VSTCX Holdings — Vanguard Strategic Small-Cap Equity Fund

All 500 reported holdings of Vanguard Strategic Small-Cap Equity Fund (VSTCX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Jazz Pharmaceuticals PLC0.78%$19.04M
Brixmor Property Group Inc0.73%$18.01M
Primoris Services Corp0.72%$17.78M
EnerSys0.72%$17.70M
Popular Inc0.69%$16.94M
Affiliated Managers Group Inc0.66%$16.24M
Zions Bancorp NA0.66%$16.21M
Allison Transmission Holdings Inc0.65%$15.94M
Ionis Pharmaceuticals Inc0.63%$15.54M
Associated Banc-Corp0.62%$15.14M
Cirrus Logic Inc0.59%$14.58M
Extreme Networks Inc0.59%$14.49M
Federated Hermes Inc0.59%$14.47M
National Fuel Gas Co0.58%$14.34M
Fastly Inc0.58%$14.24M
Avista Corp0.58%$14.19M
Travel + Leisure Co0.57%$14.01M
Boston Beer Co Inc/The0.56%$13.79M
Enova International Inc0.55%$13.61M
Piper Sandler Cos0.55%$13.45M
First Hawaiian Inc0.54%$13.35M
Boyd Gaming Corp0.54%$13.23M
First BanCorp/Puerto Rico0.54%$13.15M
EMCOR Group Inc0.53%$12.88M
MGIC Investment Corp0.52%$12.81M
Constellium SE0.51%$12.60M
LendingClub Corp0.51%$12.49M
Applied Industrial Technologies Inc0.51%$12.40M
Essent Group Ltd0.50%$12.31M
Leggett & Platt Inc0.50%$12.21M
Banc of California Inc0.50%$12.20M
SkyWest Inc0.49%$12.13M
Xenia Hotels & Resorts Inc0.49%$12.12M
REX American Resources Corp0.49%$11.95M
Axis Capital Holdings Ltd0.48%$11.89M
COPT Defense Properties0.48%$11.77M
Portland General Electric Co0.48%$11.72M
Matador Resources Co0.47%$11.45M
nLight Inc0.47%$11.45M
MYR Group Inc0.46%$11.36M
MasTec Inc0.45%$11.15M
Griffon Corp0.45%$11.09M
BWX Technologies Inc0.44%$10.80M
First Industrial Realty Trust Inc0.42%$10.42M
Science Applications International Corp0.42%$10.41M
ADT Inc0.42%$10.19M
Dorian LPG Ltd0.41%$10.17M
OFG Bancorp0.41%$10.17M
Matson Inc0.41%$10.09M
Flowserve Corp0.41%$10.08M
Oceaneering International Inc0.41%$10.08M
Virtu Financial Inc0.41%$9.99M
Curtiss-Wright Corp0.40%$9.92M
American Superconductor Corp0.40%$9.90M
Highwoods Properties Inc0.40%$9.78M
Kirby Corp0.40%$9.70M
Versant Media Group Inc0.38%$9.42M
Weatherford International PLC0.38%$9.41M
BGC Group Inc0.38%$9.38M
Arrowhead Pharmaceuticals Inc0.38%$9.32M
NMI Holdings Inc0.38%$9.29M
Westamerica BanCorp0.38%$9.29M
Exelixis Inc0.38%$9.24M
Cousins Properties Inc0.37%$9.19M
ADTRAN Holdings Inc0.37%$9.17M
Kaiser Aluminum Corp0.37%$9.05M
Teradata Corp0.36%$8.91M
Five Below Inc0.36%$8.90M
Ultra Clean Holdings Inc0.36%$8.88M
TTM Technologies Inc0.36%$8.83M
Spire Inc0.36%$8.80M
Interface Inc0.36%$8.79M
Lumen Technologies Inc0.35%$8.68M
LivaNova PLC0.35%$8.65M
Antero Midstream Corp0.35%$8.63M
Proto Labs Inc0.35%$8.58M
Peabody Energy Corp0.35%$8.56M
ATI Inc0.35%$8.51M
