VIOG

Vanguard S&P Small-Cap 600 Growth ETF

Down$154.78
$-0.90
(-0.58%)
As of 12:00:00 AM EDT | 10/18/19  |  Market Closed

VIOG Trading Data

Open

$154.96

Low Price

$153.76

High Price

$155.69

Previous Last Price

$155.68

Bid Size

$0 X 0

Ask Size

$0 X 0

VIOG Portfolio Data

AUM

$389,150,000

Shares

2,500

PE Ratio

22.6

Price / Book Ratio

2.6

Expense Ratio

0.2

Net Asset Value

$155.66

Volume

Volume

6,900

Avg. Volume (YDT)

8,967

Dollar Volume

$0

Weekly Avg. Volume

9,080

Monthly Avg. Volume

9,280

Quarterly Avg. Volume

8,182

VIOG Fund Description

The Vanguard SP Small-Cap 600 Growth ETF seeks to track the performance of the SP Small-Cap 600 Growth Index.

VIOG Chart

VIOG Summary

Fund Family

Vanguard Group

Tracks This Index

Vanguard S&P Small-Cap 600 Growth ETF

Inception Date

2010-09-09

Asset Class

Equity

Asset Class Size

Small Cap

VIOG Classification

Region (General)

North America

Region (Specific)

US

Sector

Equity Index

S&P SmallCap 600

Leveraged Family

VIOG Holdings

Top 10 Holdings

FirstCash Inc. (FCFS)
1.17%
Repligen Corp. (RGEN)
1.14%
Aerojet Rocketdyne Holdings Inc. (AJRD)
1.04%
Strategic Education Inc. (STRA)
1.02%
Exponent Inc. (EXPO)
1.01%
Neogen Corp. (NEOG)
1.01%
Cabot Microelectronics Corp. (CCMP)
1%
RLI Corp. (RLI)
0.99%
Glacier Bancorp Inc. (GBCI)
0.93%
Arrowhead Pharmaceuticals Inc. (ARWR)
0.89%

