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Watchlist
Konto
Vanguard Russell 2000 Growth Index Fund ETF Shares
VTWG
#1054
ETF Rang
€0.97 Mrd.
Marktkapitalisierung
🇺🇸 US
Markt
207,57 €
Aktienkurs
-0.56%
Veränderung (1 Tag)
-4.42%
Veränderung (1 Jahr)
🇺🇸 US-ETFs
📈 Wachstums-ETFs
Kategorien
Marktkapitalisierung
Preisverlauf
Ausstehende Aktien
Leihgebühren
Gebühren (Kostenquote)
Bestände (Holdings)
Mehr
Leihgebühren
Gebühren (Kostenquote)
Ausschüttungen
Vanguard Russell 2000 Growth Index Fund ETF Shares - Bestände
ETF-Bestände zum Stand
31. Oktober 2025
Anzahl der Bestände:
500
Vollständige Bestandsliste
Gewichtung %
Name
Ticker
ISIN
Gehaltene Aktien
1.84%
Bloom Energy Corp. Class A
BE
US0937121079
187375
1.81%
Credo Technology Group Holding Ltd.
CRDO
KYG254571055
129288
1.12%
IonQ Inc.
IONQ
US46222L1089
241339
1.03%
Fabrinet
FN
KYG3323L1005
31535
0.98%
Kratos Defense & Security Solutions Inc.
KTOS
US50077B2079
145530
0.92%
Rigetti Computing Inc.
RGTI
US76655K1034
278852
0.77%
NEXTracker Inc. Class A
NXT
US65290E1010
101878
0.77%
AeroVironment Inc.
AVAV
US0080731088
27861
0.73%
Sterling Construction Co. Inc.
STRL
US8592411016
26042
0.72%
Guardant Health Inc.
GH
US40131M1099
104213
0.72%
Rambus Inc.
RMBS
US7509171069
94180
0.71%
D-Wave Quantum Inc.
QBTS
US26740W1099
255648
0.70%
SPX Technologies Inc.
SPXC
US78473E1038
42086
0.66%
Ensign Group Inc.
ENSG
US29358P1012
49009
0.64%
Bridgebio Pharma Inc.
BBIO
US10806X1028
136443
0.61%
InterDigital Inc.
IDCC
US45867G1013
22608
0.59%
Chart Industries Inc.
GTLS
US16115Q3083
39475
0.56%
Lumen Technologies Inc.
LUMN
US5502411037
736044
0.56%
Hims & Hers Health Inc.
HIMS
US4330001060
166314
0.52%
HealthEquity Inc.
HQY
US42226A1079
74456
0.52%
Dycom Industries Inc.
DY
US2674751019
24459
0.52%
Modine Manufacturing Co.
MOD
US6078281002
45745
0.52%
Joby Aviation Inc.
JOBY
KYG651631007
402843
0.51%
Madrigal Pharmaceuticals Inc.
MDGL
US5588681057
16231
0.50%
Advanced Energy Industries Inc.
AEIS
US0079731008
32908
0.49%
Watts Water Technologies Inc. Class A
WTS
US9427491025
23960
0.47%
Primoris Services Corp.
PRIM
US74164F1030
44190
0.46%
Federal Signal Corp.
FSS
US3138551086
52424
0.46%
Zurn Elkay Water Solutions Corp.
ZWS
US98983L1089
131139
0.45%
Mirion Technologies Inc. Class A
MIR
US60471A1016
205108
0.43%
Avidity Biosciences Inc.
RNA
US05370A1088
81756
0.42%
SoundHound AI Inc. Class A
SOUN
US8361001071
319670
0.42%
Uranium Energy Corp.
UEC
US9168961038
371466
0.41%
FirstCash Holdings Inc.
FCFS
US33768G1076
34571
0.40%
CommVault Systems Inc.
CVLT
US2041661024
39027
0.40%
Archer Aviation Inc. Class A
ACHR
US03945R1023
480675
0.40%
SiTime Corp.
SITM
US82982T1060
18613
0.39%
iRhythm Technologies Inc.
IRTC
US4500561067
27816
0.39%
Rhythm Pharmaceuticals Inc.
RYTM
US76243J1051
45594
0.38%
Semtech Corp.
SMTC
US8168501018
76098
0.38%
Boot Barn Holdings Inc.
BOOT
US0994061002
26854
0.38%
Installed Building Products Inc.
IBP
US45780R1014
20462
0.37%
Moog Inc. Class A
MOG.A
US6153942023
24550
0.37%
ESCO Technologies Inc.
ESE
US2963151046
22690
0.37%
NuScale Power Corp.
SMR
US67079K1007
110644
0.37%
Applied Digital Corp.
APLD
US0381692070
141989
0.36%
Piper Jaffray Cos.
PIPR
US7240781002
15267
0.36%
Casella Waste Systems Inc. Class A
CWST
US1474481041
54826
0.36%
Coeur Mining Inc.
CDE
US1921085049
279592
0.35%
Axsome Therapeutics Inc.
AXSM
US05464T1043
35314
0.35%
Ryman Hospitality Properties Inc.