Tutor Perini Corp0.35%$8.49M
PennyMac Financial Services Inc0.34%$8.43M
First Financial Corp/IN0.34%$8.25M
Tenet Healthcare Corp0.34%$8.23M
Outfront Media Inc0.33%$8.08M
Adient PLC0.33%$8.02M
DT Midstream Inc0.33%$7.97M
Appian Corp0.32%$7.86M
RingCentral Inc0.32%$7.80M
Dana Inc0.32%$7.79M
NETGEAR Inc0.32%$7.77M
Element Solutions Inc0.32%$7.72M
Covista Inc0.31%$7.68M
American Assets Trust Inc0.31%$7.66M
Ambarella Inc0.31%$7.65M
Telephone and Data Systems Inc0.31%$7.51M
Phinia Inc0.29%$7.20M
Hanover Insurance Group Inc/The0.29%$7.14M
BioCryst Pharmaceuticals Inc0.29%$7.09M
Mueller Water Products Inc0.29%$7.08M
FNB Corp/PA0.29%$7.05M
Century Aluminum Co0.29%$7.04M
Acuity Brands Inc0.29%$7.00M
Calix Inc0.28%$6.98M
10X Genomics Inc0.28%$6.98M
Slide Insurance Holdings Inc0.28%$6.96M
Commvault Systems Inc0.28%$6.94M
Par Pacific Holdings Inc0.28%$6.84M
ESCO Technologies Inc0.28%$6.82M
Atkore Inc0.28%$6.77M
Carter's Inc0.28%$6.74M
Benchmark Electronics Inc0.27%$6.63M
Banner Corp0.27%$6.63M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.27%$6.53M
Hancock Whitney Corp0.27%$6.53M
Moog Inc0.27%$6.52M
Sonos Inc0.27%$6.51M
MaxLinear Inc0.26%$6.50M
CoreCivic Inc0.26%$6.47M
CNO Financial Group Inc0.26%$6.40M
Kennametal Inc0.26%$6.33M
Red Rock Resorts Inc0.26%$6.31M
Bristow Group Inc0.26%$6.31M
Phillips Edison & Co Inc0.26%$6.28M
Horizon Bancorp Inc/IN0.26%$6.27M
Greenbrier Cos Inc/The0.25%$6.25M
Old Second Bancorp Inc0.25%$6.22M
Toll Brothers Inc0.25%$6.21M
Encompass Health Corp0.25%$6.18M
IRhythm Holdings Inc0.25%$6.11M
SPX Technologies Inc0.25%$6.05M
Universal Insurance Holdings Inc0.25%$6.03M
Carpenter Technology Corp0.24%$6.00M
Revolve Group Inc0.24%$5.99M
Mattel Inc0.24%$5.94M
Apellis Pharmaceuticals Inc0.24%$5.93M
OneMain Holdings Inc0.24%$5.87M
Black Hills Corp0.24%$5.79M
Delek US Holdings Inc0.24%$5.79M
Horace Mann Educators Corp0.24%$5.79M
United Natural Foods Inc0.24%$5.78M
Signet Jewelers Ltd0.23%$5.74M
Omnicell Inc0.23%$5.68M
Broadstone Net Lease Inc0.23%$5.68M
Sensata Technologies Holding PLC0.23%$5.68M
Plexus Corp0.23%$5.67M
DiamondRock Hospitality Co0.23%$5.63M
Amkor Technology Inc0.23%$5.62M
Woodward Inc0.23%$5.60M
Amneal Pharmaceuticals Inc0.23%$5.54M
MillerKnoll Inc0.23%$5.52M
Huntsman Corp0.22%$5.51M
Maximus Inc0.22%$5.50M
Federal Signal Corp0.22%$5.42M
ProPetro Holding Corp0.22%$5.42M
Cushman & Wakefield Ltd0.22%$5.40M
Myers Industries Inc0.22%$5.36M
Bridgebio Pharma Inc0.22%$5.35M
Ryder System Inc0.22%$5.30M
Warrior Met Coal Inc0.22%$5.29M
Kyndryl Holdings Inc0.21%$5.27M
Chord Energy Corp0.21%$5.26M
Coca-Cola Consolidated Inc0.21%$5.21M
Amalgamated Financial Corp0.21%$5.18M
Arvinas Inc0.21%$5.18M
