VIOO ETF Holdings, Assets and Portfolio Data - Vanguard Admiral Funds - Vanguard S&P Small-Cap 600 ETF

Vanguard Admiral Funds - Vanguard S&P Small-Cap 600 ETF
US ˙ ARCA ˙ US9219328286

Basisgegevens

VANGUARD S&P SMALL-CAP 600 INDEX FUND
VANGUARD ADMIRAL FUNDS
Basisgegevens
Net Assets $5.41B Total Assets $5.41B
Total Liabilities $100,187.76 Holdings 609
Portfolio data as of February 28, 2026 Filed with SEC April 28, 2026
Basisgegevens
Net Assets $5.41B
Total Assets $5.41B
Total Liabilities $100,187.76
Holdings 609
Portfolio data as of February 28, 2026
Filed with SEC April 28, 2026
Classification tags describe the fund/manager (owner) taxonomy — owner type, management style, strategy, asset-class and country focus — derived from filings and, where enabled, AI. They are separate from the individual holdings shown below.
Owner Type ETF
Management Style Passive
Strategy Long-Only
Fund Role Child Fund

Source filing: View SEC filing

All monetary values are reported in USD from the SEC NPORT filing.

Holdings and net assets are sourced from NPORT filings. Market price and enriched data (expense ratio, yield) come from separate sources.

Portfolio data is sourced from SEC NPORT filings, which disclose fund holdings and risk information for a reporting period.

Reported holdings reflect the reporting period and may differ from the funds current portfolio.

Classification tags describe the fund/manager (owner) taxonomy — owner type, management style, strategy, asset-class and country focus — derived from filings and, where enabled, AI. They are separate from the individual holdings shown below.

Share classes

  • C000092044
  • C000092045

These share classes belong to the same fund and share the portfolio shown above. Class-specific performance and data are coming soon.

Portfolio Allocation

By asset category

Fund allocation breakdown by By asset category
Category Value % of Net Assets
EC $5.40B 99.83%
STIV $30.71M 0.57%
DE $-160,818.10 0.00%

By instrument type

Fund allocation breakdown by By instrument type
Category Value % of Net Assets
EQUITY $5.40B 99.83%
MONEY_MARKET $30.71M 0.57%
SWAP $-71,440.00 0.00%
FUTURE $-89,378.10 0.00%

Allocation is aggregated from the funds reported holdings and shown as a percent of net assets.

Top Holdings

Name Identifier Asset Category Instrument Type Market Value Notional % of Net Assets
SOLS / Solstice Advanced Materials, Inc. 83443Q103 EC EQUITY $42.73M 0.79%
MOGA / Moog, Inc. - Class A 615394202 EC EQUITY $32.89M 0.61%
IDCC / InterDigital, Inc. 45867G101 EC EQUITY $32.36M 0.60%
CTRE / CareTrust REIT, Inc. 14174T107 EC EQUITY $31.11M 0.58%
Vanguard Cmt Funds-Vanguard Market Liquidity Fund N/A STIV MONEY_MARKET $30.71M 0.57%
SITM / SiTime Corporation 82982T106 EC EQUITY $29.91M 0.55%
EMN / Eastman Chemical Company 277432100 EC EQUITY $29.54M 0.55%
LKQ / LKQ Corporation 501889208 EC EQUITY $29.06M 0.54%
SANM / Sanmina Corporation 801056102 EC EQUITY $29.05M 0.54%
PRIM / Primoris Services Corporation 74164F103 EC EQUITY $27.93M 0.52%
JBTM / JBT Marel Corporation 477839104 EC EQUITY $27.45M 0.51%
ESI / Element Solutions Inc 28618M106 EC EQUITY $27.37M 0.51%
SMTC / Semtech Corporation 816850101 EC EQUITY $26.85M 0.50%
FORM / FormFactor, Inc. 346375108 EC EQUITY $26.28M 0.49%
ZWS / Zurn Elkay Water Solutions Corporation 98983L108 EC EQUITY $26.03M 0.48%
AWI / Armstrong World Industries, Inc. 04247X102 EC EQUITY $25.65M 0.47%
JXN / Jackson Financial Inc. 46817M107 EC EQUITY $25.51M 0.47%
IBP / Installed Building Products, Inc. 45780R101 EC EQUITY $25.45M 0.47%
ESE / ESCO Technologies Inc. 296315104 EC EQUITY $24.55M 0.45%
MKTX / MarketAxess Holdings Inc. 57060D108 EC EQUITY $24.47M 0.45%
GTES / Gates Industrial Corporation Ltd. G39108108 EC EQUITY $24.42M 0.45%
KRYS / Krystal Biotech, Inc. 501147102 EC EQUITY $24.39M 0.45%
FSS / Federal Signal Corporation 313855108 EC EQUITY $24.28M 0.45%
QRVO / Qorvo, Inc. 74736K101 EC EQUITY $23.90M 0.44%
GKOS / Glaukos Corporation 377322102 EC EQUITY $23.71M 0.44%

Market value is the reported value of the position. Notional is the contract/reference exposure for derivatives and is not the same as market value or ownership value.

Showing the top 25 of 609 reported holdings.

Geographic & Currency Exposure

By country

Fund allocation breakdown by By country
Category Value % of Net Assets
US $5.43B 100.40%
N/A $-160,818.10 0.00%

By currency

Fund allocation breakdown by By currency
Category Value % of Net Assets
USD $5.43B 100.40%

Exposure is aggregated from the funds reported holdings by investment country and currency, shown as a percent of net assets.

Performance (SEC three-month snapshot)

Fund monthly total returns by share class
Share class Month 1 Return Month 2 Return Month 3 Return
C000092044 -0.06% 5.61% 2.17%
C000092045 -0.05% 5.61% 2.17%

Monthly total returns are the SEC NPORT three-month reporting-period snapshot, not a full performance history. Month 1, 2 and 3 are the reporting-period months within the filing, not specific calendar months.

Monthly Capital Flows

Fund monthly capital flows
Month Sales Reinvestment Redemption
Month 1 $280.05M $23.00M $204.21M
Month 2 $200.09M $0.00 $74.98M
Month 3 $148.32M $0.00 $108.65M

Monthly capital flows (sales, reinvestment and redemption) are reported in USD for each month of the filings reporting period. Month 1, 2 and 3 are the reporting-period months within the filing, not specific calendar months.

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