RHP
US78377T1079
53915
0.35%
Construction Partners Inc. Class A
ROAD
US21044C1071
40960
0.35%
Badger Meter Inc.
BMI
US0565251081
25888
0.34%
Impinj Inc.
PI
US4532041096
22656
0.33%
Arrowhead Pharmaceuticals Inc.
ARWR
US04280A1007
105305
0.33%
Core Scientific Inc.
CORZ
US21874A1060
206416
0.33%
TG Therapeutics Inc.
TGTX
US88322Q1085
126731
0.33%
Balchem Corp.
BCPC
US0576652004
28660
0.33%
ACI Worldwide Inc.
ACIW
US0044981019
92061
0.32%
frontdoor Inc.
FTDR
US35905A1097
64947
0.32%
Glaukos Corp.
GKOS
US3773221029
48790
0.32%
Krystal Biotech Inc.
KRYS
US5011471027
21642
0.31%
Belden Inc.
BDC
US0774541066
34584
0.31%
Brinker International Inc.
EAT
US1096411004
38629
0.31%
StoneCo Ltd. Class A
STNE
KYG851581069
219317
0.31%
Merit Medical Systems Inc.
MMSI
US5898891040
47435
0.31%
Moelis & Co. Class A
MC
US60786M1053
64901
0.31%
MAXIMUS Inc.
MMS
US5779331041
49418
0.30%
Brink's Co.
BCO
US1096961040
36750
0.30%
Herc Holdings Inc.
HRI
US42704L1044
28543
0.30%
Novanta Inc.
NOVT
CA67000B1040
31521
0.30%
Protagonist Therapeutics Inc.
PTGX
US74366E1029
50822
0.30%
Clearwater Analytics Holdings Inc. Class A
CWAN
US1851231068
215296
0.29%
Qualys Inc.
QLYS
US74758T3032
31907
0.29%
Centrus Energy Corp. Class A
LEU
US15643U1043
10642
0.29%
OSI Systems Inc.
OSIS
US6710441055
13998
0.28%
TransMedics Group Inc.
TMDX
US89377M1099
29010
0.28%
PTC Therapeutics Inc.
PTCT
US69366J2006
55127
0.28%
Option Care Health Inc.
OPCH
US68404L2016
143840
0.28%
Workiva Inc. Class A
WK
US98139A1051
43899
0.28%
Nuvalent Inc. Class A
NUVL
US6707031075
37543
0.28%
StepStone Group Inc. Class A
STEP
US85914M1071
60915
0.27%
Silicon Laboratories Inc.
SLAB
US8269191024
28170
0.27%
StoneX Group Inc.
SNEX
US8618961085
40111
0.27%
RadNet Inc.
RDNT
US7504911022
48231
0.27%
Archrock Inc.
AROC
US03957W1062
144419
0.27%
First Financial Bankshares Inc.
FFIN
US32020R1095
117434
0.27%
Terawulf Inc.
WULF
US88080T1043
233988
0.27%
CSW Industrials Inc.
CSW
US1264021064
14236
0.27%
Eos Energy Enterprises Inc.
EOSE
US29415C1018
222261
0.26%
Argan Inc.
AGX
US04010E1091
11576
0.26%
Cavco Industries Inc.
CVCO
US1495681074
6666
0.26%
Selective Insurance Group Inc.
SIGI
US8163001071
46852
0.26%
Cal-Maine Foods Inc.
CALM
US1280302027
40123
0.26%
Calix Inc.
CALX
US13100M5094
51458
0.26%
Mueller Water Products Inc. Class A
MWA
US6247581084
136201
0.26%
Upstart Holdings Inc.
UPST
US91680M1071
73520
0.26%
Sensient Technologies Corp.
SXT
US81725T1007
36940
0.26%
Crinetics Pharmaceuticals Inc.
CRNX
US22663K1079
78959
0.26%
Lantheus Holdings Inc.
LNTH
US5165441032
59458
0.25%
Viavi Solutions Inc.
VIAV
US9255501051
193334
0.25%
Skyline Champion Corp.
SKY
US8308301055
50054
0.25%
Varonis Systems Inc.
VRNS
US9222801022
96337
0.25%
Granite Construction Inc.
GVA
US3873281071
32949
0.25%
Q2 Holdings Inc.
QTWO
US74736L1098
54366
0.25%
Akero Therapeutics Inc.
AKRO
US00973Y1082
61022
0.25%
Franklin Electric Co. Inc.
FELE
US3535141028
34885
0.24%
Shake Shack Inc. Class A
SHAK
US8190471016
33939
0.24%
Alkermes plc
ALKS
IE00B56GVS15
106134
0.24%
Verra Mobility Corp. Class A
VRRM
US92511U1025
139453
0.24%
PJT Partners Inc.
PJT
US69343T1079
20076
0.24%
Dorman Products Inc.
DORM
US2582781009
24105
0.24%
Powell Industries Inc.
POWL
US7391281067
8339
0.24%
ServisFirst Bancshares Inc.
SFBS
US81768T1088
45045
0.23%
Kontoor Brands Inc.
KTB
US50050N1037
38929
0.23%
Compass Inc.
COMP
US20464U1007
407953
0.23%
Exponent Inc.