Travere Therapeutics Inc0.21%$5.14M
Macy's Inc0.21%$5.14M
BJ's Restaurants Inc0.21%$5.12M
Radian Group Inc0.21%$5.09M
Phreesia Inc0.21%$5.08M
Solstice Advanced Materials Inc0.21%$5.07M
Patterson-UTI Energy Inc0.21%$5.05M
MKS Instruments Inc0.20%$5.01M
Heritage Insurance Holdings Inc0.20%$4.99M
Tactile Systems Technology Inc0.20%$4.98M
Ultragenyx Pharmaceutical Inc0.20%$4.96M
Willdan Group Inc0.20%$4.95M
STAG Industrial Inc0.20%$4.92M
Nabors Industries Ltd0.20%$4.90M
Penn Entertainment Inc0.20%$4.88M
Garrett Motion Inc0.20%$4.85M
Gulfport Energy Corp0.20%$4.80M
Urban Edge Properties0.19%$4.78M
SunCoke Energy Inc0.19%$4.72M
Millrose Properties Inc0.19%$4.72M
Prosperity Bancshares Inc0.19%$4.71M
Virtus Investment Partners Inc0.19%$4.66M
Newmark Group Inc0.19%$4.64M
Pediatrix Medical Group Inc0.19%$4.64M
Elanco Animal Health Inc0.19%$4.57M
Callaway Golf Co0.19%$4.56M
Arcus Biosciences Inc0.18%$4.52M
Yelp Inc0.18%$4.51M
Commercial Metals Co0.18%$4.50M
Indivior Pharmaceuticals Inc0.18%$4.48M
Workiva Inc0.18%$4.47M
HealthStream Inc0.18%$4.46M
Wayfair Inc0.18%$4.42M
United Fire Group Inc0.18%$4.41M
Guardant Health Inc0.18%$4.40M
Sprout Social Inc0.18%$4.37M
Nu Skin Enterprises Inc0.18%$4.34M
Green Plains Inc0.17%$4.28M
Spectrum Brands Holdings Inc0.17%$4.26M
Vir Biotechnology Inc0.17%$4.24M
Five9 Inc0.17%$4.21M
Energy Recovery Inc0.17%$4.20M
Organon & Co0.17%$4.19M
WSFS Financial Corp0.17%$4.16M
FormFactor Inc0.17%$4.16M
Bumble Inc0.17%$4.14M
Castle Biosciences Inc0.17%$4.13M
GigaCloud Technology Inc0.17%$4.12M
Gap Inc/The0.17%$4.09M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.17%$4.06M
Photronics Inc0.16%$4.01M
PVH Corp0.16%$3.99M
Semtech Corp0.16%$3.98M
Sanmina Corp0.16%$3.98M
Natera Inc0.16%$3.96M
KBR Inc0.16%$3.96M
Minerals Technologies Inc0.16%$3.95M
Healthcare Services Group Inc0.16%$3.95M
Scotts Miracle-Gro Co/The0.16%$3.94M
O-I Glass Inc0.16%$3.92M
Post Holdings Inc0.16%$3.92M
Sarepta Therapeutics Inc0.16%$3.88M
ACADIA Pharmaceuticals Inc0.16%$3.86M
Frontdoor Inc0.16%$3.86M
EVERTEC Inc0.16%$3.85M
Liquidity Services Inc0.16%$3.83M
Advanced Energy Industries Inc0.16%$3.82M
Preformed Line Products Co0.16%$3.81M
Tanger Inc0.15%$3.80M
MACOM Technology Solutions Holdings Inc0.15%$3.78M
LifeStance Health Group Inc0.15%$3.78M
Cavco Industries Inc0.15%$3.77M
Teladoc Health Inc0.15%$3.74M
Lyft Inc0.15%$3.73M
Exponent Inc0.15%$3.71M
Douglas Dynamics Inc0.15%$3.71M
SiriusPoint Ltd0.15%$3.69M
Harmonic Inc0.15%$3.68M
Ardelyx Inc0.15%$3.68M
Summit Hotel Properties Inc0.15%$3.64M
Invesco Ltd0.15%$3.63M
Marcus & Millichap Inc0.15%$3.62M
PTC Therapeutics Inc0.15%$3.62M
Perdoceo Education Corp0.15%$3.61M
Planet Fitness Inc0.15%$3.60M
