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IJT | iShares S&P Small-Cap 600 Growth ETF Holdings

(Stock Exchange: NASDAQ)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
OMNIAB INC $12.50 VESTING Prvt N/A
0HHU.L ARMOUR RESIDENTIAL REIT INC N/A
ABG Asbury Automotive Group, Inc. 4.39B N/A
219.81 -0.85% 35.97% 66.28%
ACA Arcosa, Inc. 4.43B N/A
90.82 -0.57% 25.18% 49.69%
ACIW ACI Worldwide, Inc. 5.12B N/A
48.94 0.84% 47.17% 34.87%
ACLS Axcelis Technologies, Inc. 3.22B N/A
98.86 -4.27% 55.25% 50.40%
ADEA Adeia Inc. 1.32B N/A
12.09 1.09% 107.08% 16.84%
ADUS Addus HomeCare Corporation 2.39B N/A
132.00 1.44% 18.04% 4.38%
AEIS Advanced Energy Industries, Inc. 3.72B N/A
98.86 0.23% 38.88% 25.49%
AEO American Eagle Outfitters, Inc. 3.71B N/A
19.34 -2.22% 51.58% 33.77%
AGO Assured Guaranty Ltd. 4.25B N/A
80.72 0.67% 31.35% 24.82%
AGYS Agilysys, Inc. 2.87B N/A
102.92 0.73% 54.31% 62.17%
AHH Armada Hoffler Properties, Inc. 817.87M N/A
12.05 0.67% 62.67% 59.60%
AIN Albany International Corp. 2.68B N/A
85.79 0.41% 42.33% 43.17%
AIR AAR Corp. 2.41B N/A
67.25 -0.58% 44.27% 65.33%
AL Air Lease Corporation 4.90B N/A
44.02 0.85% 33.20% 27.49%
ALG Alamo Group Inc. 2.15B N/A
178.42 -0.23% 27.57% 50.11%
ALKS Alkermes plc 4.58B N/A
27.83 0.61% 37.55% 56.63%
ALRM Alarm.com Holdings, Inc. 2.68B N/A
54.32 -1.68% 30.02% 28.09%
AMBC Ambac Financial Group, Inc. 526.60M N/A
11.10 0.63% 42.54% 26.21%
AMEH ASTRANA HEALTH INC N/A
AMN AMN Healthcare Services, Inc. 1.75B N/A
46.07 -2.27% 57.78% 55.93%
AMPH Amphastar Pharmaceuticals, Inc. 2.35B N/A
48.38 0.60% 102.47% 8.45%
AMR Alpha Metallurgical Resources, Inc. 2.73B N/A
209.52 -0.56% 60.67% 79.71%
AMSF AMERISAFE, Inc. 933.97M N/A
48.98 0.35% 76.69% 77.75%
AMWD American Woodmark Corporation 1.42B N/A
91.43 3.08% 42.04% 33.81%
ANDE The Andersons, Inc. 1.64B N/A
48.28 0.79% 44.42% 44.09%
ANIP ANI Pharmaceuticals, Inc. 1.18B N/A
56.20 -3.95% 47.77% 69.67%
AORT Artivion, Inc. 1.06B N/A
25.38 0.51% 55.28% 31.24%
APAM Artisan Partners Asset Management Inc. 2.90B N/A
41.51 1.72% 34.68% 55.33%
APLE Apple Hospitality REIT, Inc. 3.45B N/A
14.34 0.42% 37.83% 63.44%
APOG Apogee Enterprises, Inc. 1.47B N/A
66.87 2.19% 32.12% 31.08%
ARCB ArcBest Corporation 2.51B N/A
106.35 2.43% 43.54% 36.07%
ARCH Arch Resources, Inc. 2.32B N/A
128.23 0.08% 36.87% 34.46%
ARI Apollo Commercial Real Estate Finance, I... 1.34B N/A
9.65 0.94% 71.13% 64.48%
ARLO Arlo Technologies, Inc. 1.16B N/A
11.56 -3.43% 35.77% 28.10%
AROC Archrock, Inc. 3.43B N/A
19.51 0.72% 30.04% 29.73%
ATEN A10 Networks, Inc. 1.01B N/A
13.62 0.52% 53.83% 35.07%
ATGE Adtalem Global Education Inc. 2.77B N/A
73.50 0.88% 35.30% 29.85%
ATI ATI Inc. 7.67B N/A
61.61 -0.26% 39.10% 24.14%
AVAV AeroVironment, Inc. 4.89B N/A
173.52 -9.68% 45.00% 38.39%
AWI Armstrong World Industries, Inc. 5.55B N/A
126.91 -0.14% 31.41% 52.37%
AWR American States Water Company 3.15B N/A
84.05 1.12% 29.30% 32.63%
AX Axos Financial, Inc. 3.68B N/A
64.61 2.23% 57.26% 36.25%
AZZ AZZ Inc. 2.34B N/A
78.59 0.03% 42.95% 69.73%
BANF BancFirst Corporation 3.49B N/A
105.59 0.83% 2.54% 2.40%
BCC Boise Cascade Company 5.25B N/A
134.81 -0.77% 47.05% 33.03%
BCPC Balchem Corporation 5.59B N/A
172.41 0.34% 28.21% 52.19%
BFS Saul Centers, Inc. 982.58M N/A
40.71 -0.85% 37.84% 47.76%
BGC BGC Group, Inc 4.82B N/A
9.91 3.34% 36.75% 31.92%