EXPO
US30214U1025
44330
0.23%
ADMA Biologics Inc.
ADMA
US0008991046
202149
0.23%
IES Holdings Inc.
IESC
US44951W1062
7889
0.23%
BrightSpring Health Services Inc.
BTSG
US10950A1060
93500
0.23%
Tenable Holdings Inc.
TENB
US88025T1025
106097
0.23%
VSE Corp.
VSEC
US9182841000
17032
0.23%
Box Inc.
BOX
US10316T1043
95288
0.23%
Plexus Corp.
PLXS
US7291321005
21815
0.23%
Oscar Health Inc. Class A
OSCR
US6877931096
169468
0.23%
Adtalem Global Education Inc.
ATGE
US00737L1035
30970
0.23%
Ambarella Inc.
AMBA
KYG037AX1015
35561
0.22%
Knife River Corp.
KNF
US4988941047
49970
0.22%
Atmus Filtration Technologies Inc.
ATMU
US04956D1072
65895
0.22%
Abercrombie & Fitch Co.
ANF
US0028962076
41136
0.22%
Cabot Corp.
CBT
US1270551013
44201
0.22%
Patrick Industries Inc.
PATK
US7033431039
28331
0.22%
Oklo Inc. Class A
OKLO
US02156V1098
22213
0.22%
Life Time Group Holdings Inc.
LTH
US53190C1027
118589
0.22%
MYR Group Inc.
MYRG
US55405W1045
13465
0.22%
Zeta Global Holdings Corp. Class A
ZETA
US98956A1051
162477
0.22%
Lemonade Inc.
LMND
US52567D1072
48584
0.22%
Waystar Holding Corp.
WAY
US9467841055
80804
0.22%
BGC Group Inc. Class A
BGC
US0889291045
316582
0.21%
Tanger Factory Outlet Centers Inc.
SKT
US8754651060
88268
0.21%
Kadant Inc.
KAI
US48282T1043
10294
0.21%
Agilysys Inc.
AGYS
US00847J1051
22600
0.21%
Sanmina Corp.
SANM
US8010561020
20444
0.21%
FormFactor Inc.
FORM
US3463751087
50749
0.21%
Xenon Pharmaceuticals Inc.
XENE
CA98420N1050
66206
0.21%
John Bean Technologies Corp.
JBTM
US4778391049
21999
0.20%
Lancaster Colony Corp.
MZTI
US5138471033
17540
0.20%
Planet Labs PBC
PL
US72703X1063
203922
0.20%
SPS Commerce Inc.
SPSC
US78463M1071
33262
0.20%
Kymera Therapeutics Inc.
KYMR
US5015751044
43926
0.20%
Arcellx Inc.
ACLX
US03940C1009
29832
0.20%
Indivior plc
INDV
GB00BN4HT335
90183
0.20%
Cactus Inc. Class A
WHD
US1272031071
59727
0.20%
Palomar Holdings Inc. Class A
PLMR
US69753M1053
23031
0.19%
Blackline Inc.
BL
US09239B1098
45515
0.19%
Bancorp Inc.
TBBK
US05969A1051
39799
0.19%
AZZ Inc.
AZZ
US0024741045
25937
0.19%
Gulfport Energy Corp.
GPOR
US4026355028
13909
0.19%
PriceSmart Inc.
PSMT
US7415111092
22420
0.19%
Mirum Pharmaceuticals Inc.
MIRM
US6047491013
35234
0.19%
Stride Inc.
LRN
US86333M1080
37281
0.19%
Travere Therapeutics Inc.
TVTX
US89422G1076
71926
0.19%
Cargurus Inc.
CARG
US1417881091
71906
0.19%
Enova International Inc.
ENVA
US29357K1034
21079
0.18%
Griffon Corp.
GFF
US3984331021
33527
0.18%
Veracyte Inc.
VCYT
US92337F1075
68461
0.18%
ACADIA Pharmaceuticals Inc.
ACAD
US0042251084
108671
0.18%
Cinemark Holdings Inc.
CNK
US17243V1026
90862
0.18%
Soleno Therapeutics Inc.
SLNO
US8342033094
36474
0.18%
Huron Consulting Group Inc.
HURN
US4474621020
14856
0.18%
Privia Health Group Inc.
PRVA
US74276R1023
100462
0.18%
DigitalOcean Holdings Inc.
DOCN
US25402D1028
59597
0.18%
Hawkins Inc.
HWKN
US4202611095
17048
0.18%
Victory Capital Holdings Inc. Class A
VCTR
US92645B1035
38666
0.18%
Globalstar Inc.
GSAT
US3789735079
43699
0.18%
CBIZ Inc.
CBZ
US1248051021
43141
0.18%
Arcutis Biotherapeutics Inc.
ARQT
US03969K1088
93525
0.18%
NCR Atleos Corp.
NATL
US63001N1063
63985
0.18%
Tarsus Pharmaceuticals Inc.
TARS
US87650L1035
34213
0.17%
Remitly Global Inc.
RELY
US75960P1049
145911
0.17%
WD-40 Co.
WDFC
US9292361071
11866
0.17%
Adaptive Biotechnologies Corp.
