VBK

Vanguard Small-Cap Growth ETF

Up$183.74
+$1.79
(+0.98%)
As of 8:04:00 PM EDT | 10/15/19  |  Market Closed

VBK Trading Data

Open

$182.46

Low Price

$182.16

High Price

$184.2

Previous Last Price

$181.95

Bid Size

$0 X 0

Ask Size

$0 X 0

VBK Portfolio Data

AUM

$8,836,494,400

Shares

48,550

PE Ratio

28.6

Price / Book Ratio

3.5

Expense Ratio

0.07

Net Asset Value

$182.01

Volume

Volume

113,400

Avg. Volume (YDT)

173,514

Dollar Volume

$20,672,439

Weekly Avg. Volume

105,880

Monthly Avg. Volume

156,065

Quarterly Avg. Volume

162,548

VBK Fund Description

The Vanguard Small-Cap Growth ETF seeks to track the performance of the CRSP US Small Cap Growth Index

VBK Chart

VBK Summary

Fund Family

Vanguard Group

Tracks This Index

Vanguard Small-Cap Growth ETF

Inception Date

2004-01-26

Asset Class

Equity

Asset Class Size

Small Cap

VBK Classification

Region (General)

North America

Region (Specific)

US

Sector

Equity Index

Leveraged Family

VBK Holdings

Top 10 Holdings

MarketAxess Holdings Inc. (MKTX)
0.84%
Burlington Stores Inc. (BURL)
0.8%
Sun Communities Inc. (SUI)
0.75%
Teledyne Technologies Inc. (TDY)
0.66%
Roku Inc. (ROKU)
0.66%
Zebra Technologies Corp. (ZBRA)
0.66%
Equity LifeStyle Properties Inc. (ELS)
0.64%
West Pharmaceutical Services Inc. (WST)
0.63%
EPAM Systems Inc. (EPAM)
0.59%
Fair Isaac Corp. (FICO)
0.57%

