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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
1001
SVRASavara Inc0.02%$5.75$1.16BBiotechnologyHealthcare-2.12%N/A0.41N/AN/AN/A81+90.26%$11+34.02%1.23
1002
BCAXBicara Therapeutics Inc0.02%$27.73$1.83BBiotechnologyHealthcareN/AN/AN/AN/AN/AN/A75+13.45%$310.00%1.40
1003
RYIRyerson Holding Corp0.02%$28.16$1.19BMetal FabricationIndustrialsN/AN/A3.50N/AN/AN/AN/AN/AN/A+17.23%N/A
1004
SABRSabre Corp0.02%$1.69$656MSoftware - InfrastructureTechnologyN/A1.3237.741.68N/AN/A53+17.87%$1.99-31.97%1.87
1005
BFLYN/A0.02%$6.63$1.70BMedical DevicesHealthcareN/AN/AN/AN/AN/AN/A75+6.57%$7.06-9.01%2.38
1006
RZLVRezolve Ai Plc0.02%$2.30$770MSoftware - InfrastructureTechnologyN/AN/AN/AN/AN/AN/A79+356.52%$110.00%2.05
1007
RWTRedwood Trust Inc0.02%$4.90$635MReit - MortgageReal EstateN/AN/A5.901.47N/AN/A71+26.94%$6.22-6.14%0.85
1008
CCNECnb Financial Corp0.02%$33.92$989MBanks - RegionalFinancial Services-0.35%14.0510.121.06N/AN/A62+3.92%$35+11.25%0.81
1009
LINCLincoln Educational Services Corp0.02%$41.22$1.27BEducation & Training ServicesConsumer Defensive-19.05%56.4651.810.66N/AN/A80+39.25%$57+42.85%0.92
1010
IRWDIronwood Pharmaceuticals Inc Class A0.02%$3.79$639MDrug Manufacturers - Specialty & GenericHealthcare-12.17%8.3612.33N/AN/AN/A68+67.55%$6.35-21.87%1.07
1011
IVRInvesco Mortgage Capital Inc0.02%$7.65$687MReit - MortgageReal EstateN/A8.813.500.51N/AN/A45+11.11%$8.50-11.50%0.71
1012
UTZUtz Brands Inc Class A0.02%$14.09$1.24BPackaged FoodsConsumer DefensiveN/A665.3918.15N/AN/AN/A75-5.18%$13-7.67%0.31
1013
AMTBN/A0.02%$25.87$1.01BBanks - RegionalFinancial Services+36.69%17.9411.45N/AN/AN/A81+5.33%$27+4.83%0.98
1014
IIINInsteel Industries Inc0.02%$32.36$616MMetal FabricationIndustrials+35.77%16.6812.990.34N/AN/A50+20.52%$39+3.52%0.88
1015
SANASana Biotechnology Inc Ordinary Shares0.02%$3.21$842MBiotechnologyHealthcareN/AN/AN/AN/AN/AN/A77+166.98%$8.57-29.60%1.97
1016
TCMDTactile Systems Technology Inc0.02%$27.44$627MMedical DevicesHealthcareN/A30.4119.120.88N/AN/A80+43.95%$40-10.61%0.72
1017
TALKTalkspace Inc Ordinary Shares0.02%$5.21$873MHealth Information ServicesHealthcareN/A703.5443.29N/AN/AN/A56+18.04%$6.15-3.73%1.01
1018
AIOTPowerfleet Inc0.02%$3.79$547MSoftware - InfrastructureTechnology-12.18%N/A357.140.76N/AN/A82+168.34%$10-11.90%2.18
1019
PRAAPra Group Inc0.02%$16.15$645MCredit ServicesFinancial ServicesN/AN/A11.575.88N/AN/A58+60.99%$26-15.38%1.25
1020
PGENPrecigen Inc0.02%$5.54$1.91BBiotechnologyHealthcare-3.92%N/A277.78N/AN/AN/A75+124.73%$12+0.48%1.67
1021
CRNCCerence Inc Ordinary Shares0.02%$8.81$432MSoftware - ApplicationTechnologyN/AN/A44.25N/AN/AN/A55+22.02%$11-39.38%2.88
1022
PSNLPersonalis Inc0.02%$12.22$1.31BDiagnostics & ResearchHealthcare-3.14%N/AN/AN/AN/AN/A75+13.58%$14-10.70%2.31
1023
PHATN/A0.02%$11.60$929MBiotechnologyHealthcare-24.73%N/AN/AN/AN/AN/A77+104.31%$24-18.68%1.25
1024
FMNBFarmers National Banc Corp0.02%$14.82$870MBanks - RegionalFinancial Services-2.97%11.1311.191.58N/AN/A75+7.96%$16+4.40%0.67
1025
TREELendingtree Inc0.02%$39.45$578MFinancial ConglomeratesFinancial ServicesN/A3.156.993.55N/AN/A87+61.80%$64-26.96%1.35
1026
EVHEvolent Health Inc Class A0.02%$4.62$623MHealth Information ServicesHealthcare+12.23%N/A36.50N/AN/AN/A76+29.00%$5.96-26.70%0.73
