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VIOG | Vanguard S&P Small-Cap 600 Growth Index Fund ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
MLI Mueller Industries, Inc. 8.62B 1.25%
76.14 -0.59% 40.51% 91.07%
ATI ATI Inc. 7.40B 1.24%
52.03 2.10% 43.88% 77.21%
CRS Carpenter Technology Corporation 9.05B 1.18%
181.18 -0.06% 53.50% 89.18%
MTH Meritage Homes Corporation 5.09B 1.11%
70.88 0.78% 44.57% 82.63%
SPXC SPX Technologies, Inc. 5.97B 1.09%
128.78 -0.50% 44.42% 80.76%
SPSC SPS Commerce, Inc. 5.01B 1.07%
132.73 -0.58% 41.75% 94.03%
GKOS Glaukos Corporation 5.57B 1.06%
98.42 -3.51% 63.70% 93.36%
BMI Badger Meter, Inc. 5.60B 0.95%
190.25 0.02% 35.83% 99.24%
CSWI CSW Industrials, Inc. 4.89B 0.90%
291.52 0.46% 33.82% 61.40%
MOG-A Moog Inc. 5.48B 0.86%
173.35 0.93% 23.99% 101.85%
AWI Armstrong World Industries, Inc. 6.12B 0.85%
140.88 0.95% 29.13% 84.48%
IBP Installed Building Products, Inc. 4.76B 0.85%
171.46 0.49% 45.81% 65.22%
FSS Federal Signal Corporation 4.49B 0.85%
73.55 -2.17% 32.85% 86.30%
AVAV AeroVironment, Inc. 3.36B 0.83%
119.19 -1.44% 48.36% 63.15%
BCC Boise Cascade Company 3.72B 0.81%
98.09 -0.21% 39.65% 76.37%
TMDX TransMedics Group, Inc. 2.26B 0.77%
67.28 -1.90% 87.36% 60.62%
BOOT Boot Barn Holdings, Inc. 3.29B 0.76%
107.43 3.13% 53.56% 91.23%
GPI Group 1 Automotive, Inc. 4.98B 0.74%
381.95 1.59% 39.23% 94.33%
MATX Matson, Inc. 4.21B 0.71%
128.17 0.87% 39.28% 88.63%
MARA Marathon Digital Holdings, Inc. 3.98B 0.71%
11.50 -7.78% 105.79% 40.32%
INSP Inspire Medical Systems, Inc. 4.74B 0.70%
159.28 1.30% 65.26% 69.12%
MHO M/I Homes, Inc. 3.10B 0.70%
114.18 0.63% 36.78% 86.01%
ADMA ADMA Biologics, Inc. 4.71B 0.69%
19.84 -2.07% 61.47% 43.53%
SIG Signet Jewelers Limited 2.49B 0.68%
58.06 -1.31% 75.34% 88.53%
MGY Magnolia Oil & Gas Corporation 4.76B 0.68%
25.26 0.28% 40.03% 35.07%
VRRM Verra Mobility Corporation 3.59B 0.68%
22.51 11.49% 36.99% 74.23%
SM SM Energy Company 3.43B 0.68%
29.95 1.87% 42.12% 97.25%
RDNT RadNet, Inc. 3.68B 0.67%
49.72 0.57% 42.97% 77.85%
ITGR Integer Holdings Corporation 3.97B 0.65%
118.01 0.91% 27.12% 88.68%
SHAK Shake Shack Inc. 3.53B 0.61%
88.17 -0.01% 83.89% 80.49%
FELE Franklin Electric Co., Inc. 4.30B 0.61%
93.88 -0.76% 38.73% 95.40%
KTB Kontoor Brands, Inc. 3.55B 0.61%
64.13 0.53% 41.14% 96.04%
AEO American Eagle Outfitters, Inc. 2.00B 0.59%
11.62 1.75% 71.06% 84.81%
NSIT Insight Enterprises, Inc. 4.77B 0.58%
149.99 -1.72% 29.51% 87.61%
FUN Six Flags Entertainment Corporation 3.58B 0.56%
35.67 0.71% 40.71% 77.92%
FTDR Frontdoor, Inc. 2.87B 0.54%
38.42 1.03% 37.00% 81.93%
CRC California Resources Corporation 3.99B 0.54%
43.97 0.32% 31.04% 85.72%
LRN Stride, Inc. 5.51B 0.54%
126.50 0.24% 67.02% 77.58%
SKT Tanger Inc. 3.81B 0.54%
33.79 2.64% 27.42% 67.62%
GMS GMS Inc. 2.81B 0.53%
73.17 -0.83% 29.82% 61.84%
IDCC InterDigital, Inc. 5.31B 0.53%
206.75 -1.57% 44.61% 97.10%
FORM FormFactor, Inc. 2.19B 0.53%
28.29 -1.22% 73.98% 93.53%
SHOO Steven Madden, Ltd. 1.93B 0.53%
26.64 -0.04% 43.80% 90.66%
CVCO Cavco Industries, Inc. 4.16B 0.52%
519.63 1.10% 38.88% 86.46%
NOG Northern Oil and Gas, Inc. 3.00B 0.52%
30.23 0.27% 34.71% 98.60%
WDFC WD-40 Company 3.31B 0.52%
244.00 0.89% 38.36% 51.06%
MSGS Madison Square Garden Sports Corp. 4.68B 0.52%
194.72 -0.13% 26.93% 84.01%
TDW Tidewater Inc. 2.18B 0.51%
42.27 -2.74% 55.11% 86.84%
FBP First BanCorp. 3.14B 0.51%
19.17 -0.16% 65.62% 59.13%
