← Back to VB Profile

VB — All Holdings

Vanguard Small-Cap ETF · 1,328 holdings

RankSymbolNameWeight %SharesMarket Value
851SPHRSphere Entertainment Co0.03%612,116$58.5M
852TDCTeradata Corp0.03%2,005,544$57.2M
853WRBYWarby Parker Inc0.03%2,275,129$58.0M
854APLEApple Hospitality REIT Inc0.03%4,825,451$56.2M
855BEAMBeam Therapeutics Inc0.03%2,068,753$57.1M
856BLBlackLine Inc0.03%1,212,583$56.3M
857CARGCargurus Inc0.03%1,748,018$56.6M
858CNKCinemark Holdings Inc0.03%2,344,726$55.5M
859CXTCrane NXT Co0.03%1,105,531$55.9M
860DXCDXC Technology Co0.03%3,944,403$56.9M
861JOESt Joe Co/The0.03%849,978$56.3M
862SNEXStoneX Group Inc0.03%502,334$56.4M
863UPWKUpwork Inc0.03%2,811,627$56.3M
864VCVisteon Corp0.03%618,115$56.2M
865VSHVishay Intertechnology Inc0.03%2,796,968$56.4M
866WAFDWaFd Inc0.03%1,737,336$56.7M
867XRAYDENTSPLY SIRONA Inc0.03%4,518,792$56.3M
868APLSApellis Pharmaceuticals Inc0.03%2,436,655$55.0M
869BBTBeacon Financial Corp0.03%1,900,299$53.9M
870CRGYCrescent Energy Co0.03%5,577,861$54.5M
871FRMEFirst Merchants Corp0.03%1,372,508$54.6M
872HHHHoward Hughes Holdings Inc0.03%672,457$54.9M
873IACIAC Inc0.03%1,460,071$53.9M
874LINELineage Inc0.03%1,551,503$55.4M
875MCYMercury General Corp0.03%627,270$54.9M
876NMRKNewmark Group Inc0.03%3,069,191$54.7M
877OLNOlin Corp0.03%2,584,945$53.8M
878RXORXO Inc0.03%3,717,169$54.2M
879TWSTTwist Bioscience Corp0.03%1,315,774$54.0M
880UEUrban Edge Properties0.03%2,852,047$55.4M
881WULFTerawulf Inc0.03%4,030,664$53.9M
882XMTRXometry Inc0.03%958,269$54.7M
883ALRMAlarm.com Holdings Inc0.03%1,073,167$52.3M
884AMRXAmneal Pharmaceuticals Inc0.03%3,915,798$53.6M
885ATKRAtkore Inc0.03%764,405$53.1M
886CTRICenturi Holdings Inc0.03%1,938,609$53.5M
887CURBCurbline Properties Corp0.03%2,148,939$52.1M
888HOGHarley-Davidson Inc0.03%2,676,378$53.0M
889KMPRKemper Corp0.03%1,326,083$52.3M
890MSGEMadison Square Garden Entertainment Corp0.03%868,422$53.7M
891NGVTIngevity Corp0.03%814,503$53.6M
892NOGNorthern Oil & Gas Inc0.03%2,100,099$52.5M
893OIO-I Glass Inc0.03%3,478,795$53.2M
894PRKPark National Corp0.03%327,699$53.4M
895TRNTrinity Industries Inc0.03%1,815,800$52.2M
896CCChemours Co/The0.03%3,394,690$50.9M
897FLOFlowers Foods Inc0.03%4,543,863$51.9M
898HIHillenbrand Inc0.03%1,597,079$51.0M
899IVTInvenTrust Properties Corp0.03%1,759,256$51.7M
900MPTMedical Properties Trust Inc0.03%10,218,561$51.3M
VB Holdings — All 1,357 Holdings | ETF Beacon