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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
901
NBRNabors Industries Ltd0.03%$84.24$1.21BOil & Gas DrillingEnergyN/A4.40133.332.90N/AN/A56+25.83%$106-0.70%1.67
902
FIZZNational Beverage Corp0.03%$30.53$2.91BBeverages - Non-alcoholicConsumer Defensive+17.89%15.8616.4215.23N/AN/A25+8.09%$33-2.34%0.08
903
LPGDorian Lpg Ltd0.03%$45.61$1.88BOil & Gas MidstreamEnergy+17.45%9.695.420.08N/AN/A70+11.82%$51+53.93%0.77
904
SCLStepan Co0.03%$57.60$1.35BSpecialty ChemicalsBasic Materials-65.69%2590.9322.621.75N/AN/AN/A+30.21%$75-11.53%0.98
905
DRVNN/A0.03%$13.68$2.33BAuto & Truck DealershipsConsumer CyclicalN/A35.1911.790.99N/AN/A65+24.34%$17-15.08%0.72
906
MSEXMiddlesex Water Co0.03%$56.31$1.05BUtilities - Regulated WaterUtilities+1.92%23.5228.5718.45N/AN/A62+6.55%$60-8.39%N/A
907
SMPStandard Motor Products Inc0.03%$38.09$860MAuto PartsConsumer Cyclical-4.06%16.888.710.45N/AN/AN/A+26.88%$48+1.23%0.75
908
VSTSVestis Corp0.03%$15.59$2.10BRental & Leasing ServicesIndustrialsN/AN/AN/AN/AN/AN/A40-33.29%$100.00%0.11
909
AHCOAdapthealth Corp Ordinary Shares0.03%$10.47$1.48BMedical DevicesHealthcare-18.65%N/A13.40N/AN/AN/A71+35.05%$14-14.03%0.70
910
MFAMfa Financial Inc0.03%$9.07$944MReit - MortgageReal Estate-13.95%7.058.322.48N/AN/A64+55.24%$14-0.43%0.78
911
NAVINavient Corp0.03%$8.44$818MCredit ServicesFinancial ServicesN/AN/A12.590.14N/AN/A37+7.35%$9.06-11.49%1.00
912
WGOWinnebago Industries Inc0.03%$30.07$881MRecreational VehiclesConsumer Cyclical-2.77%20.6711.920.07N/AN/A58+26.37%$38-13.10%1.18
913
WVEWave Life Sciences Ltd0.03%$5.78$1.10BBiotechnologyHealthcare-19.81%N/AN/AN/AN/AN/A78+279.58%$22-0.21%1.46
914
MCWMister Car Wash Inc0.02%$7.10$2.33BAuto & Truck DealershipsConsumer Cyclical+2.96%21.1213.070.61N/AN/AN/AN/AN/A-21.31%N/A
915
ZVRAZevra Therapeutics Inc0.02%$12.52$718MBiotechnologyHealthcareN/A5.5111.6410.67N/AN/A80+122.76%$28+3.10%0.64
916
SMBCSouthern Missouri Bancorp Inc0.02%$77.72$833MBanks - RegionalFinancial Services+19.67%12.528.830.37N/AN/A58-1.35%$77+13.80%0.83
917
NVGSNavigator Holdings Ltd0.02%$21.68$1.38BOil & Gas MidstreamEnergyN/A13.759.690.56N/AN/A75+16.84%$25+19.40%0.64
918
GERNGeron Corp0.02%$1.45$944MBiotechnologyHealthcare-18.28%N/AN/AN/AN/AN/A66+134.48%$3.40+2.37%1.13
919
WSRWhitestone Reit0.02%$18.99$976MReit - RetailReal Estate+48.28%19.2646.300.32N/AN/AN/AN/AN/A+23.63%N/A
920
ADAMAdamas Trust Inc0.02%$8.59$790MReit - MortgageReal Estate-14.28%5.107.270.02N/AN/A60+38.30%$12+3.11%0.93
921
ACELAccel Entertainment Inc Class A10.02%$11.96$984MGamblingConsumer CyclicalN/A20.1716.050.60N/AN/A75+29.60%$16+0.73%0.71
922
n/aVital Energy0.02%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
923
SPTSprout Social Inc Class A0.02%$7.32$455MSoftware - ApplicationTechnologyN/AN/A8.740.08N/AN/A62+32.10%$9.67-39.84%1.15
924
STGWStagwell Inc Ordinary Shares Class A0.02%$7.09$1.77BAdvertising AgenciesCommunication Services-74.11%N/A7.11N/AN/AN/A71+19.89%$8.500.00%1.11
925
LABStandard Biotools Inc0.02%$0.88$319MMedical DevicesHealthcareN/A4.14N/AN/AN/AN/A62+77.08%$1.55-25.48%1.56
926
