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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
1451
KOPNKopin Corp0.01%$3.80$663MElectronic ComponentsTechnologyN/A363.6433.008.75N/AN/A75+100.53%$7.62-11.32%2.91
1452
KRNYKearny Financial Corp0.01%$9.12$614MBanks - RegionalFinancial Services-4.31%17.1111.4915.99N/AN/A75+15.13%$11+0.72%0.87
1453
QTRXQuanterix Corp0.01%$3.92$181MMedical DevicesHealthcare+15.06%N/AN/AN/AN/AN/A50+10.54%$4.33-40.64%1.83
1454
CENTCentral Garden & Pet Co0.01%$42.98$2.68BPackaged FoodsConsumer Defensive+15.89%11.1313.210.17N/AN/A65+10.52%$48+1.96%0.58
1455
QSIQuantum-si Inc Ordinary Shares Class A0.01%$0.79$173MMedical DevicesHealthcareN/AN/AN/AN/AN/AN/A66+216.46%$2.50-42.06%2.36
1456
CALCaleres Inc0.01%$11.69$410MApparel RetailConsumer Cyclical-21.55%13.497.150.82N/AN/A62+45.42%$17-12.74%1.51
1457
BCALCalifornia Bancorp0.01%$20.75$670MBanks - RegionalFinancial ServicesN/A11.24N/A0.05N/AN/A83+10.02%$23+8.53%0.77
1458
CERSCerus Corp0.01%$2.87$586MMedical DevicesHealthcare-34.64%N/AN/AN/AN/AN/A75+62.61%$4.67-10.44%1.70
1459
JELDJeld-wen Holding Inc0.01%$1.10$101MBuilding Products & EquipmentIndustrialsN/AN/A6.94N/AN/AN/A50+50.00%$1.65-46.70%1.44
1460
JMSBJohn Marshall Bancorp Inc0.01%$22.12$313MBanks - RegionalFinancial ServicesN/A14.69N/A0.02N/AN/A87+8.50%$24+5.07%0.79
1461
PUBMPubmatic Inc Ordinary Shares Class A0.01%$12.30$596MSoftware - ApplicationTechnologyN/AN/A53.485.34N/AN/A68+4.80%$13-17.63%1.28
1462
PRMEPrime Medicine Inc0.01%$2.97$558MBiotechnologyHealthcareN/AN/AN/AN/AN/AN/A71+139.73%$7.120.00%2.10
1463
FRSTPrimis Financial Corp0.01%$15.69$390MBanks - RegionalFinancial Services+4.24%8.437.230.01N/AN/A81+15.49%$18+4.02%0.93
1464
BPRNPrinceton Bancorp Inc0.01%$37.97$256MBanks - RegionalFinancial ServicesN/A13.1311.200.19N/AN/A58+3.37%$39+8.80%0.52
1465
PLSEPulse Biosciences Inc0.01%$31$2.24BMedical Instruments & SuppliesHealthcare-12.98%N/AN/AN/AN/AN/A75-1.06%$31+9.10%1.43
1466
PBYIPuma Biotechnology Inc0.01%$8.01$400MBiotechnologyHealthcareN/A16.203.460.03N/AN/A50-37.58%$5+0.66%0.79
1467
PCYOPure Cycle Corp0.01%$10.60$259MUtilities - Regulated WaterUtilities-5.62%17.5656.502.15N/AN/AN/A-38.21%$6.55-6.98%0.67
1468
QUADQuad/graphics Inc Class A0.01%$8.30$408MSpecialty Business ServicesIndustrialsN/A18.457.170.84N/AN/A83+19.64%$9.93+19.70%0.86
1469
LELands' End Inc0.01%$11.63$371MApparel RetailConsumer Cyclical+60.63%1.0816.86N/AN/AN/A75+63.37%$19-22.55%1.41
1470
USAUU.s. Gold Corp0.01%$13.38$231MGoldBasic Materials-11.31%N/AN/AN/AN/AN/A75+105.90%$28+5.56%0.86
1471
THTarget Hospitality Corp Class A0.01%$16.34$1.67BSpecialty Business ServicesIndustrials+0.19%N/A20.161.34N/AN/A68+39.23%$23+35.63%0.74
1472
BLZEBackblaze Inc Class A0.01%$12.76$796MSoftware - InfrastructureTechnologyN/AN/A156.25N/AN/AN/A78+16.22%$150.00%1.58
1473
BKKTN/A0.01%$7.68$254MSoftware - InfrastructureTechnologyN/AN/AN/AN/AN/AN/AN/A+147.56%$19-50.07%3.35
1474
BANDBandwidth Inc Class A0.01%$58.74$2.04BSoftware - InfrastructureTechnologyN/AN/A23.04N/AN/AN/A80+14.49%$67-15.15%1.48
1475
TARAProtara Therapeutics Inc Ordinary Shares0.01%$4.04$225MBiotechnologyHealthcare-19.06%N/AN/AN/AN/AN/A81+557.67%$27-13.58%1.07
1476