ADPT
US00650F1093
130160
0.17%
American Superconductor Corp.
AMSC
US0301112076
38061
0.17%
GeneDx Holdings Corp. Class A
WGS
US81663L2007
16361
0.17%
Clear Secure Inc. Class A
YOU
US18467V1098
73131
0.17%
American Healthcare REIT Inc.
AHR
US3981823038
49135
0.16%
Amicus Therapeutics Inc.
FOLD
US03152W1099
242560
0.16%
Extreme Networks Inc.
EXTR
US30226D1063
114981
0.16%
Magnite Inc.
MGNI
US55955D1000
121987
0.16%
REV Group Inc.
REVG
US7495271071
42396
0.16%
Kodiak Gas Services Inc.
KGS
US50012A1088
58681
0.16%
Alignment Healthcare Inc.
ALHC
US01625V1044
127701
0.16%
Catalyst Pharmaceuticals Inc.
CPRX
US14888U1016
101138
0.16%
Outfront Media Inc.
OUT
US69007J3041
121395
0.16%
Genius Sports Ltd.
GENI
GG00BMF1JR16
190639
0.16%
CG oncology Inc.
CGON
US1569441009
48676
0.16%
Haemonetics Corp.
HAE
US4050241003
42050
0.16%
Hilton Grand Vacations Inc.
HGV
US43283X1054
50311
0.16%
Beam Therapeutics Inc.
BEAM
US07373V1052
83290
0.15%
Power Integrations Inc.
POWI
US7392761034
49527
0.15%
Tidewater Inc.
TDW
US88642R1095
40660
0.15%
Alarm.com Holdings Inc.
ALRM
US0116421050
41518
0.15%
Novagold Resources Inc.
NG
CA66987E2069
245708
0.15%
Hanesbrands Inc.
HBI
US4103451021
306450
0.15%
Cheesecake Factory Inc.
CAKE
US1630721017
40341
0.15%
GEO Group Inc.
GEO
US36162J1060
117936
0.15%
Innodata Inc.
INOD
US4576422053
26781
0.15%
Braze Inc. Class A
BRZE
US10576N1028
69530
0.15%
Standex International Corp.
SXI
US8542311076
8544
0.15%
CommScope Holding Co. Inc.
COMM
US20337X1090
114625
0.15%
Delek US Holdings Inc.
DK
US24665A1034
52007
0.15%
Quantum Computing Inc.
QUBT
US74766W1080
116956
0.15%
Freshworks Inc. Class A
FRSH
US3580541049
175493
0.14%
Integer Holdings Corp.
ITGR
US45826H1095
30056
0.14%
Enerpac Tool Group Corp. Class A
EPAC
US2927651040
47281
0.14%
Dave Inc.
DAVE
US23834J2015
8084
0.14%
Itron Inc.
ITRI
US4657411066
19241
0.14%
OneSpaWorld Holdings Ltd.
OSW
BSP736841136
82770
0.14%
Scholar Rock Holding Corp.
SRRK
US80706P1030
64981
0.14%
Alphatec Holdings Inc.
ATEC
US02081G2012
101131
0.14%
Group 1 Automotive Inc.
GPI
US3989051095
4807
0.14%
Concentra Group Holdings Parent Inc.
CON
US20603L1026
95826
0.14%
ICU Medical Inc.
ICUI
US44930G1076
15819
0.14%
Intapp Inc.
INTA
US45827U1097
49298
0.14%
St. Joe Co.
JOE
US7901481009
33213
0.14%
Celcuity Inc.
CELC
US15102K1007
24423
0.14%
C3.ai Inc. Class A
AI
US12468P1049
106879
0.14%
CorVel Corp.
CRVL
US2210061097
25374
0.14%
Chefs' Warehouse Inc.
CHEF
US1630861011
31792
0.14%
Acushnet Holdings Corp.
GOLF
US0050981085
24074
0.14%
Vicor Corp.
VICR
US9258151029
20346
0.14%
Xometry Inc. Class A
XMTR
US98423F1093
37894
0.14%
HCI Group Inc.
HCI
US40416E1038
9000
0.14%
BancFirst Corp.
BANF
US05945F1030
16709
0.13%
Yelp Inc. Class A
YELP
US9858171054
53895
0.13%
Ocular Therapeutix Inc.
OCUL
US67576A1007
152050
0.13%
Recursion Pharmaceuticals Inc. Class A
RXRX
US75629V1044
319525
0.13%
Chemours Co.
CC
US1638511089
131296
0.13%
McGrath RentCorp
MGRC
US5805891091
16250
0.13%
Disc Medicine Inc.
IRON
US2546041011
20197
0.13%
Cogent Biosciences Inc.
COGT
US19240Q2012
106624
0.13%
Bitdeer Technologies Group
BTDR
KYG114481008
78193
0.13%
Blackbaud Inc.
BLKB
US09227Q1004
26867
0.13%
Bank of Hawaii Corp.
BOH
US0625401098
26462
0.13%
Upwork Inc.
UPWK
US91688F1049
107281
0.13%
Ingevity Corp.
NGVT
US45688C1071
31773
0.13%
Twist Bioscience Corp.
