ETF Components for VTWG - Vanguard Russell 2000 Growth ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
SMCI D -0.94 3.78
MSTR C -5.45 1.86
FIX A 0.07 0.83
ELF C -0.01 0.78
SSD F 0.23 0.65
VKTX D 0.22 0.62
WFRD A 5.86 0.61
ONTO D 0.37 0.56
AIT D -0.12 0.56
PCVX D -0.95 0.53
CHX B -1.28 0.52
ATKR A -0.48 0.52
HQY D -0.84 0.51
FN D 0.75 0.51
RHP D -0.32 0.50
ENSG C 0.02 0.50
SPSC D 0.30 0.50
ATI B 0.24 0.49
RMBS F 0.14 0.49
ITCI A -1.20 0.48
DUOL B -1.88 0.48
SFM A 0.15 0.48
SIGI C -0.54 0.48
CYTK D 1.91 0.46
QLYS B 0.33 0.46
NOVT C -0.99 0.46
IBP C -1.15 0.45
AAON A 1.25 0.44
WTS B -0.42 0.43
TENB C 0.59 0.42
BPMC B -0.03 0.42
APG B -2.34 0.41
CWST A -0.46 0.41
FLR A -0.17 0.41
OPCH D -2.16 0.41
HALO C 0.38 0.39
MTSI A 1.94 0.39
MMS C -0.20 0.38
VRNS C 0.18 0.38
EXLS F -0.17 0.38
NSIT C -1.03 0.38
CBT A 0.02 0.37
MARA D -1.80 0.37
FSS A -0.51 0.37
ASO C -0.35 0.36
FELE B -0.74 0.36
BCPC D -3.05 0.36
ALTR C -0.39 0.35
APPF D -1.56 0.35
HRI D 0.17 0.35
BMI A -1.75 0.35
SLAB F -8.89 0.34
GKOS A -0.17 0.33
VAL D -2.39 0.33
ALKS D 1.61 0.33
HAE A 1.35 0.32
MGY A 0.46 0.32
MMSI C -0.20 0.32
LNW C -0.55 0.32
GTLS A -0.37 0.32
EXPO C 0.30 0.31
CVLT C -0.35 0.31
WK F -0.29 0.31
LNTH B 1.24 0.31
TNET B -1.59 0.31
TDW A -1.49 0.31
FFIN C -0.10 0.31
COKE B 1.38 0.30
LANC D 1.04 0.30
POWI D 3.93 0.30
DY A -0.85 0.30
BCO A -0.27 0.30
AVAV A -0.20 0.30
NSP A 0.80 0.29
SHAK C -0.45 0.29
MDGL D -6.29 0.29
CVNA C -0.36 0.29
BOX C -0.07 0.29
INSM D 2.14 0.28
CBZ A 0.33 0.28
AEIS F -0.28 0.28
KAI D -1.25 0.28
KRYS B -1.85 0.28
FUL D -1.09 0.28
CSWI A -0.59 0.27
ACLS F 1.48 0.27
BL D -2.49 0.27
EVH F -2.89 0.27
HGV C 0.34 0.27
ALRM C -0.54 0.26
FORM D 0.75 0.26
HI B -0.47 0.26
IRTC A 0.08 0.26
ENS F -0.79 0.26
RVMD B -1.85 0.25
JBT F -1.54 0.25
CVCO C -2.36 0.25
SWTX C -1.41 0.25
KTB B 2.71 0.25
VRRM A -0.53 0.25
FOLD F -1.59 0.25
AXNX C 0.26 0.25
WDFC F 0.23 0.25
BLKB A -1.01 0.24
VC D 1.21 0.24
WHD A -0.49 0.24
ARWR F -2.06 0.24
NOG A -0.32 0.23
SMPL C 1.57 0.23
ACIW A -0.39 0.23
SHOO C 0.05 0.23
SEM C -1.60 0.23
MOD B 2.18 0.23
ANF C -3.86 0.23
RDNT A -0.33 0.22
STNE C 0.32 0.22
FRSH D 0.93 0.22
RPD D 0.69 0.22
QTWO A 0.73 0.22
PI A -2.24 0.22
CERE C -0.21 0.22
PGNY F 0.62 0.22
MGRC D 0.56 0.22
ICFI C 0.08 0.21
IOSP C -0.74 0.21
AXSM D -2.61 0.21
PIPR B -0.06 0.21
KWR D -0.74 0.21
BOOT A 0.60 0.21
DOOR A 0.24 0.21
STRL C -0.57 0.21
SPT F 0.69 0.21
ENV A -0.45 0.21
MYRG B 0.13 0.21
SXT A 0.20 0.21
ACLX D -2.98 0.20
AWR D 0.83 0.20
LRN B 8.64 0.20
MTRN D -1.24 0.20
KOS B 2.06 0.20
IDCC C 0.74 0.20
BLMN C -0.97 0.19
DORM C -0.45 0.19
AIN D 0.00 0.19
SKY D -2.74 0.19
IPAR D -0.45 0.19
EVTC B 0.49 0.19
YELP B 0.60 0.19
