Semiannual Report   |   February 28, 2022
Vanguard Russell 2000 Index Funds
Vanguard Russell 2000 Index Fund
Vanguard Russell 2000 Value Index Fund
Vanguard Russell 2000 Growth Index Fund

 

Contents
About Your Fund’s Expenses

1
Russell 2000 Index Fund

3
Russell 2000 Value Index Fund

36
Russell 2000 Growth Index Fund

62

 

About Your Fund’s Expenses
As a shareholder of the fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund.
A fund’s expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing costs (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period.
The accompanying table illustrates your fund’s costs in two ways:
Based on actual fund return. This section helps you to estimate the actual expenses that you paid over the period. The ”Ending Account Value“ shown is derived from the fund‘s actual return, and the third column shows the dollar amount that would have been paid by an investor who started with $1,000 in the fund. You may use the information here, together with the amount you invested, to estimate the expenses that you paid over the period.
To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund under the heading ”Expenses Paid During Period.“
Based on hypothetical 5% yearly return. This section is intended to help you compare your fund‘s costs with those of other mutual funds. It assumes that the fund had a yearly return of 5% before expenses, but that the expense ratio is unchanged. In this case—because the return used is not the fund’s actual return—the results do not apply to your investment. The example is useful in making comparisons because the Securities and Exchange Commission requires all mutual funds to calculate expenses based on a 5% return. You can assess your fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds.
Note that the expenses shown in the table are meant to highlight and help you compare ongoing costs only and do not reflect transaction costs incurred by the fund for buying and selling securities. Further, the expenses do not include any purchase, redemption, or account service fees described in the fund prospectus. If such fees were applied to your account, your costs would be higher. Your fund does not carry a “sales load.”
The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions.
You can find more information about the fund’s expenses, including annual expense ratios, in the Financial Statements section of this report. For additional information on operating expenses and other shareholder costs, please refer to your fund’s current prospectus.
1

 

Six Months Ended February 28, 2022      
  Beginning
Account Value
8/31/2021
Ending
Account Value
2/28/2022
Expenses
Paid During
Period
Based on Actual Fund Return      
Russell 2000 Index Fund      
ETF Shares $1,000.00 $905.20 $0.47
Institutional Shares 1,000.00 905.20 0.38
Russell 2000 Value Index Fund      
ETF Shares $1,000.00 $978.20 $0.74
Institutional Shares 1,000.00 978.50 0.39
Russell 2000 Growth Index Fund      
ETF Shares $1,000.00 $836.20 $0.68
Institutional Shares 1,000.00 836.40 0.36
Based on Hypothetical 5% Yearly Return      
Russell 2000 Index Fund      
ETF Shares $1,000.00 $1,024.30 $0.50
Institutional Shares 1,000.00 1,024.40 0.40
Russell 2000 Value Index Fund      
ETF Shares $1,000.00 $1,024.05 $0.75
Institutional Shares 1,000.00 1,024.40 0.40
Russell 2000 Growth Index Fund      
ETF Shares $1,000.00 $1,024.05 $0.75
Institutional Shares 1,000.00 1,024.40 0.40
The calculations are based on expenses incurred in the most recent six-month period. The funds' annualized six-month expense ratios for that period are: for the Russell 2000 Index Fund, 0.10% for ETF Shares and 0.08% for Institutional Shares; for the Russell 2000 Value Index Fund, 0.15% for ETF Shares and 0.08% for Institutional Shares; and for the Russell 2000 Growth Index Fund, 0.15% for ETF Shares and 0.08% for Institutional Shares. The dollar amounts shown as “Expenses Paid" are equal to the annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent six-month period, then divided by the number of days in the most recent 12-month period (181/365).
2

 

Russell 2000 Index Fund
Fund Allocation
As of February 28, 2022
Basic Materials 4.0%
Consumer Discretionary 14.3
Consumer Staples 3.1
Energy 5.9
Financials 16.7
Health Care 16.1
Industrials 15.3
Real Estate 7.5
Technology 12.2
Telecommunications 1.7
Utilities 3.2
Other 0.0
The table reflects the fund’s investments, except short-term investments and derivatives. Sector categories are based on the Industry Classification Benchmark (“ICB”), except for the “Other” category (if applicable), which includes securities that have not been provided an ICB classification as of the effective reporting period.
The fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.
The Industry Classification Benchmark (“ICB”) is owned by FTSE. FTSE does not accept any liability to any person for any loss or damage arising out of any error or omission in the ICB.
3

 

Russell 2000 Index Fund
Financial Statements (unaudited)
Schedule of Investments
As of February 28, 2022
The fund files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) for the first and third quarters of each fiscal year as an exhibit to its reports on Form N-PORT. The fund’s Form N-PORT reports are available on the SEC’s website at www.sec.gov.
    Shares Market
Value

($000)
Common Stocks (99.4%)
Basic Materials (4.0%)
* RBC Bearings Inc.    75,551    14,646
  UFP Industries Inc.   162,774    13,958
  Avient Corp.   246,050    12,891
  Commercial Metals Co.   324,588    12,513
  Balchem Corp.    87,084    12,047
  Cabot Corp.   151,544    11,087
* Livent Corp.   437,301    10,298
  Sensient Technologies Corp.   114,343     9,391
*,1 MP Materials Corp.   205,071     9,355
* Arconic Corp.   288,293     8,851
  Mueller Industries Inc.   151,701     8,655
  Boise Cascade Co.   106,338     8,501
  Hecla Mining Co. 1,434,478     8,263
* Ingevity Corp.   107,206     7,315
  Quaker Chemical Corp.    36,453     6,766
* Constellium SE Class A   336,149     6,531
  Innospec Inc.    66,240     6,326
  Tronox Holdings plc Class A   309,357     6,280
  Minerals Technologies Inc.    89,534     6,266
  Stepan Co.    58,286     6,040
  Trinseo plc   105,271     5,470
  GrafTech International Ltd.   540,944     5,453
  Compass Minerals International Inc.    92,523     5,424
  Worthington Industries Inc.    89,315     5,093
  Carpenter Technology Corp.   128,538     4,935
  Materion Corp.    55,106     4,604
* Novagold Resources Inc.   640,750     4,472
* GCP Applied Technologies Inc.   133,016     4,201
  Kaiser Aluminum Corp.    42,687     4,119
* Kraton Corp.    84,998     3,923
*,1 Energy Fuels Inc.   417,881     3,414
  Schnitzer Steel Industries Inc. Class A    70,113     3,411
* Century Aluminum Co.   138,635     3,275
* Coeur Mining Inc.   691,422     2,973
  AdvanSix Inc.    73,857     2,959
* US Silica Holdings Inc.   198,476     2,870
* Uranium Energy Corp.   691,597     2,759
  Schweitzer-Mauduit International Inc.    84,686     2,644
    Shares Market
Value

($000)
  Orion Engineered Carbons SA   163,489     2,541
  Hawkins Inc.    51,910     2,349
* TimkenSteel Corp.   124,343     2,242
* Amyris Inc.   477,891     2,179
  Verso Corp. Class A    71,827     1,904
  Neenah Inc.    45,655     1,778
  Glatfelter Corp.   118,553     1,629
  Koppers Holdings Inc.    56,133     1,607
* Intrepid Potash Inc.    26,704     1,519
  Ecovyst Inc.   138,482     1,514
* Clearwater Paper Corp.    44,575     1,285
  Haynes International Inc.    33,682     1,231
  Omega Flex Inc.     8,402     1,220
  American Vanguard Corp.    78,947     1,190
*,1 Meta Materials Inc.   548,721     1,180
  Ryerson Holding Corp.    44,117     1,152
* Alto Ingredients Inc.   192,577     1,123
* Rayonier Advanced Materials Inc.   166,435       977
* Zymergen Inc.   218,063       835
  Tredegar Corp.    71,806       826
* Northwest Pipe Co.    26,153       745
* Ur-Energy Inc.   496,006       734
* Unifi Inc.    37,962       713
  Olympic Steel Inc.    25,528       683
  FutureFuel Corp.    70,738       521
* Gatos Silver Inc.   124,952       421
* Perpetua Resources Corp.    86,199       310
* NN Inc.   117,118       303
* Polymet Mining Corp.    79,153       215
* Marrone Bio Innovations Inc.   274,694       189
  Valhi Inc.     6,772       172
        293,266
Consumer Discretionary (14.2%)
*,1 AMC Entertainment Holdings Inc. Class A 1,394,457    26,299
* BJ's Wholesale Club Holdings Inc.   370,365    23,285
  Macy's Inc.   848,875    22,003
* Avis Budget Group Inc.   111,671    20,485
  Texas Roadhouse Inc. Class A   189,103    17,948
* Scientific Games Corp. Class A   259,824    16,348
  TEGNA Inc.   597,565    13,696
* Fox Factory Holding Corp.   114,151    13,472
* Helen of Troy Ltd.    65,078    13,385
4

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
* Crocs Inc.   157,462    13,184
* Asbury Automotive Group Inc.    62,576    12,147
* Hilton Grand Vacations Inc.   230,931    11,976
  Murphy USA Inc.    65,316    11,805
  Wingstop Inc.    80,593    11,714
* Goodyear Tire & Rubber Co.   746,955    11,570
* Adient plc   256,066    11,459
  Signet Jewelers Ltd.   142,859    10,072
* Meritage Homes Corp.    99,924     9,851
* SeaWorld Entertainment Inc.   139,255     9,663
  Papa John's International Inc.    89,399     9,550
* Taylor Morrison Home Corp. Class A   323,600     9,546
* Skyline Champion Corp.   141,824     9,536
  Steven Madden Ltd.   218,114     9,305
* Visteon Corp.    75,057     9,020
* Sonos Inc.   325,106     8,905
  American Eagle Outfitters Inc.   411,548     8,675
  Group 1 Automotive Inc.    47,486     8,639
  Cracker Barrel Old Country Store Inc.    63,997     8,593
  LCI Industries    66,925     8,334
  KB Home   214,866     8,296
  International Game Technology plc   269,820     8,262
  Red Rock Resorts Inc. Class A   161,289     8,110
* National Vision Holdings Inc.   220,325     8,079
  MillerKnoll Inc.   200,649     7,801
* Callaway Golf Co.   312,430     7,730
* Gentherm Inc.    89,919     7,629
* Shake Shack Inc. Class A   101,190     7,561
* LGI Homes Inc.    58,366     7,362
  Dana Inc.   392,342     7,305
* Allegiant Travel Co.    41,461     7,218
* Houghton Mifflin Harcourt Co.   343,049     7,187
  Kontoor Brands Inc.   140,279     6,949
* Boot Barn Holdings Inc.    78,945     6,870
  MDC Holdings Inc.   154,269     6,840
* Cavco Industries Inc.    24,910     6,791
* Academy Sports & Outdoors Inc.   209,746     6,789
* Tri Pointe Homes Inc.   301,254     6,739
* Dorman Products Inc.    71,235     6,655
* Spirit Airlines Inc.   265,121     6,649
* Overstock.com Inc.   115,961     6,598
* iHeartMedia Inc. Class A   302,109     6,480
  Graham Holdings Co. Class B    10,345     6,219
* KAR Auction Services Inc.   326,306     6,024
* Abercrombie & Fitch Co. Class A   157,921     6,014
  Rush Enterprises Inc. Class A   114,565     5,951
  Bloomin' Brands Inc.   239,476     5,894
  John Wiley & Sons Inc. Class A   116,427     5,857
* Vista Outdoor Inc.   155,285     5,660
  Winnebago Industries Inc.    87,392     5,599
    Shares Market
Value

($000)
* Madison Square Garden Entertainment Corp.    70,625     5,534
* ODP Corp.   124,471     5,477
* Everi Holdings Inc.   231,021     5,406
* PROG Holdings Inc.   176,331     5,403
  Gray Television Inc.   230,334     5,397
*,1 Fisker Inc.   441,770     5,390
* Cheesecake Factory Inc.   124,556     5,330
* Sally Beauty Holdings Inc.   304,075     5,254
* Knowles Corp.   240,748     5,243
* Brinker International Inc.   122,766     5,222
  Century Communities Inc.    81,008     5,162
* Cinemark Holdings Inc.   292,167     5,125
* Urban Outfitters Inc.   185,100     5,092
  Jack in the Box Inc.    58,881     5,080
* Cardlytics Inc.    87,370     5,067
* Dave & Buster's Entertainment Inc.   116,792     5,062
  Rent-A-Center Inc.   177,935     5,055
  Wolverine World Wide Inc.   219,239     5,049
* Central Garden & Pet Co. Class A   109,067     4,803
  HNI Corp.   117,665     4,788
*,1 Bed Bath & Beyond Inc.   274,010     4,628
* Revolve Group Inc.    97,091     4,605
  PriceSmart Inc.    63,318     4,604
* Lions Gate Entertainment Corp. Class B   319,099     4,547
* iRobot Corp.    72,339     4,497
  Inter Parfums Inc.    48,384     4,494
  Monro Inc.    89,465     4,176
  Acushnet Holdings Corp.    92,491     4,051
* Coursera Inc.   196,754     4,000
  Dillard's Inc. Class A    15,782     3,957
* Sleep Number Corp.    59,809     3,929
* Malibu Boats Inc. Class A    56,080     3,907
  Strategic Education Inc.    65,950     3,892
  Oxford Industries Inc.    43,388     3,835
* M/I Homes Inc.    77,328     3,812
* SkyWest Inc.   134,545     3,782
* Stride Inc.   112,135     3,765
  Sinclair Broadcast Group Inc. Class A   124,107     3,723
  Dine Brands Global Inc.    43,956     3,685
* Clear Channel Outdoor Holdings Inc.   981,654     3,671
* Tenneco Inc. Class A   183,794     3,544
* XPEL Inc.    48,494     3,521
  La-Z-Boy Inc.   118,960     3,471
  Camping World Holdings Inc. Class A   112,716     3,462
* elf Beauty Inc.   130,356     3,445
* EW Scripps Co. Class A   154,704     3,444
  Sturm Ruger & Co. Inc.    46,308     3,353
* G-III Apparel Group Ltd.   119,104     3,304
* AMC Networks Inc. Class A    78,402     3,250
  Franchise Group Inc.    76,692     3,233
* Bally's Corp.    88,133     3,175
  Sonic Automotive Inc. Class A    58,548     3,145
* Clean Energy Fuels Corp.   418,180     3,040
  Big Lots Inc.    86,783     3,017
* GoPro Inc. Class A   348,851     3,000
  Scholastic Corp.    71,227     2,997
* Cars.com Inc.   184,651     2,988
 
5

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
  Laureate Education Inc. Class A   267,710     2,902
  Buckle Inc.    80,582     2,901
  Steelcase Inc. Class A   234,932     2,859
* American Axle & Manufacturing Holdings Inc.   303,853     2,814
* Adtalem Global Education Inc.   134,012     2,785
* Imax Corp.   134,542     2,782
  Matthews International Corp. Class A    83,436     2,768
* Stitch Fix Inc. Class A   220,588     2,768
* Monarch Casino & Resort Inc.    35,485     2,764
  Arko Corp.   325,050     2,714
* Denny's Corp.   166,880     2,640
* Golden Entertainment Inc.    46,341     2,638
* Hawaiian Holdings Inc.   136,138     2,611
* MarineMax Inc.    56,944     2,606
* Zumiez Inc.    57,705     2,567
* Genesco Inc.    39,992     2,565
* Liberty Media Corp.- Liberty Braves Class C   101,865     2,516
  Standard Motor Products Inc.    56,353     2,463
*,1 Blink Charging Co.    98,779     2,428
* Lions Gate Entertainment Corp. Class A   156,661     2,406
* Tupperware Brands Corp.   131,944     2,405
* Children's Place Inc.    37,984     2,391
  Guess? Inc.   108,339     2,373
* Sun Country Airlines Holdings Inc.    87,260     2,360
  Smith & Wesson Brands Inc.   129,746     2,287
* PowerSchool Holdings Inc. Class A   144,866     2,282
  Ruth's Hospitality Group Inc.    88,648     2,199
  Winmark Corp.     9,393     2,125
* Designer Brands Inc. Class A   162,718     2,123
* Arlo Technologies Inc.   226,964     2,106
  Caleres Inc.    99,638     2,068
* 2U Inc.   195,961     2,058
  Carriage Services Inc. Class A    41,724     2,053
  Interface Inc. Class A   156,909     2,048
* Accel Entertainment Inc. Class A   152,298     1,994
* Perdoceo Education Corp.   189,135     1,980
* BJ's Restaurants Inc.    60,943     1,954
* Green Brick Partners Inc.    83,387     1,934
* RealReal Inc.   214,920     1,915
* Viad Corp.    54,538     1,906
* Gannett Co. Inc.   380,801     1,889
  Hibbett Inc.    40,299     1,817
  Aaron's Co. Inc.    84,595     1,776
* Chuy's Holdings Inc.    53,546     1,746
* Fossil Group Inc.   128,780     1,741
  A-Mark Precious Metals Inc.    24,271     1,740
*,1 Corsair Gaming Inc.    73,877     1,705
  Movado Group Inc.    42,185     1,663
*,1 Canoo Inc.   286,020     1,642
* Life Time Group Holdings Inc.   105,155     1,635
    Shares Market
Value