Total VIOG Holdings

Total Holdings: 338

FirstCash Inc. (FCFS)
1.17%
Repligen Corp. (RGEN)
1.14%
Aerojet Rocketdyne Holdings Inc. (AJRD)
1.04%
Strategic Education Inc. (STRA)
1.02%
Exponent Inc. (EXPO)
1.01%
Neogen Corp. (NEOG)
1.01%
Cabot Microelectronics Corp. (CCMP)
1%
RLI Corp. (RLI)
0.99%
Glacier Bancorp Inc. (GBCI)
0.93%
Arrowhead Pharmaceuticals Inc. (ARWR)
0.89%
HMS Holdings Corp. (HMSY)
0.87%
Viavi Solutions Inc. (VIAV)
0.87%
Community Bank System Inc. (CBU)
0.86%
Agree Realty Corp. (ADC)
0.86%
Selective Insurance Group Inc. (SIGI)
0.84%
UniFirst Corp./MA (UNF)
0.83%
Omnicell Inc. (OMCL)
0.81%
Wingstop Inc. (WING)
0.81%
Mercury Systems Inc. (MRCY)
0.78%
Fox Factory Holding Corp. (FOXF)
0.76%
AMN Healthcare Services Inc. (AMN)
0.75%
CONMED Corp. (CNMD)
0.72%
Shake Shack Inc. Class A (SHAK)
0.71%
Monro Inc. (MNRO)
0.71%
NeoGenomics Inc. (NEO)
0.7%
Proto Labs Inc. (PRLB)
0.7%
WD-40 Co. (WDFC)
0.69%
Old National Bancorp/IN (ONB)
0.69%
Albany International Corp. Class A (AIN)
0.69%
Ensign Group Inc. (ENSG)
0.68%
SolarEdge Technologies Inc. (SEDG)
0.66%
Brooks Automation Inc. (BRKS)
0.66%
8x8 Inc. (EGHT)
0.64%
Iridium Communications Inc. (IRDM)
0.64%
Independent Bank Corp. (INDB)
0.64%
American States Water Co. (AWR)
0.64%
CareTrust REIT Inc. (CTRE)
0.62%
LHC Group Inc. (LHCG)
0.61%
Medicines Co. (MDCO)
0.6%
Integer Holdings Corp. (ITGR)
0.6%
Medpace Holdings Inc. (MEDP)
0.58%
Dorman Products Inc. (DORM)
0.57%
Quaker Chemical Corp. (KWR)
0.56%
Innospec Inc. (IOSP)
0.56%
ESCO Technologies Inc. (ESE)
0.54%
FTI Consulting Inc. (FCN)
0.54%
Four Corners Property Trust Inc. (FCPT)
0.54%
Avon Products Inc. (AVP)
0.53%
Merit Medical Systems Inc. (MMSI)
0.53%
National Storage Affiliates Trust (NSA)
0.52%
LegacyTexas Financial Group Inc. (LTXB)
0.5%
Allegiant Travel Co. Class A (ALGT)
0.5%
SPS Commerce Inc. (SPSC)
0.5%
Vanguard Market Liquidity Fund
0.5%
Xencor Inc. (XNCR)
0.49%
J&J Snack Foods Corp. (JJSF)
0.49%
Franklin Electric Co. Inc. (FELE)
0.49%
iRobot Corp. (IRBT)
0.48%
US Physical Therapy Inc. (USPH)
0.47%
Cogent Communications Holdings Inc. (CCOI)
0.47%
Cardiovascular Systems Inc. (CSII)
0.46%
John Bean Technologies Corp. (JBT)
0.46%
SPX Corp. (SPXC)
0.46%
Westamerica Bancorporation (WABC)
0.46%
Rogers Corp. (ROG)
0.45%
Qualys Inc. (QLYS)
0.45%
Power Integrations Inc. (POWI)
0.44%
Easterly Government Properties Inc. (DEA)
0.44%
Redwood Trust Inc. (RWT)
0.44%
Kontoor Brands Inc. (KTB)
0.44%
eHealth Inc. (EHTH)
0.44%
Brady Corp. Class A (BRC)
0.43%
Balchem Corp. (BCPC)
0.43%
Cavco Industries Inc. (CVCO)
0.43%
Dave & Busters Entertainment Inc. (PLAY)
0.43%
Bottomline Technologies DE Inc. (EPAY)
0.43%
California Water Service Group (CWT)
0.43%
Matson Inc. (MATX)
0.42%
LivePerson Inc. (LPSN)
0.42%
Crocs Inc. (CROX)
0.4%
Avista Corp. (AVA)
0.4%
Career Education Corp. (CECO)
0.4%
Harsco Corp. (HSC)
0.39%
El Paso Electric Co. (EE)
0.39%
Northwest Natural Holding Co. (NWN)
0.39%
Cambrex Corp. (CBM)
0.39%
Wolverine World Wide Inc. (WWW)
0.39%