PRTAProthena Corp Plc0.01%$8.53$448MBiotechnologyHealthcare-1.54%N/A10.63N/AN/AN/AN/A+150.88%$21-30.33%0.90
1477
FBIZFirst Business Financial Services Inc0.01%$66.02$552MBanks - RegionalFinancial Services+17.73%10.738.961.09N/AN/A90+1.79%$67+22.72%0.79
1478
FCAPFirst Capital Inc0.01%$59.96$199MBanks - RegionalFinancial Services-11.38%33.499.600.49N/AN/AN/AN/AN/A+9.89%0.25
1479
ETONEton Pharmaceuticals Inc0.01%$44.14$1.19BDrug Manufacturers - Specialty & GenericHealthcare-38.49%N/A62.11N/AN/AN/A75+11.58%$49+51.18%0.87
1480
EVEXEve Holding Inc0.01%$2.42$855MAerospace & DefenseIndustrialsN/AN/AN/AN/AN/AN/A68+163.51%$6.39-24.70%1.82
1481
EBEventbrite Inc Class A0.01%$4.51$453MInternet Content & InformationCommunication Services-47.29%N/A14.60N/AN/AN/AN/AN/AN/A-23.93%N/A
1482
FFWMFirst Foundation Inc0.01%$5.90$489MBanks - RegionalFinancial ServicesN/AN/A11.57N/AN/AN/AN/AN/AN/A-22.40%N/A
1483
INBKFirst Internet Bancorp0.01%$26.02$231MBanks - RegionalFinancial ServicesN/AN/A8.45N/AN/AN/A60+9.15%$28-1.88%1.13
1484
FXNCFirst National Corp0.01%$28.91$262MBanks - RegionalFinancial Services+3.37%12.478.090.07N/AN/A50-1.42%$29+9.26%0.64
1485
RYAMRayonier Advanced Materials Inc0.01%$8.44$608MChemicalsBasic Materials+188.17%N/A27.55N/AN/AN/A100+65.88%$14+5.59%1.45
1486
PALProficient Auto Logistics Inc0.01%$6.95$201MIntegrated Freight & LogisticsIndustrialsN/AN/A90.095.99N/AN/A81+48.63%$100.00%1.65
1487
RBBRbb Bancorp0.01%$26.36$452MBanks - RegionalFinancial Services+3.87%11.1112.210.11N/AN/A55+4.70%$28+5.62%0.77
1488
FLOCN/A0.01%$20.74$2.18BOil & Gas Equipment & ServicesEnergyN/A22.0117.27N/AN/AN/A80+50.53%$310.00%1.18
1489
FHTXFoghorn Therapeutics Inc Ordinary Shares0.01%$5.07$306MBiotechnologyHealthcareN/AN/AN/AN/AN/AN/A77+125.64%$11-12.11%1.79
1490
FUNCFirst United Corp0.01%$43.94$284MBanks - RegionalFinancial Services+12.01%11.245.270.96N/AN/A87+7.53%$47+25.00%0.78
1491
FNLCFirst Bancorp Inc0.01%$33.99$382MBanks - RegionalFinancial Services+3.69%10.4812.200.37N/AN/AN/AN/AN/A+8.72%0.58
1492
FRBAFirst Bank0.01%$17.49$395MBanks - RegionalFinancial ServicesN/A9.658.34N/AN/AN/A75+1.03%$18+7.35%0.66
1493
RCKTRocket Pharmaceuticals Inc0.01%$3.28$360MBiotechnologyHealthcare-5.96%N/AN/AN/AN/AN/A53+186.28%$9.39-41.05%1.37
1494
RCKYRocky Brands Inc0.01%$40.10$311MFootwear & AccessoriesConsumer Cyclical-5.76%16.6111.720.49N/AN/AN/A+32.17%$53-2.78%1.26
1495
CARECarter Bankshares Inc0.01%$33.90$730MBanks - RegionalFinancial ServicesN/A6.7613.660.02N/AN/A68-17.40%$28+27.15%0.72
1496
CADLCandel Therapeutics Inc0.01%$9.86$739MBiotechnologyHealthcareN/AN/A43.48N/AN/AN/A71+107.91%$210.00%1.82
1497
CBNKCapital Bancorp Inc0.01%$35.63$577MBanks - RegionalFinancial Services+7.68%10.568.350.31N/AN/A68+1.74%$36+12.35%0.69
1498
RLGTRadiant Logistics Inc0.01%$8.84$424MIntegrated Freight & LogisticsIndustrials+0.75%26.3011.684.11N/AN/A75+15.95%$10+7.63%0.97
1499
RNGRRanger Energy Services Inc Class A0.01%$16.04$385MOil & Gas Equipment & ServicesEnergy+0.53%30.5026.39N/AN/AN/A75+15.34%$19+15.67%1.03
1500
PACKN/A0.01%$6.31$600MPackaging & ContainersConsumer Cyclical+0.63%N/AN/AN/AN/AN/A66+12.20%$7.08-24.66%2.01

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%