($000)
  Clarus Corp.    71,402     1,626
* Quotient Technology Inc.   242,895     1,613
*,1 Portillo's Inc. Class A    63,846     1,600
  Ethan Allen Interiors Inc.    60,794     1,584
* America's Car-Mart Inc.    16,287     1,566
* Boston Omaha Corp. Class A    54,807     1,534
* Chico's FAS Inc.   325,522     1,530
* QuinStreet Inc.   135,607     1,526
* Latham Group Inc.    85,843     1,501
* OneSpaWorld Holdings Ltd.   144,726     1,496
* Rush Street Interactive Inc.   142,064     1,468
* Lindblad Expeditions Holdings Inc.    82,600     1,465
* Lovesac Co.    34,428     1,463
  RCI Hospitality Holdings Inc.    22,465     1,458
* Master Craft Boat Holdings Inc.    50,502     1,446
* WW International Inc.   141,418     1,441
* TravelCenters of America Inc.    33,647     1,421
  OneWater Marine Inc. Class A    27,879     1,417
  Shoe Carnival Inc.    47,616     1,388
* Hovnanian Enterprises Inc. Class A    14,063     1,352
* Sportsman's Warehouse Holdings Inc.   117,479     1,340
* Beazer Homes USA Inc.    79,054     1,294
* Party City Holdco Inc.   298,343     1,292
* Stagwell Inc.   167,514     1,270
* Funko Inc. Class A    72,551     1,267
* Central Garden & Pet Co.    26,728     1,265
  Haverty Furniture Cos. Inc.    44,054     1,252
* LL Flooring Holdings Inc.    77,658     1,247
* Liquidity Services Inc.    71,423     1,231
*,1 Frontier Group Holdings Inc.    93,714     1,207
  Johnson Outdoors Inc. Class A    14,149     1,167
* Stoneridge Inc.    70,341     1,161
* Universal Electronics Inc.    34,212     1,137
* Marcus Corp.    62,265     1,132
* Selectquote Inc.   361,574     1,125
* 1-800-Flowers.com Inc. Class A    71,961     1,114
* AMMO Inc.   235,177     1,108
* CarParts.com Inc.   131,626     1,102
* Bluegreen Vacations Holding Class A    38,630     1,095
  Global Industrial Co.    34,391     1,093
*,1 Lordstown Motors Corp. Class A   416,345     1,070
* Daily Journal Corp.     3,251     1,051
  Entravision Communications Corp. Class A   162,794     1,042
* American Public Education Inc.    50,784     1,014
  Del Taco Restaurants Inc.    80,555     1,005
* Audacy Inc. Class A   323,097     1,002
* Turtle Beach Corp.    41,365       983
  Cato Corp. Class A    54,109       952
 
6

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
* Golden Nugget Online Gaming Inc.   108,844       936
1 Big 5 Sporting Goods Corp.    56,251       932
* Purple Innovation Inc. Class A   154,503       930
1 Krispy Kreme Inc.    60,570       903
  Kimball International Inc. Class B    97,267       902
* Century Casinos Inc.    73,206       900
*,1 Vuzix Corp.   157,830       893
* Conn's Inc.    48,321       886
* European Wax Center Inc. Class A    35,564       884
* Citi Trends Inc.    23,296       869
* Integral Ad Science Holding Corp.    46,447       869
* F45 Training Holdings Inc.    55,255       850
  Rush Enterprises Inc. Class B    16,865       827
* Motorcar Parts of America Inc.    51,105       825
  Tilly's Inc. Class A    61,777       785
* Full House Resorts Inc.    87,671       772
* Container Store Group Inc.    85,183       752
* Red Robin Gourmet Burgers Inc.    42,793       751
* Noodles & Co. Class A   109,338       748
* Instructure Holdings Inc.    32,961       739
* Snap One Holdings Corp.    36,519       717
  Rocky Brands Inc.    18,433       710
* El Pollo Loco Holdings Inc.    52,041       691
*,1 Genius Brands International Inc.   773,353       687
* Lands' End Inc.    39,358       668
* Barnes & Noble Education Inc.   121,594       666
  Hooker Furnishings Corp.    31,388       659
* ONE Group Hospitality Inc.    55,811       655
  Superior Group of Cos. Inc.    31,453       645
* Alta Equipment Group Inc.    50,814       641
*,1 Romeo Power Inc.   346,564       634
* Thryv Holdings Inc.    20,681       629
* PlayAGS Inc.    74,863       627
* NEOGAMES SA    27,575       623
* Liberty Media Corp.- Liberty Braves Class A    23,868       612
* Traeger Inc.    61,960       612
* American Outdoor Brands Inc.    38,869       608
* Eastman Kodak Co.   122,708       585
* Kura Sushi USA Inc. Class A    10,862       572
* Cooper-Standard Holdings Inc.    44,616       568
* Legacy Housing Corp.    21,830       556
1 Weber Inc. Class A    47,646       544
* Xponential Fitness Inc. Class A    25,624       537
* Vera Bradley Inc.    70,838       536
* Kirkland's Inc.    35,709       494
* Fiesta Restaurant Group Inc.    48,493       488
    Shares Market
Value

($000)
* Udemy Inc.    36,969       488
  National CineMedia Inc.   161,797       481
* VOXX International Corp. Class A    42,757       459
* Duluth Holdings Inc. Class B    32,576       454
  Lifetime Brands Inc.    34,220       448
  Bassett Furniture Industries Inc.    25,396       446
*,1 Arcimoto Inc.    75,243       442
  Nathan's Famous Inc.     7,553       439
* First Watch Restaurant Group Inc.    30,112       437
* Liberty TripAdvisor Holdings Inc. Class A   199,653       423
* Mesa Air Group Inc.    93,822       408
* CarLotz Inc.   198,432       401
* Nautilus Inc.    81,888       399
  Flexsteel Industries Inc.    18,124       391
* Lazydays Holdings Inc.    20,538       374
  Escalade Inc.    27,051       358
1 JOANN Inc.    31,449       358
*,1 Shift Technologies Inc.   170,258       344
*,1 Solo Brands Inc. Class A    31,167       329
  Hamilton Beach Brands Holding Co. Class A    20,399       308
* Biglari Holdings Inc. Class B     2,203       303
* Torrid Holdings Inc.    34,464       302
* Drive Shack Inc.   226,278       301
* Outbrain Inc.    22,623       295
* Eros STX Global Corp.    87,477       277
*,1 Rent the Runway Inc. Class A    45,350       275
  Marine Products Corp.    21,675       262
* CuriosityStream Inc.    71,467       262
*,1 Esports Technologies Inc.    30,094       249
  Carrols Restaurant Group Inc.    91,655       242
* Emerald Holding Inc.    66,389       238
* Stonemor Inc.    88,235       229
*,1 Aterian Inc.    70,065       209
* Regis Corp.   113,352       205
* Chicken Soup For The Soul Entertainment Inc.    19,827       192
* Revlon Inc. Class A    19,537       189
* aka Brands Holding Corp.    24,985       188
* Landsea Homes Corp.    28,398       185
*,1 XL Fleet Corp.    93,856       183
* Fluent Inc.   121,472       172
* Hall of Fame Resort & Entertainment Co.   150,662       160
* Lulu's Fashion Lounge Holdings Inc.    15,083       150
  NL Industries Inc.    21,940       140
*,1 LiveOne Inc.   163,260       140
* HyreCar Inc.    47,673       130
*,1 Dutch Bros Inc. Class A     1,989        96
  CompX International Inc.     4,275        94
*,1 Sweetgreen Inc. Class A     2,581        65
* Arhaus Inc.     9,054        60
* Brilliant Earth Group Inc. Class A     4,279        39
* Digital Media Solutions Inc. Class A     7,973        27
* Allbirds Inc. Class A     1,797        14
      1,040,773
 
7

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
Consumer Staples (3.1%)
* Performance Food Group Co.   409,628    22,956
  Sanderson Farms Inc.    54,848     9,795
* Celsius Holdings Inc.   145,550     9,299
* Simply Good Foods Co.   229,837     9,108
* Sprouts Farmers Market Inc.   304,454     8,671
  Lancaster Colony Corp.    51,302     8,630
* Hostess Brands Inc. Class A   373,727     8,050
  WD-40 Co.    36,935     7,826
  J & J Snack Foods Corp.    39,831     6,521
  Coca-Cola Consolidated Inc.    12,762     6,342
  Nu Skin Enterprises Inc. Class A   134,129     6,222
  Primo Water Corp.   424,385     6,171
  Energizer Holdings Inc.   183,577     6,130
* United Natural Foods Inc.   150,558     6,057
  Medifast Inc.    31,080     5,781
* TreeHouse Foods Inc.   140,569     5,517
  Edgewell Personal Care Co.   146,505     5,227
  B&G Foods Inc.   172,893     5,118
  Cal-Maine Foods Inc.   110,036     4,871
* Beauty Health Co.   232,934     4,514
  Vector Group Ltd.   388,386     4,354
  Andersons Inc.    85,025     3,877
  Universal Corp.    65,006     3,517
  Ingles Markets Inc. Class A    37,894     3,116
  MGP Ingredients Inc.    38,158     3,038
* USANA Health Sciences Inc.    32,410     2,852
  National Beverage Corp.    63,441     2,792
* Chefs' Warehouse Inc.    84,511     2,776
*,1 BellRing Brands Inc. Class A   107,573     2,751
  Weis Markets Inc.    44,263     2,730
  SpartanNash Co.    96,631     2,719
  Utz Brands Inc.   159,438     2,431
  Fresh Del Monte Produce Inc.    90,341     2,338
  ACCO Brands Corp.   251,530     2,163
* Hydrofarm Holdings Group Inc.   104,890     2,124
  Calavo Growers Inc.    46,238     1,974
  John B Sanfilippo & Son Inc.    24,081     1,915
* Duckhorn Portfolio Inc.    97,085     1,905
*,1 Tattooed Chef Inc.   127,513     1,548
  PetMed Express Inc.    54,763     1,476
  Tootsie Roll Industries Inc.    41,310     1,394
*,1 Rite Aid Corp.   150,113     1,375
* Honest Co. Inc.   230,411     1,332
  Turning Point Brands Inc.    39,206     1,314
* Mission Produce Inc.    99,820     1,296
*,1 GrowGeneration Corp.   148,761     1,251
*,1 PLBY Group Inc.    77,699     1,237
*,1 22nd Century Group Inc.   432,985     1,013
* Veru Inc.   172,611       965
* Whole Earth Brands Inc.   100,640       955
* Vital Farms Inc.    66,761       951
* Sovos Brands Inc.    69,743       847
* Landec Corp.    71,743       827
* Seneca Foods Corp. Class A    16,578       825
    Shares Market
Value

($000)
*,1 AppHarvest Inc.   191,215       730
  Limoneira Co.    42,419       619
* HF Foods Group Inc.    98,045       613
  Nature's Sunshine Products Inc.    32,468       569
  Village Super Market Inc. Class A    23,431       534
  Oil-Dri Corp. of America    14,298       442
  Natural Grocers by Vitamin Cottage Inc.    25,657       435
* Vita Coco Co. Inc.    29,197       338
*,1 NewAge Inc.   365,521       247
* AquaBounty Technologies Inc.   143,736       229
* Zevia PBC Class A    27,669       173
*,1 Laird Superfood Inc.    17,269       106
* MedAvail Holdings Inc.    32,186        39
* Greenlane Holdings Inc. Class A    44,596        24
* Real Good Food Co. Inc.     2,268        14
        225,896
Energy (5.9%)
  Ovintiv Inc. (XNYS)   708,296    32,475
  Chesapeake Energy Corp.   283,721    21,917
* Antero Resources Corp.   773,241    17,730
  PDC Energy Inc.   263,506    17,001
* Range Resources Corp.   646,156    14,829
  Matador Resources Co.   298,952    14,828
  Murphy Oil Corp.   395,621    13,716
* Southwestern Energy Co. 2,746,382    13,704
  ChampionX Corp.   547,714    11,727
  SM Energy Co.   323,845    11,500
  Helmerich & Payne Inc.   284,298    10,300
* Denbury Inc.   136,167     9,894
* CNX Resources Corp.   566,242     9,252
  California Resources Corp.   219,368     9,045
  Magnolia Oil & Gas Corp. Class A   389,222     8,699
  Whiting Petroleum Corp.   106,389     7,857
  Cactus Inc. Class A   149,736     7,586
* Renewable Energy Group Inc.   120,716     7,424
  Patterson-UTI Energy Inc.   504,114     7,274
* Callon Petroleum Co.   128,560     7,246
  Oasis Petroleum Inc.    53,551     7,096
  Equitrans Midstream Corp. 1,104,016     7,077
  Arcosa Inc.   130,685     6,883
*,1 FuelCell Energy Inc.   997,955     5,988
  Civitas Resources Inc.   117,397     5,925
* Kosmos Energy Ltd. 1,211,132     5,886
* Ameresco Inc. Class A    83,579     5,370
  Arch Resources Inc.    40,810     4,872
  World Fuel Services Corp.   168,735     4,782
* Golar LNG Ltd.   273,607     4,761
* Centennial Resource Development Inc. Class A   498,162     4,374
  Warrior Met Coal Inc.   138,854     4,374
* PBF Energy Inc. Class A   259,833     4,318
* Green Plains Inc.   129,222     4,231
* Peabody Energy Corp.   240,290     4,167
* Oceaneering International Inc.   268,996     3,938
* Array Technologies Inc.   345,477     3,883
* SunPower Corp.   216,419     3,880
 
