ETF Components for VIOG - Vanguard S&P Small-Cap 600 Growth ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
MLI B -0.93 1.24
ATI F -3.73 1.23
CRS B -2.78 1.17
MTH D 1.86 1.10
SPSC F -3.71 1.06
GKOS B -3.23 1.05
BMI B -1.81 0.95
CSWI B -1.63 0.90
MOG.A B -1.65 0.86
AWI B -0.30 0.85
FSS C -1.83 0.84
IBP F 0.12 0.84
AVAV C -6.12 0.83
BCC B -1.54 0.81
TMDX F -4.71 0.76
BOOT C 0.42 0.75
GPI B -1.53 0.74
MARA B -4.19 0.70
MATX B -1.68 0.70
ADMA C -5.92 0.69
MHO D 0.82 0.69
INSP F -5.08 0.69
MGY B 0.59 0.68
SIG B -0.27 0.68
SM C 1.26 0.67
VRRM D -0.55 0.67
RDNT B -1.82 0.66
ITGR B -1.98 0.64
FELE B -2.25 0.61
SHAK C -2.79 0.61
KTB A 0.52 0.60
AEO F -0.66 0.59
NSIT F -3.31 0.58
CRC B 1.62 0.54
FTDR B -1.72 0.54
IDCC B -1.82 0.53
GMS B -1.56 0.53
SKT A 0.31 0.53
LRN B -0.83 0.53
NOG B 0.79 0.52
CVCO B -0.26 0.52
SHOO D -0.72 0.52
FORM F -0.78 0.52
FBP B -1.78 0.51
TDW F 0.15 0.51
MSGS B 0.11 0.51
WDFC B -2.00 0.51
MMSI B -0.47 0.50
PI D -1.63 0.50
AROC B -1.69 0.50
ACLS F -1.09 0.50
ESE B -2.31 0.49
APLE B -1.89 0.49
HCC C 1.39 0.49
ACIW B -2.98 0.49
OTTR C -0.83 0.48
PATK C -0.97 0.47
BCPC B -0.43 0.47
CCOI C -1.06 0.47
EPRT C -1.21 0.46
TGTX B -11.62 0.46
LBRT F -1.20 0.46
KRYS C -3.71 0.45
CALM B -0.93 0.45
CRVL B -2.47 0.44
CNK B 0.53 0.44
CTRE C -1.45 0.44
BOX A -1.12 0.43
ALKS C -3.04 0.43
ATGE C -5.60 0.42
RDN C -0.29 0.42
PRGS A -1.19 0.42
CEIX B -1.25 0.41
ETSY D -4.47 0.41
CORT B -2.94 0.41
ALRM C -1.67 0.40
ACA B 0.47 0.40
TBBK B -4.54 0.39
CARG B -1.86 0.39
JJSF C -3.95 0.39
ARCB C -1.21 0.38
GRBK D 0.13 0.38
AMR C -0.93 0.38
TPH C 1.79 0.38
MC B 1.29 0.38
PLMR A 3.30 0.37
OII B -1.01 0.37
HWKN C -0.62 0.36
AGYS B -3.34 0.36
AEIS B -0.59 0.36
AZZ B -0.25 0.36
WHD B -1.59 0.36
YELP C -1.25 0.35
PECO B -0.95 0.35
AGO B 2.91 0.35
ITRI B -1.41 0.35
DV C -1.38 0.35
ASTH F -0.02 0.35
OSIS B -0.58 0.35
KFY B -2.17 0.34
UFPT C -1.72 0.34
MTRN B -2.37 0.34
IPAR B 1.97 0.34
ABG B -1.20 0.34
JOE F -1.03 0.33
CNMD C -5.90 0.33
CPRX C -4.87 0.33
AX B -1.49 0.32
SXI B -0.89 0.32
EVTC C -1.77 0.32
GSHD B -1.75 0.32
ZWS B -1.29 0.32
URBN C -1.07 0.32
BRC B -2.10 0.32
PIPR B -0.86 0.32
VCEL B -4.92 0.31
POWL C -5.27 0.31
YOU D 1.66 0.31
OFG B -1.08 0.31
IIPR F 0.40 0.31
SHO D -2.97 0.31
SEE C -0.14 0.31
FUL F -0.54 0.31
DORM B -1.37 0.31
ROCK C -0.48 0.31
NMIH D -2.15 0.31
BGC C -2.35 0.30
PRG B -2.15 0.30
GFF B -3.89 0.29
SMPL B 2.33 0.29
ALG B -1.28 0.28
PRVA B -0.69 0.28
JBT B -2.61 0.28
VECO F 0.04 0.28
PTGX D -3.82 0.28
NEO B -3.90 0.28
LMAT B -1.02 0.28
BL B -2.93 0.28
LCII D -0.61 0.28
DIOD F -2.34 0.27
PJT B 0.25 0.27
DRH C -2.27 0.27
MGEE B -2.27 0.27
TNC F -1.10 0.27
SKYW B -1.04 0.27
AMPH C -0.92 0.27
SFBS B -1.25 0.27
SITM B 0.58 0.27
TFIN B -1.95 0.26
DFIN D -2.10 0.26
RXO C -1.26 0.26
GVA B -1.03 0.26
IOSP B 0.06 0.26
MYRG B 1.19 0.25
APAM B 1.42 0.25
PBH A 0.57 0.25
ARCH B -0.84 0.25
PLUS F 0.62 0.24
PRFT A 0.00 0.24
HP C -6.24 0.24
PLXS C -1.39 0.24
CASH B -1.83 0.24
RAMP C -1.18 0.24