1027
EEExcelerate Energy Inc Class A0.02%$39.66$4.51BOil & Gas MidstreamEnergyN/A112.23N/AN/AN/AN/A68+7.96%$430.00%0.65
1028
LINDLindblad Expeditions Holdings Inc0.02%$27.04$1.82BTravel ServicesConsumer Cyclical-29.29%N/A238.10N/AN/AN/A70-0.89%$27+14.82%1.52
1029
KOSKosmos Energy Ltd0.02%$2.74$1.34BOil & Gas E&pEnergy+11.13%N/A3.06N/AN/AN/A55+11.35%$3.05+4.11%1.05
1030
SGSweetgreen Inc Ordinary Shares Class A0.02%$6.04$748MRestaurantsConsumer CyclicalN/A18.2812.59N/AN/AN/A55+32.45%$80.00%1.59
1031
AVAHAveanna Healthcare Holdings Inc0.02%$9.08$2.05BMedical Care FacilitiesHealthcareN/A7.6312.97N/AN/AN/A72+15.09%$10-3.48%1.21
1032
CPSCooper-standard Holdings Inc0.02%$29.26$515MAuto PartsConsumer Cyclical-27.90%N/A62.892.22N/AN/A66+51.50%$44+3.57%1.56
1033
CLBCore Laboratories Inc0.02%$11.81$552MOil & Gas Equipment & ServicesEnergyN/A19.0919.763.79N/AN/A50+31.24%$16-18.44%1.24
1034
CRMDCormedix Inc0.02%$8.05$622MBiotechnologyHealthcareN/A3.4216.05N/AN/AN/A90+86.34%$15+5.57%0.84
1035
CMCOColumbus Mckinnon Corp0.02%$15.53$451MFarm & Heavy Construction MachineryIndustrialsN/AN/A10.94N/AN/AN/A81+59.37%$25-18.19%1.69
1036
TRNSTranscat Inc0.02%$87.31$822MSpecialty Business ServicesIndustrials+0.99%91.3356.50N/AN/AN/A68+16.06%$101+7.31%0.82
1037
MAGNMagnera Corp0.02%$13.26$488MHousehold & Personal ProductsConsumer Defensive+13.39%N/A13.70N/AN/AN/A50+20.66%$16-40.27%1.45
1038
MBUUMalibu Boats Inc Class A0.02%$27.23$541MRecreational VehiclesConsumer Cyclical-34.31%77.3511.050.22N/AN/A63+29.75%$35-19.34%1.27
1039
ANGOAngiodynamics Inc0.02%$13.44$576MMedical Instruments & SuppliesHealthcare+1.50%N/A96.15N/AN/AN/A75+48.81%$20-12.47%1.03
1040
PKSTPeakstone Realty Trust Ordinary Shares0.02%$20.99$781MReit - OfficeReal Estate+62.08%N/A22.12N/AN/AN/AN/AN/AN/A+30.92%N/A
1041
PVLAPalvella Therapeutics Inc0.02%$143.21$2.04BBiotechnologyHealthcareN/AN/AN/AN/AN/AN/A75+60.33%$2300.00%1.03
1042
CMPCompass Minerals International Inc0.02%$29.82$1.27BOther Industrial Metals & MiningBasic MaterialsN/AN/A14.770.13N/AN/AN/A+8.15%$32-14.58%0.80
1043
CMPXCompass Therapeutics Inc Ordinary Shares0.02%$2.12$367MBiotechnologyHealthcareN/AN/AN/AN/AN/AN/A76+300.94%$8.50-15.60%1.54
1044
CWCOConsolidated Water Co Ltd0.02%$29.30$470MUtilities - Regulated WaterUtilities+1.76%27.0632.362.25N/AN/A75+46.76%$43+21.28%0.41
1045
CNXNPc Connection Inc0.02%$80.03$2.04BElectronics & Computer DistributionTechnology+4.11%25.6421.412.14N/AN/A50-5.04%$76+13.67%0.69
1046
CYHCommunity Health Systems Inc0.02%$2.78$454MMedical Care FacilitiesHealthcare-0.68%0.9720.702.38N/AN/A50+25.87%$3.49-27.82%1.12
1047
CODICompass Diversified Holdings0.02%$9.92$778MConglomeratesIndustrialsN/AN/A11.882.65N/AN/A65+29.33%$13-13.46%0.97
1048
LQDTLiquidity Services Inc0.02%$37.47$1.45BInternet RetailConsumer Cyclical+12.50%47.5324.392.68N/AN/A87+17.43%$44+12.83%0.78
1049
TROXTronox Holdings Plc Shs Class A0.02%$6.38$1.06BChemicalsBasic MaterialsN/AN/A21.83N/AN/AN/A46+10.19%$7.03-16.22%1.90
1050
ANGIAngi Inc Class A0.02%$5.42$232MInternet Content & InformationCommunication Services-16.61%10.512.97117.60N/AN/A57+77.12%$9.60-46.20%1.14

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%