Vanguard Small-Cap Index Fund
as of:
Stock Holdings

1410 Holdings
1-50 of 1410 |   Next>

Holding Shares Market Value
Ginkgo Bioworks Holdings Inc.35,172,073$40,799,605
Southwestern Energy Co.28,091,733$212,935,336
Arcadium Lithium plc27,397,268$118,082,225
Lumen Technologies Inc.25,791,058$40,234,050
Lucid Group Inc.23,459,390$66,859,262
SoFi Technologies Inc.22,406,428$163,566,924
Globalstar Inc.19,442,569$28,580,576
Aurora Innovation Inc. Class A19,393,133$54,688,635
Transocean Ltd.18,574,394$116,647,194
AGNC Investment Corp.17,726,515$175,492,499
New York Community Bancorp Inc.17,496,213$56,337,806
Kimco Realty Corp.17,138,267$336,081,416
American Airlines Group Inc.16,673,931$255,944,841
Opendoor Technologies Inc.15,620,080$47,328,842
Plug Power Inc.15,453,424$53,159,779
Medical Properties Trust Inc.15,278,789$71,810,308
Robinhood Markets Inc. Class A15,213,106$306,239,824
Hecla Mining Co.15,150,612$72,874,444
First Horizon National Corp.14,251,336$219,470,574
Nikola Corp.13,992,314$14,552,007
Permian Resources Corp.13,319,449$235,221,469
ViacomCBS Inc. Class B13,263,100$156,106,687
Annaly Capital Management Inc.12,754,670$251,139,452
Cleveland-Cliffs Inc.12,709,903$289,023,194
Elanco Animal Health Inc.12,573,674$204,699,413
New Residential Investment Corp.12,324,002$137,535,862
Marqeta Inc. Class A11,923,293$71,062,826
Blue Owl Capital Inc. Class A11,623,883$219,226,433
FuelCell Energy Inc.11,495,547$13,679,701
Genworth Financial Inc. Class A11,399,238$73,297,100
Compass Inc.11,295,886$40,665,190
Invesco Ltd.11,186,539$185,584,682
Valley National Bancorp11,006,866$87,614,653
DraftKings Inc.10,875,362$493,850,188
Norwegian Cruise Line Holdings Ltd.10,851,087$227,113,251
Patterson-UTI Energy Inc.10,643,402$127,082,220
TechnipFMC plc10,557,615$265,101,713
Equitrans Midstream Corp.10,506,350$131,224,312
Coty Inc. Class A10,275,369$122,893,413
NOV Inc.10,047,113$196,119,646
Newell Brands Inc.10,040,255$80,623,248
Multiplan Corp.9,918,860$8,046,179
UiPath Inc. Class A9,871,744$223,792,436
Toast Inc. Class A9,849,737$245,455,446
ADT Inc.9,779,963$65,721,351
Alight Inc. Class A9,773,695$96,270,896
Healthcare Trust of America Inc. Class A9,723,857$137,592,577
Rivian Automotive Inc. Class A9,689,926$106,104,690
Sabre Corp.9,656,414$23,368,522
ChargePoint Holdings Inc.9,571,627$18,186,091
1410 Holdings
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