AWR C -1.98 0.24
AIR B -1.86 0.24
NPO B 0.60 0.23
UE B -0.30 0.23
SMTC C -3.43 0.23
KLIC C -3.06 0.23
WD D -1.31 0.23
TRIP D 1.25 0.23
HLX C -1.90 0.23
SXT B -1.47 0.22
LGIH F 0.97 0.22
RUSHA B -2.03 0.22
BTU C -1.94 0.22
PTEN C -1.31 0.22
IAC F -0.06 0.22
HNI B -0.32 0.22
EPAC B -1.35 0.22
SPNT B 0.76 0.21
DOCN C 0.76 0.21
EAT B -1.82 0.21
TRN B -1.32 0.21
CCS F 2.38 0.21
CATY B -0.04 0.21
AIN C -1.94 0.20
GTES B 0.39 0.20
DVAX B -0.96 0.20
WSFS B -1.74 0.20
CUBI B -2.36 0.20
CNS C 0.48 0.19
CWT D -0.44 0.19
TNDM F -3.64 0.19
OXM D -1.62 0.19
ROG D 0.39 0.19
BANF B 0.29 0.19
PGNY F 0.58 0.19
ENV B -0.02 0.19
WT B 1.24 0.18
EXPI C -2.59 0.18
FCPT C 0.07 0.18
KWR C -1.78 0.18
ARLO C -0.52 0.18
MYGN F -0.63 0.18
UNF B -1.01 0.18
MTX B 0.04 0.18
COLL F 0.30 0.18
LPG D 0.69 0.18
CPK A -0.21 0.18
EFC C -0.25 0.17
TDS C -0.75 0.17
EXTR C -3.30 0.17
NARI C -3.01 0.17
OUT B -0.05 0.16
STEP B 1.93 0.16
PLAY C -3.71 0.16
PLAB C 0.69 0.16
CALX F -2.24 0.16
STAA F -4.03 0.16
AL B -0.71 0.15
ANIP C -1.54 0.15
PARR F 1.04 0.15
PFBC B 0.15 0.15
BOH B -0.62 0.15
ADUS D -0.99 0.15
PRK B 0.14 0.15
MCRI A 0.17 0.15
CARS B -0.95 0.15
RWT D -0.14 0.15
CHCO B -0.98 0.15
STRA C -1.88 0.14
WGO B -0.56 0.14
ENR A 1.35 0.14
LZB B -0.25 0.14
PDFS C -2.45 0.14
XPEL B -0.35 0.14
STBA B -0.63 0.13
ANDE D 0.38 0.13
MP C -2.88 0.13
AMN F -2.97 0.13
UPBD B -1.96 0.13
CAKE B -0.46 0.13
VRTS B 1.21 0.13
XHR B -0.99 0.13
WOR F -0.32 0.13
JACK C 2.95 0.13
VSTS D -1.46 0.13
HCI B 2.24 0.13
NX C -0.78 0.13
VGR B 0.00 0.13
HLIT D 0.65 0.13
LKFN B -0.54 0.12
WABC B -0.47 0.12
FCF B -0.64 0.12
BKE A -0.12 0.12
AMWD B -1.29 0.12
WS B -0.62 0.12
CTS C -2.79 0.12
PZZA D -3.25 0.12
REX C -1.24 0.11
UNIT C -2.50 0.11
ARI C -0.22 0.11
NHC B -2.06 0.11
CERT F -1.68 0.11
SJW F -1.72 0.11
SABR B 0.54 0.11
VVI B 3.86 0.11
PAYO B 0.10 0.11
PRDO B -5.94 0.11
XNCR B -0.47 0.10
SHEN F 3.80 0.10
KN B -0.38 0.10
FOXF F -4.09 0.10
LNN B 0.21 0.10
THRM F -1.19 0.10
TRUP B -0.53 0.10
CSGS B -1.47 0.10
MGPI F -0.22 0.10
GTY C -1.29 0.10
MXL C -0.13 0.10
LTC B -1.14 0.10
SUPN C -4.21 0.10
APOG B -2.16 0.10
USPH C -1.84 0.10
VRE B -1.61 0.09
NABL F -2.00 0.09
FIZZ C -2.14 0.09
BLMN F -0.89 0.09
SEDG F 6.03 0.08
VICR C -7.50 0.08
CRK B -2.83 0.08
HRMY D -2.48 0.08
RES F 0.17 0.08
INVA C -4.28 0.08
AMBC C -6.13 0.08
MSEX C -0.59 0.08
BLFS C -10.20 0.08
AORT C -0.81 0.08
BHLB B -0.36 0.08
GES F -2.36 0.08
WOLF F -5.82 0.08
SDGR C -7.79 0.08
JBSS F -0.92 0.07
MATW C -0.96 0.07
PRLB C -3.13 0.07
MRTN C -2.38 0.07
COHU C -1.70 0.07
ATEN A 0.24 0.07
LQDT B -1.03 0.07
INN D -3.07 0.06
IIIN C -0.10 0.06
CLB C -0.89 0.06
WRLD C -1.11 0.06
MMI B 0.07 0.06
AMSF B -1.69 0.06
KOP C -0.95 0.06
GDEN B -1.19 0.06
HAYN A -0.13 0.06
BSIG B 0.10 0.06
CVI F -0.21 0.06
SSTK D 0.32 0.06
UTL C 0.71 0.06
SLP F -6.66 0.05
TR B 1.05 0.05
AHH D -1.36 0.05
SWI B -1.54 0.05
MTUS D -3.71 0.05
IRWD D -4.53 0.05
RCUS F -4.02 0.05
VTLE C 2.50 0.05
TTGT C -9.32 0.05
HSTM B -1.72 0.05
CHUY B 0.00 0.05