Total VBK Holdings

Total Holdings: 613

MarketAxess Holdings Inc. (MKTX)
0.84%
Burlington Stores Inc. (BURL)
0.8%
Sun Communities Inc. (SUI)
0.75%
Teledyne Technologies Inc. (TDY)
0.66%
Roku Inc. (ROKU)
0.66%
Zebra Technologies Corp. (ZBRA)
0.66%
Equity LifeStyle Properties Inc. (ELS)
0.64%
West Pharmaceutical Services Inc. (WST)
0.63%
EPAM Systems Inc. (EPAM)
0.59%
Fair Isaac Corp. (FICO)
0.57%
Bright Horizons Family Solutions Inc. (BFAM)
0.57%
Lennox International Inc. (LII)
0.56%
RingCentral Inc. Class A (RNG)
0.56%
Tyler Technologies Inc. (TYL)
0.55%
Aspen Technology Inc. (AZPN)
0.55%
Insulet Corp. (PODD)
0.54%
Neurocrine Biosciences Inc. (NBIX)
0.54%
Trade Desk Inc. Class A (TTD)
0.53%
WEX Inc. (WEX)
0.52%
Zendesk Inc. (ZEN)
0.52%
Royal Gold Inc. (RGLD)
0.52%
Universal Display Corp. (OLED)
0.52%
Coupa Software Inc. (COUP)
0.5%
CyrusOne Inc. (CONE)
0.49%
Liberty Media Corp-Liberty Formula One (FWONK)
0.48%
Ionis Pharmaceuticals Inc. (IONS)
0.47%
HubSpot Inc. (HUBS)
0.47%
Kilroy Realty Corp. (KRC)
0.47%
Guidewire Software Inc. (GWRE)
0.46%
Exact Sciences Corp. (EXAS)
0.46%
Catalent Inc. (CTLT)
0.46%
STORE Capital Corp. (STOR)
0.45%
Graco Inc. (GGG)
0.45%
Euronet Worldwide Inc. (EEFT)
0.45%
Pool Corp. (POOL)
0.44%
Masimo Corp. (MASI)
0.44%
Toro Co. (TTC)
0.43%
Bio-Techne Corp. (TECH)
0.43%
Hexcel Corp. (HXL)
0.42%
Bio-Rad Laboratories Inc. Class A (BIO)
0.42%
Genpact Ltd. (G)
0.42%
Nordson Corp. (NDSN)
0.42%
Post Holdings Inc. (POST)
0.41%
Novocure Ltd. (NVCR)
0.41%
Americold Realty Trust (COLD)
0.41%
Five Below Inc. (FIVE)
0.41%
Chemed Corp. (CHE)
0.41%
Haemonetics Corp. (HAE)
0.41%
Douglas Emmett Inc. (DEI)
0.4%
PTC Inc. (PTC)
0.4%
Dunkin Brands Group Inc. (DNKN)
0.4%
Gentex Corp. (GNTX)
0.4%
CubeSmart (CUBE)
0.4%
HD Supply Holdings Inc. (HDS)
0.39%
Cable One Inc. (CABO)
0.39%
Okta Inc. (OKTA)
0.39%
Caesars Entertainment Corp. (CZR)
0.39%
Lamar Advertising Co. Class A (LAMR)
0.39%
STERIS plc (STE)
0.39%
American Homes 4 Rent Class A (AMH)
0.39%
Ciena Corp. (CIEN)
0.38%
American Campus Communities Inc. (ACC)
0.38%
Sarepta Therapeutics Inc. (SRPT)
0.38%
Proofpoint Inc. (PFPT)
0.37%
Paycom Software Inc. (PAYC)
0.37%
Monolithic Power Systems Inc. (MPWR)
0.37%
Caseys General Stores Inc. (CASY)
0.36%
Middleby Corp. (MIDD)
0.36%
Grand Canyon Education Inc. (LOPE)
0.36%
Etsy Inc. (ETSY)
0.36%
Woodward Inc. (WWD)
0.36%
Exelixis Inc. (EXEL)
0.35%
Alteryx Inc. Class A (AYX)
0.35%
Planet Fitness Inc. Class A (PLNT)
0.35%
GCI Liberty Inc. Class A (GLIBA)
0.35%
PRA Health Sciences Inc. (PRAH)
0.35%
Healthcare Trust of America Inc. Class A (HTA)
0.34%
Entegris Inc. (ENTG)
0.34%
Versum Materials Inc. (VSM)
0.34%
Jack Henry & Associates Inc. (JKHY)
0.34%
BWX Technologies Inc. (BWXT)
0.33%
Credit Acceptance Corp. (CACC)
0.33%
Vanguard Market Liquidity Fund
0.33%
Medidata Solutions Inc. (MDSO)
0.32%
GrubHub Inc. (GRUB)
0.32%
MongoDB Inc. (MDB)
0.32%
Manhattan Associates Inc. (MANH)
0.32%
Watsco Inc. (WSO)
0.31%
National Instruments Corp. (NATI)
0.31%
Hudson Pacific Properties Inc. (HPP)
0.31%
Howard Hughes Corp. (HHC)