8

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
*,1 Tellurian Inc. 1,002,142     3,818
* NexTier Oilfield Solutions Inc.   467,147     3,719
  Northern Oil and Gas Inc.   141,078     3,538
* Liberty Oilfield Services Inc. Class A   245,488     3,064
* Delek US Holdings Inc.   177,274     3,054
  Archrock Inc.   363,425     3,035
* ProPetro Holding Corp.   233,065     2,976
* Stem Inc.   308,559     2,938
* CONSOL Energy Inc.    92,550     2,845
* NOW Inc.   298,150     2,785
* Dril-Quip Inc.    94,799     2,734
  Brigham Minerals Inc. Class A   117,907     2,686
* Laredo Petroleum Inc.    33,846     2,591
* Nabors Industries Ltd. (XNYS)    19,030     2,389
* MRC Global Inc.   217,356     2,195
* Bristow Group Inc.    63,933     2,119
* Comstock Resources Inc.   247,518     2,054
* Expro Group Holdings NV   125,748     2,023
* Ranger Oil Corp. Class A    57,034     1,925
*,1 Gevo Inc.   534,354     1,897
  Berry Corp.   182,114     1,821
  SunCoke Energy Inc.   224,379     1,779
* Par Pacific Holdings Inc.   120,930     1,645
* Tidewater Inc.   110,939     1,643
* RPC Inc.   181,971     1,596
* Talos Energy Inc.   100,909     1,585
* Helix Energy Solutions Group Inc.   386,722     1,566
* DMC Global Inc.    50,216     1,476
* Select Energy Services Inc. Class A   169,616     1,404
  CVR Energy Inc.    79,940     1,390
* REX American Resources Corp.    14,322     1,353
* TPI Composites Inc.    96,959     1,311
* W&T Offshore Inc.   252,782     1,229
* Crescent Energy Inc. Class A    79,948     1,211
* Centrus Energy Corp. Class A    26,042     1,179
* TETRA Technologies Inc.   330,311     1,057
* Aemetis Inc.    73,940       948
* Newpark Resources Inc.   244,738       923
* National Energy Services Reunited Corp.   102,664       915
  Solaris Oilfield Infrastructure Inc. Class A    86,054       895
* Earthstone Energy Inc. Class A    68,153       886
* Oil States International Inc.   165,897       868
* American Superconductor Corp.    75,595       642
* FTS International Inc. Class A    23,924       633
  Falcon Minerals Corp.   106,870       613
  Kinetik Holdings Inc.     8,795       598
* Matrix Service Co.    71,551       497
*,1 Beam Global    24,397       354
  HighPeak Energy Inc.    13,867       293
*,1 FTC Solar Inc.    52,125       246
  Riley Exploration Permian Inc.     6,534       219
    Shares Market
Value

($000)
*,1 Advent Technologies Holdings Inc.    42,068       109
* Nabors Industries Ltd. Warrants Exp. 6/11/26     5,784        81
* Fluence Energy Inc.     5,220        71
        433,230
Financials (16.6%)
  SouthState Corp.   188,802    16,992
  First Financial Bankshares Inc.   351,056    16,823
  Glacier Bancorp Inc.   297,925    16,505
  Cadence Bank   508,272    16,072
  Valley National Bancorp 1,082,483    15,122
  Old National Bancorp   796,026    14,551
  Houlihan Lokey Inc. Class A   138,073    14,202
  Blackstone Mortgage Trust Inc. Class A   425,066    13,509
  Selective Insurance Group Inc.   160,561    13,357
  United Bankshares Inc.   356,578    13,058
  Hancock Whitney Corp.   233,917    13,024
  Essent Group Ltd.   292,764    12,934
  Kinsale Capital Group Inc.    58,125    12,192
  UMB Financial Corp.   118,345    12,055
  ServisFirst Bancshares Inc.   134,831    11,782
  Radian Group Inc.   487,031    11,640
  RLI Corp.   108,079    10,970
  United Community Banks Inc.   283,303    10,952
  Walker & Dunlop Inc.    79,042    10,935
  Independent Bank Corp. (XNGS)   123,679    10,638
  BankUnited Inc.   240,554    10,632
  Community Bank System Inc.   144,799    10,562
  Investors Bancorp Inc.   618,822    10,359
  Eastern Bankshares Inc.   464,309    10,150
  Associated Banc-Corp.   402,006     9,805
  Pacific Premier Bancorp Inc.   253,103     9,798
  Home BancShares Inc.   411,736     9,639
  First Interstate BancSystem Inc. Class A   237,021     9,623
* Enstar Group Ltd.    33,493     9,547
* Silvergate Capital Corp. Class A    74,281     9,514
  Cathay General Bancorp   200,453     9,427
* Trupanion Inc.   103,047     9,236
* Texas Capital Bancshares Inc.   137,131     9,133
  Ameris Bancorp   179,901     8,905
  WSFS Financial Corp.   174,929     8,892
  Simmons First National Corp. Class A   307,788     8,778
* Mr Cooper Group Inc.   167,342     8,506
* Axos Financial Inc.   153,964     8,428
  American Equity Investment Life Holding Co.   223,289     8,416
  Atlantic Union Bankshares Corp.   203,701     8,276
  CVB Financial Corp.   349,476     8,241
  Federated Hermes Inc.   251,345     8,211
* Focus Financial Partners Inc. Class A   161,092     8,061
 
9

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
  CNO Financial Group Inc.   332,684     8,041
  Moelis & Co. Class A   165,430     7,975
  Independent Bank Group Inc.   101,746     7,850
  Chimera Investment Corp.   637,690     7,761
  Columbia Banking System Inc.   211,836     7,760
  Fulton Financial Corp.   429,930     7,747
  FirstCash Holdings Inc.   107,366     7,735
  First BanCorp. (XNYS)   547,260     7,727
  Navient Corp.   427,955     7,536
  Hamilton Lane Inc. Class A    94,334     7,367
  Piper Sandler Cos.    47,315     7,003
  Arbor Realty Trust Inc.   388,567     6,994
  First Merchants Corp.   154,057     6,738
*,1 Marathon Digital Holdings Inc.   257,553     6,529
  Flagstar Bancorp Inc.   140,636     6,410
* Triumph Bancorp Inc.    63,550     6,375
  International Bancshares Corp.   145,055     6,239
  Washington Federal Inc.   175,181     6,233
  First Financial Bancorp   250,243     6,151
* Cannae Holdings Inc.   228,638     6,139
  WesBanco Inc.   165,590     6,051
  Artisan Partners Asset Management Inc. Class A   158,384     6,036
* Open Lending Corp. Class A   281,141     5,856
  Sandy Spring Bancorp Inc.   120,843     5,690
  Banner Corp.    92,088     5,674
  Towne Bank   181,712     5,666
* Genworth Financial Inc. Class A 1,371,908     5,570
  Live Oak Bancshares Inc.    86,059     5,503
  Cohen & Steers Inc.    67,169     5,458
  Renasant Corp.   147,921     5,401
  Heartland Financial USA Inc.   108,763     5,397
  Hope Bancorp Inc.   312,503     5,300
  Trustmark Corp.   168,090     5,293
  Lakeland Financial Corp.    65,805     5,278
* NMI Holdings Inc. Class A   226,990     5,253
  Veritex Holdings Inc.   128,663     5,228
  Park National Corp.    38,888     5,213
* PRA Group Inc.   116,774     5,212
  Bank of NT Butterfield & Son Ltd.   135,634     5,208
* Encore Capital Group Inc.    78,699     5,193
  Hilltop Holdings Inc.   167,064     5,166
  Seacoast Banking Corp. of Florida   140,779     5,160
  Eagle Bancorp Inc.    85,502     5,123
* Customers Bancorp Inc.    80,700     4,967
* LendingClub Corp.   267,262     4,966
  Apollo Commercial Real Estate Finance Inc.   378,445     4,939
  Stewart Information Services Corp.    71,987     4,886
  PennyMac Financial Services Inc.    84,368     4,872
  Provident Financial Services Inc.   205,150     4,868
  MFA Financial Inc. 1,198,749     4,867
  Virtus Investment Partners Inc.    19,776     4,759
    Shares Market
Value

($000)
  Enterprise Financial Services Corp.    95,823     4,737
  Two Harbors Investment Corp.   930,797     4,710
  Horace Mann Educators Corp.   112,956     4,698
  Meta Financial Group Inc.    84,817     4,698
  Northwest Bancshares Inc.   331,304     4,665
  iStar Inc.   181,672     4,564
  NBT Bancorp Inc.   113,942     4,372
* Palomar Holdings Inc.    66,500     4,285
  Goosehead Insurance Inc. Class A    48,895     4,253
  Westamerica BanCorp.    70,407     4,177
  First Bancorp (XNGS)    92,900     4,169
* Riot Blockchain Inc.   240,472     4,143
* Bancorp Inc.   141,344     4,141
  PennyMac Mortgage Investment Trust   264,425     4,125
  First Commonwealth Financial Corp.   254,768     4,115
  Berkshire Hills Bancorp Inc.   132,116     4,109
  PJT Partners Inc. Class A    63,917     4,079
* Enova International Inc.    98,108     4,000
  FB Financial Corp.    89,868     3,994
  BGC Partners Inc. Class A   852,671     3,905
  Capitol Federal Financial Inc.   350,782     3,831
  American National Group Inc.    20,142     3,807
* LendingTree Inc.    31,433     3,804
  StepStone Group Inc. Class A   109,490     3,781
  Brightsphere Investment Group Inc.   156,998     3,748
  OFG Bancorp   132,645     3,738
  First Busey Corp.   135,784     3,727
  Nelnet Inc. Class A    45,819     3,691
  BancFirst Corp.    46,415     3,626
  Argo Group International Holdings Ltd.    85,765     3,617
  New York Mortgage Trust Inc. 1,025,972     3,601
  Brookline Bancorp Inc.   207,171     3,551
* BRP Group Inc. Class A   127,734     3,547
  OceanFirst Financial Corp.   157,397     3,523
  Ladder Capital Corp. Class A   306,531     3,513
  Southside Bancshares Inc.    84,219     3,511
  ProAssurance Corp.   145,377     3,504
  National Bank Holdings Corp. Class A    78,630     3,490
  Stock Yards Bancorp Inc.    65,056     3,479
* StoneX Group Inc.    45,250     3,414
  ConnectOne Bancorp Inc.   100,560     3,318
  B Riley Financial Inc.    54,684     3,256
  Safety Insurance Group Inc.    39,017     3,256
  S&T Bancorp Inc.   104,500     3,249
  Redwood Trust Inc.   310,643     3,228
  TriCo Bancshares    74,278     3,224
  City Holding Co.    40,306     3,211
* Nicolet Bankshares Inc.    33,675     3,208
  Dime Community Bancshares Inc.    93,279     3,171
 
10

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
  Federal Agricultural Mortgage Corp. Class C    24,750     3,062
  Premier Financial Corp.    99,752     3,059
  Tompkins Financial Corp.    38,049     3,010
  Broadmark Realty Capital Inc.   347,581     3,010
  Lakeland Bancorp Inc.   165,630     2,988
  Employers Holdings Inc.    75,606     2,938
  Preferred Bank    37,097     2,911
  Banc of California Inc.   147,789     2,904
  First Foundation Inc.   107,080     2,856
  HomeStreet Inc.    53,810     2,769
  Origin Bancorp Inc.    59,871     2,765
* Metropolitan Bank Holding Corp.    26,403     2,700
  German American Bancorp Inc.    66,453     2,644
  James River Group Holdings Ltd.    98,735     2,626
* Blucora Inc.   131,314     2,613
* MoneyGram International Inc.   241,688     2,596
* TriState Capital Holdings Inc.    77,829     2,584
  Ellington Financial Inc.   145,963     2,579
  State Auto Financial Corp.    48,171     2,505
  Washington Trust Bancorp Inc.    45,983     2,495
  Heritage Financial Corp.    93,467     2,451
  AMERISAFE Inc.    51,622     2,431
  Kearny Financial Corp.   183,199     2,420
  Ready Capital Corp.   161,504     2,398
  Amerant Bancorp Inc.    72,642     2,357
  Horizon Bancorp Inc.   115,281     2,315
* World Acceptance Corp.    11,638     2,287
  QCR Holdings Inc.    40,890     2,284
* Columbia Financial Inc.   106,133     2,254
  Univest Financial Corp.    77,689     2,251
  1st Source Corp.    45,778     2,211
  Allegiance Bancshares Inc.    51,084     2,189
  Hanmi Financial Corp.    82,473     2,154
  Central Pacific Financial Corp.    73,590     2,148
  Peoples Bancorp Inc.    68,507     2,143
  Cowen Inc. Class A    71,451     2,119
  WisdomTree Investments Inc.   364,471     2,052
  KKR Real Estate Finance Trust Inc.    95,533     2,051
  Brightspire Capital Inc. Class A   227,313     2,014
* CrossFirst Bankshares Inc.   125,909     1,981
* MBIA Inc.   129,803     1,979
  ARMOUR Residential REIT Inc.   240,873     1,958
  First Bancorp Inc. (XNMS)    54,462     1,923
  TPG RE Finance Trust Inc.   162,176     1,920
  HarborOne Bancorp Inc.   128,824     1,905
  Camden National Corp.    39,513     1,879
  Heritage Commerce Corp.   157,852     1,877
  Flushing Financial Corp.    79,669     1,871
  Northfield Bancorp Inc.   118,503     1,860
  Invesco Mortgage Capital Inc.   847,583     1,848
  Byline Bancorp Inc.    67,418     1,838
    Shares Market
Value

($000)
  Peapack-Gladstone Financial Corp.    48,230     1,819
  First Mid Bancshares Inc.    44,686     1,791
  Community Trust Bancorp Inc.    42,071     1,779
* SiriusPoint Ltd.   239,191     1,768
  TrustCo Bank Corp. NY    50,638     1,730
* Atlantic Capital Bancshares Inc.    53,263     1,723
  Great Southern Bancorp Inc.    27,667     1,699
  Midland States Bancorp Inc.    57,163     1,678
  Cambridge Bancorp    18,365     1,619
  Granite Point Mortgage Trust Inc.   143,926     1,615
  Diamond Hill Investment Group Inc.     8,205     1,591
* Ambac Financial Group Inc.   122,567     1,573
  United Fire Group Inc.    56,774     1,568
  Mercantile Bank Corp.    41,035     1,513
  Dynex Capital Inc.    97,238     1,495
  CBTX Inc.    49,681     1,493
  National Western Life Group Inc. Class A     6,936     1,480
  Bank of Marin Bancorp    41,575     1,468
  First Financial Corp.    30,888     1,437
  Farmers National Banc Corp.    82,901     1,428
  Hingham Institution for Savings     3,911     1,407
  Financial Institutions Inc.    42,413     1,355
  Business First Bancshares Inc.    51,691     1,354
  First of Long Island Corp.    61,785     1,345
  Independent Bank Corp.    55,251     1,315
  First Community Bankshares Inc.    44,657     1,310
  Banco Latinoamericano de Comercio Exterior SA Class E    83,612     1,292
  Arrow Financial Corp.    37,306     1,281
  Franklin BSP Realty Trust Inc. REIT    96,551     1,274
  West BanCorp. Inc.    43,744     1,264
  Bank First Corp.    17,654     1,243
  Metrocity Bankshares Inc.    51,085     1,242
  First Internet Bancorp    25,030     1,223
* Coastal Financial Corp.    25,677     1,222
  HomeTrust Bancshares Inc.    40,288     1,212
1 Orchid Island Capital Inc.   364,991     1,201
  GCM Grosvenor Inc. Class A   119,819     1,197
  Capstar Financial Holdings Inc.    55,488     1,187
  Alerus Financial Corp.    41,012     1,179
* Carter Bankshares Inc.    70,102     1,168
  Equity Bancshares Inc. Class A    36,789     1,157
  Bar Harbor Bankshares    40,190     1,155
  Merchants Bancorp    39,764     1,151
* Assetmark Financial Holdings Inc.    48,961     1,150
  MidWestOne Financial Group Inc.    37,985     1,147
 