SBSI B -1.14 0.05
CEVA B -1.12 0.04
BFS C -1.91 0.04
MYE F -2.25 0.04
MCW C -0.25 0.04
UHT D -1.69 0.04
HTLD B -1.74 0.04
WSR B -2.13 0.04
ETD D -0.48 0.04
SNCY B 0.78 0.03
GOGO C 0.75 0.03
RGNX D 4.40 0.03
NPK B -0.64 0.02

Recent News for Vanguard S&P Small-Cap 600 Growth ETF & its Holdings

Date Stock Title
Nov 15 ESE ESCO Technologies Inc. 2024 Q4 - Results - Earnings Call Presentation
Nov 15 ESE ESCO Technologies Inc. (ESE) Q4 2024 Earnings Call Transcript
Nov 15 ETSY Elliott Investment Management Adds To Southwest, Western Digital, Etsy, Match Group; Trims BILL Holdings, Seadrill, BlackLine, NRG Energy In Q3
Nov 15 BL Elliott Investment Management Adds To Southwest, Western Digital, Etsy, Match Group; Trims BILL Holdings, Seadrill, BlackLine, NRG Energy In Q3
Nov 15 WHD Viking Fund Management Sells Big Oil Stocks In Q3, Cuts Tesla Position In Half, Adds To Largest Position Broadcom
Nov 15 SM Viking Fund Management Sells Big Oil Stocks In Q3, Cuts Tesla Position In Half, Adds To Largest Position Broadcom
Nov 14 WD Walker & Dunlop Promotes Dan Groman to General Counsel
Nov 14 CVI Carl Icahn boosts stakes in Icahn Enterprises, Centuri: Q3 trades
Nov 14 ETSY Elliott Management boosts Etsy, Southwest Airlines, trims Seadrill: top Q3 trades
Nov 14 ESE Esco Technologies: Fiscal Q4 Earnings Snapshot
Nov 14 VRE BofA spotlights opportunities with EA, HON, CRM, VRE, MTD, and MCHP
Nov 14 JJSF J&J; Snack Foods (JJSF) Q4 2024 Earnings Call Transcript
Nov 14 SXI Standex acquires Custom Biogenic Systems for $6.2M
Nov 14 BOX Box, Inc. (NYSE:BOX) Unveils AI-Powered Solutions, Revolutionizing Enterprise Content Management
Nov 14 ESE ESCO Technologies Non-GAAP EPS of $1.46 beats by $0.02, revenue of $299M beats by $16.4M
Nov 14 ESE ESCO’s (NYSE:ESE) Q3: Beats On Revenue But Full-Year Sales Guidance Misses Expectations Significantly
Nov 14 BLFS BioLife Solutions sells its Custom Biogenic Systems freezer subsidiary for $6.1M
Nov 14 ESE ESCO Reports Fourth Quarter and Fiscal 2024 Results
Nov 14 SXI STANDEX ACQUIRES CUSTOM BIOGENIC SYSTEMS
Nov 14 BLFS BioLife Solutions Announces $6.1 million Sale of its Custom Biogenic Systems Freezer Subsidiary
The investment seeks to track the performance of a benchmark index that measures the investment return of small-capitalization growth stocks in the United States. The fund employs an indexing investment approach designed to track the performance of the S&P SmallCap 600® Growth Index, which represents the growth companies of the S&P SmallCap 600 Index. The index measures the performance of small-capitalization growth stocks. It attempts to replicate the target index by investing all, or substantially all, of its assets in the stocks that make up the index, holding each stock in approximately the same proportion as its weighting in the index.
Exchange Traded Fund ETF Stock Market Index S&P 600 S&P Small Cap 600 Growth Index
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