0.31%
Berry Global Group Inc. (BERY)
0.3%
RealPage Inc. (RP)
0.3%
Horizon Therapeutics plc (HZNP)
0.3%
Trex Co. Inc. (TREX)
0.3%
VICI Properties Inc. (VICI)
0.29%
MAXIMUS Inc. (MMS)
0.29%
DocuSign Inc. Class A (DOCU)
0.29%
Anaplan Inc. (PLAN)
0.28%
Zynga Inc. Class A (ZNGA)
0.28%
Parsley Energy Inc. Class A (PE)
0.28%
Vail Resorts Inc. (MTN)
0.28%
Spirit Realty Capital Inc. (SRC)
0.28%
Silicon Laboratories Inc. (SLAB)
0.28%
NRG Energy Inc. (NRG)
0.28%
Madison Square Garden Co. Class A (MSG)
0.27%
Rexford Industrial Realty Inc. (REXR)
0.27%
ViaSat Inc. (VSAT)
0.27%
Penumbra Inc. (PEN)
0.27%
WPX Energy Inc. (WPX)
0.27%
Essent Group Ltd. (ESNT)
0.27%
Ceridian HCM Holding Inc. (CDAY)
0.27%
Cree Inc. (CREE)
0.27%
Six Flags Entertainment Corp. (SIX)
0.27%
Landstar System Inc. (LSTR)
0.27%
Chegg Inc. (CHGG)
0.26%
Blackbaud Inc. (BLKB)
0.26%
Mercury Systems Inc. (MRCY)
0.26%
Bruker Corp. (BRKR)
0.26%
Air Lease Corp. Class A (AL)
0.26%
Syneos Health Inc. (SYNH)
0.26%
frontdoor Inc. (FTDR)
0.26%
CoreSite Realty Corp. (COR)
0.26%
Omega Healthcare Investors Inc. (OHI)
0.26%
Healthcare Realty Trust Inc. (HR)
0.26%
Nexstar Media Group Inc. Class A (NXST)
0.26%
NewMarket Corp. (NEU)
0.25%
Lumentum Holdings Inc. (LITE)
0.25%
MKS Instruments Inc. (MKSI)
0.25%
Skechers U.S.A. Inc. Class A (SKX)
0.25%
Smartsheet Inc. Class A (SMAR)
0.25%
Churchill Downs Inc. (CHDN)
0.25%
Carters Inc. (CRI)
0.24%
HealthEquity Inc. (HQY)
0.24%
Knight-Swift Transportation Holdings Inc. (KNX)
0.24%
Amedisys Inc. (AMED)
0.24%
Integra LifeSciences Holdings Corp. (IART)
0.24%
Zillow Group Inc. (Z)
0.24%
Western Alliance Bancorp (WAL)
0.24%
Medical Properties Trust Inc. (MPW)
0.24%
Brunswick Corp./DE (BC)
0.24%
FirstCash Inc. (FCFS)
0.24%
Tandem Diabetes Care Inc. (TNDM)
0.24%
Bluebird Bio Inc. (BLUE)
0.24%
Marriott Vacations Worldwide Corp. (VAC)
0.24%
Repligen Corp. (RGEN)
0.23%
Avantor Inc. (AVTR)
0.23%
HEICO Corp. Class A (HEI.A)
0.23%
j2 Global Inc. (JCOM)
0.23%
Teladoc Health Inc. (TDOC)
0.23%
Insperity Inc. (NSP)
0.23%
Globus Medical Inc. (GMED)
0.23%
Helmerich & Payne Inc. (HP)
0.23%
RBC Bearings Inc. (ROLL)
0.23%
ServiceMaster Global Holdings Inc. (SERV)
0.23%
Molina Healthcare Inc. (MOH)
0.23%
Pinnacle Financial Partners Inc. (PNFP)
0.23%
Zscaler Inc. (ZS)
0.23%
Q2 Holdings Inc. (QTWO)
0.22%
Dolby Laboratories Inc. Class A (DLB)
0.22%
Gardner Denver Holdings Inc. (GDI)
0.22%
Pure Storage Inc. Class A (PSTG)
0.22%
Clean Harbors Inc. (CLH)
0.22%
Eagle Materials Inc. (EXP)
0.22%
Ryman Hospitality Properties Inc. (RHP)
0.22%
Aerojet Rocketdyne Holdings Inc. (AJRD)
0.22%
Cognex Corp. (CGNX)
0.22%
Neogen Corp. (NEOG)
0.22%
Exponent Inc. (EXPO)
0.22%
Littelfuse Inc. (LFUS)
0.22%
Boston Beer Co. Inc. Class A (SAM)
0.22%
Cabot Microelectronics Corp. (CCMP)
0.22%
STAG Industrial Inc. (STAG)
0.21%
Hill-Rom Holdings Inc. (HRC)
0.21%
Tempur Sealy International Inc. (TPX)
0.21%
Five9 Inc. (FIVN)
0.21%
Blueprint Medicines Corp. (BPMC)
0.21%
LHC Group Inc. (LHCG)
0.21%
Axon Enterprise Inc. (AAXN)
0.21%
Texas Roadhouse Inc. Class A (TXRH)
0.21%
Coherent Inc. (COHR)