Kaiser Aluminum Corp. (KALU)
0.39%
Supernus Pharmaceuticals Inc. (SUPN)
0.39%
Mobile Mini Inc. (MINI)
0.39%
Vonage Holdings Corp. (VG)
0.38%
Childrens Place Inc. (PLCE)
0.38%
BioTelemetry Inc. (BEAT)
0.37%
US Ecology Inc. (ECOL)
0.37%
EVERTEC Inc. (EVTC)
0.37%
Korn Ferry (KFY)
0.36%
LTC Properties Inc. (LTC)
0.36%
Corcept Therapeutics Inc. (CORT)
0.36%
Acadia Realty Trust (AKR)
0.35%
AAON Inc. (AAON)
0.35%
Simpson Manufacturing Co. Inc. (SSD)
0.35%
Sleep Number Corp. (SNBR)
0.35%
Genomic Health Inc. (GHDX)
0.34%
Archrock Inc. (AROC)
0.34%
American Assets Trust Inc. (AAT)
0.34%
Dine Brands Global Inc. (DIN)
0.34%
City Holding Co. (CHCO)
0.34%
Steven Madden Ltd. (SHOO)
0.34%
Watts Water Technologies Inc. Class A (WTS)
0.33%
Perficient Inc. (PRFT)
0.33%
Emergent BioSolutions Inc. (EBS)
0.33%
DiamondRock Hospitality Co. (DRH)
0.33%
Seacoast Banking Corp. of Florida (SBCF)
0.33%
Medifast Inc. (MED)
0.33%
First Midwest Bancorp Inc./IL (FMBI)
0.32%
Forward Air Corp. (FWRD)
0.31%
Progress Software Corp. (PRGS)
0.31%
Fabrinet (FN)
0.31%
RH (RH)
0.31%
Applied Industrial Technologies Inc. (AIT)
0.31%
Enanta Pharmaceuticals Inc. (ENTA)
0.31%
Inter Parfums Inc. (IPAR)
0.31%
Cardtronics plc Class A (CATM)
0.31%
AeroVironment Inc. (AVAV)
0.3%
Blucora Inc. (BCOR)
0.3%
Callaway Golf Co. (ELY)
0.3%
Shutterfly Inc. (SFLY)
0.3%
First BanCorp/Puerto Rico (FBP)
0.29%
REGENXBIO Inc. (RGNX)
0.29%
Cubic Corp. (CUB)
0.29%
Raven Industries Inc. (RAVN)
0.29%
Stamps.com Inc. (STMP)
0.29%
Tabula Rasa HealthCare Inc. (TRHC)
0.28%
Chart Industries Inc. (GTLS)
0.28%
Alarm.com Holdings Inc. (ALRM)
0.28%
Federal Signal Corp. (FSS)
0.28%
Virtusa Corp. (VRTU)
0.28%
Innovative Industrial Properties Inc. (IIPR)
0.27%
CVB Financial Corp. (CVBF)
0.27%
ExlService Holdings Inc. (EXLS)
0.27%
KEMET Corp. (KEM)
0.27%
United Fire Group Inc. (UFCS)
0.27%
Knowles Corp. (KN)
0.26%
Washington REIT (WRE)
0.26%
CTS Corp. (CTS)
0.26%
Calavo Growers Inc. (CVGW)
0.26%
CryoLife Inc. (CRY)
0.25%
American Equity Investment Life Holding Co. (AEL)
0.25%
Myriad Genetics Inc. (MYGN)
0.25%
Barnes Group Inc. (B)
0.25%
Armada Hoffler Properties Inc. (AHH)
0.25%
Guess? Inc. (GES)
0.25%
NMI Holdings Inc. Class A (NMIH)
0.25%
Addus HomeCare Corp. (ADUS)
0.25%
AMERISAFE Inc. (AMSF)
0.24%
Tivity Health Inc. (TVTY)
0.24%
Asbury Automotive Group Inc. (ABG)
0.24%
Tactile Systems Technology Inc. (TCMD)
0.24%
Mesa Laboratories Inc. (MLAB)
0.24%
Luminex Corp. (LMNX)
0.24%
Gentherm Inc. (THRM)
0.23%
Cray Inc. (CRAY)
0.23%
Advanced Energy Industries Inc. (AEIS)
0.23%
Momenta Pharmaceuticals Inc. (MNTA)
0.23%
3D Systems Corp. (DDD)
0.22%
Gibraltar Industries Inc. (ROCK)
0.22%
Universal Insurance Holdings Inc. (UVE)
0.22%
Badger Meter Inc. (BMI)
0.22%
Oxford Industries Inc. (OXM)
0.22%
Amphastar Pharmaceuticals Inc. (AMPH)
0.22%
ProPetro Holding Corp. (PUMP)
0.22%
Innoviva Inc. (INVA)
0.22%
Comfort Systems USA Inc. (FIX)
0.22%
Great Western Bancorp Inc. (GWB)
0.22%
Spectrum Pharmaceuticals Inc. (SPPI)
0.21%
Materion Corp. (MTRN)