SPFISouth Plains Financial Inc0.02%$44.25$716MBanks - RegionalFinancial Services+4.75%11.75N/A0.60N/AN/A93+14.69%$51+15.52%0.72
927
ADTNAdtran Holdings Inc0.02%$10.15$842MCommunication EquipmentTechnology-8.55%N/A20.081.86N/AN/A72+92.12%$20-13.56%1.68
928
AEHRAehr Test Systems0.02%$88.51$2.90BSemiconductor Equipment & MaterialsTechnology-10.20%N/A9.860.90N/AN/A68+29.93%$115+70.74%3.08
929
VTSVitesse Energy Inc0.02%$15.93$637MOil & Gas E&pEnergyN/AN/A909.09N/AN/AN/A62+39.67%$220.00%0.66
930
GDYNN/A0.02%$5.61$468MInformation Technology ServicesTechnologyN/A90.03131.58N/AN/AN/A79+46.17%$8.20-21.81%1.23
931
GOSSGossamer Bio Inc0.02%$0.14$51MBiotechnologyHealthcare-25.44%N/AN/AN/AN/AN/A53+2605.96%$3.86-54.66%1.67
932
GHMGraham Corp0.02%$105.51$1.17BSpecialty Industrial MachineryIndustrials+36.73%92.7354.9576.33N/AN/A75+23.92%$131+50.55%1.69
933
GSBCGreat Southern Bancorp Inc0.02%$78.33$846MBanks - RegionalFinancial Services+7.11%12.1712.120.91N/AN/A50-2.97%$76+12.09%0.73
934
GDOTGreen Dot Corp Class A0.02%$13.10$752MCredit ServicesFinancial ServicesN/AN/A23.75N/AN/AN/AN/A+23.10%$16-22.18%1.21
935
GPREGreen Plains Inc0.02%$17.20$1.24BChemicalsBasic Materials-35.98%N/A10.381.16N/AN/A60+2.97%$18-12.30%1.10
936
HSTMHealthstream Inc0.02%$26.39$788MHealth Information ServicesHealthcare+5.05%39.9638.915.57N/AN/A60+26.94%$34-1.87%0.50
937
VREXVarex Imaging Corp0.02%$10.72$449MMedical DevicesHealthcare+6.04%N/A11.65N/AN/AN/A75+67.91%$18-16.68%1.72
938
VSTMVerastem Inc0.02%$6.18$517MBiotechnologyHealthcare-2.77%N/AN/AN/AN/AN/A77+142.72%$15-31.07%1.32
939
HTZN/A0.02%$1.91$608MRental & Leasing ServicesIndustrials-22.91%N/A11.78N/AN/AN/A36+127.45%$4.33-35.27%1.14
940
GEVOGevo Inc0.02%$1.83$425MSpecialty ChemicalsBasic Materials-6.48%N/AN/AN/AN/AN/A62+194.54%$5.39-20.74%N/A
941
GOODGladstone Commercial Corp0.02%$12.78$629MReit - DiversifiedReal Estate+3.84%29.5352.3639.84N/AN/AN/A+8.61%$14-3.25%0.45
942
CABOCable One Inc0.02%$37.24$225MTelecom ServicesCommunication ServicesN/AN/A22.325.11N/AN/A37+87.30%$70-53.98%0.49
943
SHENShenandoah Telecommunications Co0.02%$11.48$650MTelecom ServicesCommunication ServicesN/AN/A3.60N/AN/AN/A87+139.55%$28-18.25%0.59
944
VIRVir Biotechnology Inc0.02%$9.34$1.51BBiotechnologyHealthcare-0.01%N/A4.27N/AN/AN/A82+130.84%$22-24.02%1.53
945
BRSPBrightspire Capital Inc Class A0.02%$5.21$671MReit - MortgageReal EstateN/AN/A24.57N/AN/AN/A62+24.88%$6.50-0.71%0.77
946
BBWBuild-a-bear Workshop Inc0.02%$33.88$428MSpecialty RetailConsumer CyclicalN/A7.898.492.84N/AN/AN/A+80.79%$61+21.08%1.31
947
BLNDBlend Labs Inc Ordinary Shares Class A0.02%$1.70$430MSoftware - ApplicationTechnologyN/AN/A23.47N/AN/AN/A75+111.21%$3.58-37.29%0.88
948
HTBHometrust Bancshares Inc0.02%$48.48$811MBanks - RegionalFinancial Services+26.67%12.5111.340.51N/AN/A70+6.87%$52+13.23%0.75
949
HOVHovnanian Enterprises Inc Class A0.02%$130.88$847MResidential ConstructionConsumer CyclicalN/A14.9313.502.00N/AN/A0-43.46%$74+6.68%1.36
950
HTBKHeritage Commerce Corp0.02%$13.45$825MBanks - RegionalFinancial Services+5.73%17.2711.050.97N/AN/AN/A+7.81%$15+9.78%0.79

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%