0.21%
Paylocity Holding Corp. (PCTY)
0.2%
FibroGen Inc. (FGEN)
0.2%
Nutanix Inc. (NTNX)
0.2%
PS Business Parks Inc. (PSB)
0.2%
Spark Therapeutics Inc. (ONCE)
0.2%
LogMeIn Inc. (LOGM)
0.2%
FLIR Systems Inc. (FLIR)
0.2%
Choice Hotels International Inc. (CHH)
0.2%
NuVasive Inc. (NUVA)
0.19%
AO Smith Corp. (AOS)
0.19%
Alkermes plc (ALKS)
0.19%
Cantel Medical Corp. (CMD)
0.19%
Physicians Realty Trust (DOC)
0.19%
SiteOne Landscape Supply Inc. (SITE)
0.19%
Ingevity Corp. (NGVT)
0.19%
Charles River Laboratories International Inc. (CRL)
0.19%
World Wrestling Entertainment Inc. Class A (WWE)
0.19%
TopBuild Corp. (BLD)
0.19%
HMS Holdings Corp. (HMSY)
0.19%
Morningstar Inc. (MORN)
0.19%
Terreno Realty Corp. (TRNO)
0.19%
Bank OZK (OZK)
0.19%
ICU Medical Inc. (ICUI)
0.19%
ASGN Inc. (ASGN)
0.19%
Floor & Decor Holdings Inc. Class A (FND)
0.19%
ACI Worldwide Inc. (ACIW)
0.19%
John Bean Technologies Corp. (JBT)
0.18%
Hilton Grand Vacations Inc. (HGV)
0.18%
Ormat Technologies Inc. (ORA)
0.18%
Signature Bank/New York NY (SBNY)
0.18%
Ollies Bargain Outlet Holdings Inc. (OLLI)
0.18%
Ultragenyx Pharmaceutical Inc. (RARE)
0.18%
Medicines Co. (MDCO)
0.18%
CenterState Bank Corp. (CSFL)
0.18%
HEICO Corp. (HEI)
0.17%
Wingstop Inc. (WING)
0.17%
J&J Snack Foods Corp. (JJSF)
0.17%
Balchem Corp. (BCPC)
0.17%
New Relic Inc. (NEWR)
0.17%
Everbridge Inc. (EVBG)
0.17%
Envestnet Inc. (ENV)
0.17%
Paramount Group Inc. (PGRE)
0.17%
Guardant Health Inc. (GH)
0.17%
ACADIA Pharmaceuticals Inc. (ACAD)
0.17%
Evercore Inc. Class A (EVR)
0.17%
Omnicell Inc. (OMCL)
0.17%
TriNet Group Inc. (TNET)
0.17%
Erie Indemnity Co. Class A (ERIE)
0.17%
Cornerstone OnDemand Inc. (CSOD)
0.17%
Pegasystems Inc. (PEGA)
0.16%
AMN Healthcare Services Inc. (AMN)
0.16%
Texas Capital Bancshares Inc. (TCBI)
0.16%
QTS Realty Trust Inc. Class A (QTS)
0.16%
FireEye Inc. (FEYE)
0.16%
Qualys Inc. (QLYS)
0.16%
Pattern Energy Group Inc. Class A (PEGI)
0.16%
Shake Shack Inc. Class A (SHAK)
0.16%
Transocean Ltd. (RIG)
0.16%
CDK Global Inc. (CDK)
0.16%
Ensign Group Inc. (ENSG)
0.16%
Inphi Corp. (IPHI)
0.16%
Wright Medical Group NV (WMGI)
0.16%
Global Blood Therapeutics Inc. (GBT)
0.15%
Fox Factory Holding Corp. (FOXF)
0.15%
Lattice Semiconductor Corp. (LSCC)
0.15%
Simpson Manufacturing Co. Inc. (SSD)
0.15%
Steven Madden Ltd. (SHOO)
0.15%
Cogent Communications Holdings Inc. (CCOI)
0.15%
Life Storage Inc. (LSI)
0.15%
WD-40 Co. (WDFC)
0.15%
Albany International Corp. Class A (AIN)
0.15%
RH (RH)
0.15%
Novanta Inc. (NOVT)
0.15%
Yelp Inc. Class A (YELP)
0.15%
Allegheny Technologies Inc. (ATI)
0.15%
PTC Therapeutics Inc. (PTCT)
0.15%
Itron Inc. (ITRI)
0.15%
Cimpress NV (CMPR)
0.15%
Power Integrations Inc. (POWI)
0.15%
Rogers Corp. (ROG)
0.15%
Monro Inc. (MNRO)
0.14%
Amicus Therapeutics Inc. (FOLD)
0.14%
Nevro Corp. (NVRO)
0.14%
Proto Labs Inc. (PRLB)
0.14%
LendingTree Inc. (TREE)
0.14%
Brooks Automation Inc. (BRKS)
0.14%
Summit Materials Inc. Class A (SUM)
0.14%
Advanced Disposal Services Inc. (ADSW)
0.14%
Rapid7 Inc. (RPD)
0.14%
Ameris Bancorp (ABCB)
0.14%
Allakos Inc. (ALLK)
0.14%