11

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
  Republic Bancorp Inc. Class A    24,978     1,146
* Southern First Bancshares Inc.    19,995     1,141
  CNB Financial Corp.    43,277     1,132
  Waterstone Financial Inc.    57,421     1,122
  Southern Missouri Bancorp Inc.    20,500     1,098
  Mid Penn Bancorp Inc.    38,620     1,081
  Old Second Bancorp Inc.    75,831     1,079
  American National Bankshares Inc.    27,876     1,076
  Oppenheimer Holdings Inc. Class A    24,855     1,073
  Regional Management Corp.    20,746     1,065
  MVB Financial Corp.    27,311     1,052
* Blue Foundry Bancorp    75,416     1,048
* eHealth Inc.    66,597     1,035
  Capital City Bank Group Inc.    36,591     1,027
  Five Star Bancorp    33,751     1,026
  Sierra Bancorp    38,040     1,021
  Citizens & Northern Corp.    40,978     1,015
  Enterprise Bancorp Inc.    24,911     1,004
  Spirit of Texas Bancshares Inc.    34,718       991
  Civista Bancshares Inc.    40,445       986
  SmartFinancial Inc.    37,390       976
* Bridgewater Bancshares Inc.    57,595       969
  HCI Group Inc.    15,369       957
  Primis Financial Corp.    65,759       940
* Oportun Financial Corp.    57,256       936
  RBB Bancorp    37,894       914
  Peoples Financial Services Corp.    18,882       902
  Universal Insurance Holdings Inc.    73,518       850
  First Bancorp Inc. (XNGS)    28,458       848
  Summit Financial Group Inc.    30,623       835
  Enact Holdings Inc.    40,040       833
  Tiptree Inc.    63,684       815
* EZCorp. Inc. Class A   132,364       793
  Home Bancorp Inc.    20,065       787
  South Plains Financial Inc.    28,163       779
  Guaranty Bancshares Inc.    21,866       765
  Sculptor Capital Management Inc. Class A    59,604       764
  Blue Ridge Bankshares Inc.    47,252       758
  Curo Group Holdings Corp.    55,143       737
  Orrstown Financial Services Inc.    29,535       721
  Northrim BanCorp Inc.    15,947       714
  Provident Bancorp Inc.    42,079       688
  Great Ajax Corp.    58,925       671
  Investors Title Co.     3,482       667
  Greenhill & Co. Inc.    37,560       664
  AFC Gamma Inc.    33,537       662
  Macatawa Bank Corp.    71,927       660
* Ocwen Financial Corp.    22,148       634
  PCSB Financial Corp.    33,890       631
  Amalgamated Financial Corp.    36,705       630
    Shares Market
Value

($000)
* Republic First Bancorp Inc.   121,143       629
  Red River Bancshares Inc.    12,277       629
  First Bank    42,812       624
  FS Bancorp Inc.    19,297       618
* Citizens Inc. Class A   136,734       581
  Luther Burbank Corp.    42,853       555
  Donegal Group Inc. Class A    39,771       543
  Fidelity D&D Bancorp Inc.    10,931       539
  Capital Bancorp Inc.    21,313       529
* Greenlight Capital Re Ltd. Class A    72,705       523
  HBT Financial Inc.    27,328       523
* Maiden Holdings Ltd.   190,361       464
* NI Holdings Inc.    23,732       426
  Pzena Investment Management Inc. Class A    44,464       410
  Heritage Insurance Holdings Inc.    71,920       401
* Trean Insurance Group Inc.    48,374       343
  Crawford & Co. Class A    44,174       341
* Pioneer Bancorp Inc.    31,883       337
* MetroMile Inc.   256,355       328
  Angel Oak Mortgage Inc.    19,557       318
* Velocity Financial LLC    24,025       307
  GAMCO Investors Inc. Class A    13,562       292
* Third Coast Bancshares Inc.     9,361       218
  United Insurance Holdings Corp.    54,081       198
  Associated Capital Group Inc. Class A     4,533       177
*,1 Finance of America Cos. Inc. Class A    49,968       162
  Value Line Inc.     2,686       159
* TPG Inc.     4,665       143
* P10 Inc. Class A     6,917        86
1 Home Point Capital Inc.    21,358        70
* Clearwater Analytics Holdings Inc. Class A     1,208        24
* Finwise Bancorp       932        20
* USCB Financial Holdings Inc.     1,466        19
      1,213,912
Health Care (15.9%)
* Tenet Healthcare Corp.   286,950    24,675
* Intellia Therapeutics Inc.   188,461    18,629
* Biohaven Pharmaceutical Holding Co. Ltd.   150,486    17,864
* Inspire Medical Systems Inc.    72,672    17,736
* Shockwave Medical Inc.    91,122    16,150
* Arena Pharmaceuticals Inc.   166,961    15,856
* Omnicell Inc.   118,312    15,295
* Halozyme Therapeutics Inc.   374,172    13,272
* Arrowhead Pharmaceuticals Inc.   273,947    12,054
* Medpace Holdings Inc.    78,271    11,973
  Ensign Group Inc.   142,030    11,936
* HealthEquity Inc.   221,100    11,875
* Intra-Cellular Therapies Inc.   213,103    11,823
 
12

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
  CONMED Corp.    78,494    11,473
* LivaNova plc   144,514    11,391
* LHC Group Inc.    82,571    11,244
* Option Care Health Inc.   429,666    11,042
* Beam Therapeutics Inc.   138,137    10,823
* Alkermes plc   432,854    10,761
* Neogen Corp.   290,566    10,373
* iRhythm Technologies Inc.    79,731    10,307
* STAAR Surgical Co.   128,235    10,172
* Blueprint Medicines Corp.   158,168     9,577
* Merit Medical Systems Inc.   138,531     9,009
* R1 RCM Inc.   321,200     8,733
* Lantheus Holdings Inc.   182,194     8,713
  Owens & Minor Inc.   195,724     8,641
* AtriCure Inc.   120,905     8,397
* Arvinas Inc.   127,218     8,245
* ACADIA Pharmaceuticals Inc.   323,579     8,222
* Apellis Pharmaceuticals Inc.   192,820     8,201
* Inari Medical Inc.    92,872     8,171
* BioCryst Pharmaceuticals Inc.   486,684     8,084
* Prestige Consumer Healthcare Inc.   135,352     8,057
* Denali Therapeutics Inc.   245,479     7,993
* Pacira BioSciences Inc.   119,132     7,945
* Haemonetics Corp.   136,386     7,871
* Insmed Inc.   319,382     7,633
* Cytokinetics Inc.   214,332     7,570
* Fate Therapeutics Inc.   218,925     7,564
* NuVasive Inc.   139,748     7,563
* Integer Holdings Corp.    88,631     7,433
* Twist Bioscience Corp.   127,396     7,127
* Axonics Inc.   123,633     7,017
  Patterson Cos. Inc.   231,194     6,913
  Select Medical Holdings Corp.   298,195     6,903
* Progyny Inc.   173,873     6,844
* Glaukos Corp.   122,830     6,794
* Nevro Corp.    93,562     6,708
* PTC Therapeutics Inc.   187,621     6,589
* NeoGenomics Inc.   306,055     6,553
* Karuna Therapeutics Inc.    60,010     6,301
* Pacific Biosciences of California Inc.   524,533     6,252
* Invitae Corp.   540,292     5,830
* Amicus Therapeutics Inc.   711,123     5,789
* Corcept Therapeutics Inc.   258,793     5,768
* Ortho Clinical Diagnostics Holdings plc Class H   325,277     5,754
* Evolent Health Inc. Class A   215,536     5,744
* Outset Medical Inc.   126,640     5,568
* Emergent BioSolutions Inc.   132,479     5,482
* CareDx Inc.   136,825     5,251
* Myriad Genetics Inc.   214,293     5,224
* Vericel Corp.   125,618     5,177
* Veracyte Inc.   182,484     5,073
* Global Blood Therapeutics Inc.   167,307     5,053
* IVERIC bio Inc.   310,481     4,980
* Zentalis Pharmaceuticals Inc.    98,426     4,910
* Apollo Medical Holdings Inc.   101,707     4,894
    Shares Market
Value

($000)
* MEDNAX Inc.   205,874     4,832
* Surgery Partners Inc.    91,806     4,799
* Xencor Inc.   152,506     4,775
* Avanos Medical Inc.   130,003     4,601
* Agios Pharmaceuticals Inc.   146,953     4,575
* Relay Therapeutics Inc.   188,592     4,547
* Arcus Biosciences Inc.   121,255     4,511
* SpringWorks Therapeutics Inc.    78,862     4,463
* ChemoCentryx Inc.   145,983     4,429
*,1 Cassava Sciences Inc.   103,482     4,399
* NanoString Technologies Inc.   122,695     4,351
* Travere Thrapeutics Inc.   159,330     4,343
* Ironwood Pharmaceuticals Inc. Class A   397,135     4,273
* Supernus Pharmaceuticals Inc.   132,590     4,236
* Phreesia Inc.   134,021     4,127
* Ligand Pharmaceuticals Inc.    40,697     4,119
* Vir Biotechnology Inc.   162,151     4,085
* Zogenix Inc.   151,310     3,973
* ModivCare Inc.    33,536     3,957
* Turning Point Therapeutics Inc.   124,201     3,932
* Multiplan Corp. 1,029,452     3,871
* Health Catalyst Inc.   141,196     3,829
* CorVel Corp.    23,909     3,803
* Heska Corp.    26,381     3,746
* Celldex Therapeutics Inc.   124,329     3,717
* Kymera Therapeutics Inc.    92,881     3,693
* Enanta Pharmaceuticals Inc.    52,114     3,670
* Dynavax Technologies Corp.   291,514     3,574
* Addus HomeCare Corp.    41,659     3,543
* Prometheus Biosciences Inc.    81,020     3,528
* Community Health Systems Inc.   334,871     3,519
*,1 Fulgent Genetics Inc.    56,489     3,519
* TG Therapeutics Inc.   349,419     3,449
* Silk Road Medical Inc.    92,648     3,440
* Brookdale Senior Living Inc.   499,117     3,434
*,1 Recursion Pharmaceuticals Inc. Class A   311,789     3,414
* 1Life Healthcare Inc.   315,318     3,409
* Prothena Corp. plc    97,694     3,380
* AdaptHealth Corp. Class A   193,836     3,379
* OPKO Health Inc. 1,079,140     3,378
* Avid Bioservices Inc.   163,344     3,345
* FibroGen Inc.   232,546     3,272
* Codexis Inc.   162,894     3,246
* Tivity Health Inc.   118,989     3,246
  Healthcare Services Group Inc.   202,390     3,202
  US Physical Therapy Inc.    34,572     3,180
* Editas Medicine Inc. Class A   184,901     3,166
* Krystal Biotech Inc.    48,496     3,082
* REVOLUTION Medicines Inc.   160,285     3,033
 
13

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
* RadNet Inc.   122,618     3,025
* NextGen Healthcare Inc.   154,753     3,022
* ImmunoGen Inc.   534,323     3,014
* Atara Biotherapeutics Inc.   234,277     3,010
* Madrigal Pharmaceuticals Inc.    31,678     2,941
* Protagonist Therapeutics Inc.   120,932     2,936
* Meridian Bioscience Inc.   115,038     2,910
* Cerevel Therapeutics Holdings Inc.   109,614     2,901
* Quanterix Corp.    83,354     2,812
* REGENXBIO Inc.   106,590     2,794
* Amphastar Pharmaceuticals Inc.   100,179     2,776
* Kura Oncology Inc.   170,815     2,711
  Atrion Corp.     3,771     2,698
* Cerus Corp.   454,356     2,667
* Revance Therapeutics Inc.   189,234     2,568
* Natus Medical Inc.    91,370     2,542
* Vaxcyte Inc.   108,821     2,521
* Alector Inc.   157,842     2,500
* Castle Biosciences Inc.    57,688     2,497
* Crinetics Pharmaceuticals Inc.   124,029     2,483
* Harmony Biosciences Holdings Inc.    62,065     2,480
* Intersect ENT Inc.    90,008     2,448
* Accolade Inc.   135,809     2,442
* Varex Imaging Corp.   103,166     2,439
* Reata Pharmaceuticals Inc. Class A    74,332     2,434
  LeMaitre Vascular Inc.    50,829     2,413
* AngioDynamics Inc.   100,985     2,376
* C4 Therapeutics Inc.   104,266     2,339
* Morphic Holding Inc.    56,993     2,272
* Keros Therapeutics Inc.    42,026     2,257
* Cardiovascular Systems Inc.   106,958     2,253
* Innoviva Inc.   117,238     2,252
* Bridgebio Pharma Inc.   286,926     2,238
  National HealthCare Corp.    33,825     2,199
* Nuvation Bio Inc.   429,837     2,175
* Axsome Therapeutics Inc.    75,223     2,115
* Alphatec Holdings Inc.   190,711     2,102
* OrthoPediatrics Corp.    37,507     2,102
*,1 Senseonics Holdings Inc. 1,166,215     2,099
* OptimizeRx Corp.    46,160     2,091
* American Well Corp. Class A   493,703     2,088
* Coherus Biosciences Inc.   175,574     2,070
* Catalyst Pharmaceuticals Inc.   262,973     2,051
* Aclaris Therapeutics Inc.   137,481     2,048
*,1 Sorrento Therapeutics Inc.   806,264     2,040
* Artivion Inc.   102,707     2,008
* Karyopharm Therapeutics Inc.   194,350     2,008
* Rocket Pharmaceuticals Inc.   111,858     1,992
* Anavex Life Sciences Corp.   181,233     1,986
* Apria Inc.    52,829     1,973
* iTeos Therapeutics Inc.    54,459     1,968
* SI-BONE Inc.    87,924     1,940
* Endo International plc   617,298     1,920
* Syndax Pharmaceuticals Inc.   121,364     1,892
    Shares Market
Value

($000)
* Sangamo Therapeutics Inc.   318,888     1,865
* Inogen Inc.    53,371     1,862
* Pulmonx Corp.    70,473     1,851
* Hanger Inc.   101,195     1,834
* Cutera Inc.    47,425     1,819
* Alignment Healthcare Inc.   214,755     1,813
* Collegium Pharmaceutical Inc.    93,057     1,812
* MaxCyte Inc.   260,097     1,810
*,1 Inovio Pharmaceuticals Inc.   558,353     1,809
*,1 Heron Therapeutics Inc.   249,129     1,769
* Treace Medical Concepts Inc.    81,498     1,755
*,1 Ocugen Inc.   496,895     1,749
* MannKind Corp.   665,570     1,744
*,1 Butterfly Network Inc.   337,088     1,736
* Orthofix Medical Inc.    50,995     1,733
* Seer Inc. Class A   112,216     1,719
* Avidity Biosciences Inc.   101,198     1,716
*,1 Bionano Genomics Inc.   788,843     1,688
* Vanda Pharmaceuticals Inc.   147,948     1,681
* Allogene Therapeutics Inc.   183,010     1,675
*,1 Vaxart Inc.   329,053     1,672
* Surmodics Inc.    36,613     1,643
* Theravance Biopharma Inc.   161,674     1,628
* Inhibrx Inc.    75,362     1,620
* Agenus Inc.   591,112     1,596
* AnaptysBio Inc.    51,818     1,584
* Antares Pharma Inc.   450,703     1,577
* Instil Bio Inc.   146,377     1,571
* ViewRay Inc.   370,685     1,542
* Joint Corp.    37,200     1,525
* Gossamer Bio Inc.   168,753     1,524
* MiMedx Group Inc.   301,218     1,521
* Albireo Pharma Inc.    45,577     1,520
* MacroGenics Inc.   161,533     1,510
* Sana Biotechnology Inc.   233,306     1,507
* OraSure Technologies Inc.   193,104     1,506
  National Research Corp.    37,813     1,504
* Seres Therapeutics Inc.   187,775     1,502
* Eagle Pharmaceuticals Inc.    30,764     1,458
* PetIQ Inc. Class A    72,583     1,440
* HealthStream Inc.    68,849     1,411
* BioDelivery Sciences International Inc.   251,752     1,405
* Verve Therapeutics Inc.    42,652     1,393
* Kezar Life Sciences Inc.    93,707     1,392
* Affimed NV   312,853     1,380
* Arcturus Therapeutics Holdings Inc.    56,850     1,363
* Nurix Therapeutics Inc.    84,181     1,361
* Chinook Therapeutics Inc.   105,068     1,341
* Arcutis Biotherapeutics Inc.    74,572     1,327
* Scholar Rock Holding Corp.    75,508     1,314
* UFP Technologies Inc.    18,811     1,301
* TransMedics Group Inc.    69,665     1,290
* Replimune Group Inc.    79,742     1,279
* Anika Therapeutics Inc.    38,941     1,266
* NGM Biopharmaceuticals Inc.    85,001     1,263
*,1 ImmunityBio Inc.   184,369     1,261
 
