73
897
ARVNArvinas Inc0.03%$8.12$533MBiotechnologyHealthcare+1.07%N/A17.86N/AN/AN/A64+82.14%$15-38.91%1.12
898
NNENano Nuclear Energy Inc0.03%$16.88$902MSpecialty Industrial MachineryIndustrialsN/AN/AN/AN/AN/AN/A70+145.26%$410.00%2.83
899
DECDiversified Energy Co0.03%$13.25$968MOil & Gas IntegratedEnergyN/A3.021.920.10N/AN/A75+53.81%$200.00%0.54
900
NESRNational Energy Services Reunited Corp0.03%$27.88$2.92BOil & Gas Equipment & ServicesEnergyN/A57.02N/AN/AN/AN/A89+18.36%$33+16.56%1.24

VTWO (VANGUARD RUSSELL 2000 INDEX FUND ETF SHARES) Sector Allocation

HEALTHCARE
17.60%
INDUSTRIALS
16.70%
FINANCIALS
16.40%
INFORMATION TECHNOLOGY
13.40%
CONSUMER DISCRETIONARY
8.60%
ENERGY
4.30%
MATERIALS
4.00%
UTILITIES
2.90%
COMMUNICATION SERVICES
2.50%
CONSUMER STAPLES
1.80%