TWST
US90184D1000
51681
0.13%
CSG Systems International Inc.
CSGS
US1263491094
21656
0.13%
Solaris Oilfield Infrastructure Inc. Class A
SEI
US83418M1036
31751
0.13%
Oceaneering International Inc.
OII
US6752321025
72412
0.12%
Warby Parker Inc. Class A
WRBY
US93403J1060
85658
0.12%
Arlo Technologies Inc.
ARLO
US04206A1016
86659
0.12%
Brookdale Senior Living Inc.
BKD
US1124631045
177714
0.12%
Metsera Inc.
MTSR
US59267L1070
26114
0.12%
AvePoint Inc.
AVPT
US0536041041
115870
0.12%
Cogent Communications Holdings Inc.
CCOI
US19239V3024
39330
0.12%
Five9 Inc.
FIVN
US3383071012
66633
0.12%
Sonos Inc.
SONO
US83570H1086
94031
0.12%
Apogee Therapeutics Inc.
APGE
US03770N1019
28507
0.12%
Atlanta Braves Holdings Inc.
BATRK
US0477263026
39246
0.12%
EVERTEC Inc.
EVTC
PR30040P1032
56080
0.12%
Wolverine World Wide Inc.
WWW
US9780971035
70293
0.12%
Hecla Mining Co.
HL
US4227041062
123774
0.12%
Progress Software Corp.
PRGS
US7433121008
37353
0.12%
Vita Coco Co. Inc.
COCO
US92846Q1076
38382
0.12%
LeMaitre Vascular Inc.
LMAT
US5255582018
18189
0.12%
Perpetua Resources Corp.
PPTA
CA7142661031
65461
0.12%
American States Water Co.
AWR
US0298991011
22004
0.12%
TriNet Group Inc.
TNET
US8962881079
26101
0.12%
PROCEPT BioRobotics Corp.
PRCT
US74276L1052
45886
0.11%
LiveRamp Holdings Inc.
RAMP
US53815P1084
56328
0.11%
Vericel Corp.
VCEL
US92346J1088
43891
0.11%
Six Flags Entertainment Corp.
FUN
US83001C1080
66952
0.11%
Madison Square Garden Entertainment Corp. Class A
MSGE
US5582561032
34572
0.11%
Cohen & Steers Inc.
CNS
US19247A1007
22041
0.11%
Super Group SGHC Ltd.
SGHC
GG00BMG42V42
138848
0.11%
First BanCorp/Puerto Rico
FBP
PR3186727065
76465
0.11%
Ouster Inc.
OUST
US68989M2026
44264
0.11%
MannKind Corp.
MNKD
US56400P7069
263837
0.11%
Avadel Pharmaceuticals plc
AVDL
IE00BDGMC594
77800
0.11%
Immunovant Inc.
IMVT
US45258J1025
59425
0.11%
AtriCure Inc.
ATRC
US04963C2098
42159
0.11%
Enovix Corp.
ENVX
US2935941078
120934
0.11%
ANI Pharmaceuticals Inc.
ANIP
US00182C1036
15843
0.11%
Inter Parfums Inc.
IPAR
US4583341098
15997
0.11%
Rush Enterprises Inc. Class A
RUSHA
US7818462092
28770
0.11%
Skyward Specialty Insurance Group Inc.
SKWD
US8309401029
31149
0.11%
Adeia Inc.
ADEA
US00676P1075
82982
0.11%
Meta Financial Group Inc.
CASH
US59100U1088
20748
0.11%
Buckle Inc.
BKE
US1184401065
25744
0.10%
Payoneer Global Inc.
PAYO
US70451X1046
242745
0.10%
Stock Yards Bancorp Inc.
SYBT
US8610251048
21570
0.10%
Mineralys Therapeutics Inc.
MLYS
US6031701013
34077
0.10%
MGE Energy Inc.
MGEE
US55277P1049
16782
0.10%
Insperity Inc.
NSP
US45778Q1076
31504
0.10%
Life360 Inc.
LIF
US5322061095
14019
0.10%
Blue Bird Corp.
BLBD
US0953061068
27624
0.10%
Century Aluminum Co.
CENX
US1564311082
46065
0.10%
Liquidia Technologies Inc.
LQDA
US53635D2027
55959
0.10%
DXP Enterprises Inc./TX
DXPE
US2333774071
11328
0.10%
Biohaven Ltd.
BHVN
VGG1110E1079
78767
0.10%
BRP Group Inc. Class A
BWIN
US05589G1022
61295
0.10%
Applied Optoelectronics Inc.
AAOI
US03823U1025
37717
0.10%
BioCryst Pharmaceuticals Inc.
BCRX
US09058V1035
182616
0.10%
Aurinia Pharmaceuticals Inc.
AUPH
CA05156V1022
101436
0.10%
Korn Ferry
KFY
US5006432000
20646
0.10%
ACV Auctions Inc. Class A
ACVA
US00091G1040
146491
0.10%
Napco Security Technologies Inc.
NSSC
US6304021057
30070
0.10%
Rush Street Interactive Inc.
