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VBK | Vanguard Small Cap Growth Index Fund ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
AXON Axon Enterprise, Inc. 48.14B 1.10%
631.27 3.52% 32.15% 34.20%
DECK Deckers Outdoor Corporation 27.64B 0.93%
181.91 3.15% 30.88% 43.96%
PTC PTC Inc. 23.15B 0.79%
192.75 2.25% 27.91% 39.83%
LII Lennox International Inc. 23.18B 0.74%
650.60 4.04% 29.71% 51.22%
DKNG DraftKings Inc. 21.24B 0.69%
43.55 -0.57% 42.25% 5.74%
MANH Manhattan Associates, Inc. 16.61B 0.66%
271.89 0.12% 30.73% 32.84%
WSO Watsco, Inc. 22.06B 0.66%
546.24 2.41% 29.09% 39.16%
ENTG Entegris, Inc. 15.89B 0.65%
105.24 5.28% 39.97% 44.72%
HOOD Robinhood Markets, Inc. 30.98B 0.65%
35.09 -2.74% 74.80% 64.59%
FWONK Formula One Group 27.31B 0.63%
85.13 1.26% 28.80% 6.67%
TRGP Targa Resources Corp. 45.29B 0.62%
207.69 2.39% 26.20% 43.82%
PSTG Pure Storage, Inc. 16.90B 0.60%
51.56 3.58% 73.11% 88.32%
DT Dynatrace, Inc. 15.66B 0.58%
52.47 2.70% 26.45% 19.28%
GWRE Guidewire Software, Inc. 16.69B 0.58%
199.86 1.33% 41.52% 64.67%
NTRA Natera, Inc. 22.36B 0.57%
169.36 0.88% 44.35% 31.38%
NTNX Nutanix, Inc. 19.00B 0.57%
70.94 2.16% 53.72% 61.24%
RBA.TO RB Global Inc. 0.57%
GGG Graco Inc. 15.13B 0.57%
89.60 1.22% 21.70% 55.05%
APP AppLovin Corporation 106.80B 0.56%
318.24 -2.15% 70.94% 68.90%
CASY Casey's General Stores, Inc. 15.46B 0.54%
416.40 0.59% 35.65% 69.73%
FIX Comfort Systems USA, Inc. 17.44B 0.54%
489.97 2.88% 41.04% 36.76%
ERIE Erie Indemnity Company 19.63B 0.53%
425.03 1.33% 30.30% 74.80%
FTAI FTAI Aviation Ltd 17.94B 0.52%
174.96 2.19% 44.00% 42.30%
NDSN Nordson Corporation 14.67B 0.52%
256.58 1.59% 26.26% 94.48%
PCVX Vaxcyte, Inc. 11.02B 0.51%
88.39 2.83% 46.03% 14.24%
JKHY Jack Henry & Associates, Inc. 12.59B 0.49%
172.50 0.81% 17.79% 21.54%
DOCU DocuSign, Inc. 16.27B 0.49%
80.15 1.70% 63.41% 77.05%
TECH Bio-Techne Corporation 11.29B 0.49%
71.05 3.39% 31.91% 33.23%
FND Floor & Decor Holdings, Inc. 11.48B 0.49%
107.02 3.42% 39.90% 22.40%
CW Curtiss-Wright Corporation 13.95B 0.48%
367.55 1.69% 27.79% 72.02%
EXAS Exact Sciences Corporation 9.82B 0.48%
53.07 0.70% 46.35% 12.05%
INSM Insmed Incorporated 13.20B 0.48%
73.81 1.57% 52.85% 9.63%
HST Host Hotels & Resorts, Inc. 12.51B 0.47%
17.89 2.70% 22.30% 9.07%
BLD TopBuild Corp. 10.66B 0.47%
361.25 2.89% 39.82% 36.75%
WING Wingstop Inc. 9.89B 0.47%
338.41 1.56% 39.09% 28.94%
WMS Advanced Drainage Systems, Inc. 9.96B 0.47%
128.41 0.02% 33.81% 27.88%
CUBE CubeSmart 10.99B 0.47%
48.60 0.60% 27.10% 6.11%
MSTR MicroStrategy Incorporated 80.51B 0.46%
397.28 -16.16% 230.68% 127.85%
ELS Equity LifeStyle Properties, Inc. 13.53B 0.46%
70.84 0.24% 43.24% 36.16%
AMH American Homes 4 Rent 13.88B 0.46%
37.63 0.24% 30.01% 31.72%
TXRH Texas Roadhouse, Inc. 12.85B 0.45%
192.56 -0.44% 26.64% 53.11%
CLH Clean Harbors, Inc. 13.48B 0.45%
250.03 1.03% 26.80% 27.50%
TOST Toast, Inc. 24.06B 0.45%
42.36 -0.33% 42.51% 11.03%
NBIX Neurocrine Biosciences, Inc. 12.66B 0.45%
125.00 1.39% 26.05% 22.51%
SAIA Saia, Inc. 14.61B 0.45%
549.19 3.62% 43.19% 42.81%
SRPT Sarepta Therapeutics, Inc. 10.55B 0.43%
110.50 -0.32% 41.90% 7.61%
EQT EQT Corporation 27.98B 0.42%
46.89 0.75% 36.29% 51.91%
LECO Lincoln Electric Holdings, Inc. 11.77B 0.42%
208.51 2.62% 28.56% 40.56%
AOS A. O. Smith Corporation 10.64B 0.41%
72.97 1.70% 25.27% 38.70%
FTI TechnipFMC plc 12.77B 0.41%
30.02 3.52% 32.53% 52.18%
