Vanguard Small-Cap Index Fund
as of:
Stock Holdings

1558 Holdings
1-50 of 1558 |   Next>

Holding Shares Market Value
Zynga Inc. Class A26,837,771$171,761,734
Southwestern Energy Co.25,590,068$119,249,717
Globalstar Inc.23,045,037$26,732,243
Cabot Oil & Gas Corp.20,522,476$389,927,044
Marathon Oil Corp.19,640,987$322,505,007
VICI Properties Inc.15,878,091$478,089,320
Kimco Realty Corp.15,553,798$383,401,121
SoFi Technologies Inc.15,264,808$241,336,614
Medical Properties Trust Inc.15,047,641$355,575,757
Transocean Ltd.14,020,747$38,697,262
First Horizon National Corp.13,661,605$223,094,010
Hecla Mining Co.13,557,497$70,770,134
AGNC Investment Corp.13,274,893$199,654,391
Colony Capital Inc.12,943,558$107,819,838
Genworth Financial Inc. Class A12,768,456$51,712,247
New Residential Investment Corp.11,763,744$125,989,698
ContextLogic Inc. Class A11,601,192$36,079,707
Cleveland-Cliffs Inc.11,353,546$247,166,696
MFA Financial Inc.11,068,470$50,472,223
People's United Financial Inc.10,808,660$192,610,321
New York Community Bancorp Inc.10,798,716$131,852,322
Invesco Ltd.10,473,488$241,099,694
Equitrans Midstream Corp.10,363,228$107,155,778
Valley National Bancorp10,276,992$141,308,640
Blue Owl Capital Inc. Class A10,211,617$152,255,209
NOV Inc.9,844,565$133,393,856
Howmet Aerospace Inc.9,697,925$308,684,953
Newell Brands Inc.9,659,602$210,965,708
EQT Corp.9,532,010$207,893,138
OPKO Health Inc.9,412,503$45,274,139
Mosaic Co.9,345,573$367,187,563
Norwegian Cruise Line Holdings Ltd.9,327,451$193,451,334
APA Corp.9,162,521$246,380,190
Clear Channel Outdoor Holdings Inc.9,085,877$30,074,253
Nielsen Holdings plc9,054,099$185,699,570
Host Hotels & Resorts Inc.9,006,615$156,625,035
Multiplan Corp.8,923,556$39,531,353
Mattel Inc.8,836,535$190,515,695
Qurate Retail Group Inc. QVC Group Class A8,816,632$67,006,403
Hanesbrands Inc.8,806,402$147,243,041
FuelCell Energy Inc.8,786,525$45,689,930
Two Harbors Investment Corp.8,636,274$49,831,301
Coty Inc. Class A8,261,024$86,740,752
MGIC Investment Corp.8,226,033$118,619,396
American Airlines Group Inc.8,161,395$146,578,654
Sabre Corp.8,144,199$69,958,669
BGC Partners Inc. Class A8,110,584$37,714,216
Nuance Communications Inc.8,071,596$446,520,691
FNB Corp./PA8,040,026$97,525,515
JetBlue Airways Corp.8,003,869$113,975,095
1558 Holdings
1-50 of 1558 |   Next>

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