MLI A 0.91 0.19
CRDO F 1.08 0.19
FLYW F -1.31 0.19
FTDR D -0.42 0.19
AMN D 0.03 0.18
ACVA A -2.13 0.18
NARI F 2.88 0.18
BDC D -1.16 0.18
ROAD B -1.37 0.18
HLNE B -0.13 0.18
DNLI F -3.41 0.18
IGT D 0.15 0.18
CNMD F -1.82 0.18
VCEL D -0.67 0.18
TEX B -0.59 0.18
MWA A 0.62 0.18
DIOD B 1.75 0.18
BBIO F -1.69 0.18
ARRY F 2.43 0.17
CALM B -1.44 0.17
ACAD F -0.90 0.17
CRVL C -0.17 0.17
ORA C -0.28 0.17
OSIS A -0.79 0.17
PLXS B -0.94 0.17
ALG D -0.39 0.17
RYTM C -0.73 0.17
GH F 4.38 0.17
DOCN F 0.95 0.17
TMDX B -1.90 0.17
OII B -0.69 0.17
PRGS D 0.39 0.17
SONO C -2.09 0.17
BRZE D 1.37 0.17
TGTX D -1.89 0.16
ENR C -0.66 0.16
PLAY D -4.99 0.16
BE F -1.93 0.16
JJSF F 1.03 0.16
NJR A 0.60 0.16
OI F 0.27 0.16
RXO F -2.96 0.16
PRVA F -3.35 0.16
SLVM A 0.95 0.16
CARG B -0.55 0.16
FOXF F -1.87 0.16
BEAM F -3.11 0.16
MC C -1.12 0.16
PJT C 0.09 0.16
STEP B 0.03 0.15
ARVN D -4.29 0.15
SGBX F -2.24 0.15
PRCT A -2.36 0.15
NUVL C -0.59 0.15
GOLF C -2.58 0.15
UPST F 0.78 0.15
JOE A -0.30 0.15
CNS C -1.10 0.15
EAT B -0.85 0.15
PDFS F -0.30 0.15
APAM D -2.83 0.15
PLMR A -0.53 0.15
SGRY D 0.47 0.15
CORT F -2.26 0.15
HEES B -0.15 0.15
BRBR C -0.98 0.15
COUR F -1.65 0.14
IDYA D 2.13 0.14
STAA A -0.77 0.14
VRNT B 2.27 0.14
THRM F 0.67 0.14
OTTR B 0.78 0.14
HIMS D 0.08 0.14
SHLS F 0.35 0.14
PRFT F -0.86 0.14
EPAC A 0.36 0.14
CALX F 0.78 0.14
KLIC D 1.21 0.14
KROS D 1.90 0.13
AI F 0.09 0.13
AGYS A -0.02 0.13
PZZA D 0.23 0.13
TBBK D -3.72 0.13
GFF C -1.84 0.13
CAKE B -0.51 0.13
PAGS D -1.35 0.13
SXI C -0.71 0.13
NGVT B -1.37 0.13
IMVT F 0.66 0.13
BRP D -2.46 0.13
CSTM B -6.28 0.13
YOU F -0.34 0.13
CPRX D 2.65 0.13
UFPT B 0.49 0.13
HURN D 0.48 0.13
CCOI D 1.00 0.13
ASTH D -1.25 0.13
SNDX D -0.86 0.12
PSN C -0.53 0.12
ESE B -0.32 0.12
ETRN A 4.27 0.12
DDS B 1.16 0.12
CBRL D 0.38 0.12
LAUR A 0.49 0.12
APPN B 0.19 0.12
KYMR C -1.40 0.12
CNK B -0.67 0.12
SITM F 2.23 0.12
AMPH D 0.22 0.12
VIAV F -0.25 0.12
INMD F -0.06 0.12
SUPN C 1.04 0.12
USPH C 0.25 0.12
RIOT D 0.25 0.12
PTCT F -0.79 0.12
GSHD D 0.27 0.11
EVBG A -0.03 0.11
SKT B 0.53 0.11
CTS B 0.33 0.11
EXTR F 0.54 0.11
MGEE A 0.97 0.11
RXST B -3.79 0.11
SDGR F -3.10 0.11
HLIT F -1.57 0.11
HLIO B 0.28 0.11
HWKN A 0.32 0.11
RCKT D -0.17 0.11
PSMT B -0.82 0.11
CPK B 1.15 0.11
ROG F -0.13 0.11
CSGS D 0.57 0.11
SIX F -0.50 0.11
UPWK D -0.09 0.11
ZETA A 1.32 0.11
RRR A 1.56 0.11
AKRO F -3.52 0.11
JAMF A 1.97 0.10
CXM D 1.27 0.10
LNN D -2.18 0.10
OEC B -1.71 0.10
LMAT C -0.31 0.10
KFRC D -0.17 0.10
BGC B 3.86 0.10
CHEF C -0.66 0.10
PCRX F -3.39 0.10
FSLY F -0.47 0.10
UTZ B 2.63 0.10
NSSC B 1.57 0.10
ARCB B -6.13 0.10
MTDR B 0.23 0.10
JACK F 0.75 0.10
KALU B -1.72 0.10
DVAX F -2.89 0.10