Armstrong World Industries Inc. (AWI)
0.14%
LivePerson Inc. (LPSN)
0.14%
Acacia Communications Inc. (ACIA)
0.14%
Sothebys (BID)
0.14%
II-VI Inc. (IIVI)
0.13%
Quidel Corp. (QDEL)
0.13%
CareTrust REIT Inc. (CTRE)
0.13%
Eldorado Resorts Inc. (ERI)
0.13%
Glaukos Corp. (GKOS)
0.13%
MyoKardia Inc. (MYOK)
0.13%
Cargurus Inc. (CARG)
0.13%
Saia Inc. (SAIA)
0.13%
Chart Industries Inc. (GTLS)
0.13%
ExlService Holdings Inc. (EXLS)
0.13%
National Vision Holdings Inc. (EYE)
0.13%
Colony Capital Inc. (CLNY)
0.13%
Element Solutions Inc. (ESI)
0.13%
Medpace Holdings Inc. (MEDP)
0.13%
Halozyme Therapeutics Inc. (HALO)
0.13%
Cimarex Energy Co. (XEC)
0.13%
Jack in the Box Inc. (JACK)
0.13%
Portola Pharmaceuticals Inc. (PTLA)
0.12%
PDC Energy Inc. (PDCE)
0.12%
Blackline Inc. (BL)
0.12%
Immunomedics Inc. (IMMU)
0.12%
Kirby Corp. (KEX)
0.12%
Cubic Corp. (CUB)
0.12%
Box Inc. (BOX)
0.12%
Covanta Holding Corp. (CVA)
0.12%
Sprouts Farmers Market Inc. (SFM)
0.12%
Retail Opportunity Investments Corp. (ROIC)
0.12%
Apergy Corp. (APY)
0.12%
Acceleron Pharma Inc. (XLRN)
0.12%
LCI Industries (LCII)
0.12%
Antero Midstream Corp. (AM)
0.12%
Welbilt Inc. (WBT)
0.12%
Dorman Products Inc. (DORM)
0.12%
Genomic Health Inc. (GHDX)
0.12%
Sterling Bancorp/DE (STL)
0.12%
Advanced Energy Industries Inc. (AEIS)
0.12%
Varonis Systems Inc. (VRNS)
0.12%
Sabra Health Care REIT Inc. (SBRA)
0.12%
Tradeweb Markets Inc. Class A (TW)
0.12%
LegacyTexas Financial Group Inc. (LTXB)
0.12%
SailPoint Technologies Holding Inc. (SAIL)
0.11%
Emergent BioSolutions Inc. (EBS)
0.11%
Agios Pharmaceuticals Inc. (AGIO)
0.11%
Carvana Co. Class A (CVNA)
0.11%
Boyd Gaming Corp. (BYD)
0.11%
iRhythm Technologies Inc. (IRTC)
0.11%
Allegiant Travel Co. Class A (ALGT)
0.11%
AAON Inc. (AAON)
0.11%
Natera Inc. (NTRA)
0.11%
Franklin Electric Co. Inc. (FELE)
0.11%
CommVault Systems Inc. (CVLT)
0.11%
Merit Medical Systems Inc. (MMSI)
0.11%
Forward Air Corp. (FWRD)
0.11%
Bottomline Technologies DE Inc. (EPAY)
0.11%
Pebblebrook Hotel Trust (PEB)
0.11%
Xencor Inc. (XNCR)
0.11%
Pacific Premier Bancorp Inc. (PPBI)
0.11%
Core Laboratories NV (CLB)
0.1%
Strategic Education Inc. (STRA)
0.1%
Shutterfly Inc. (SFLY)
0.1%
Alarm.com Holdings Inc. (ALRM)
0.1%
Matador Resources Co. (MTDR)
0.1%
Ambarella Inc. (AMBA)
0.1%
Towne Bank/Portsmouth VA (TOWN)
0.1%
Patterson-UTI Energy Inc. (PTEN)
0.1%
Intercept Pharmaceuticals Inc. (ICPT)
0.1%
Healthcare Services Group Inc. (HCSG)
0.1%
Cloudera Inc. (CLDR)
0.1%
Mueller Water Products Inc. Class A (MWA)
0.1%
PROS Holdings Inc. (PRO)
0.1%
iRobot Corp. (IRBT)
0.1%
Arrowhead Pharmaceuticals Inc. (ARWR)
0.1%
Moelis & Co. Class A (MC)
0.09%
Independent Bank Group Inc. (IBTX)
0.09%
Intelsat SA (I)
0.09%
Ligand Pharmaceuticals Inc. (LGND)
0.09%
Dave & Busters Entertainment Inc. (PLAY)
0.09%
InterDigital Inc. (IDCC)
0.09%
Coca-Cola Consolidated Inc. (COKE)
0.09%
Univar Solutions Inc. (UNVR)
0.09%
Ubiquiti Inc. (UI)
0.09%
Nektar Therapeutics Class A (NKTR)
0.09%
Badger Meter Inc. (BMI)
0.09%
Sunrun Inc. (RUN)
0.09%
Diodes Inc. (DIOD)
0.09%
Shenandoah Telecommunications Co. (SHEN)