Rocket Pharmaceuticals Inc0.15%$3.60M
Nextpower Inc0.15%$3.60M
Oil States International Inc0.15%$3.57M
Arlo Technologies Inc0.15%$3.57M
Cognex Corp0.15%$3.56M
Enanta Pharmaceuticals Inc0.14%$3.55M
Seneca Foods Corp0.14%$3.55M
Balchem Corp0.14%$3.51M
Varex Imaging Corp0.14%$3.45M
Avis Budget Group Inc0.14%$3.44M
WD-40 Co0.14%$3.43M
United States Lime & Minerals Inc0.14%$3.42M
WisdomTree Inc0.14%$3.42M
Seaboard Corp0.14%$3.36M
Apogee Enterprises Inc0.14%$3.35M
PagerDuty Inc0.14%$3.35M
Towne Bank/Portsmouth VA0.14%$3.34M
American Eagle Outfitters Inc0.14%$3.33M
Allient Inc0.13%$3.31M
Arcutis Biotherapeutics Inc0.13%$3.30M
Alignment Healthcare Inc0.13%$3.30M
Central Pacific Financial Corp0.13%$3.27M
Magnite Inc0.13%$3.26M
Prothena Corp PLC0.13%$3.24M
SolarEdge Technologies Inc0.13%$3.24M
National Vision Holdings Inc0.13%$3.24M
Vicor Corp0.13%$3.20M
Southstate Bank Corp.0.13%$3.18M
REGENXBIO Inc0.13%$3.17M
Shake Shack Inc0.13%$3.15M
Tenable Holdings Inc0.13%$3.15M
Evercore Inc0.13%$3.13M
Warby Parker Inc0.13%$3.13M
Newpark Resources Inc0.13%$3.12M
Unitil Corp0.13%$3.11M
Bright Horizons Family Solutions Inc0.13%$3.10M
Nurix Therapeutics Inc0.13%$3.09M
La-Z-Boy Inc0.13%$3.09M
Ducommun Inc0.13%$3.09M
Medpace Holdings Inc0.13%$3.09M
AZZ Inc0.12%$3.06M
Planet Labs PBC0.12%$3.02M
Rezolute Inc0.12%$3.01M
New Jersey Resources Corp0.12%$2.99M
Louisiana-Pacific Corp0.12%$2.99M
Iridium Communications Inc0.12%$2.96M
Valmont Industries Inc0.12%$2.94M
JFrog Ltd0.12%$2.94M
Axsome Therapeutics Inc0.12%$2.94M
Sprinklr Inc0.12%$2.93M
ONE Gas Inc0.12%$2.92M
Trinity Industries Inc0.12%$2.92M
DENTSPLY SIRONA Inc0.12%$2.92M
Syndax Pharmaceuticals Inc0.12%$2.91M
Viridian Therapeutics Inc0.12%$2.89M
Innospec Inc0.12%$2.87M
Ennis Inc0.12%$2.84M
Intrepid Potash Inc0.12%$2.82M
Worthington Enterprises Inc0.11%$2.81M
Hanmi Financial Corp0.11%$2.80M
Diodes Inc0.11%$2.76M
Chatham Lodging Trust0.11%$2.76M
Asana Inc0.11%$2.76M
Corsair Gaming Inc0.11%$2.74M
Pegasystems Inc0.11%$2.72M
Columbia Banking System Inc0.11%$2.72M
Novocure Ltd0.11%$2.70M
Evolv Technologies Holdings Inc0.11%$2.68M
UMB Financial Corp0.11%$2.68M
AnaptysBio Inc0.11%$2.67M
First Financial Bancorp0.11%$2.67M
Relay Therapeutics Inc0.11%$2.67M
California Water Service Group0.11%$2.66M
Mativ Holdings Inc0.11%$2.63M
Hallador Energy Co0.11%$2.63M
Comfort Systems USA Inc0.11%$2.61M
Tidewater Inc0.11%$2.61M
EverQuote Inc0.11%$2.58M
Shoals Technologies Group Inc0.10%$2.57M
Viasat Inc0.10%$2.57M
Koppers Holdings Inc0.10%$2.57M
AvePoint Inc0.10%$2.56M
Bath & Body Works Inc0.10%$2.55M
American States Water Co0.10%$2.54M
Capri Holdings Ltd0.10%$2.54M
Celanese Corp0.10%$2.54M
Avient Corp0.10%$2.53M