RSI
US7820111000
77402
0.10%
Artisan Partners Asset Management Inc. Class A
APAM
US04316A1088
30021
0.10%
PureCycle Technologies Inc.
PCT
US74623V1035
113148
0.10%
Xeris Biopharma Holdings Inc.
XERS
US98422E1038
133916
0.10%
Vertex Inc. Class A
VERX
US92538J1060
56693
0.10%
Trupanion Inc.
TRUP
US8982021060
32329
0.09%
Vera Therapeutics Inc. Class A
VERA
US92337R1014
44815
0.09%
Tecnoglass Inc.
TGLS
KYG872641009
21225
0.09%
UFP Technologies Inc.
UFPT
US9026731029
6554
0.09%
WisdomTree Inc.
WT
US97717P1049
104938
0.09%
Red Rock Resorts Inc. Class A
RRR
US75700L1089
23519
0.09%
Ardelyx Inc.
ARDX
US0396971071
205844
0.09%
John Wiley & Sons Inc. Class A
WLY
US9682232064
33815
0.09%
CECO Environmental Corp.
CECO
US1251411013
25426
0.09%
IMAX Corp.
IMAX
CA45245E1097
38257
0.09%
Core Natural Resources Inc.
CNR
US2189371006
15714
0.09%
Clover Health Investments Corp. Class A
CLOV
US18914F1030
351601
0.09%
Centuri Holdings Inc.
CTRI
US1559231055
61306
0.09%
Amneal Pharmaceuticals Inc.
AMRX
US03168L1052
114278
0.09%
Flywire Corp.
FLYW
US3024921039
92638
0.09%
Diebold Nixdorf Inc.
DBD
US2536512021
20830
0.09%
Progyny Inc.
PGNY
US74340E1038
65487
0.09%
CryoLife Inc.
AORT
US2289031005
26996
0.09%
NANO Nuclear Energy Inc.
NNE
US63010H1086
25483
0.09%
Arcosa Inc.
ACA
US0396531008
11872
0.09%
Universal Technical Institute Inc.
UTI
US9139151040
40664
0.09%
Alkami Technology Inc.
ALKT
US01644J1088
59445
0.09%
Urban Outfitters Inc.
URBN
US9170471026
18640
0.09%
PagerDuty Inc.
PD
US69553P1003
74509
0.09%
Coastal Financial Corp./WA
CCB
US19046P2092
11231
0.09%
Astronics Corp.
ATRO
US0464331083
24183
0.09%
Turning Point Brands Inc.
TPB
US90041L1052
13221
0.09%
Stoke Therapeutics Inc.
STOK
US86150R1077
39080
0.09%
Federal Agricultural Mortgage Corp.
AGM
US3131483063
7385
0.09%
Sapiens International Corp. NV
SPNS
KYG7T16G1039
27106
0.09%
Viridian Therapeutics Inc.
VRDN
US92790C1045
48574
0.09%
Goosehead Insurance Inc. Class A
GSHD
US38267D1090
16681
0.09%
Amprius Technologies Inc.
AMPX
US03214Q1085
81295
0.09%
J&J Snack Foods Corp.
JJSF
US4660321096
13521
0.08%
Novocure Ltd.
NVCR
JE00BYSS4X48
88458
0.08%
Phreesia Inc.
PHR
US71944F1066
49980
0.08%
Laureate Education Inc. Class A
LAUR
US5186132032
38939
0.08%
Valley National Bancorp
VLY
US9197941076
103924
0.08%
Fluence Energy Inc.
FLNC
US34379V1035
53634
0.08%
Brightsphere Investment Group Inc.
AAMI
US10948W1036
23376
0.08%
United States Lime & Minerals Inc.
USLM
US9119221029
9474
0.08%
Burford Capital Ltd.
BUR
GG00BMGYLN96
111439
0.08%
Apollo Medical Holdings Inc.
ASTH
US03763A2078
35511
0.08%
CRA International Inc.
CRAI
US12618T1051
5771
0.08%
fuboTV Inc. Class A
FUBO
US35953D1046
290710
0.08%
Harmony Biosciences Holdings Inc.
HRMY
US4131971040
38146
0.08%
SeaWorld Entertainment Inc.
PRKS
US81282V1008
22486
0.08%
Pagaya Technologies Ltd. Class A
PGY
IL0011858912
40199
0.08%
Immunome Inc.
IMNM
US45257U1088
67095
0.08%
Kinetik Holdings Inc. Class A
KNTK
US02215L2097
27890
0.08%
Edgewise Therapeutics Inc.
EWTX
US28036F1057
58706
0.08%
Asana Inc.
ASAN
US04342Y1047
75400
0.08%
Lindsay Corp.
LNN
US5355551061
9505
0.08%
Cadre Holdings Inc.
CDRE
US12763L1052
24884
0.08%
Energizer Holdings Inc.
ENR
US29272W1099
45441
0.08%
Kulicke & Soffa Industries Inc.
KLIC
US5012421013
26168
0.08%
Harrow Inc.
HROW
US4158581094
27475
0.08%
Legalzoom.com Inc.
LZ
US52466B1035
103445
0.08%
Schrodinger Inc./United States
SDGR
US80810D1037
48962
0.08%
Rapid7 Inc.