CTLT Catalent, Inc. 10.83B 0.40%
59.66 1.12% 42.64% 36.94%
KNSL Kinsale Capital Group, Inc. 11.41B 0.40%
489.92 2.43% 30.22% 19.96%
CVNA Carvana Co. 51.57B 0.39%
248.38 1.59% 48.69% 3.85%
ONTO Onto Innovation Inc. 8.22B 0.39%
166.50 2.83% 44.50% 27.86%
REXR Rexford Industrial Realty, Inc. 9.33B 0.39%
41.97 -1.66% 31.46% 31.57%
WWD Woodward, Inc. 10.29B 0.39%
172.54 0.36% 41.70% 79.68%
CRL Charles River Laboratories International... 9.93B 0.39%
194.19 3.35% 37.00% 47.50%
OWL Blue Owl Capital Inc. 36.34B 0.39%
24.33 3.66% 37.55% 72.80%
DUOL Duolingo, Inc. 15.03B 0.39%
341.60 3.16% 45.33% 20.75%
BWXT BWX Technologies, Inc. 12.19B 0.38%
133.28 2.71% 34.04% 52.83%
MTCH Match Group, Inc. 7.91B 0.37%
31.50 3.58% 39.98% 32.12%
EXP Eagle Materials Inc. 10.37B 0.37%
309.11 2.94% 32.31% 40.11%
GNRC Generac Holdings Inc. 10.92B 0.37%
183.52 1.85% 33.80% 10.17%
ROKU Roku, Inc. 9.97B 0.37%
68.68 -0.04% 45.86% 10.89%
OLED Universal Display Corporation 7.93B 0.36%
167.06 0.70% 34.64% 32.60%
IOT Samsara Inc. 30.53B 0.36%
54.88 4.28% 84.29% 70.41%
TWLO Twilio Inc. 15.66B 0.36%
102.07 3.69% 38.34% 22.21%
LW Lamb Weston Holdings, Inc. 10.94B 0.36%
76.75 0.84% 34.14% 52.60%
AFRM Affirm Holdings, Inc. 20.66B 0.36%
65.74 4.04% 78.00% 39.86%
RGLD Royal Gold, Inc. 9.74B 0.35%
148.18 -0.28% 28.76% 18.49%
CDAY Ceridian HCM Holding Inc. 0.35%
MKTX MarketAxess Holdings Inc. 9.81B 0.35%
260.31 -1.93% 32.36% 9.42%
CHE Chemed Corporation 8.44B 0.35%
563.28 1.88% 21.33% 69.49%
WYNN Wynn Resorts, Limited 10.07B 0.35%
91.74 0.57% 32.64% 29.66%
LBRDK Liberty Broadband Corporation 12.37B 0.35%
86.49 -1.22% 32.55% 29.15%
TPX Tempur Sealy International, Inc. 9.45B 0.35%
54.40 1.91% 36.69% 44.23%
TTC The Toro Company 8.60B 0.35%
83.81 2.37% 39.16% 50.28%
CHDN Churchill Downs Incorporated 10.46B 0.34%
142.38 1.72% 32.34% 37.58%
MORN Morningstar, Inc. 14.58B 0.34%
340.07 1.28% 17.97% 34.25%
CIEN Ciena Corporation 9.85B 0.34%
68.17 2.54% 54.95% 68.58%
SKX Skechers U.S.A., Inc. 9.21B 0.34%
61.01 2.07% 31.00% 33.27%
RBC RBC Bearings Incorporated 10.19B 0.34%
324.45 0.00% 26.34% 41.89%
TPL Texas Pacific Land Corporation 34.82B 0.33%
1,515.53 4.47% 33.69% 48.79%
PAYC Paycom Software, Inc. 12.69B 0.33%
227.02 3.29% 28.18% 34.28%
WEX WEX Inc. 7.23B 0.33%
181.73 0.78% 27.80% 47.73%
CZR Caesars Entertainment, Inc. 7.98B 0.33%
37.56 -0.08% 41.26% 12.98%
CNM Core & Main, Inc. 8.59B 0.33%
44.57 -0.40% 54.70% 70.68%
FN Fabrinet 8.34B 0.33%
230.01 1.64% 49.60% 43.39%
TKO TKO Group Holdings, Inc. 11.11B 0.33%
136.89 3.09% 30.55% 23.33%
CAVA CAVA Group, Inc. 16.55B 0.33%
144.80 3.66% 48.58% 7.61%
HLI Houlihan Lokey, Inc. 13.11B 0.32%
188.66 0.91% 24.56% 25.59%
ATI ATI Inc. 8.30B 0.32%
58.16 0.24% 37.85% 17.21%
MEDP Medpace Holdings, Inc. 10.62B 0.32%
341.82 4.82% 35.91% 32.65%
ENSG The Ensign Group, Inc. 8.44B 0.32%
147.35 1.86% 30.96% 72.66%
CROX Crocs, Inc. 5.93B 0.31%
101.81 3.27% 40.70% 31.74%
PODD Insulet Corporation 18.38B 0.31%
262.00 -1.72% 32.01% 10.39%
BFAM Bright Horizons Family Solutions Inc. 6.46B 0.31%
111.05 2.48% 33.98% 40.26%
GMED Globus Medical, Inc. 11.56B 0.31%
84.91 1.58% 21.32% 14.62%
LNW Light & Wonder, Inc. 8.34B 0.31%
94.41 2.09% 30.79% 20.85%
SSD Simpson Manufacturing Co., Inc. 7.64B 0.31%
181.26 1.26% 30.67% 39.69%
Total holdings: 609 Recognized Stocks: 588 Recognized ETFs: 3 Others: 18
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