Vanguard Small-Cap Index Fund
as of:
Stock Holdings

1414 Holdings
1-50 of 1414 |   Next>

Holding Shares Market Value
Ginkgo Bioworks Holdings Inc.35,022,038$31,208,138
Southwestern Energy Co.28,034,162$209,975,873
Arcadium Lithium plc27,346,288$120,323,667
Lumen Technologies Inc.25,679,709$30,558,854
Lucid Group Inc.23,392,906$59,651,910
SoFi Technologies Inc.22,359,227$151,595,559
Globalstar Inc.19,329,076$24,934,508
Aurora Innovation Inc. Class A19,328,511$53,636,618
Transocean Ltd.18,539,536$96,776,378
AGNC Investment Corp.17,689,934$161,862,896
New York Community Bancorp Inc.17,439,309$46,214,169
Kimco Realty Corp.17,095,464$318,488,494
American Airlines Group Inc.16,633,878$224,723,692
Opendoor Technologies Inc.15,561,358$30,967,102
Plug Power Inc.15,400,692$35,575,599
Medical Properties Trust Inc.15,237,859$70,094,151
Robinhood Markets Inc. Class A15,178,475$250,293,053
Hecla Mining Co.15,110,487$71,472,604
First Horizon National Corp.14,223,057$212,208,010
Nikola Corp.13,984,027$8,678,487
Permian Resources Corp.13,283,886$222,505,091
ViacomCBS Inc. Class B13,242,541$150,832,542
Annaly Capital Management Inc.12,729,532$238,551,430
Cleveland-Cliffs Inc.12,683,067$214,343,832
Elanco Animal Health Inc.12,546,225$165,108,321
New Residential Investment Corp.12,290,977$136,675,664
Marqeta Inc. Class A11,891,090$65,995,550
Blue Owl Capital Inc. Class A11,599,575$219,115,972
FuelCell Energy Inc.11,488,752$10,659,264
Genworth Financial Inc. Class A11,369,190$67,419,297
Compass Inc.11,247,559$35,429,811
Invesco Ltd.11,157,377$158,100,032
Valley National Bancorp10,981,527$76,980,504
DraftKings Inc.10,849,559$450,907,672
Norwegian Cruise Line Holdings Ltd.10,828,342$204,872,231
Patterson-UTI Energy Inc.10,623,747$114,948,943
TechnipFMC plc10,529,094$269,755,388
Equitrans Midstream Corp.10,484,644$141,857,233
Coty Inc. Class A10,252,718$117,291,094
NOV Inc.10,029,638$185,448,007
Newell Brands Inc.10,015,650$79,524,261
Multiplan Corp.9,912,995$6,441,464
UiPath Inc. Class A9,849,109$186,837,598
Toast Inc. Class A9,828,352$232,243,958
Alight Inc. Class A9,752,706$87,969,408
ADT Inc.9,751,860$63,387,090
Healthcare Trust of America Inc. Class A9,707,523$138,138,052
Rivian Automotive Inc. Class A9,670,512$86,067,557
Sabre Corp.9,650,699$27,697,506
ChargePoint Holdings Inc.9,565,972$12,722,743
1414 Holdings
1-50 of 1414 |   Next>

© 1995–2024  The Vanguard Group, Inc. All rights reserved. Vanguard Marketing Corporation, Distributor of the Vanguard Funds. Your use of this site signifies that you accept our terms & conditions of use.  |  Manage cookies
Security  |  Prospectuses