Standard Motor Products Inc0.10%$2.52M
Abercrombie & Fitch Co0.10%$2.52M
Compass Minerals International Inc0.10%$2.50M
Legalzoom.com Inc0.10%$2.49M
NerdWallet Inc0.10%$2.47M
International Seaways Inc0.10%$2.46M
Itron Inc0.10%$2.46M
Rapid7 Inc0.10%$2.44M
Kura Oncology Inc0.10%$2.44M
Byline Bancorp Inc0.10%$2.43M
InvenTrust Properties Corp0.10%$2.42M
M/I Homes Inc0.10%$2.34M
Orrstown Financial Services Inc0.10%$2.34M
Cogent Biosciences Inc0.10%$2.33M
Credo Technology Group Holding Ltd0.10%$2.33M
Keros Therapeutics Inc0.10%$2.33M
Liberty Energy Inc0.09%$2.33M
Bread Financial Holdings Inc0.09%$2.31M
Brinker International Inc0.09%$2.28M
Myriad Genetics Inc0.09%$2.26M
Zumiez Inc0.09%$2.26M
LiveRamp Holdings Inc0.09%$2.25M
ScanSource Inc0.09%$2.24M
Avanos Medical Inc0.09%$2.24M
YETI Holdings Inc0.09%$2.23M
Aclaris Therapeutics Inc0.09%$2.22M
NBT Bancorp Inc0.09%$2.19M
Whitestone REIT0.09%$2.18M
Applied Digital Corp0.09%$2.17M
Manhattan Associates Inc0.09%$2.15M
Home BancShares Inc/AR0.09%$2.15M
Kiniksa Pharmaceuticals International Plc0.09%$2.12M
Oppenheimer Holdings Inc0.09%$2.12M
Mercantile Bank Corp0.09%$2.10M
OPENLANE Inc0.09%$2.09M
Xperi Inc0.08%$2.08M
Kohl's Corp0.08%$2.07M
Perimeter Solutions Inc0.08%$2.04M
Sotera Health Co0.08%$2.03M
HB Fuller Co0.08%$2.02M
Alarm.com Holdings Inc0.08%$2.02M
Astec Industries Inc0.08%$2.00M
Hippo Holdings Inc0.08%$2.00M
Universal Health Realty Income Trust0.08%$1.97M
New Issuer: BB Company ID:544191040.08%$1.96M
Arcturus Therapeutics Holdings Inc0.08%$1.96M
Ichor Holdings Ltd0.08%$1.94M
Altimmune Inc0.08%$1.93M
American Public Education Inc0.08%$1.93M
Columbus McKinnon Corp/NY0.08%$1.93M
Chemours Co/The0.08%$1.92M
Onto Innovation Inc0.08%$1.92M
CEVA Inc0.08%$1.90M
Schrodinger Inc/United States0.08%$1.90M
Progyny Inc0.08%$1.89M
Argan Inc0.08%$1.88M
Madrigal Pharmaceuticals Inc0.08%$1.88M
Rambus Inc0.08%$1.86M
Turning Point Brands Inc0.08%$1.85M
TransMedics Group Inc0.08%$1.85M
CRA International Inc0.08%$1.85M
Penguin Solutions Inc0.07%$1.84M
Inspire Medical Systems Inc0.07%$1.83M
Sabra Health Care REIT Inc0.07%$1.83M
Xerox Holdings Corp0.07%$1.83M
Interparfums Inc0.07%$1.82M
Hamilton Insurance Group Ltd0.07%$1.82M
V2X Inc0.07%$1.81M
Grand Canyon Education Inc0.07%$1.79M
Cimpress PLC0.07%$1.78M
Mueller Industries Inc0.07%$1.77M
Embecta Corp0.07%$1.76M
Pilgrim's Pride Corp0.07%$1.76M
Riot Platforms Inc0.07%$1.76M
AtriCure Inc0.07%$1.74M
Ingevity Corp0.07%$1.72M
SentinelOne Inc0.07%$1.72M
Blue Bird Corp0.07%$1.72M
Buckle Inc/The0.07%$1.67M
Hecla Mining Co0.07%$1.66M
Urban Outfitters Inc0.07%$1.66M
Strategic Education Inc0.07%$1.65M
Janux Therapeutics Inc0.07%$1.65M
Stitch Fix Inc0.07%$1.65M