0.21%
MaxLinear Inc. (MXL)
0.21%
Marcus & Millichap Inc. (MMI)
0.21%
Universal Health Realty Income Trust (UHT)
0.21%
CSG Systems International Inc. (CSGS)
0.21%
AZZ Inc. (AZZ)
0.21%
Community Healthcare Trust Inc. (CHCT)
0.21%
CorVel Corp. (CRVL)
0.21%
OSI Systems Inc. (OSIS)
0.21%
BJs Restaurants Inc. (BJRI)
0.21%
Vanda Pharmaceuticals Inc. (VNDA)
0.21%
Triumph Bancorp Inc. (TBK)
0.2%
Marcus Corp. (MCS)
0.2%
Kaman Corp. (KAMN)
0.2%
B&G Foods Inc. (BGS)
0.2%
Hillenbrand Inc. (HI)
0.2%
Carrizo Oil & Gas Inc. (CRZO)
0.2%
Veritex Holdings Inc. (VBTX)
0.2%
Actuant Corp. Class A (ATU)
0.19%
Office Properties Income Trust (OPI)
0.19%
Diodes Inc. (DIOD)
0.19%
EW Scripps Co. Class A (SSP)
0.19%
USANA Health Sciences Inc. (USNA)
0.19%
Axos Financial Inc. (AX)
0.19%
AngioDynamics Inc. (ANGO)
0.19%
NextGen Healthcare Inc. (NXGN)
0.19%
Boot Barn Holdings Inc. (BOOT)
0.19%
Global Net Lease Inc. (GNL)
0.19%
AAR Corp. (AIR)
0.19%
Nanometrics Inc. (NANO)
0.18%
NorthStar Realty Europe Corp. (NRE)
0.18%
S&T Bancorp Inc. (STBA)
0.18%
Hub Group Inc. Class A (HUBG)
0.18%
New York Mortgage Trust Inc. (NYMT)
0.18%
NIC Inc. (EGOV)
0.18%
Urstadt Biddle Properties Inc. Class A (UBA)
0.17%
Surmodics Inc. (SRDX)
0.17%
Orthofix Medical Inc. (OFIX)
0.17%
Getty Realty Corp. (GTY)
0.17%
MicroStrategy Inc. Class A (MSTR)
0.17%
DMC Global Inc. (BOOM)
0.17%
ATN International Inc. (ATNI)
0.17%
Waddell & Reed Financial Inc. Class A (WDR)
0.17%
Varex Imaging Corp. (VREX)
0.17%
RPT Realty (RPT)
0.17%
Washington Prime Group Inc. (WPG)
0.17%
ServisFirst Bancshares Inc. (SFBS)
0.16%
Tennant Co. (TNC)
0.16%
Brookline Bancorp Inc. (BRKL)
0.16%
Heartland Express Inc. (HTLD)
0.16%
Harmonic Inc. (HLIT)
0.16%
Eagle Pharmaceuticals Inc./DE (EGRX)
0.16%
ePlus Inc. (PLUS)
0.16%
SunCoke Energy Inc. (SXC)
0.15%
Navigant Consulting Inc. (NCI)
0.15%
Lantheus Holdings Inc. (LNTH)
0.15%
ANI Pharmaceuticals Inc. (ANIP)
0.15%
Ruths Hospitality Group Inc. (RUTH)
0.15%
Monotype Imaging Holdings Inc. (TYPE)
0.15%
Natus Medical Inc. (NTUS)
0.15%
Cal-Maine Foods Inc. (CALM)
0.14%
Hawaiian Holdings Inc. (HA)
0.14%
Designer Brands Inc. Class A (DBI)
0.14%
DXP Enterprises Inc./TX (DXPE)
0.14%
Chefs Warehouse Inc. (CHEF)
0.14%
PGT Innovations Inc. (PGTI)
0.14%
National Bank Holdings Corp. Class A (NBHC)
0.14%
Denbury Resources Inc. (DNR)
0.14%
Vicor Corp. (VICR)
0.14%
Heska Corp. (HSKA)
0.13%
Heritage Financial Corp./WA (HFWA)
0.13%
ARMOUR Residential REIT Inc. (ARR)
0.13%
Vector Group Ltd. (VGR)
0.13%
Granite Point Mortgage Trust Inc. (GPMT)
0.13%
Agilysys Inc. (AGYS)
0.13%
Endo International plc (ENDP)
0.13%
Regis Corp. (RGS)
0.13%
Whiting Petroleum Corp. (WLL)
0.13%
World Acceptance Corp. (WRLD)
0.13%
Tompkins Financial Corp. (TMP)
0.13%
Sturm Ruger & Co. Inc. (RGR)
0.13%
Renewable Energy Group Inc. (REGI)
0.13%
MTS Systems Corp. (MTSC)
0.12%
QuinStreet Inc. (QNST)
0.12%
Standard Motor Products Inc. (SMP)
0.12%
FARO Technologies Inc. (FARO)
0.12%
Cytokinetics Inc. (CYTK)
0.12%
Ebix Inc. (EBIX)