ACLS Axcelis Technologies, Inc. 1.60B 0.51%
49.67 -0.08% 64.40% 84.75%
AROC Archrock, Inc. 4.61B 0.51%
26.24 -0.76% 52.48% 71.48%
MMSI Merit Medical Systems, Inc. 6.22B 0.50%
105.71 1.70% 28.15% 65.77%
PI Impinj, Inc. 2.59B 0.50%
90.70 -1.20% 82.14% 96.35%
ACIW ACI Worldwide, Inc. 5.76B 0.50%
54.71 0.79% 34.71% 70.79%
HCC Warrior Met Coal, Inc. 2.51B 0.50%
47.72 -1.79% 49.48% 77.76%
APLE Apple Hospitality REIT, Inc. 3.10B 0.49%
12.91 0.31% 27.27% 91.55%
ESE ESCO Technologies Inc. 4.11B 0.49%
159.12 2.33% 25.65% 78.49%
OTTR Otter Tail Corporation 3.36B 0.48%
80.37 -0.45% 35.52% 67.88%
BCPC Balchem Corporation 5.40B 0.47%
166.00 1.35% 29.90% 115.65%
CCOI Cogent Communications Holdings, Inc. 3.02B 0.47%
61.31 -0.42% 33.97% 73.82%
PATK Patrick Industries, Inc. 2.84B 0.47%
84.56 0.79% 45.52% 93.37%
LBRT Liberty Energy Inc. 2.57B 0.47%
15.83 0.19% 47.69% 83.05%
TGTX TG Therapeutics, Inc. 6.19B 0.46%
39.43 -1.08% 90.68% 80.69%
EPRT Essential Properties Realty Trust, Inc. 6.40B 0.46%
32.64 0.12% 55.12% 83.86%
CALM Cal-Maine Foods, Inc. 4.46B 0.45%
90.90 -0.12% 34.80% 58.08%
KRYS Krystal Biotech, Inc. 5.19B 0.45%
180.30 -1.97% 46.99% 75.24%
CTRE CareTrust REIT, Inc. 5.36B 0.44%
28.58 -1.31% 76.00% 69.32%
CNK Cinemark Holdings, Inc. 3.04B 0.44%
24.89 0.20% 43.25% 80.62%
CRVL CorVel Corporation 5.75B 0.44%
111.97 0.55% 25.24% 66.25%
ALKS Alkermes plc 5.37B 0.44%
33.02 -0.57% 55.46% 125.26%
BOX Box, Inc. 4.44B 0.43%
30.86 -0.77% 24.00% 67.51%
PRGS Progress Software Corporation 2.22B 0.43%
51.51 0.23% 27.74% 93.81%
RDN Radian Group Inc. 4.80B 0.43%
33.07 0.76% 26.19% 63.21%
ATGE Adtalem Global Education Inc. 3.75B 0.42%
100.64 -1.43% 56.08% 84.37%
CORT Corcept Therapeutics Incorporated 12.05B 0.42%
114.22 109.08% 65.42% 51.50%
ETSY Etsy, Inc. 5.05B 0.42%
47.18 1.05% 68.52% 82.39%
CEIX CONSOL Energy Inc. 0.41%
ACA Arcosa, Inc. 3.76B 0.40%
77.12 -3.56% 33.18% 113.21%
ALRM Alarm.com Holdings, Inc. 2.76B 0.40%
55.65 -0.29% 39.07% 95.56%
JJSF J&J Snack Foods Corp. 2.57B 0.40%
131.72 1.21% 30.52% 85.01%
CARG CarGurus, Inc. 3.04B 0.39%
29.13 1.08% 44.49% 106.94%
TBBK The Bancorp, Inc. 2.54B 0.39%
52.84 0.48% 53.38% 82.07%
MC Moelis & Company 4.12B 0.39%
58.36 0.78% 38.60% 79.62%
TPH Tri Pointe Homes, Inc. 2.93B 0.38%
31.92 0.22% 42.74% 71.94%
AMR Alpha Metallurgical Resources, Inc. 1.63B 0.38%
125.25 -0.98% 52.59% 82.46%
GRBK Green Brick Partners, Inc. 2.59B 0.38%
58.31 1.00% 45.02% 82.79%
ARCB ArcBest Corporation 1.63B 0.38%
70.58 -0.31% 53.20% 90.62%
OII Oceaneering International, Inc. 2.20B 0.37%
21.81 0.97% 56.57% 103.83%
PLMR Palomar Holdings, Inc. 3.66B 0.37%
137.08 0.23% 42.18% 81.22%
AZZ AZZ Inc. 2.50B 0.37%
83.61 -0.46% 41.26% 92.70%
WHD Cactus, Inc. 3.12B 0.37%
45.83 0.35% 34.16% 92.67%
AEIS Advanced Energy Industries, Inc. 3.60B 0.36%
95.31 0.54% 56.42% 91.39%
AGYS Agilysys, Inc. 2.03B 0.36%
72.54 -0.78% 49.15% 101.36%
HWKN Hawkins, Inc. 2.22B 0.36%
105.92 -0.21% 43.85% 80.84%
AMEH Apollo Medical Holdings Inc. 0.36%
OSIS OSI Systems, Inc. 3.26B 0.36%
194.34 0.53% 31.53% 97.68%
DV DoubleVerify Holdings, Inc. 2.22B 0.35%
13.37 0.22% 46.88% 103.75%
AGO Assured Guaranty Ltd. 4.40B 0.35%
88.10 1.00% 27.27% 108.51%
ITRI Itron, Inc. 4.77B 0.35%
104.76 0.91% 33.62% 82.02%
PECO Phillips Edison & Company, Inc. 4.57B 0.35%
36.49 1.47% 88.50% 89.12%
Total holdings: 355 Recognized Stocks: 336 Others: 19
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