0.09%
Red Rock Resorts Inc. Class A (RRR)
0.09%
Green Dot Corp. Class A (GDOT)
0.09%
Pacira BioSciences Inc. (PCRX)
0.09%
Cray Inc. (CRAY)
0.09%
Insmed Inc. (INSM)
0.09%
Lancaster Colony Corp. (LANC)
0.08%
Virtu Financial Inc. Class A (VIRT)
0.08%
Zillow Group Inc. Class A (ZG)
0.08%
Semtech Corp. (SMTC)
0.08%
Weight Watchers International Inc. (WW)
0.08%
Heron Therapeutics Inc. (HRTX)
0.08%
ServisFirst Bancshares Inc. (SFBS)
0.08%
Ironwood Pharmaceuticals Inc. Class A (IRWD)
0.08%
Crocs Inc. (CROX)
0.08%
Newmark Group Inc. Class A (NMRK)
0.08%
Axos Financial Inc. (AX)
0.08%
NeoGenomics Inc. (NEO)
0.08%
Home BancShares Inc./AR (HOMB)
0.08%
Supernus Pharmaceuticals Inc. (SUPN)
0.08%
NIC Inc. (EGOV)
0.08%
Appfolio Inc. (APPF)
0.08%
Dycom Industries Inc. (DY)
0.08%
Eagle Bancorp Inc. (EGBN)
0.08%
Arena Pharmaceuticals Inc. (ARNA)
0.08%
Radius Health Inc. (RDUS)
0.08%
Columbia Sportswear Co. (COLM)
0.08%
EnPro Industries Inc. (NPO)
0.08%
Corcept Therapeutics Inc. (CORT)
0.08%
Uniti Group Inc. (UNIT)
0.08%
Masonite International Corp. (DOOR)
0.08%
Kennedy-Wilson Holdings Inc. (KW)
0.08%
Cohen & Steers Inc. (CNS)
0.07%
BioTelemetry Inc. (BEAT)
0.07%
Hamilton Lane Inc. Class A (HLNE)
0.07%
MaxLinear Inc. (MXL)
0.07%
Momenta Pharmaceuticals Inc. (MNTA)
0.07%
Gentherm Inc. (THRM)
0.07%
TerraForm Power Inc. Class A (TERP)
0.07%
Helios Technologies Inc. (HLIO)
0.07%
SRC Energy Inc. (SRCI)
0.07%
Redfin Corp. (RDFN)
0.07%
Yext Inc. (YEXT)
0.07%
Kite Realty Group Trust (KRG)
0.07%
MicroStrategy Inc. Class A (MSTR)
0.07%
Sleep Number Corp. (SNBR)
0.07%
Kratos Defense & Security Solutions Inc. (KTOS)
0.07%
Installed Building Products Inc. (IBP)
0.07%
Cactus Inc. Class A (WHD)
0.07%
Tennant Co. (TNC)
0.07%
Inovalon Holdings Inc. Class A (INOV)
0.07%
Editas Medicine Inc. (EDIT)
0.07%
Advanced Drainage Systems Inc. (WMS)
0.07%
American Assets Trust Inc. (AAT)
0.07%
Air Transport Services Group Inc. (ATSG)
0.07%
2U Inc. (TWOU)
0.07%
REGENXBIO Inc. (RGNX)
0.07%
Builders FirstSource Inc. (BLDR)
0.07%
Acadia Healthcare Co. Inc. (ACHC)
0.07%
AeroVironment Inc. (AVAV)
0.07%
Carbon Black Inc. (CBLK)
0.07%
Simmons First National Corp. Class A (SFNC)
0.07%
AZZ Inc. (AZZ)
0.06%
Altair Engineering Inc. Class A (ALTR)
0.06%
Evoqua Water Technologies Corp. (AQUA)
0.06%
Stamps.com Inc. (STMP)
0.06%
Raven Industries Inc. (RAVN)
0.06%
Plantronics Inc. (PLT)
0.06%
Kearny Financial Corp./MD (KRNY)
0.06%
Scientific Games Corp. (SGMS)
0.06%
Evo Payments Inc. Class A (EVOP)
0.06%
Switch Inc. (SWCH)
0.06%
Epizyme Inc. (EPZM)
0.06%
Cambrex Corp. (CBM)
0.06%
TFS Financial Corp. (TFSL)
0.06%
Liberty Media Corp-Liberty Formula One Class A (FWONA)
0.06%
Lindsay Corp. (LNN)
0.06%
USANA Health Sciences Inc. (USNA)
0.06%
Apogee Enterprises Inc. (APOG)
0.06%
Callon Petroleum Co. (CPE)
0.06%
Upwork Inc. (UPWK)
0.06%
Fabrinet (FN)
0.05%
Theravance Biopharma Inc. (TBPH)
0.05%
Heartland Express Inc. (HTLD)
0.05%
Infinera Corp. (INFN)
0.05%
Orthofix Medical Inc. (OFIX)
0.05%
Centennial Resource Development Inc./DE Class A (CDEV)
0.05%
Livent Corp. (LTHM)