RPD
US7534221046
55629
0.08%
Simply Good Foods Co.
SMPL
US82900L1026
52578
0.08%
Appian Corp. Class A
APPN
US03782L1017
34323
0.08%
NextNav Inc.
NN
US65345N1063
76824
0.08%
Energy Fuels Inc./Canada
UUUU
CA2926717083
49945
0.08%
Coursera Inc.
COUR
US22266M1045
120641
0.08%
Perella Weinberg Partners Class A
PWP
US71367G1022
54341
0.08%
UMH Properties Inc.
UMH
US9030021037
69389
0.07%
Monarch Casino & Resort Inc.
MCRI
US6090271072
11150
0.07%
Collegium Pharmaceutical Inc.
COLL
US19459J1043
27896
0.07%
Vital Farms Inc.
VITL
US92847W1036
30210
0.07%
Marex Group plc
MRX
GB00BMT7GT62
32299
0.07%
STAAR Surgical Co.
STAA
US8523123052
37421
0.07%
CVR Energy Inc.
CVI
US12662P1084
27055
0.07%
A10 Networks Inc.
ATEN
US0021211018
53186
0.07%
Syndax Pharmaceuticals Inc.
SNDX
US87164F1057
69228
0.07%
Ivanhoe Electric Inc. / US
IE
US46578C1080
64000
0.07%
HNI Corp.
HNI
US4042511000
22795
0.07%
Pagseguro Digital Ltd. Class A
PAGS
KYG687071012
97093
0.07%
BioLife Solutions Inc.
BLFS
US09062W2044
33217
0.07%
Dynavax Technologies Corp.
DVAX
US2681582019
89796
0.07%
Taysha Gene Therapies Inc.
TSHA
US8776191061
185132
0.07%
Trinity Industries Inc.
TRN
US8965221091
33540
0.07%
City Holding Co.
CHCO
US1778351056
7780
0.07%
Novavax Inc.
NVAX
US6700024010
107121
0.07%
Glacier Bancorp Inc.
GBCI
US37637Q1058
21950
0.07%
Addus HomeCare Corp.
ADUS
US0067391062
7653
0.07%
Trevi Therapeutics Inc.
TRVI
US89532M1018
76181
0.07%
PROS Holdings Inc.
PRO
US74346Y1038
38291
0.07%
Barrett Business Services Inc.
BBSI
US0684631080
21687
0.07%
Arcus Biosciences Inc.
RCUS
US03969F1093
44468
0.07%
Innoviva Inc.
INVA
US45781M1018
48140
0.06%
Limbach Holdings Inc.
LMB
US53263P1057
9238
0.06%
Insight Enterprises Inc.
NSIT
US45765U1034
8592
0.06%
Enliven Therapeutics Inc.
ELVN
US29337E1029
36605
0.06%
Chesapeake Utilities Corp.
CPK
US1653031088
6713
0.06%
Axogen Inc.
AXGN
US05463X1063
38296
0.06%
Porch Group Inc.
PRCH
US7332451043
56515
0.06%
Peloton Interactive Inc. Class A
PTON
US70614W1009
116162
0.06%
Comstock Resources Inc.
CRK
US2057683029
44842
0.06%
Red Cat Holdings Inc.
RCAT
US75644T1007
74464
0.06%
Zymeworks Inc.
ZYME
US98985Y1082
43553
0.06%
Sezzle Inc.
SEZL
US78435P1057
12658
0.06%
Patria Investments Ltd. Class A
PAX
KYG694511059
56441
0.06%
Gorman-Rupp Co.
GRC
US3830821043
18230
0.06%
Tandem Diabetes Care Inc.
TNDM
US8753722037
58193
0.06%
DiamondRock Hospitality Co.
DRH
US2527843013
103912
0.06%
PDF Solutions Inc.
PDFS
US6932821050
27842
0.06%
Mercury Systems Inc.
MRCY
US5893781089
10467
0.06%
Root Inc./OH Class A
ROOT
US77664L2079
10021
0.06%
Jamf Holding Corp.
JAMF
US47074L1052
62778
0.06%
Beta Bionics Inc.
BBNX
US08659B1026
29438
0.06%
MiMedx Group Inc.
MDXG
US6024961012
103619
0.06%
Energy Recovery Inc.
ERII
US29270J1007
46327
0.06%
TripAdvisor Inc.
TRIP
US8969452015
49051
0.06%
eXp World Holdings Inc.
EXPI
US30212W1009
76645
0.06%
Revolve Group Inc.
RVLV
US76156B1070
35472
0.06%
Willdan Group Inc.
WLDN
US96924N1000
8292
0.06%
WaVe Life Sciences Ltd.
WVE
SG9999014716
86575
0.06%
Amplitude Inc. Class A
AMPL
US03213A1043
77633
0.06%
Evolv Technologies Holdings Inc.
EVLV
US30049H1023
100469
0.06%
Donnelley Financial Solutions Inc.
DFIN
US25787G1004
16685
0.06%
Ramaco Resources Inc. Class A
METC
US75134P6007
25172
0.06%
Sprinklr Inc. Class A
CXM
US85208T1079
97821
0.06%
Phibro Animal Health Corp. Class A
PAHC
US71742Q1067
17873
0.06%
Yext Inc.