14

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
* Cara Therapeutics Inc.   120,080     1,245
* Edgewise Therapeutics Inc.   104,745     1,235
* Akero Therapeutics Inc.    69,320     1,229
* Amneal Pharmaceuticals Inc.   269,222     1,220
*,1 Omeros Corp.   164,923     1,187
  Phibro Animal Health Corp. Class A    55,257     1,177
* Computer Programs and Systems Inc.    38,147     1,174
* Praxis Precision Medicines Inc.    89,600     1,174
* Ocular Therapeutix Inc.   208,716     1,165
*,1 Mind Medicine Mindmed Inc.   950,602     1,160
* Ideaya Biosciences Inc.    87,702     1,158
* LifeStance Health Group Inc.   122,722     1,157
* Rigel Pharmaceuticals Inc.   459,807     1,154
* Rapt Therapeutics Inc.    57,374     1,147
* MeiraGTx Holdings plc    79,839     1,144
* Agiliti Inc.    63,395     1,142
*,1 G1 Therapeutics Inc.   107,496     1,141
* Pennant Group Inc.    69,031     1,122
* PMV Pharmaceuticals Inc.    70,679     1,120
* Privia Health Group Inc.    43,502     1,120
* Chimerix Inc.   196,831     1,110
* ANI Pharmaceuticals Inc.    29,327     1,098
* Atea Pharmaceuticals Inc.   172,729     1,095
* Bluebird Bio Inc.   181,002     1,093
* SeaSpine Holdings Corp.    85,338     1,081
* Inotiv Inc.    39,885     1,054
* Tactile Systems Technology Inc.    51,513     1,049
* Radius Health Inc.   125,435     1,044
* Sutro Biopharma Inc.   116,645     1,040
* Akebia Therapeutics Inc.   476,267     1,029
* 4D Molecular Therapeutics Inc.    74,986     1,027
* Personalis Inc.    96,406     1,012
* Berkeley Lights Inc.   130,374     1,000
* Stoke Therapeutics Inc.    51,234       999
* Cullinan Oncology Inc.    69,581       998
* Phathom Pharmaceuticals Inc.    54,963       996
* Bioventus Inc. Class A    75,522       982
* Design Therapeutics Inc.    72,317       981
* Axogen Inc.   104,376       975
* KalVista Pharmaceuticals Inc.    59,874       961
*,1 Intercept Pharmaceuticals Inc.    67,291       960
* Provention Bio Inc.   151,766       952
* Aerie Pharmaceuticals Inc.   113,463       942
* Vapotherm Inc.    61,980       941
* Rhythm Pharmaceuticals Inc.   118,356       902
* Forma Therapeutics Holdings Inc.    91,355       901
* Geron Corp. (XNGS)   822,840       897
* 2seventy bio Inc.    60,276       894
* Relmada Therapeutics Inc.    42,591       874
* Y-mAbs Therapeutics Inc.    95,227       868
* Bioxcel Therapeutics Inc.    47,069       862
  iRadimed Corp.    17,314       861
    Shares Market
Value

($000)
* ALX Oncology Holdings Inc.    47,405       859
* Mersana Therapeutics Inc.   195,172       857
* Oramed Pharmaceuticals Inc.    82,739       852
* Apyx Medical Corp.    84,121       851
  Utah Medical Products Inc.     9,440       850
* Accuray Inc.   243,071       843
* Dermtech Inc.    65,153       833
* 908 Devices Inc.    50,063       833
* Deciphera Pharmaceuticals Inc.   106,920       824
* Fulcrum Therapeutics Inc.    74,071       815
* Evolus Inc.    88,769       812
* Kiniksa Pharmaceuticals Ltd. Class A    78,243       801
* Altimmune Inc.   107,393       796
* Athira Pharma Inc.    86,932       796
* Marinus Pharmaceuticals Inc.   101,002       790
* Kronos Bio Inc.   104,475       787
* Kodiak Sciences Inc.    90,586       783
* Curis Inc.   232,387       778
* SIGA Technologies Inc.   129,184       775
* Fluidigm Corp.   208,009       765
* Organogenesis Holdings Inc. Class A   102,069       759
*,1 VBI Vaccines Inc.   508,282       757
* VistaGen Therapeutics Inc.   528,673       740
*,1 Adicet Bio Inc.    56,047       733
* Allovir Inc.    80,518       725
* Dyne Therapeutics Inc.    82,357       706
*,1 Erasca Inc.    56,826       705
* DICE Therapeutics Inc.    37,983       702
* Arbutus Biopharma Corp.   214,816       687
* CytomX Therapeutics Inc.   177,100       678
* Jounce Therapeutics Inc.    90,154       673
* ORIC Pharmaceuticals Inc.    86,308       670
* BioLife Solutions Inc.    28,099       660
* MEI Pharma Inc.   296,803       641
*,1 Clovis Oncology Inc.   309,581       638
* Icosavax Inc.    36,607       638
* Spero Therapeutics Inc.    66,283       636
* Imago Biosciences Inc.    26,758       630
* Viking Therapeutics Inc.   187,401       628
* Stereotaxis Inc.   136,008       628
* Vera Therapeutics Inc.    26,515       615
* Avita Medical Inc.    66,664       613
* Rubius Therapeutics Inc.   122,622       612
* Immunovant Inc.   109,629       612
* Generation Bio Co.   119,287       611
*,1 Janux Therapeutics Inc.    35,352       611
* Cymabay Therapeutics Inc.   190,141       605
* Cogent Biosciences Inc.   101,533       602
* Cytek Biosciences Inc.    44,042       601
* Gritstone bio Inc.   115,221       588
* Pliant Therapeutics Inc.    65,559       588
* Immunic Inc.    50,282       586
* Precigen Inc.   259,935       585
* EyePoint Pharmaceuticals Inc.    57,785       575
* Precision BioSciences Inc.   134,870       573
* Harvard Bioscience Inc.   105,585       570
* InfuSystem Holdings Inc.    49,442       568
 
15

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
* Verastem Inc.   472,077       566
*,1 Alaunos Therapeutics Inc.   573,920       566
*,1 CEL–SCI Corp.    96,523       558
* Aveanna Healthcare Holdings Inc.   106,109       557
* Caribou Biosciences Inc.    55,077       550
* Kinnate Biopharma Inc.    69,132       538
* Aldeyra Therapeutics Inc.   132,941       537
* Allakos Inc.    95,879       536
* Sight Sciences Inc.    30,767       536
* CorMedix Inc.   103,909       507
* Foghorn Therapeutics Inc.    52,541       505
* Werewolf Therapeutics Inc.    70,051       502
* Athersys Inc.   558,811       501
*,1 Asensus Surgical Inc.   640,939       494
* Cue Biopharma Inc.    84,169       488
* Lineage Cell Therapeutics Inc.   342,985       484
*,1 Citius Pharmaceuticals Inc.   311,151       479
* SOC Telemed Inc. Class A   162,447       478
*,1 PROCEPT BioRobotics Corp.    19,065       476
* Lyell Immunopharma Inc.    65,399       473
*,1 Vor BioPharma Inc.    52,278       472
* KemPharm Inc.    78,846       468
* Bright Health Group Inc.   140,758       467
* Selecta Biosciences Inc.   252,034       466
*,1 Monte Rosa Therapeutics Inc.    32,073       460
* Paratek Pharmaceuticals Inc.   128,879       454
* Ikena Oncology Inc.    73,748       451
* Sientra Inc.   158,948       450
* Tenaya Therapeutics Inc.    38,621       450
* ClearPoint Neuro Inc.    51,370       449
*,1 Century Therapeutics Inc.    31,716       447
*,1 Nuvalent Inc. Class A    29,520       441
* CytoSorbents Corp.   113,031       437
* Applied Molecular Transport Inc.    66,313       436
* Annexon Inc.    85,427       415
* Day One Biopharmaceuticals Inc.    30,316       414
* Durect Corp.   619,751       411
  XBiotech Inc.    41,222       406
* Homology Medicines Inc.   114,871       401
* Tarsus Pharmaceuticals Inc.    22,653       399
* Graphite Bio Inc.    43,208       398
* Talaris Therapeutics Inc.    56,613       397
* Akoya Biosciences Inc.    35,729       396
* Outlook Therapeutics Inc.   240,486       392
*,1 Atossa Therapeutics Inc.   320,715       391
* Paragon 28 Inc.    23,971       391
* Taysha Gene Therapies Inc.    60,996       389
* Eargo Inc.    80,515       387
* Lexicon Pharmaceuticals Inc.   186,119       385
*,1 Tyra Biosciences Inc.    32,137       381
*,1 Adagio Therapeutics Inc.    56,684       379
* Viemed Healthcare Inc.    96,626       371
* IGM Biosciences Inc.    22,112       369
1 Zynex Inc.    58,440       368
* Epizyme Inc.   246,013       367
*,1 Biomea Fusion Inc.    57,222       367
    Shares Market
Value

($000)
* Shattuck Labs Inc.    72,584       363
* Forian Inc.    50,727       353
* XOMA Corp.    16,069       352
* Nkarta Inc.    38,884       352
* ChromaDex Corp.   128,702       351
*,1 Absci Corp.    37,432       351
* Akouos Inc.    65,430       349
* Eiger BioPharmaceuticals Inc.    87,033       348
* Tabula Rasa HealthCare Inc.    60,643       346
* 9 Meters Biopharma Inc.   622,396       340
* Surface Oncology Inc.    94,040       339
* Sesen Bio Inc.   533,365       338
* Passage Bio Inc.   101,304       336
* SQZ Biotechnologies Co.    62,004       327
* Ventyx Biosciences Inc.    27,513       322
*,1 UroGen Pharma Ltd.    53,534       321
* Olema Pharmaceuticals Inc.    68,652       321
* Adverum Biotechnologies Inc.   238,174       319
*,1 Cue Health Inc.    38,595       319
* Fortress Biotech Inc.   195,162       314
* Alpha Teknova Inc.    18,489       314
* Aeglea BioTherapeutics Inc.   110,744       307
* Theseus Pharmaceuticals Inc.    30,352       307
* Spectrum Pharmaceuticals Inc.   447,575       304
*,1 Oyster Point Pharma Inc.    30,463       303
* Verrica Pharmaceuticals Inc.    36,040       302
* PAVmed Inc.   196,952       301
*,1 RxSight Inc.    22,094       296
* Esperion Therapeutics Inc.    72,031       295
* iCAD Inc.    61,117       295
* Entrada Therapeutics Inc.    24,229       294
* Quotient Ltd.   208,660       292
* Seelos Therapeutics Inc.   274,442       291
* Poseida Therapeutics Inc.    78,823       288
* WaVe Life Sciences Ltd.   116,911       287
* Cardiff Oncology Inc.   102,648       276
* BioAtla Inc.    42,589       276
* Viracta Therapeutics Inc.    99,468       272
*,1 Ampio Pharmaceuticals Inc.   542,539       271
* Humanigen Inc.   131,919       268
* DarioHealth Corp.    36,646       268
*,1 Aerovate Therapeutics Inc.    27,217       266
* Infinity Pharmaceuticals Inc.   239,763       264
* Alpine Immune Sciences Inc.    31,949       263
* Prelude Therapeutics Inc.    29,586       261
* Singular Genomics Systems Inc.    31,659       261
* Celcuity Inc.    25,753       260
* Magenta Therapeutics Inc.    82,118       259
*,1 Evelo Biosciences Inc.    83,011       259
* Aura Biosciences Inc.    14,354       257
* Accelerate Diagnostics Inc.    90,140       256
*,1 TherapeuticsMD Inc. 1,066,050       255
* Neoleukin Therapeutics Inc.    97,644       252
 
16

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
* Rain Therapeutics Inc.    42,067       252
* Frequency Therapeutics Inc.    87,330       248
*,1 Innovage Holding Corp.    50,249       248
* Mirum Pharmaceuticals Inc.    10,116       240
* Omega Therapeutics Inc.    20,026       238
* Molecular Templates Inc.   101,057       237
* Silverback Therapeutics Inc.    55,222       237
* Oncocyte Corp.   161,672       236
* AirSculpt Technologies Inc.    17,341       235
* Cortexyme Inc.    53,897       234
* Xilio Therapeutics Inc.    19,561       230
* TCR2 Therapeutics Inc.    84,679       229
* Neuronetics Inc.    68,410       228
* Inozyme Pharma Inc.    39,433       228
*,1 Retractable Technologies Inc.    47,258       224
* Oncternal Therapeutics Inc.   121,424       222
* Vincerx Pharma Inc.    43,380       220
* Tonix Pharmaceuticals Holding Corp. 1,182,833       219
*,1 Aspira Women's Health Inc.   199,196       217
* Bolt Biotherapeutics Inc.    61,210       214
* Greenwich Lifesciences Inc.    10,975       214
* Codex DNA Inc.    20,715       211
* Doximity Inc. Class A     3,418       210
* Harpoon Therapeutics Inc.    50,950       209
* Exagen Inc.    27,479       209
* Rallybio Corp.    19,007       209
* Convey Health Solutions Holdings Inc.    35,844       208
* Trevena Inc.   447,802       205
* Puma Biotechnology Inc.    88,798       204
* Syros Pharmaceuticals Inc.   157,718       203
* Codiak Biosciences Inc.    43,035       203
* Sensei Biotherapeutics Inc.    56,053       202
*,1 Pulse Biosciences Inc.    38,452       195
* Black Diamond Therapeutics Inc.    62,029       195
* Summit Therapeutics Inc.    71,044       195
* Athenex Inc.   236,972       191
* Ardelyx Inc.   246,470       190
* CVRx Inc.    21,623       190
* Invacare Corp.    92,355       189
*,1 iBio Inc.   591,727       189
* Brooklyn ImmunoTherapeutics Inc.    79,949       181
* Immuneering Corp. Class A    22,896       171
* Finch Therapeutics Group Inc.    20,258       170
*,1 Eliem Therapeutics Inc.    18,734       169
* Pyxis Oncology Inc.    27,859       169
* Mustang Bio Inc.   190,741       166
*,1 Clene Inc.    52,755       163
* Avrobio Inc.   104,632       152
* GT Biopharma Inc.    47,573       151
* Acumen Pharmaceuticals Inc.    25,613       150
    Shares Market
Value

($000)
* Rapid Micro Biosystems Inc. Class A    21,373       149
*,1 BeyondSpring Inc.    61,255       148
* Cincor Pharma Inc.     6,638       148
* NeuroPace Inc.    18,760       146
* Aligos Therapeutics Inc.    57,906       140
* Solid Biosciences Inc.   163,742       133
*,1 Cyteir Therapeutics Inc.    22,181       129
* Atreca Inc. Class A    71,343       128
*,1 Hookipa Pharma Inc.    52,850       127
* 89bio Inc.    26,783       124
* Avalo Therapeutics Inc.   168,308       123
* Terns Pharmaceuticals Inc.    36,475       121
*,1 Oncorus Inc.    56,155       118
* NexImmune Inc.    47,076       117
*,1 Amylyx Pharmaceuticals Inc.     3,571       117
* Reneo Pharmaceuticals Inc.    23,652       114
* Angion Biomedica Corp.    58,332       108
* Portage Biotech Inc.    13,459       107
* IsoPlexis Corp.    22,163       107
*,1 Impel Neuropharma Inc.    14,601       105
* Applied Therapeutics Inc.    48,523        91
* Vigil Neuroscience Inc.     5,235        89
*,1 Kala Pharmaceuticals Inc.   132,552        88
* Acutus Medical Inc.    51,219        83
* Gemini Therapeutics Inc.    60,301        82
* Talis Biomedical Corp.    38,836        81
* Kaleido Biosciences Inc.    53,331        79
* Biodesix Inc.    33,280        79
* Thorne HealthTech Inc.    17,429        78
* Arcellx Inc.     3,672        70
* Sera Prognostics Inc. Class A    12,665        68
* Ontrak Inc.    23,763        64
* NantHealth Inc.    70,996        59
* Sigilon Therapeutics Inc.    40,549        59
* Spruce Biosciences Inc.    23,465        53
* Lucid Diagnostics Inc.    13,147        49
* Forte Biosciences Inc.    31,337        39
* Warby Parker Inc. Class A     1,308        39
*,2 Alder Biopharmaceuticals CVR    32,046        28
*,1,2 Tobira Therapeutics Inc. CVR     6,201        28
* Landos Biopharma Inc.    12,674        27
* MiNK Therapeutics Inc.     7,588        23
* TScan Therapeutics Inc.     5,190        22
* In8bio Inc.     4,877        20
* Minerva Surgical Inc.     3,693        19
* Candel Therapeutics Inc.     4,196        17
* Sonendo Inc.     3,467        17
*,1 Vaxxinity Inc. Class A     2,724        14
* Definitive Healthcare Corp. Class A       498        12
* Elevation Oncology Inc.     2,413         8
* Cognition Therapeutics Inc.       284         1
*,2 PDL BioPharma Inc.       712        —
*,2 Synergy Pharmaceuticals Inc.   224,815        —
*,2 Progenics Pharmaceuticals Inc. CVR   110,304        —
 