0.12%
Triumph Group Inc. (TGI)
0.12%
National Presto Industries Inc. (NPK)
0.12%
Lindsay Corp. (LNN)
0.12%
Hawkins Inc. (HWKN)
0.12%
Central Pacific Financial Corp. (CPF)
0.11%
OFG Bancorp (OFG)
0.11%
AK Steel Holding Corp. (AKS)
0.11%
American Public Education Inc. (APEI)
0.11%
Extreme Networks Inc. (EXTR)
0.11%
Virtus Investment Partners Inc. (VRTS)
0.11%
Diebold Nixdorf Inc. (DBD)
0.11%
Meridian Bioscience Inc. (VIVO)
0.11%
MGP Ingredients Inc. (MGPI)
0.11%
Penn Virginia Corp. (PVAC)
0.1%
TrustCo Bank Corp. NY (TRST)
0.1%
Progenics Pharmaceuticals Inc. (PGNX)
0.1%
HealthStream Inc. (HSTM)
0.1%
John B Sanfilippo & Son Inc. (JBSS)
0.1%
WisdomTree Investments Inc. (WETF)
0.1%
Saul Centers Inc. (BFS)
0.1%
Forrester Research Inc. (FORR)
0.1%
Trinseo SA (TSE)
0.09%
Unisys Corp. (UIS)
0.09%
TechTarget Inc. (TTGT)
0.09%
Shutterstock Inc. (SSTK)
0.09%
HomeStreet Inc. (HMST)
0.09%
Rudolph Technologies Inc. (RTEC)
0.09%
Preferred Bank/Los Angeles CA (PFBC)
0.09%
CEVA Inc. (CEVA)
0.08%
LeMaitre Vascular Inc. (LMAT)
0.08%
Shoe Carnival Inc. (SCVL)
0.08%
Ferro Corp. (FOE)
0.08%
Monarch Casino & Resort Inc. (MCRI)
0.08%
OneSpan Inc. (OSPN)
0.08%
Chuys Holdings Inc. (CHUY)
0.08%
National Beverage Corp. (FIZZ)
0.08%
Nabors Industries Ltd. (NBR)
0.07%
Tailored Brands Inc. (TLRD)
0.07%
Heidrick & Struggles International Inc. (HSII)
0.07%
Care.com Inc. (CRCM)
0.07%
HCI Group Inc. (HCI)
0.07%
SMART Global Holdings Inc. (SGH)
0.07%
Movado Group Inc. (MOV)
0.07%
Axcelis Technologies Inc. (ACLS)
0.06%
KLX Energy Services Holdings Inc. (KLXE)
0.06%
El Pollo Loco Holdings Inc. (LOCO)
0.06%
Bonanza Creek Energy Inc. (BCEI)
0.06%
Cohu Inc. (COHU)
0.06%
Liquidity Services Inc. (LQDT)
0.06%
CalAmp Corp. (CAMP)
0.05%
Phibro Animal Health Corp. Class A (PAHC)
0.05%
CONSOL Energy Inc. (CEIX)
0.05%
Cutera Inc. (CUTR)
0.05%
Insteel Industries Inc. (IIIN)
0.05%
OraSure Technologies Inc. (OSUR)
0.05%
Noble Corp. plc (NE)
0.05%
Park Aerospace Corp. (PKE)
0.05%
Consolidated Communications Holdings Inc. (CNSL)
0.04%
Greenhill & Co. Inc. (GHL)
0.04%
FutureFuel Corp. (FF)
0.04%
DSP Group Inc. (DSPG)
0.04%
HighPoint Resources Corp. (HPR)
0.04%
Community Health Systems Inc. (CYH)
0.03%
Computer Programs & Systems Inc. (CPSI)
0.03%
Akorn Inc. (AKRX)
0.03%
RPC Inc. (RES)
0.03%
Fiesta Restaurant Group Inc. (FRGI)
0.03%
Arlo Technologies Inc. (ARLO)
0.03%
Era Group Inc. (ERA)
0.02%
Unit Corp. (UNT)
0.02%
Acorda Therapeutics Inc. (ACOR)
0.02%
Ascena Retail Group Inc. (ASNA)
0.01%
Kopin Corp. (KOPN)
0.01%
Vanguard S&P Small-Cap 600 Growth ETF (VIOG)
0%
0%

VIOG Technicals

Alpha

-2.78

Beta

1.11

Leverage

Long

Standard Deviation

7.19

VIOG Dividends

Dividend Date

2019-09-26

Latest Dividend

0.46

Annual Dividend

1.56

Annual Dividend Rate

1.56

Annual Dividend Yield

1

VIOG Performance

YTD Return

11.89%

1 Year Return

-1.47%

3 Year Return

36.27%

5 Year Return

58.13%

10 Year Return

190.89%

VIOG Related Articles

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