Vishay Intertechnology Inc0.07%$1.64M
CONMED Corp0.07%$1.64M
Cable One Inc0.07%$1.64M
Opendoor Technologies Inc0.07%$1.63M
Carriage Services Inc0.07%$1.62M
Piedmont Realty Trust Inc0.07%$1.60M
Laureate Education Inc0.07%$1.60M
Provident Financial Services Inc0.06%$1.59M
Intellia Therapeutics Inc0.06%$1.59M
Alpha & Omega Semiconductor Ltd0.06%$1.56M
Haemonetics Corp0.06%$1.54M
Methode Electronics Inc0.06%$1.54M
Alpha Metallurgical Resources Inc0.06%$1.52M
PBF Energy Inc0.06%$1.51M
Esquire Financial Holdings Inc0.06%$1.51M
Peloton Interactive Inc0.06%$1.51M
ACCO Brands Corp0.06%$1.49M
Sensient Technologies Corp0.06%$1.48M
Nextdoor Holdings Inc0.06%$1.46M
HCI Group Inc0.06%$1.46M
Enphase Energy Inc0.06%$1.45M
SoundHound AI Inc0.06%$1.44M
Option Care Health Inc0.06%$1.42M
Taylor Morrison Home Corp0.06%$1.42M
MGE Energy Inc0.06%$1.42M
Taboola.com Ltd0.06%$1.40M
iHeartMedia Inc0.06%$1.40M
SandRidge Energy Inc0.06%$1.40M
Array Technologies Inc0.06%$1.39M
First Interstate BancSystem Inc0.06%$1.38M
Group 1 Automotive Inc0.06%$1.38M
Vanda Pharmaceuticals Inc0.06%$1.38M
Modine Manufacturing Co0.06%$1.37M
Bloomin' Brands Inc0.06%$1.37M
Sunrun Inc0.06%$1.36M
Alector Inc0.06%$1.35M
Insteel Industries Inc0.06%$1.35M
Lumentum Holdings Inc0.05%$1.34M
B&G Foods Inc0.05%$1.33M
Expro Group Holdings NV0.05%$1.31M
Applied Optoelectronics Inc0.05%$1.30M
Cargurus Inc0.05%$1.30M
Adaptive Biotechnologies Corp0.05%$1.30M
NB Bancorp Inc0.05%$1.29M
PriceSmart Inc0.05%$1.29M
MacroGenics Inc0.05%$1.27M
QuinStreet Inc0.05%$1.26M
Monarch Casino & Resort Inc0.05%$1.26M
Unisys Corp0.05%$1.25M
1st Source Corp0.05%$1.23M
Moelis & Co0.05%$1.22M
Upbound Group Inc0.05%$1.21M
Fresh Del Monte Produce Inc0.05%$1.21M
Leonardo DRS Inc0.05%$1.20M
Stewart Information Services Corp0.05%$1.18M
Financial Institutions Inc0.05%$1.17M
Iovance Biotherapeutics Inc0.05%$1.18M
Lindsay Corp0.05%$1.17M
CNX Resources Corp0.05%$1.17M
Kimbell Royalty Partners LP0.05%$1.16M
Accendra Health Inc0.05%$1.16M
Bioventus Inc0.05%$1.16M
Optimum Communications Inc0.05%$1.15M
Liberty Latin America Ltd0.05%$1.13M
Manitowoc Co Inc/The0.05%$1.12M
Orion SA0.05%$1.12M
Life Time Group Holdings Inc0.05%$1.12M
One Liberty Properties Inc0.05%$1.11M
Biohaven Ltd0.04%$1.10M
McGrath RentCorp0.04%$1.09M
Domo Inc0.04%$1.07M
Ironwood Pharmaceuticals Inc0.04%$1.05M
Xeris Biopharma Holdings Inc0.04%$1.05M
Nelnet Inc0.04%$1.05M
CVR Energy Inc0.04%$1.04M
Weave Communications Inc0.04%$1.04M
Victoria's Secret & Co0.04%$1.03M
Pathward Financial Inc0.04%$1.03M
Editas Medicine Inc0.04%$1.03M
Pitney Bowes Inc0.04%$1.01M
Digital Turbine Inc0.04%$1.02M

VSTCX overview: performance, fees, allocation and SEC filings