Skip to main content

VB · VANGUARD SMALL-CAP INDEX FUND ETF

VANGUARD INDEX FUNDS

SEC fund profile
$300.01 +0.05% At close · Sep 4
Net assets $188,697,442,068
Holdings1,317
1 month
-1.99%
Year to date
+17.09%
52-week range
$241.17–$309.51
30-session avg volume
436,676

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Open-end / ETF
SEC series
S000002845
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings5.47%

Calculated only when the SEC filing is stored with complete portfolio coverage.

Asset allocation

EC99.77%
STIV1.73%
DE0.00%

Country allocation

US101.49%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
Vanguard Cmt Funds-Vanguard Market Liquidity Fund$2,831,346,5951.50%
Credo Technology Group Holding Ltd$1,035,239,9520.55%
Jabil Inc$932,670,0160.49%
REVOLUTION Medicines Inc$867,321,7720.46%
Astera Labs Inc$854,350,8020.45%
Natera Inc$846,765,4730.45%
EMCOR Group Inc$845,592,1180.45%
Twilio Inc$718,237,4120.38%
NRG Energy Inc$706,738,3310.37%
MKS Instruments Inc$688,939,6000.37%
Flex Ltd$680,885,4050.36%
Tapestry Inc$678,127,0140.36%
Casey's General Stores Inc$673,512,1990.36%
Carpenter Technology Corp$667,779,2640.35%
Atmos Energy Corp$659,372,2110.35%
Curtiss-Wright Corp$641,971,9990.34%
FTAI Aviation Ltd$636,505,4190.34%
Williams-Sonoma Inc$629,458,3450.33%
Entegris Inc$628,999,5570.33%
nVent Electric PLC$628,901,1590.33%
ATI Inc$616,890,6760.33%
TechnipFMC PLC$606,249,9850.32%
MasTec Inc$603,173,4160.32%
MACOM Technology Solutions Holdings Inc$599,008,9580.32%
Woodward Inc$581,369,7160.31%
Illumina Inc$579,644,3430.31%
Moderna Inc$573,550,7420.30%
Everpure Inc$570,064,0870.30%
Sterling Infrastructure Inc$561,166,7180.30%
Smurfit Westrock PLC$556,375,5430.29%
F5 Inc$538,235,1860.29%
United Therapeutics Corp$527,466,0870.28%
SoFi Technologies Inc$527,418,5880.28%
Okta Inc$526,034,8080.28%
XPO Inc$525,111,4960.28%
US Foods Holding Corp$516,415,2610.27%
JB Hunt Transport Services Inc$500,672,8010.27%
Expand Energy Corp$500,302,9920.27%
RB Global Inc$497,548,6950.26%
Affirm Holdings Inc$495,448,5440.26%
CH Robinson Worldwide Inc$483,547,5060.26%
Lattice Semiconductor Corp$480,568,6570.25%
Omnicom Group Inc$476,015,3510.25%
RBC Bearings Inc$467,268,1060.25%
Liberty Media Corp-Liberty Formula One$463,704,4630.25%
Fabrinet$461,856,6390.24%
TTM Technologies Inc$445,417,8660.24%
TD SYNNEX Corp$443,595,9250.24%
Incyte Corp$441,460,0020.23%
Reliance Inc$437,367,9160.23%