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VANGUARD S&P SMALL-CAP 600 INDEX FUND (VIOO) is an ETF managed by Vanguard. Its largest position is Solstice Advanced Materials Inc. (SOLS), representing 0.79% of fund assets.

VANGUARD S&P SMALL-CAP 600 INDEX FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
VIOO
Type:
ETF
Manager:
Vanguard
Total Assets:
—
Report Date:
Feb 28, 2026
Filing Date:
Apr 28, 2026
Showing 50 out of 609 holdings
Holding Weight Market Value Shares
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Solstice Advanced Materials Inc.
0.79% $42,734,720.22 544,322
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MOOG INC-CLASS A
0.61% $32,893,013.83 97,481
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InterDigital, Inc.
0.60% $32,363,499.41 88,297
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CareTrust REIT, Inc.
0.58% $31,109,192.58 765,859
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APPLIED MATERIALS INC /DE
0.57% $30,706,275.07 307,093
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SITIME Corp
0.55% $29,913,414.16 75,182
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EASTMAN CHEMICAL CO
0.55% $29,542,532.40 391,240
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LKQ CORP
0.54% $29,063,792.45 877,795
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SANMINA CORP
0.54% $29,053,803.80 187,130
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Primoris Services Corp
0.52% $27,927,059.52 185,291
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JBT MAREL Corp
0.51% $27,446,034.00 178,221
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Element Solutions Inc
0.51% $27,373,989.72 780,108
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SEMTECH CORP
0.50% $26,845,592.54 297,557
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FORMFACTOR INC
0.49% $26,284,083.84 265,818
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Zurn Elkay Water Solutions Corp
0.48% $26,030,388.00 510,600
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ARMSTRONG WORLD INDUSTRIES INC
0.47% $25,651,975.00 147,850
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Jackson Financial Inc.
0.47% $25,514,642.44 233,053
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Installed Building Products, Inc.
0.47% $25,448,597.44 77,644
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ESCO TECHNOLOGIES INC
0.45% $24,553,474.92 88,548
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MARKETAXESS HOLDINGS INC
0.45% $24,469,056.00 127,443
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Gates Industrial Corp Ltd.
0.45% $24,416,377.98 885,614
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Krystal Biotech, Inc.
0.45% $24,390,832.32 88,488
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FEDERAL SIGNAL CORP /DE/
0.45% $24,275,887.86 208,502
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Qorvo, Inc.
0.44% $23,898,246.20 288,278
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GLAUKOS Corp
0.44% $23,709,288.40 196,921
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Terreno Realty Corp
0.43% $23,447,600.64 354,944
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AIR LEASE CORPORATION
0.43% $23,353,617.32 360,173
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ESSENTIAL PROPERTIES REALTY TRUST, INC.
0.43% $23,086,734.68 680,222
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Lumen Technologies, Inc.
0.43% $23,001,233.94 3,235,054
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VIAVI SOLUTIONS INC.
0.42% $22,740,360.81 765,411
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BRINKER INTERNATIONAL, INC
0.42% $22,573,675.80 152,319
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MOHAWK INDUSTRIES INC
0.41% $22,299,062.16 178,008
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CARMAX INC
0.40% $21,732,425.55 503,415
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Ryman Hospitality Properties, Inc.
0.39% $21,330,987.50 216,010
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Archrock, Inc.
0.39% $21,238,382.19 601,143
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VIASAT INC
0.39% $21,230,337.66 463,747
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Everus Construction Group, Inc.
0.39% $21,137,020.38 174,874
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SEALED AIR CORP
0.39% $21,123,685.68 504,386
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Madison Square Garden Sports Corp.
0.38% $20,426,276.08 61,588
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StoneX Group Inc.
0.38% $20,295,450.00 159,180
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BALCHEM CORP
0.37% $20,142,540.03 111,021
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GRANITE CONSTRUCTION INC
0.37% $20,118,577.50 149,625
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CASELLA WASTE SYSTEMS INC
0.37% $19,958,877.88 214,243
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LINCOLN NATIONAL CORP
0.37% $19,876,987.20 579,504
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Boot Barn Holdings, Inc.
0.37% $19,773,868.44 104,502
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Noble Corp plc
0.36% $19,541,260.20 430,140
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Enphase Energy, Inc.
0.35% $18,963,040.59 448,617
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PTC THERAPEUTICS, INC.
0.35% $18,766,160.76 275,204
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Celanese Corp
0.35% $18,745,478.40 375,360
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Enpro Inc.
0.35% $18,678,151.10 72,214
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