Vanguard Small-Cap Index Fund
as of:
Stock Holdings

1418 Holdings
1-50 of 1418 |   Next>

Holding Shares Market Value
Ginkgo Bioworks Holdings Inc.37,570,609$57,107,326
Southwestern Energy Co.28,391,338$197,887,626
Lumen Technologies Inc.26,005,301$42,128,588
SoFi Technologies Inc.22,237,342$199,691,331
Globalstar Inc.19,589,356$30,559,395
Aurora Innovation Inc. Class A19,166,537$48,683,004
Transocean Ltd.18,767,583$88,019,964
New York Community Bancorp Inc.17,690,822$84,739,037
Kimco Realty Corp.17,331,063$342,461,805
AGNC Investment Corp.17,296,606$165,355,553
American Airlines Group Inc.16,861,298$264,385,153
Plug Power Inc.15,608,763$55,098,933
Opendoor Technologies Inc.15,542,342$47,870,413
Medical Properties Trust Inc.15,425,521$64,941,443
Robinhood Markets Inc. Class A15,219,750$248,234,123
Hecla Mining Co.15,139,397$53,593,465
First Horizon National Corp.14,402,678$203,077,760
Nikola Corp.14,169,936$10,545,266
Cleveland-Cliffs Inc.13,013,263$270,675,870
Annaly Capital Management Inc.12,883,485$245,945,729
Elanco Animal Health Inc.12,702,333$201,840,071
Permian Resources Corp. Class A12,529,026$194,951,645
New Residential Investment Corp.12,455,321$135,015,680
Marqeta Inc. Class A12,050,307$78,688,505
Lucid Group Inc.11,787,107$38,897,453
Blue Owl Capital Inc. Class A11,748,415$211,001,533
Genworth Financial Inc. Class A11,625,675$71,497,901
FuelCell Energy Inc.11,615,309$13,822,218
Invesco Ltd.11,318,565$174,419,087
Arcadium Lithium plc11,148,744$61,206,605
Valley National Bancorp11,123,419$91,100,802
Norwegian Cruise Line Holdings Ltd.10,976,046$212,825,532
DraftKings Inc.10,814,282$468,474,696
Patterson-UTI Energy Inc.10,757,505$124,464,333
TechnipFMC plc10,662,770$231,275,481
Equitrans Midstream Corp.10,608,729$113,407,313
Toast Inc. Class A10,408,470$239,394,810
Coty Inc. Class A10,343,370$129,912,727
NOV Inc.10,153,773$171,598,764
Newell Brands Inc.10,142,886$76,071,645
Multiplan Corp.10,047,183$11,252,845
OPKO Health Inc.9,962,181$9,962,181
Healthcare Trust of America Inc. Class A9,817,432$135,284,213
Sabre Corp.9,781,510$25,921,002
BGC Group Inc. Class A9,470,918$65,822,880
Western Union Co.9,391,896$125,945,325
UiPath Inc. Class A9,361,029$222,324,439
Compass Inc.9,337,975$36,885,001
Virgin Galactic Holdings Inc.9,271,555$16,132,506
FNB Corp./PA9,249,246$123,384,942
1418 Holdings
1-50 of 1418 |   Next>

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