17

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
*,2 Achillion Pharma CVR Alexion Pharmaceuticals Inc.     1,085        —
      1,169,239
Industrials (15.2%)
  Tetra Tech Inc.   145,700    23,133
* Saia Inc.    71,703    20,595
* WillScot Mobile Mini Holdings Corp.   571,512    20,306
  EMCOR Group Inc.   143,970    16,634
* ASGN Inc.   137,581    15,243
* WESCO International Inc.   120,363    14,652
* Chart Industries Inc.    98,746    14,259
  Simpson Manufacturing Co. Inc.   117,722    13,951
* AMN Healthcare Services Inc.   127,252    13,507
  Exponent Inc.   140,311    13,296
  Maximus Inc.   165,706    13,068
* Atkore Inc.   124,652    12,678
  Matson Inc.   112,281    12,437
  Triton International Ltd.   180,461    11,853
* API Group Corp.   545,393    11,764
  Herc Holdings Inc.    67,370    10,720
* ExlService Holdings Inc.    88,678    10,711
  Watts Water Technologies Inc. Class A    74,377    10,707
* ACI Worldwide Inc.   318,946    10,691
  Zurn Water Solutions Corp.   327,991    10,666
  Franklin Electric Co. Inc.   125,291    10,595
  Applied Industrial Technologies Inc.   103,661    10,480
  GATX Corp.    95,328    10,165
* Resideo Technologies Inc.   390,951    10,063
* Summit Materials Inc. Class A   320,478    10,005
  SPX FLOW Inc.   112,260     9,642
  Korn Ferry   145,446     9,637
  HB Fuller Co.   140,800     9,626
  John Bean Technologies Corp.    84,717     9,604
* TriNet Group Inc.   109,625     9,571
  Hillenbrand Inc.   197,211     9,409
  Brink's Co.   129,932     9,103
* Beacon Roofing Supply Inc.   150,593     8,989
* Allegheny Technologies Inc.   344,328     8,863
  Insperity Inc.    98,140     8,828
* Bloom Energy Corp. Class A   384,732     8,541
  EnerSys   115,942     8,432
* Welbilt Inc.   353,269     8,351
* Fluor Corp.   383,328     8,303
  Comfort Systems USA Inc.    96,233     8,274
  ABM Industries Inc.   181,851     8,152
  Badger Meter Inc.    78,958     7,849
  Aerojet Rocketdyne Holdings Inc.   202,150     7,833
  Terex Corp.   184,683     7,624
* Hub Group Inc. Class A    89,475     7,552
  Forward Air Corp.    72,516     7,482
  Altra Industrial Motion Corp.   174,829     7,425
  UniFirst Corp.    40,730     7,382
    Shares Market
Value

($000)
  Albany International Corp. Class A    83,171     7,304
  Werner Enterprises Inc.   166,614     7,241
  Kennametal Inc.   226,011     7,167
* Dycom Industries Inc.    79,606     6,930
* Kratos Defense & Security Solutions Inc.   330,846     6,921
  Otter Tail Corp.   111,223     6,880
  Helios Technologies Inc.    87,240     6,840
  Belden Inc.   119,468     6,732
  AAON Inc.   113,196     6,629
  EVERTEC Inc.   163,508     6,599
* Verra Mobility Corp. Class A   388,855     6,533
* Meritor Inc.   183,405     6,531
  Moog Inc. Class A    78,307     6,508
  Maxar Technologies Inc.   195,735     6,350
  ArcBest Corp.    68,273     6,328
* GMS Inc.   115,282     6,254
  Encore Wire Corp.    53,312     6,207
  Installed Building Products Inc.    64,021     6,191
  ManTech International Corp. Class A    74,185     6,185
  EnPro Industries Inc.    55,750     6,157
  Kadant Inc.    31,126     6,143
* Atlas Air Worldwide Holdings Inc.    77,717     6,090
* Masonite International Corp.    64,274     6,063
  Trinity Industries Inc.   208,441     6,016
* SPX Corp.   118,266     5,996
  Barnes Group Inc.   127,696     5,931
  Federal Signal Corp.   162,633     5,873
  Brady Corp. Class A   127,336     5,868
* Itron Inc.   122,025     5,817
* JELD-WEN Holding Inc.   247,052     5,702
* O-I Glass Inc.   426,096     5,445
  Mueller Water Products Inc. Class A   424,766     5,390
  McGrath RentCorp.    65,255     5,304
* CBIZ Inc.   132,214     5,144
* Air Transport Services Group Inc.   159,547     5,027
*,1 Nikola Corp.   616,809     4,873
* Ferro Corp.   222,294     4,830
  CSW Industrials Inc.    40,086     4,824
  ESCO Technologies Inc.    69,168     4,812
* Flywire Corp.   170,398     4,611
  Textainer Group Holdings Ltd.   127,132     4,514
  ICF International Inc.    49,876     4,420
  Patrick Industries Inc.    61,429     4,382
* AeroVironment Inc.    60,718     4,314
* Triumph Group Inc.   171,654     4,298
* Gibraltar Industries Inc.    88,456     4,274
* Vicor Corp.    56,920     4,256
* Proto Labs Inc.    75,108     4,223
* Veritiv Corp.    38,839     4,162
* Green Dot Corp. Class A   144,305     4,134
* AAR Corp.    91,949     4,132
  Kforce Inc.    54,777     4,118
* Repay Holdings Corp. Class A   234,201     4,045
  Greif Inc. Class A    69,635     4,003
* MYR Group Inc.    44,584     4,001
  TTEC Holdings Inc.    49,997     3,975
  Tennant Co.    49,905     3,932
 
18

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
  Lindsay Corp.    29,436     3,862
  Greenbrier Cos. Inc.    86,106     3,826
* NV5 Global Inc.    35,672     3,826
  Primoris Services Corp.   144,602     3,813
  TriMas Corp.   116,798     3,797
  Shyft Group Inc.    93,593     3,782
* CryoPort Inc.   109,360     3,754
  Alamo Group Inc.    26,954     3,750
  Granite Construction Inc.   123,750     3,746
* OSI Systems Inc.    45,684     3,685
  H&E Equipment Services Inc.    86,874     3,628
  Deluxe Corp.   113,798     3,540
  Mesa Laboratories Inc.    13,466     3,438
  Columbus McKinnon Corp.    75,108     3,428
  Standex International Corp.    32,353     3,427
* PGT Innovations Inc.   155,545     3,346
  SFL Corp. Ltd.   334,448     3,328
  AZZ Inc.    67,148     3,306
* Cornerstone Building Brands Inc.   147,933     3,266
  Kaman Corp.    74,459     3,232
* Montrose Environmental Group Inc.    70,721     3,119
* Evo Payments Inc. Class A   127,669     3,078
  Astec Industries Inc.    61,276     3,052
1 Frontline Ltd.   322,800     3,038
  Apogee Enterprises Inc.    67,131     3,026
* Cimpress plc    47,465     2,990
* CoreCivic Inc.   323,659     2,949
  Griffon Corp.   125,524     2,893
* Huron Consulting Group Inc.    58,621     2,892
  Enerpac Tool Group Corp. Class A   163,219     2,816
  Marten Transport Ltd.   160,054     2,761
* FARO Technologies Inc.    49,162     2,691
* TrueBlue Inc.    94,472     2,570
* Donnelley Financial Solutions Inc.    79,616     2,556
* Ranpak Holdings Corp. Class A   101,765     2,463
* Great Lakes Dredge & Dock Corp.   174,321     2,460
  DHT Holdings Inc.   382,961     2,409
* American Woodmark Corp.    44,771     2,399
* First Advantage Corp.   148,289     2,395
  Pitney Bowes Inc.   474,828     2,365
  Scorpio Tankers Inc.   131,772     2,292
  Gorman-Rupp Co.    61,077     2,276
  Wabash National Corp.   133,350     2,272
  International Seaways Inc.   124,222     2,272
  Heidrick & Struggles International Inc.    52,305     2,236
  Douglas Dynamics Inc.    60,630     2,228
* BlueLinx Holdings Inc.    24,879     2,224
* Sterling Construction Co. Inc.    75,112     2,218
* Conduent Inc.   451,934     2,201
* Cross Country Healthcare Inc.    97,170     2,170
* Energy Recovery Inc.   112,420     2,136
*,1 Desktop Metal Inc. Class A   504,334     2,098
    Shares Market
Value

($000)
* Construction Partners Inc. Class A    78,274     2,095
  Quanex Building Products Corp.    90,542     2,070
  Kelly Services Inc. Class A    94,923     2,014
  Costamare Inc.   142,363     1,922
  Insteel Industries Inc.    50,328     1,868
* SP Plus Corp.    62,585     1,868
  Chase Corp.    20,021     1,839
* Forterra Inc.    77,893     1,835
  Heartland Express Inc.   127,139     1,826
* Vivint Smart Home Inc.   245,888     1,768
* Aspen Aerogels Inc.    59,534     1,762
  CRA International Inc.    19,511     1,733
  Genco Shipping & Trading Ltd.    86,709     1,672
  Myers Industries Inc.    97,685     1,624
* Advantage Solutions Inc.   206,162     1,622
* Napco Security Technologies Inc.    78,265     1,596
* Forrester Research Inc.    30,591     1,589
* Franklin Covey Co.    34,082     1,571
  Argan Inc.    40,189     1,563
* Titan International Inc.   138,839     1,555
* Manitowoc Co. Inc.    92,669     1,532
* Thermon Group Holdings Inc.    89,036     1,524
* I3 Verticals Inc. Class A    57,690     1,523
* BrightView Holdings Inc.   110,598     1,494
* Transcat Inc.    18,998     1,491
* Paya Holdings Inc.   230,944     1,490
* Ducommun Inc.    29,368     1,483
* Titan Machinery Inc.    52,362     1,483
  Cass Information Systems Inc.    37,199     1,472
  Resources Connection Inc.    86,341     1,433
* Vectrus Inc.    31,151     1,428
* International Money Express Inc.    87,927     1,412
*,1 Hyliion Holdings Corp.   316,072     1,365
* Modine Manufacturing Co.   134,775     1,361
  VSE Corp.    28,553     1,361
* Daseke Inc.   108,040     1,356
* CIRCOR International Inc.    49,662     1,338
* DXP Enterprises Inc.    46,466     1,334
  Luxfer Holdings plc    74,183     1,292
  Ennis Inc.    68,728     1,291
  Eagle Bulk Shipping Inc.    24,272     1,280
*,1 Ideanomics Inc. 1,186,165     1,245
* Cantaloupe Inc.   156,953     1,220
  Barrett Business Services Inc.    20,246     1,218
* Yellow Corp.   134,928     1,216
  Dorian LPG Ltd.    83,976     1,157
  Pactiv Evergreen Inc.   115,982     1,116
1 Nordic American Tankers Ltd.   451,128     1,092
  Allied Motion Technologies Inc.    31,338     1,091
* Tutor Perini Corp.   111,321     1,091
  National Presto Industries Inc.    13,632     1,084
* BTRS Holdings Inc. Class A   176,818     1,079
* Vishay Precision Group Inc.    33,830     1,063
 
19

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
* Babcock & Wilcox Enterprises Inc.   149,616     1,049
  Hyster-Yale Materials Handling Inc.    27,152     1,039
  REV Group Inc.    76,564     1,035
*,1 Workhorse Group Inc.   329,461     1,031
* Astronics Corp.    67,872       998
*,1 PureCycle Technologies Inc.   143,168       996
* Custom Truck One Source Inc.   126,275       993
* IES Holdings Inc.    23,489       987
*,1 Danimer Scientific Inc.   243,668       970
* Willdan Group Inc.    29,819       963
* Sterling Check Corp.    44,886       945
* Teekay Tankers Ltd. Class A    65,180       931
* Blue Bird Corp.    43,234       921
  Greif Inc. Class B    16,024       912
  Miller Industries Inc.    29,406       911
*,1 View Inc.   374,707       907
  Kronos Worldwide Inc.    61,011       899
* Infrastructure and Energy Alternatives Inc.    73,718       802
* Hireright Holdings Corp.    60,961       797
* CS Disco Inc.    20,968       792
* Velodyne Lidar Inc.   206,708       763
  Park Aerospace Corp.    53,653       744
* Radiant Logistics Inc.   107,560       742
  Caesarstone Ltd.    61,708       740
  Covenant Logistics Group Inc. Class A    32,598       734
* Safe Bulkers Inc.   172,365       720
* Atlanticus Holdings Corp.    13,323       710
* Commercial Vehicle Group Inc.    87,841       702
  United States Lime & Minerals Inc.     5,729       673
* AvidXchange Holdings Inc.    68,950       664
* Teekay Corp.   190,384       642
* PAM Transportation Services Inc.     9,425       636
* ShotSpotter Inc.    23,141       594
* Luna Innovations Inc.    83,779       572
* Lawson Products Inc.    12,899       548
* Concrete Pumping Holdings Inc.    70,937       528
  Powell Industries Inc.    24,993       528
* Acacia Research Corp.   134,456       515
* Byrna Technologies Inc.    50,763       508
* CECO Environmental Corp.    85,429       460
* Atlas Technical Consultants Inc.    39,427       453
  Preformed Line Products Co.     8,060       449
* Rekor Systems Inc.    92,686       438
* INNOVATE Corp.   129,962       433
  Universal Logistics Holdings Inc.    20,566       393
* Aersale Corp.    24,880       390
* Iteris Inc.   114,469       377
  Cadre Holdings Inc.    16,870       371
  Park-Ohio Holdings Corp.    23,296       370
* Mistras Group Inc.    54,016       360
*,1 Remitly Global Inc.    32,523       356
    Shares Market
Value