0.05%
Houlihan Lokey Inc. Class A (HLI)
0.05%
Continental Building Products Inc. (CBPX)
0.05%
Luminex Corp. (LMNX)
0.05%
Inogen Inc. (INGN)
0.05%
National Bank Holdings Corp. Class A (NBHC)
0.05%
Marcus & Millichap Inc. (MMI)
0.05%
FARO Technologies Inc. (FARO)
0.05%
Tricida Inc. (TCDA)
0.05%
Callaway Golf Co. (ELY)
0.05%
Tivity Health Inc. (TVTY)
0.05%
Aimmune Therapeutics Inc. (AIMT)
0.05%
SEACOR Holdings Inc. (CKH)
0.05%
Stitch Fix Inc. Class A (SFIX)
0.05%
Cavco Industries Inc. (CVCO)
0.05%
SeaWorld Entertainment Inc. (SEAS)
0.05%
SolarWinds Corp. (SWI)
0.05%
CorVel Corp. (CRVL)
0.05%
Alexanders Inc. (ALX)
0.05%
3D Systems Corp. (DDD)
0.05%
BJs Restaurants Inc. (BJRI)
0.05%
Ebix Inc. (EBIX)
0.05%
Allscripts Healthcare Solutions Inc. (MDRX)
0.05%
Verra Mobility Corp. Class A (VRRM)
0.04%
Innoviva Inc. (INVA)
0.04%
US Silica Holdings Inc. (SLCA)
0.04%
Spectrum Pharmaceuticals Inc. (SPPI)
0.04%
Carrizo Oil & Gas Inc. (CRZO)
0.04%
YETI Holdings Inc. (YETI)
0.04%
Comfort Systems USA Inc. (FIX)
0.04%
RMR Group Inc. Class A (RMR)
0.04%
GrafTech International Ltd. (EAF)
0.04%
Thermon Group Holdings Inc. (THR)
0.04%
Sonos Inc. (SONO)
0.04%
Benefitfocus Inc. (BNFT)
0.04%
Fitbit Inc. Class A (FIT)
0.04%
Shutterstock Inc. (SSTK)
0.04%
PriceSmart Inc. (PSMT)
0.04%
Parsons Corp. (PSN)
0.04%
EW Scripps Co. Class A (SSP)
0.04%
OPKO Health Inc. (OPK)
0.04%
STAAR Surgical Co. (STAA)
0.04%
Focus Financial Partners Inc. Class A (FOCS)
0.04%
Interface Inc. Class A (TILE)
0.04%
Granite Construction Inc. (GVA)
0.04%
Vector Group Ltd. (VGR)
0.04%
HealthStream Inc. (HSTM)
0.04%
Tenable Holdings Inc. (TENB)
0.04%
CEVA Inc. (CEVA)
0.04%
Alder Biopharmaceuticals Inc. (ALDR)
0.04%
Eventbrite Inc. Class A (EB)
0.04%
FormFactor Inc. (FORM)
0.04%
Tellurian Inc. (TELL)
0.04%
ANGI Homeservices Inc. Class A (ANGI)
0.04%
WisdomTree Investments Inc. (WETF)
0.04%
Sangamo Therapeutics Inc. (SGMO)
0.04%
Cision Ltd. (CISN)
0.04%
American Woodmark Corp. (AMWD)
0.04%
Groupon Inc. Class A (GRPN)
0.04%
ATN International Inc. (ATNI)
0.04%
Universal Health Realty Income Trust (UHT)
0.04%
St. Joe Co. (JOE)
0.03%
Achillion Pharmaceuticals Inc. (ACHN)
0.03%
PQ Group Holdings Inc. (PQG)
0.03%
Allogene Therapeutics Inc. (ALLO)
0.03%
Newpark Resources Inc. (NR)
0.03%
JELD-WEN Holding Inc. (JELD)
0.03%
Medifast Inc. (MED)
0.03%
Quanex Building Products Corp. (NX)
0.03%
Oxford Industries Inc. (OXM)
0.03%
Magnolia Oil & Gas Corp. Class A (MGY)
0.03%
Methode Electronics Inc. (MEI)
0.03%
Quotient Technology Inc. (QUOT)
0.03%
Inter Parfums Inc. (IPAR)
0.03%
Front Yard Residential Corp. (RESI)
0.03%
New Senior Investment Group Inc. (SNR)
0.03%
Evolent Health Inc. Class A (EVH)
0.03%
Papa Johns International Inc. (PZZA)
0.03%
Varex Imaging Corp. (VREX)
0.03%
Oasis Petroleum Inc. (OAS)
0.03%
Herc Holdings Inc. (HRI)
0.03%
Virtusa Corp. (VRTU)
0.03%
Gorman-Rupp Co. (GRC)
0.03%
Coeur Mining Inc. (CDE)
0.03%
Dynatrace Inc. (DT)
0.03%
Intellia Therapeutics Inc. (NTLA)
0.03%
Loral Space & Communications Inc. (LORL)
0.03%
National Beverage Corp. (FIZZ)
0.03%