YEXT
US98585N1063
88318
0.06%
Driven Brands Holdings Inc.
DRVN
US26210V1026
52047
0.05%
Magnolia Oil & Gas Corp. Class A
MGY
US5596631094
32701
0.05%
Pennant Group Inc.
PNTG
US70805E1091
29660
0.05%
Old National Bancorp/IN
ONB
US6800331075
35722
0.05%
Cytokinetics Inc.
CYTK
US23282W6057
11366
0.05%
National Beverage Corp.
FIZZ
US6350171061
21053
0.05%
Constellium SE Class A
CSTM
FR0013467479
45769
0.05%
PAR Technology Corp.
PAR
US6988841036
20355
0.05%
Spyre Therapeutics Inc.
SYRE
US00773J2024
29334
0.05%
XPEL Inc.
XPEL
US98379L1008
21034
0.05%
CareDx Inc.
CDNA
US14167L1035
47437
0.05%
ThredUp Inc. Class A
TDUP
US88556E1029
80910
0.05%
QuinStreet Inc.
QNST
US74874Q1004
47676
0.05%
Sable Offshore Corp.
SOC
US78574H1041
66562
0.05%
NextDecade Corp.
NEXT
US65342K1051
117148
0.05%
QuidelOrtho Corp.
QDEL
US2197981051
25673
0.05%
Marqeta Inc. Class A
MQ
US57142B1044
152948
0.05%
Lakeland Financial Corp.
LKFN
US5116561003
12100
0.05%
US Physical Therapy Inc.
USPH
US90337L1089
7994
0.05%
Camping World Holdings Inc. Class A
CWH
US13462K1097
52402
0.05%
Dyne Therapeutics Inc.
DYN
US26818M1080
30381
0.05%
National Health Investors Inc.
NHI
US63633D1046
9177
0.05%
CorMedix Inc.
CRMD
US21900C3088
61377
0.05%
CompoSecure Inc. Class A
CMPO
US20459V1052
34291
0.05%
ADTRAN Holdings Inc.
ADTN
US00486H1059
65091
0.05%
ASP Isotopes Inc.
ASPI
US00218A1051
66793
0.05%
Phillips Edison & Co. Inc.
PECO
US71844V2016
19903
0.05%
Kaiser Aluminum Corp.
KALU
US4830077040
7340
0.05%
AAR Corp.
AIR
US0003611052
7793
0.05%
US Antimony Corp.
UAMY
US9115491030
81114
0.05%
First Watch Restaurant Group Inc.
FWRG
US33748L1017
39555
0.05%
Amylyx Pharmaceuticals Inc.
AMLX
US03237H1014
46660
0.05%
CareTrust REIT Inc.
CTRE
US14174T1079
18398
0.05%
Seadrill Ltd.
SDRL
BMG7997W1029
19976
0.05%
AnaptysBio Inc.
ANAB
US0327241065
16915
0.05%
Victoria's Secret & Co.
VSCO
US9264001028
17522
0.05%
Gogo Inc.
GOGO
US38046C1099
67328
0.04%
Blend Labs Inc. Class A
BLND
US09352U1088
182164
0.04%
Microvast Holdings Inc.
MVST
US59516C1062
110202
0.04%
Green Brick Partners Inc.
GRBK
US3927091013
9258
0.04%
Geron Corp.
GERN
US3741631036
474405
0.04%
First Advantage Corp.
FA
US31846B1089
47311
0.04%
Arbutus Biopharma Corp.
ABUS
CA03879J1003
125869
0.04%
Apollo Commercial Real Estate Finance Inc.
ARI
US03762U1051
60624
0.04%
Build-A-Bear Workshop Inc.
BBW
US1200761047
10890
0.04%
Gannett Co. Inc.
GCI
US36472T1097
110860
0.04%
LendingTree Inc.
TREE
US52603B1070
9158
0.04%
Esquire Financial Holdings Inc.
ESQ
US29667J1016
6248
0.04%
UMB Financial Corp.
UMBF
US9027881088
5455
0.04%
Anavex Life Sciences Corp.
AVXL
US0327973006
73112
0.04%
Global Business Travel Group I
GBTG
US37890B1008
73351
0.04%
Figs Inc. Class A
FIGS
US30260D1037
77279
0.04%
Community Bank System Inc.
CBU
US2036071064
10332
0.04%
BlackSky Technology Inc. Class A
BKSY
US09263B2079
27078
0.04%
Sweetgreen Inc. Class A
SG
US87043Q1085
90184
0.04%
Graham Corp.
GHM
US3845561063
9048
0.04%
Tootsie Roll Industries Inc.
TR
US8905161076
15883
0.04%
IDT Corp. Class B
IDT
US4489475073
11037
0.04%
Carriage Services Inc. Class A
CSV
US1439051079
12367
0.04%
EnPro Industries Inc.
NPO
US29355X1072
2382
0.04%
Rezolve AI plc
RZLV
GB00BQH8G337
128346
0.04%
Ermenegildo Zegna NV
ZGN
NL0015000PB5
53759