BHLB Berkshire Hills Bancorp, Inc. 1.15B N/A
26.83 1.25% 19.07% 114.92%
BKE The Buckle, Inc. 2.24B N/A
44.08 0.23% 35.52% 30.13%
BL BlackLine, Inc. 3.11B N/A
50.06 0.10% 38.74% 29.51%
BLFS BioLife Solutions, Inc. 1.17B N/A
25.46 1.35% 57.77% 27.35%
BLMN Bloomin' Brands, Inc. 1.45B N/A
17.10 2.15% 51.91% 59.80%
BMI Badger Meter, Inc. 6.23B N/A
211.79 1.30% 28.94% 54.72%
BOH Bank of Hawaii Corporation 2.56B N/A
64.51 0.06% 39.34% 40.26%
BOOT Boot Barn Holdings, Inc. 4.73B N/A
154.97 0.27% 37.04% 13.34%
BOX Box, Inc. 4.79B N/A
33.45 0.48% 26.00% 18.12%
BRC Brady Corporation 3.55B N/A
74.59 -0.01% 33.07% 26.88%
BSIG BrightSphere Investment Group Inc. 927.79M N/A
25.03 2.25% 77.60% 48.22%
BTU Peabody Energy Corporation 2.82B N/A
22.41 1.54% 40.49% 51.33%
CAKE The Cheesecake Factory Incorporated 1.91B N/A
37.58 0.56% 39.44% 37.84%
CALM Cal-Maine Foods, Inc. 3.42B N/A
70.11 1.05% 38.19% 63.22%
CALX Calix, Inc. 2.37B N/A
36.07 0.11% 46.81% 41.56%
CARG CarGurus, Inc. 3.00B N/A
28.99 -0.45% 32.76% 22.89%
CARS Cars.com Inc. 1.17B N/A
17.74 0.51% 70.77% 25.50%
CASH Pathward Financial, Inc. 1.70B N/A
68.10 1.98% 30.97% 54.56%
CATY Cathay General Bancorp 3.09B N/A
42.81 1.16% 47.71% 29.45%
CCOI Cogent Communications Holdings, Inc. 3.47B N/A
70.73 -2.98% 37.72% 16.76%
CCS Century Communities, Inc. 3.25B N/A
103.59 0.17% 44.93% 34.40%
CEIX CONSOL Energy Inc. 2.85B N/A
97.04 0.65% 36.31% 21.08%
CERT Certara, Inc. 1.72B N/A
10.70 -2.28% 18.21% 63.01%
CEVA CEVA, Inc. 559.93M N/A
23.64 -5.14% 50.01% 16.37%
CHCO City Holding Company 1.75B N/A
119.15 0.97% 24.34% 23.83%
CHCT Community Healthcare Trust Incorporated 498.58M N/A
17.77 2.24% 63.87% 79.99%
CHUY Chuy's Holdings, Inc. 643.98M N/A
37.37 0.13% 43.91% 8.98%
CLB Core Laboratories N.V. 821.45M N/A
17.51 3.00% 46.98% 45.33%
CNK Cinemark Holdings, Inc. 3.48B N/A
28.41 -1.18% 53.20% 31.57%
CNMD CONMED Corporation 2.31B N/A
74.96 -0.32% 46.11% 52.79%
CNS Cohen & Steers, Inc. 4.78B N/A
94.47 3.12% 47.70% 52.80%
COHU Cohu, Inc. 1.16B N/A
24.73 -1.67% 132.26% 53.59%
COLL Collegium Pharmaceutical, Inc. 1.20B N/A
37.11 -1.04% 93.65% 69.38%
CORT Corcept Therapeutics Incorporated 4.02B N/A
38.47 0.94% 41.85% 13.84%
CPK Chesapeake Utilities Corporation 2.77B N/A
123.36 1.19% 22.29% 22.74%
CPRX Catalyst Pharmaceuticals, Inc. 2.43B N/A
20.44 1.09% 40.57% 20.79%
CRC California Resources Corporation 4.56B N/A
50.90 1.94% 41.03% 37.66%
CRK Comstock Resources, Inc. 2.91B N/A
9.95 -0.70% 56.87% 63.66%
CRS Carpenter Technology Corporation 7.06B N/A
141.37 -0.73% 46.50% 41.87%
CRVL CorVel Corporation 5.50B N/A
321.03 1.29% 18.94% 15.23%
CSGS CSG Systems International, Inc. 1.40B N/A
47.47 1.15% 59.02% 24.93%
CTRE CareTrust REIT, Inc. 4.81B N/A
31.20 0.39% 32.46% 25.26%
CTS CTS Corporation 1.41B N/A
46.52 -1.08% 50.42% 45.48%
CUBI Customers Bancorp, Inc. 1.54B N/A
48.45 0.21% 55.31% 42.67%
CVCO Cavco Industries, Inc. 3.53B N/A
427.17 -0.08% 31.43% 28.61%
CVI CVR Energy, Inc. 2.31B N/A
22.95 3.61% 48.29% 71.06%
CWT California Water Service Group 3.26B N/A
55.50 0.95% 82.23% 27.93%
DFIN Donnelley Financial Solutions, Inc. 2.02B N/A
69.50 0.68% 17.63% 53.25%
DIN Dine Brands Global, Inc. 461.88M N/A
30.19 -0.82% 47.04% 44.80%
DIOD Diodes Incorporated 2.80B N/A
60.36 -2.88% 48.18% 40.07%
Total holdings: 355 Recognized Stocks: 341 Others: 14
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