HBI C -0.82 0.10
MGPI F -2.09 0.10
INTA F 1.62 0.10
WNC D -5.17 0.10
ROCK F -2.38 0.10
MXL C 0.72 0.10
SYBT B 5.30 0.09
RKLB F 0.27 0.09
CWH D -0.96 0.09
PRO D 1.02 0.09
WRBY B -2.39 0.09
TNC A -1.05 0.09
MORF F -3.69 0.09
AMBA F 3.18 0.09
PWSC F -0.62 0.09
INFN C 1.84 0.09
NVEE F 1.14 0.09
XPEL B 2.70 0.09
BKE C -2.42 0.09
GMS D -1.55 0.09
ZUO A 2.87 0.09
SBH C -1.71 0.09
PHR F -5.19 0.09
COLL C -1.28 0.09
ASGN B 1.32 0.09
OXM A -0.48 0.09
GERN B 2.29 0.09
ASAN D 1.77 0.09
JBI B -0.40 0.09
VCTR A -1.22 0.08
SP C 0.63 0.08
PTGX D -4.28 0.08
PRTA F 0.00 0.08
PDFS F -0.30 0.08
OCUL F -7.10 0.08
AEO D -2.20 0.08
HRMY F 1.32 0.08
TRUP D 5.10 0.08
DFIN A -0.58 0.08
MODN B 0.00 0.08
ARDX D 0.63 0.08
MEG B 0.22 0.08
OSW C 0.72 0.08
ENVX F -0.17 0.08
FIZZ F 0.25 0.08
SSTK D -0.05 0.08
UFPI C -0.30 0.08
CARS D 0.96 0.08
SFBS B 0.67 0.08
LCII D -1.49 0.08
OUT B 0.19 0.08
CMPR D -1.67 0.07
TRNS A -3.23 0.07
ZNTL F -6.36 0.07
ETNB F -3.81 0.07
MSEX D 1.74 0.07
SAGE F 8.11 0.07
GSAT F -1.54 0.07
MOG.A A -0.30 0.07
QNST A 2.32 0.07
URBN C -0.43 0.07
BASE C -0.12 0.07
DAWN C -8.71 0.07
JBSS D 0.15 0.07
MNKD C 0.72 0.07
ATEN B 1.78 0.07
CVI D -0.36 0.07
PR B 0.47 0.07
DBRG F -1.55 0.07
ZWS A -1.92 0.07
UDMY F -1.67 0.07
SPNS A 1.40 0.07
ALKT B -0.33 0.07
IESC A 0.83 0.07
INDI F 6.33 0.07
ARLO C 0.91 0.07
DGII A 1.09 0.07
MCRI D -0.76 0.07
ATRC F -0.52 0.07
CRAI A -0.51 0.07
FLNC D 3.69 0.07
ADMA A -1.22 0.06
IBUY C -0.82 0.06
VZIO C 0.37 0.06
BBSI A 0.27 0.06
PBI B 0.95 0.06
ADUS D 0.78 0.06
AMRC D 1.91 0.06
ZIP F 1.92 0.06
AMK B -0.71 0.06
ANIP B -1.07 0.06
LPG A 0.17 0.06
ARQT D 0.11 0.06
PARR F -0.18 0.06
WWW B 1.92 0.06
INBX D 0.73 0.06
FWRD F -2.92 0.06
VVI C -0.59 0.06
ALPN A 0.03 0.06
CTKB F -2.58 0.06
CENX B -0.91 0.06
SOUN D -3.84 0.06
SAVA F 0.92 0.06
PAX D -1.42 0.06
LGF.A A -0.09 0.06
NABL D 0.65 0.06
VERA D 1.09 0.06
RVLV B 1.07 0.06
HCI A -1.01 0.06
MYE A -0.05 0.06
CWT C 0.74 0.06
VICR F -8.95 0.06
PLRX F -4.95 0.06
MRTN F -0.60 0.06
TTGT F 1.03 0.06
COMP D -2.35 0.06
ERII F 0.65 0.06
HCSG D -6.11 0.06
HL B 0.00 0.05
MGNI D 2.94 0.05
MIRM F -1.64 0.05
IE C -3.39 0.05
ACEL A -1.54 0.05
BBUC C -0.05 0.05
SQSP A -1.71 0.05
ATRI A 4.66 0.05
PTLO F -2.75 0.05
YEXT F -0.72 0.05
DIN D 0.31 0.05
BECN A -0.35 0.05
OMCL F -3.52 0.05
SIBN F -1.24 0.05
SLP A 1.41 0.05
CYRX D 0.74 0.05
ZD F -1.38 0.05
XPRO B -0.88 0.05
CLDX D -1.99 0.05
IAS F -0.10 0.05
KRUS B -2.47 0.05
AUPH F -1.18 0.05
VRDN F -8.56 0.05
ACCD D 0.53 0.05
XNCR F 3.54 0.05
CDRE C 0.09 0.05
SILK B -0.57 0.05
NBR D -0.64 0.05
HY C -1.25 0.05
IMXI A 1.19 0.05
VITL A 1.49 0.05
HLF D -0.43 0.05
IMAX A 1.26 0.05
BCRX F -3.88 0.05
RDFN F -0.74 0.05