($000)
* Eos Energy Enterprises Inc.   117,652       341
* US Xpress Enterprises Inc. Class A    73,789       335
* EVI Industries Inc.    15,455       319
* Willis Lease Finance Corp.     7,923       277
  Hirequest Inc.    14,047       264
* Mayville Engineering Co. Inc.    24,775       256
* IBEX Holdings Ltd.    14,986       236
* Target Hospitality Corp.    68,298       215
* AgEagle Aerial Systems Inc.   183,318       214
* Karat Packaging Inc.    12,594       205
* StarTek Inc.    46,272       203
*,1 GreenBox POS    50,172       171
* Priority Technology Holdings Inc.    28,710       151
* Team Inc.    72,110        68
      1,113,458
Other (0.0%)3
*,2 Aduro Biotech Inc. CVR    17,431        11
*,2 Media General Inc. CVR    85,418         3
*,2 GTX Inc. CVR       846         1
*,2 Contra Flexion Therape CVR       111        —
             15
Real Estate (7.5%)
  EastGroup Properties Inc.   109,245    20,840
  STAG Industrial Inc.   476,749    18,574
  Terreno Realty Corp.   199,311    13,711
  Kite Realty Group Trust   586,606    12,864
* Ryman Hospitality Properties Inc.   145,363    12,808
  National Storage Affiliates Trust   219,721    12,803
  Innovative Industrial Properties Inc.    64,106    12,081
  Agree Realty Corp.   186,205    11,945
  LXP Industrial Trust   755,241    11,676
  Outfront Media Inc.   393,388    10,503
  Healthcare Realty Trust Inc.   398,898    10,403
  Apple Hospitality REIT Inc.   579,511    10,252
  PotlatchDeltic Corp.   178,566     9,803
  Hannon Armstrong Sustainable Infrastructure Capital Inc.   206,961     9,797
  Physicians Realty Trust   595,936     9,690
* Digitalbridge Group Inc. 1,309,492     9,494
  Broadstone Net Lease Inc.   425,534     9,217
  Macerich Co.   578,226     8,847
  PS Business Parks Inc.    54,292     8,648
* Equity Commonwealth   316,919     8,420
  Sabra Health Care REIT Inc.   616,211     8,276
  Essential Properties Realty Trust Inc.   326,986     8,266
* Cushman & Wakefield plc   374,360     8,206
  Corporate Office Properties Trust   304,874     7,991
  Pebblebrook Hotel Trust   350,735     7,895
  SITE Centers Corp.   467,580     7,271
 
20

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
  Independence Realty Trust Inc.   283,829     7,172
  Newmark Group Inc. Class A   403,502     7,134
  Kennedy-Wilson Holdings Inc.   321,146     7,110
  Uniti Group Inc.   530,505     6,881
  National Health Investors Inc.   118,009     6,291
  RLJ Lodging Trust   446,742     6,250
* Sunstone Hotel Investors Inc.   587,275     6,213
  Brandywine Realty Trust   457,818     6,103
* Redfin Corp.   278,720     6,029
  Retail Opportunity Investments Corp.   321,729     5,843
  Piedmont Office Realty Trust Inc. Class A   335,254     5,713
* Xenia Hotels & Resorts Inc.   307,691     5,705
  Urban Edge Properties   312,862     5,700
* Realogy Holdings Corp.   311,451     5,662
  Paramount Group Inc.   504,141     5,641
  Four Corners Property Trust Inc.   208,674     5,505
* DiamondRock Hospitality Co.   565,029     5,396
  Washington REIT   228,311     5,333
  NexPoint Residential Trust Inc.    60,170     5,113
  Acadia Realty Trust   234,728     5,033
  American Assets Trust Inc.   134,997     4,935
  Easterly Government Properties Inc. Class A   233,689     4,865
  St. Joe Co.    89,946     4,860
  Tanger Factory Outlet Centers Inc.   276,918     4,619
  CareTrust REIT Inc.   260,179     4,553
  eXp World Holdings Inc.   169,838     4,541
  Alexander & Baldwin Inc.   195,744     4,390
* Veris Residential Inc.   237,557     4,015
  Global Net Lease Inc.   280,885     3,991
  Industrial Logistics Properties Trust   175,724     3,931
  Service Properties Trust   443,017     3,823
  Empire State Realty Trust Inc. Class A   386,209     3,653
  Centerspace    38,532     3,622
  LTC Properties Inc.   105,219     3,560
  Preferred Apartment Communities Inc. Class A   140,911     3,559
  Safehold Inc.    56,054     3,439
  Office Properties Income Trust   129,151     3,235
  Marcus & Millichap Inc.    63,998     3,183
  Getty Realty Corp.   110,287     3,038
  RPT Realty   225,311     2,918
* Apartment Investment and Management Co. Class A   407,838     2,912
* Summit Hotel Properties Inc.   279,180     2,761
  Community Healthcare Trust Inc.    64,429     2,687
  UMH Properties Inc.   114,999     2,652
  Gladstone Land Corp.    84,597     2,529
    Shares Market
Value

($000)
  Global Medical REIT Inc.   160,938     2,527
  Armada Hoffler Properties Inc.   162,439     2,385
  NETSTREIT Corp.   107,310     2,376
  Necessity Retail REIT Inc.   335,250     2,360
  Plymouth Industrial REIT Inc.    84,463     2,203
  Gladstone Commercial Corp.    99,564     2,110
* Radius Global Infrastructure Inc. Class A (XNMS)   159,352     2,049
  City Office REIT Inc.   115,321     1,986
  Universal Health Realty Income Trust    34,654     1,979
  GEO Group Inc.   317,904     1,895
  Diversified Healthcare Trust   637,936     1,837
* Chatham Lodging Trust   128,941     1,773
  Ares Commercial Real Estate Corp.   118,206     1,732
* CorePoint Lodging Inc.   106,173     1,696
  Phillips Edison & Co. Inc.    50,920     1,646
  Franklin Street Properties Corp.   273,974     1,584
  Urstadt Biddle Properties Inc. Class A    81,136     1,528
  RE/MAX Holdings Inc. Class A    49,850     1,478
  Alexander's Inc.     5,812     1,473
  Saul Centers Inc.    32,006     1,473
* Douglas Elliman Inc.   193,840     1,462
  Whitestone REIT   123,111     1,450
  One Liberty Properties Inc.    43,834     1,274
  RMR Group Inc. Class A    41,259     1,202
  Indus Realty Trust Inc.    15,603     1,188
* FRP Holdings Inc.    18,191     1,054
* Seritage Growth Properties Class A    99,425     1,013
  CatchMark Timber Trust Inc. Class A   131,696     1,009
  CTO Realty Growth Inc.    15,865       995
* Tejon Ranch Co.    56,154       953
* Braemar Hotels & Resorts Inc.   153,928       917
  Farmland Partners Inc.    76,740       896
* Forestar Group Inc.    45,767       838
* Hersha Hospitality Trust Class A    86,793       801
  BRT Apartments Corp.    30,642       674
  Postal Realty Trust Inc. Class A    33,191       579
* Ashford Hospitality Trust Inc.    45,775       394
  Clipper Realty Inc.    33,123       315
* Fathom Holdings Inc.    16,346       210
  Retail Value Inc.    46,862       145
* Rafael Holdings Inc. Class B    26,651        84
  Bridge Investment Group Holdings Inc. Class A     2,899        61
        547,983
Technology (12.1%)
* Synaptics Inc.   105,916    24,194
* Lattice Semiconductor Corp.   366,741    22,965
* II-VI Inc.   286,283    19,885
 
21

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
  KBR Inc.   381,997    18,962
* Silicon Laboratories Inc.   107,747    16,562
* Rapid7 Inc.   151,891    15,715
  Power Integrations Inc.   163,185    14,687
  CMC Materials Inc.    76,652    14,214
* Rogers Corp.    50,546    13,799
* Tenable Holdings Inc.   249,190    13,795
* Ambarella Inc.    95,383    13,326
* Mimecast Ltd.   164,618    13,092
* Novanta Inc.    95,252    13,014
* SPS Commerce Inc.    97,541    12,666
* Varonis Systems Inc. Class B   289,524    12,623
* Cargurus Inc.   257,640    12,483
* Workiva Inc. Class A   115,758    12,189
* Semtech Corp.   174,796    12,127
* Digital Turbine Inc.   245,068    11,881
* Ziff Davis Inc.   117,481    11,819
* MaxLinear Inc.   191,511    11,749
* Qualys Inc.    92,040    11,534
* Onto Innovation Inc.   131,423    11,330
* Blackline Inc.   146,572    11,038
* Envestnet Inc.   146,860    10,988
* Diodes Inc.   117,845    10,558
* Asana Inc. Class A   192,504    10,547
* Sailpoint Technologies Holdings Inc.   247,356    10,233
*,1 MicroStrategy Inc. Class A    22,877    10,135
* Fabrinet    99,945    10,007
* Insight Enterprises Inc.    93,217     9,695
* Box Inc. Class A   376,781     9,649
* Q2 Holdings Inc.   147,865     9,619
* Perficient Inc.    87,913     8,958
* Verint Systems Inc.   174,266     8,753
  Advanced Energy Industries Inc.   101,879     8,746
* SiTime Corp.    43,051     8,702
  Kulicke & Soffa Industries Inc.   165,502     8,646
* FormFactor Inc.   209,813     8,495
* Alarm.com Holdings Inc.   127,679     8,405
* Altair Engineering Inc. Class A   124,823     8,291
* DigitalOcean Holdings Inc.   137,219     8,140
* Blackbaud Inc.   129,225     8,075
* Upwork Inc.   319,055     8,066
* Sprout Social Inc. Class A   122,025     7,945
* Rambus Inc.   293,249     7,918
* MACOM Technology Solutions Holdings Inc. Class H   131,650     7,912
* CommVault Systems Inc.   123,759     7,786
* LiveRamp Holdings Inc.   178,290     7,695
* PagerDuty Inc.   221,534     7,492
  Vishay Intertechnology Inc.   359,785     6,904
* Bottomline Technologies DE Inc.   121,120     6,860
* Sanmina Corp.   171,398     6,818
* Yelp Inc. Class A   193,112     6,545
* Appian Corp. Class A   106,086     6,467
* Allscripts Healthcare Solutions Inc.   327,972     6,382
  Amkor Technology Inc.   275,378     6,243
* Axcelis Technologies Inc.    89,793     6,215
* Plexus Corp.    75,645     6,163
    Shares Market
Value

($000)
* 3D Systems Corp.   335,738     5,983
* NetScout Systems Inc.   189,316     5,893
* Appfolio Inc. Class A    51,386     5,814
  Shutterstock Inc.    63,341     5,734
* TechTarget Inc.    70,635     5,536
* Momentive Global Inc.   350,068     5,503
* Ultra Clean Holdings Inc.   119,796     5,488
  CSG Systems International Inc.    87,869     5,423
  Progress Software Corp.   118,628     5,229
* Magnite Inc.   351,438     5,124
* Covetrus Inc.   279,896     4,960
  Xperi Holding Corp.   284,007     4,919
* E2open Parent Holdings Inc.   537,938     4,831
  Methode Electronics Inc.   103,247     4,712
* Super Micro Computer Inc.   117,930     4,633
* Zuora Inc. Class A   301,441     4,576
* Schrodinger Inc.   122,510     4,258
* Cohu Inc.   129,630     4,042
* Veeco Instruments Inc.   134,615     3,846
* Unisys Corp.   177,196     3,787
* Cerence Inc.   102,141     3,688
* LivePerson Inc.   177,711     3,604
* JFrog Ltd.   143,019     3,543
* TTM Technologies Inc.   281,120     3,534
* Impinj Inc.    50,992     3,506
* Ping Identity Holding Corp.   163,880     3,448
* PROS Holdings Inc.   107,880     3,428
* BigCommerce Holdings Inc. Series 1   130,916     3,391
* ePlus Inc.    71,892     3,372
* Domo Inc. Class B    75,651     3,366
  CTS Corp.    85,941     3,261
* Eventbrite Inc. Class A   206,385     3,118
* Alpha & Omega Semiconductor Ltd.    57,722     3,104
* Avaya Holdings Corp.   223,295     3,075
* Avid Technology Inc.    97,664     3,072
* Photronics Inc.   160,699     2,960
* PAR Technology Corp.    68,427     2,870
* Sumo Logic Inc.   237,451     2,859
* Ichor Holdings Ltd.    75,871     2,673
* SMART Global Holdings Inc.    94,777     2,602
  Benchmark Electronics Inc.    95,049     2,485
* CEVA Inc.    60,790     2,478
* Parsons Corp.    71,185     2,467
* Consensus Cloud Solutions Inc.    43,391     2,415
* Agilysys Inc.    57,302     2,408
* Model N Inc.    95,599     2,351
  A10 Networks Inc.   161,612     2,301
* Yext Inc.   303,935     2,255
  Sapiens International Corp. NV    83,394     2,251
* PDF Solutions Inc.    81,185     2,221
* ScanSource Inc.    68,046     2,149
* NeoPhotonics Corp.   138,573     2,122
  Ebix Inc.    71,768     2,118
* nLight Inc.   118,082     1,925
* Bandwidth Inc. Class A    62,470     1,908
  American Software Inc. Class A    85,077     1,869
*,1 MicroVision Inc.   442,459     1,774
 
22

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
* Tucows Inc. Class A    26,251     1,764
* Mitek Systems Inc.   116,326     1,729
* Diebold Nixdorf Inc.   194,225     1,690
* Porch Group Inc.   208,254     1,687
* Rackspace Technology Inc.   147,825     1,645
  Simulations Plus Inc.    41,053     1,617
* Grid Dynamics Holdings Inc.   122,788     1,492
* Upland Software Inc.    78,080     1,473
  PC Connection Inc.    29,785     1,453
* Ouster Inc.   424,097     1,433
* ChannelAdvisor Corp.    79,724     1,431
* Groupon Inc. Class A    63,543     1,380
  Hackett Group Inc.    66,353     1,375
* Limelight Networks Inc.   337,459     1,319
* OneSpan Inc.    95,160     1,311
* Veritone Inc.    76,600     1,290
* Telos Corp.   107,616     1,229
* Identiv Inc.    58,001     1,216
* Alkami Technology Inc.    77,148     1,216
* Aeva Technologies Inc.   283,988     1,193
* ON24 Inc.    72,599     1,133
* Kimball Electronics Inc.    64,947     1,120
*,1 Xometry Inc. Class A    21,643     1,059
*,1 Digimarc Corp.    34,443     1,038
*,1 Cleanspark Inc.    93,271       989
* Enfusion Inc. Class A    58,979       978
* EngageSmart Inc.    43,648       960
*,1 Atomera Inc.    55,383       889
* TrueCar Inc.   257,694       861
* Brightcove Inc.   110,480       826
* Mediaalpha Inc. Class A    56,959       818
* AXT Inc.   109,557       816
* EverQuote Inc. Class A    53,203       792
  NVE Corp.    12,909       738
* GAN Ltd.   109,877       733
* Benefitfocus Inc.    68,331       689
* MeridianLink Inc.    34,414       674
* eGain Corp.    56,269       663
* Intapp Inc.    28,036       647
* CoreCard Corp.    19,711       635
* Kopin Corp.   212,536       561
* Couchbase Inc.    26,391       556
* Rimini Street Inc.   120,242       545
* EverCommerce Inc.    44,611       534
* Smith Micro Software Inc.   125,792       523
* comScore Inc.   187,646       492
* Daktronics Inc.   100,587       464
* SecureWorks Corp. Class A    26,867       413
* Quantum Corp.   157,072       408
* GTY Technologies Holdings Inc.    88,210       392
* EMCORE Corp.   100,204       389
* VirnetX Holding Corp.   173,884       316
* Viant Technology Inc. Class A    32,371       266
* SkyWater Technology Inc.    21,540       249
* Stronghold Digital Mining Inc. Class A    19,564       247
* Arteris Inc.    13,370       200
*,1 1stdibs.com Inc.    17,958       197
* Informatica Inc. Class A     7,542       152
* Weave Communications Inc.    12,378       124
* Freshworks Inc. Class A     2,940        54
    Shares Market
Value