Esperion Therapeutics Inc. (ESPR)
0.03%
MACOM Technology Solutions Holdings Inc. (MTSI)
0.03%
Natus Medical Inc. (NTUS)
0.03%
Veeco Instruments Inc. (VECO)
0.03%
Liberty Oilfield Services Inc. Class A (LBRT)
0.03%
Pagerduty Inc. (PD)
0.03%
GTT Communications Inc. (GTT)
0.03%
ProPetro Holding Corp. (PUMP)
0.03%
Intrexon Corp. (XON)
0.02%
ZIOPHARM Oncology Inc. (ZIOP)
0.02%
Ferro Corp. (FOE)
0.02%
Gossamer Bio Inc. (GOSS)
0.02%
Fastly Inc. Class A (FSLY)
0.02%
Extraction Oil & Gas Inc. (XOG)
0.02%
Antero Resources Corp. (AR)
0.02%
Akcea Therapeutics Inc. (AKCA)
0.02%
TrueCar Inc. (True)
0.02%
Endurance International Group Holdings Inc. (EIGI)
0.02%
Jagged Peak Energy Inc. (JAG)
0.02%
American Vanguard Corp. (AVD)
0.02%
Forrester Research Inc. (FORR)
0.02%
GreenSky Inc. Class A (GSKY)
0.02%
Puma Biotechnology Inc. (PBYI)
0.02%
Grocery Outlet Holding Corp. (GO)
0.02%
nLight Inc. (LASR)
0.02%
Astronics Corp. (ATRO)
0.02%
Medallia Inc. (MDLA)
0.02%
At Home Group Inc. (HOME)
0.02%
Adaptive Biotechnologies Corp. (ADPT)
0.02%
Atara Biotherapeutics Inc. (ATRA)
0.02%
Rubius Therapeutics Inc. (RUBY)
0.02%
TherapeuticsMD Inc. (TXMD)
0.02%
Shockwave Medical Inc. (SWAV)
0.02%
Vicor Corp. (VICR)
0.02%
Change Healthcare Inc. (CHNG)
0.02%
MobileIron Inc. (MOBL)
0.02%
Clovis Oncology Inc. (CLVS)
0.02%
Mistras Group Inc. (MG)
0.02%
Bridgebio Pharma Inc. (BBIO)
0.02%
United States Treasury Bill
0.02%
GoPro Inc. Class A (GPRO)
0.01%
Keane Group Inc. (FRAC)
0.01%
Laredo Petroleum Inc. (LPI)
0.01%
Globalstar Inc. (GSAT)
0.01%
Bloom Energy Corp. Class A (BE)
0.01%
Gogo Inc. (GOGO)
0.01%
Sciplay Corp. Class A (SCPL)
0.01%
Livongo Health Inc. (LVGO)
0.01%
elf Beauty Inc. (ELF)
0.01%
Meridian Bioscience Inc. (VIVO)
0.01%
AMAG Pharmaceuticals Inc. (AMAG)
0.01%
Vivint Solar Inc. (VSLR)
0.01%
Alector Inc. (ALEC)
0.01%
REV Group Inc. (REVG)
0.01%
Exterran Corp. (EXTN)
0.01%
Acorda Therapeutics Inc. (ACOR)
0.01%
Assetmark Financial Holdings Inc. (AMK)
0.01%
WideOpenWest Inc. (WOW)
0.01%
Health Catalyst Inc. (HCAT)
0.01%
Amneal Pharmaceuticals Inc. (AMRX)
0.01%
Revolve Group Inc. (RVLV)
0.01%
Lumber Liquidators Holdings Inc. (LL)
0.01%
Castlight Health Inc. Class B (CSLT)
0.01%
Cincinnati Bell Inc. (CBB)
0.01%
RealReal Inc. (REAL)
0.01%
GAMCO Investors Inc. Class A (GBL)
0.01%
Revlon Inc. Class A (REV)
0.01%
FTS International Inc. (FTSI)
0.01%
SecureWorks Corp. Class A (SCWX)
0.01%
Vanguard Small-Cap Growth ETF (VBK)
0%
Forum Energy Technologies Inc. (FET)
0%
Lexicon Pharmaceuticals Inc. (LXRX)
0%
Moderna Inc. (MRNA)
0%
Covia Holdings Corp. (CVIA)
0%
Roan Resources Inc. (ROAN)
0%
0%
Vanguard Small-Cap Growth ETF (VBK.N)
0%

VBK Technicals

Alpha

-0.99

Beta

1.14

Leverage

Long

Standard Deviation

10.79

VBK Dividends

Dividend Date

2019-09-16

Latest Dividend

0.211

Annual Dividend

1.12

Annual Dividend Rate

1.12

Annual Dividend Yield

0.62

VBK Performance

YTD Return

22.01%

1 Year Return

7.96%

3 Year Return

43.96%

5 Year Return

52.71%

10 Year Return

239.46%

VBK Related Articles

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