PECO D -0.78 0.05
EXPI F -1.90 0.05
HIBB A 0.42 0.05
CHGG F -0.29 0.05
RGR B -1.00 0.05
GDEN D -1.03 0.05
NRC D 0.09 0.04
MLAB D -2.02 0.04
AHCO C -0.31 0.04
LAZR F -2.05 0.04
LPRO F -1.81 0.04
MITK B -2.16 0.04
CASS D 1.65 0.04
EOLS D -1.71 0.04
TMCI F -1.75 0.04
BLFS C 1.00 0.04
USLM A -0.09 0.04

Recent News for Vanguard Russell 2000 Growth ETF & its Holdings

Date Stock Title
Apr 24 VKTX Viking Therapeutics, Inc. (VKTX) Q1 2024 Earnings Call Transcript
Apr 24 TBBK Amerant Bancorp (AMTB) Reports Q1 Earnings: What Key Metrics Have to Say
Apr 24 COMP Dow Jones Futures Fall As Meta Dives On Guidance; Chipotle Eyes Buy Point
Apr 24 APAM Artisan Partners Asset Management Inc. (APAM) Q1 2024 Earnings Call Transcript
Apr 24 FLYW 25 Big Budget Film Locations to Visit in the World
Apr 24 TBBK Amerant Bancorp Inc. (AMTB) Q1 2024 Earnings Analysis: Misses EPS Estimates, Reports Net Income ...
Apr 24 MTDR Matador Resources Company (MTDR) Q1 2024 Earnings Call Transcript
Apr 24 OII Oceaneering International Inc (OII) Surpasses Analyst Revenue Forecasts in Q1 2024
Apr 24 VKTX Viking Therapeutics down 4% despite quarterly bottom line beat
Apr 24 UPST Upstart Holdings, Inc. (UPST) Outperforms Broader Market: What You Need to Know
Apr 24 KALU Kaiser Aluminum Corp (KALU) Surpasses Q1 Earnings and Revenue Estimates
Apr 24 TMDX TransMedics (TMDX) Stock Sinks As Market Gains: Here's Why
Apr 24 LNTH Lantheus Holdings (LNTH) Outpaces Stock Market Gains: What You Should Know
Apr 24 GFF Griffon (GFF) Stock Dips While Market Gains: Key Facts
Apr 24 NBR Nabors Industries (NBR) Reports Q1 Loss, Tops Revenue Estimates
Apr 24 PI Impinj Stock Soars As Tracking-Chip Maker Delivers Beat-And-Raise Report
Apr 24 GSHD Goosehead Insurance Inc (GSHD) Q1 2024 Earnings: Surpasses Revenue Estimates with Robust Growth
Apr 24 MC Moelis & Co Surpasses Quarterly Revenue Estimates with Strategic Growth Initiatives
Apr 24 PI Impinj Inc (PI) Surpasses Q1 2024 Earnings and Revenue Estimates
Apr 24 VKTX Viking Therapeutics Reports First Quarter 2024 Results: Aligns with Analyst Projections
The investment seeks to track the performance of a benchmark index that measures the investment return of small-capitalization growth stocks in the United States. The fund employs an indexing investment approach designed to track the performance of the Russell 2000® Growth Index. The index is designed to measure the performance of small-capitalization growth stocks in the United States. It attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index.
Exchange Traded Fund ETF Stock Market Index Russell 2000 Index
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