($000)
* Expensify Inc. Class A     2,544        52
* Amplitude Inc. Class A     1,237        27
* NerdWallet Inc. Class A     2,265        26
* Thoughtworks Holding Inc.       994        23
*,1 Society Pass Inc.     8,562        22
* UserTesting Inc.     2,575        21
* Backblaze Inc. Class A     1,581        18
* ForgeRock Inc. Class A       996        15
* Gitlab Inc. Class A       258        15
* Braze Inc. Class A       258        11
        891,277
Telecommunications (1.7%)
* Vonage Holdings Corp.   653,124    13,272
* Iridium Communications Inc.   319,255    12,639
* Viavi Solutions Inc.   647,583    10,620
* Calix Inc.   148,941     8,093
  Cogent Communications Holdings Inc.   115,275     7,308
  InterDigital Inc.    83,664     5,390
  Telephone and Data Systems Inc.   272,500     4,728
* Infinera Corp.   493,855     4,558
* Liberty Latin America Ltd. Class C   423,803     4,276
* 8x8 Inc.   304,359     3,945
* Extreme Networks Inc.   343,212     3,944
* Plantronics Inc.   114,074     3,213
*,1 fuboTV Inc.   365,865     3,128
  Shenandoah Telecommunications Co.   130,507     2,917
  ADTRAN Inc.   130,599     2,689
* EchoStar Corp. Class A   100,944     2,457
* WideOpenWest Inc.   141,709     2,408
* Gogo Inc.   159,569     2,272
* Harmonic Inc.   243,663     2,269
* NETGEAR Inc.    78,278     2,083
* Clearfield Inc.    30,827     1,976
* IDT Corp. Class B    53,842     1,942
* Globalstar Inc. 1,638,410     1,933
* Digi International Inc.    90,608     1,819
* Anterix Inc.    31,365     1,671
  Comtech Telecommunications Corp.    69,581     1,432
* Consolidated Communications Holdings Inc.   196,718     1,401
* United States Cellular Corp.    40,940     1,126
*,1 Inseego Corp.   228,510     1,076
* Liberty Latin America Ltd. Class A   103,393     1,039
  ATN International Inc.    30,257     1,008
* Ooma Inc.    59,837     1,001
* Aviat Networks Inc.    29,383       832
* Akoustis Technologies Inc.   130,977       825
* Cambium Networks Corp.    29,315       815
* Telesat Corp.    35,028       726
* CalAmp Corp.    95,760       676
* DZS Inc.    46,227       670
* Ribbon Communications Inc.   188,716       574
* KVH Industries Inc.    41,768       360
* Casa Systems Inc.    86,005       358
 
23

 

Russell 2000 Index Fund
    Shares Market
Value

($000)
* Hemisphere Media Group Inc. Class A    43,500       233
* Kaltura Inc.    47,024       105
* IHS Holding Ltd.     4,630        52
        125,859
Utilities (3.2%)
* Evoqua Water Technologies Corp.   312,783    13,343
  Portland General Electric Co.   243,224    12,348
  Black Hills Corp.   172,935    12,104
  ONE Gas Inc.   142,524    11,842
1 Brookfield Infrastructure Corp. Class A (XTSE)   166,891    11,756
  Southwest Gas Holdings Inc.   163,106    11,571
  New Jersey Resources Corp.   261,085    11,389
  PNM Resources Inc.   231,329    10,449
* Casella Waste Systems Inc. Class A   133,016    10,029
  South Jersey Industries Inc.   277,954     9,431
  Spire Inc.   137,019     9,195
  ALLETE Inc.   141,686     8,918
1 Ormat Technologies Inc. (XNYS)   122,289     8,725
  NorthWestern Corp.   142,828     8,638
  Avista Corp.   191,114     8,529
  American States Water Co.    99,857     8,404
  California Water Service Group   141,913     8,079
  Clearway Energy Inc. Class C   221,943     7,413
  MGE Energy Inc.    98,261     7,077
  Chesapeake Utilities Corp.    46,558     6,190
  SJW Group    74,829     4,880
* Sunnova Energy International Inc.   231,935     4,673
  Middlesex Water Co.    46,690     4,669
  Northwest Natural Holding Co.    82,483     4,290
* US Ecology Inc.    85,226     4,043
  Clearway Energy Inc. Class A    94,125     2,879
* Harsco Corp.   211,632     2,521
  Unitil Corp.    42,139     2,128
  York Water Co.    35,145     1,577
* Heritage-Crystal Clean Inc.    42,248     1,185
  Artesian Resources Corp. Class A    22,087     1,027
  Aris Water Solution Inc. Class A    52,867       772
    Shares Market
Value

($000)
* Pure Cycle Corp.    51,651       612
  Global Water Resources Inc.    33,876       517
  Via Renewables Inc. Class A    32,649       364
* Sharps Compliance Corp.    49,053       302
* Cadiz Inc.    57,366       149
        232,018
Total Common Stocks (Cost $7,779,473) 7,286,926
    Face
Amount
($000)
 
Corporate Bonds (0.0%)
4 GAMCO Investors Inc., 5.000% coupon rate effective 6/15/22 4.000%, 6/15/23 (Cost $22)        22          22
    Shares  
Temporary Cash Investments (2.3%)
Money Market Fund (2.3%)
5,6 Vanguard Market Liquidity Fund, 0.138% (Cost $163,471) 1,634,990          163,483
Total Investments (101.7%) (Cost $7,942,966) 7,450,431
Other Assets and Liabilities—Net (-1.7%) (121,506)
Net Assets (100%) 7,328,925
Cost is in $000.
See Note A in Notes to Financial Statements.
* Non-income-producing security.
1 Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $127,309,000.
2 Security value determined using significant unobservable inputs.
3 “Other” represents securities that are not classified by the fund’s benchmark index.
4 Step bond.
5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
6 Collateral of $135,417,000 was received for securities on loan.
  CVR—Contingent Value Rights.
  REIT—Real Estate Investment Trust.
 
24

 

Russell 2000 Index Fund

Derivative Financial Instruments Outstanding as of Period End

Futures Contracts
      ($000)
  Expiration Number of
Long (Short)
Contracts
Notional
Amount
Value and
Unrealized
Appreciation
(Depreciation)
Long Futures Contracts        
E-mini Russell 2000 Index March 2022 405 41,401 (2,247)
  
See accompanying Notes, which are an integral part of the Financial Statements.
25

 

Russell 2000 Index Fund
Statement of Assets and Liabilities
As of February 28, 2022
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers (Cost $7,779,495) 7,286,948
Affiliated Issuers (Cost $163,471) 163,483
Total Investments in Securities 7,450,431
Investment in Vanguard 233
Cash 1,997
Cash Collateral Pledged—Futures Contracts 2,233
Receivables for Investment Securities Sold 5,385
Receivables for Accrued Income 4,030
Receivables for Capital Shares Issued 217
Variation Margin Receivable—Futures Contracts 111
Total Assets 7,464,637
Liabilities  
Payables for Investment Securities Purchased 3
Collateral for Securities on Loan 135,417
Payables for Capital Shares Redeemed 40
Payables to Vanguard 252
Total Liabilities 135,712
Net Assets 7,328,925
At February 28, 2022, net assets consisted of:  
   
Paid-in Capital 7,803,963
Total Distributable Earnings (Loss) (475,038)
Net Assets 7,328,925
 
ETF Shares—Net Assets  
Applicable to 82,750,000 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
6,783,425
Net Asset Value Per Share—ETF Shares $81.97
 
Institutional Shares—Net Assets  
Applicable to 1,739,138 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
545,500
Net Asset Value Per Share—Institutional Shares $313.66
  
See accompanying Notes, which are an integral part of the Financial Statements.
26

 

Russell 2000 Index Fund
Statement of Operations
  Six Months Ended
February 28, 2022
  ($000)
Investment Income  
Income  
Dividends1 37,906
Interest2 14
Securities Lending—Net 1,503
Total Income 39,423
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 384
Management and Administrative—ETF Shares 1,977
Management and Administrative—Institutional Shares 131
Marketing and Distribution—ETF Shares 124
Marketing and Distribution—Institutional Shares 14
Custodian Fees 680
Shareholders’ Reports—ETF Shares 224
Shareholders’ Reports—Institutional Shares 4
Trustees’ Fees and Expenses 2
Other Expenses 8
Total Expenses 3,548
Net Investment Income 35,875
Realized Net Gain (Loss)  
Investment Securities Sold2,3 361,078
Futures Contracts (2,679)
Realized Net Gain (Loss) 358,399
Change in Unrealized Appreciation (Depreciation)  
Investment Securities2 (1,136,968)
Futures Contracts (2,456)
Change in Unrealized Appreciation (Depreciation) (1,139,424)
Net Increase (Decrease) in Net Assets Resulting from Operations (745,150)
1 Dividends are net of foreign withholding taxes of $46,000.
2 Interest income, realized net gain (loss), capital gain distributions received, and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $13,000, ($20,000), less than $1,000, and less than $1,000, respectively. Purchases and sales are for temporary cash investment purposes.
3 Includes $360,892,000 of net gain (loss) resulting from in-kind redemptions.
  
See accompanying Notes, which are an integral part of the Financial Statements.
27

 

Russell 2000 Index Fund
Statement of Changes in Net Assets
  Six Months Ended
February 28,
2022
  Year Ended
August 31,
2021
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 35,875   48,702
Realized Net Gain (Loss) 358,399   727,841
Change in Unrealized Appreciation (Depreciation) (1,139,424)   639,157
Net Increase (Decrease) in Net Assets Resulting from Operations (745,150)   1,415,700
Distributions      
ETF Shares (52,794)   (36,436)
Institutional Shares (5,005)   (7,027)
Total Distributions (57,799)   (43,463)
Capital Share Transactions      
ETF Shares 1,295,050   3,304,505
Institutional Shares (5,505)   (267,012)
Net Increase (Decrease) from Capital Share Transactions 1,289,545   3,037,493
Total Increase (Decrease) 486,596   4,409,730
Net Assets      
Beginning of Period 6,842,329   2,432,599
End of Period 7,328,925   6,842,329
  
See accompanying Notes, which are an integral part of the Financial Statements.
28

 

Russell 2000 Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
February 28,
2022
Year Ended August 31,
20211 20201 20191 20181 20171
Net Asset Value, Beginning of Period $91.28 $62.69 $59.88 $69.56 $56.11 $49.49
Investment Operations            
Net Investment Income2 .433 .865 .810 .797 .777 .722
Net Realized and Unrealized Gain (Loss) on Investments (9.048) 28.550 2.815 (9.704) 13.423 6.632
Total from Investment Operations (8.615) 29.415 3.625 (8.907) 14.200 7.354
Distributions            
Dividends from Net Investment Income (.695) (.825) (.815) (.773) (.750) (.734)
Distributions from Realized Capital Gains
Total Distributions (.695) (.825) (.815) (.773) (.750) (.734)
Net Asset Value, End of Period $81.97 $91.28 $62.69 $59.88 $69.56 $56.11
Total Return -9.48% 47.15% 6.12% -12.83% 25.49% 14.94%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $6,783 $6,223 $1,802 $1,464 $1,715 $1,083
Ratio of Total Expenses to Average Net Assets 0.10% 0.10% 0.10% 0.10% 0.15% 0.15%
Ratio of Net Investment Income to Average Net Assets 1.01% 1.02% 1.37% 1.30% 1.23% 1.34%
Portfolio Turnover Rate3 6% 23% 19% 16% 19% 23%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Adjusted to reflect a 2-for-1 share split effective at the beginning of trading on April 20, 2021.
2 Calculated based on average shares outstanding.
3 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.
  
See accompanying Notes, which are an integral part of the Financial Statements.
29

 

Russell 2000 Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
February 28,
2022
Year Ended August 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $349.26 $239.84 $229.03 $266.12 $214.65 $189.31
Investment Operations            
Net Investment Income1 1.756 3.360 3.208 3.078 3.129 2.956
Net Realized and Unrealized Gain (Loss) on Investments (34.669) 109.242 10.710 (37.106) 51.369 25.315
Total from Investment Operations (32.913) 112.602 13.918 (34.028) 54.498 28.271
Distributions            
Dividends from Net Investment Income (2.687) (3.182) (3.108) (3.062) (3.028) (2.931)
Distributions from Realized Capital Gains
Total Distributions (2.687) (3.182) (3.108) (3.062) (3.028) (2.931)
Net Asset Value, End of Period $313.66 $349.26 $239.84 $229.03 $266.12 $214.65
Total Return -9.48% 47.19% 6.15% -12.83% 25.58% 15.03%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $546 $619 $630 $859 $982 $576
Ratio of Total Expenses to Average Net Assets 0.08% 0.08% 0.08% 0.08% 0.08% 0.08%
Ratio of Net Investment Income to Average Net Assets 1.07% 1.08% 1.41% 1.32% 1.30% 1.41%
Portfolio Turnover Rate2 6% 23% 19% 16% 19% 23%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.
  
See accompanying Notes, which are an integral part of the Financial Statements.
30

 

Russell 2000 Index Fund
Notes to Financial Statements
Vanguard Russell 2000 Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers two classes of shares: ETF Shares and Institutional Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares are listed for trading on Nasdaq; they can be purchased and sold through a broker.
Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.
A. The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements.
1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. Investments in Vanguard Market Liquidity Fund are valued at that fund's net asset value. Bonds are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services.
2. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts, and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract. Any securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. Fluctuations in the value of the contracts are recorded in the Statement of Assets and Liabilities as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized gains (losses) on futures contracts.
31

 

Russell 2000 Index Fund
During the six months ended February 28, 2022, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.
3. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for income tax is required in the fund’s financial statements.
4. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis at the fiscal year-end and may differ from net investment income and realized capital gains for financial reporting purposes.
5. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Assets and Liabilities for the return of the collateral, during the period the securities are on loan. Collateral investments in Vanguard Market Liquidity Fund are subject to market appreciation or depreciation. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.
6. Credit Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group ("Vanguard") participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds
32

 

Russell 2000 Index Fund
effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternate rate agreed to by the fund and Vanguard.
In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.
For the six months ended February 28, 2022, the fund did not utilize the credit facilities or the Interfund Lending Program.
7. Other: Dividend income is recorded on the ex-dividend date. Non-cash dividends included in income, if any, are recorded at the fair value of the securities received. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.
Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.
B. In accordance with the terms of a Funds' Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees and are generally settled twice a month.
Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At February 28, 2022, the fund had contributed to Vanguard capital in the amount of $233,000, representing less than 0.01% of the fund’s net assets and 0.09% of Vanguard’s capital received pursuant to the FSA. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.
C. Various inputs may be used to determine the value of the fund’s investments and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
Level 1—Quoted prices in active markets for identical securities.
33

 

Russell 2000 Index Fund
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
The following table summarizes the market value of the fund’s investments and derivatives as of February 28, 2022, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 7,286,855 71 7,286,926
Corporate Bonds 22 22
Temporary Cash Investments 163,483 163,483
Total 7,450,338 22 71 7,450,431
Derivative Financial Instruments        
Liabilities        
Futures Contracts1 2,247 2,247
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
D. As of February 28, 2022, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:
  Amount
($000)
Tax Cost 7,963,350
Gross Unrealized Appreciation 661,653
Gross Unrealized Depreciation (1,176,819)
Net Unrealized Appreciation (Depreciation) (515,166)
The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at August 31, 2021, the fund had available capital losses totaling $327,387,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending August 31, 2022; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.
E. During the six months ended February 28, 2022, the fund purchased $2,782,757,000 of investment securities and sold $1,549,460,000 of investment securities, other than temporary cash investments. Purchases and sales include $2,378,393,000 and $1,086,554,000, respectively, in connection with in-kind purchases and redemptions of the fund's capital shares.
The fund purchased securities from and sold securities to other Vanguard funds or accounts managed by Vanguard or its affiliates, in accordance with procedures adopted by the board of trustees in compliance with Rule 17a-7 of the Investment Company Act of 1940. For the six
34

 

Russell 2000 Index Fund
months ended February 28, 2022, such purchases were $40,862,000 and sales were $61,781,000, resulting in net realized loss of $13,063,000; these amounts, other than temporary cash investments, are included in the purchases and sales of investment securities noted above.
F. Capital share transactions for each class of shares were:
    
  Six Months Ended
February 28, 2022
  Year Ended
August 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
ETF Shares1          
Issued 2,384,380 27,325   5,016,365 59,050
Issued in Lieu of Cash Distributions  
Redeemed (1,089,330) (12,750)   (1,711,860) (19,625)
Net Increase (Decrease)—ETF Shares 1,295,050 14,575   3,304,505 39,425
Institutional Shares          
Issued 101,314 292   87,649 270
Issued in Lieu of Cash Distributions 4,752 14   6,712 23
Redeemed (111,571) (340)   (361,373) (1,148)
Net Increase (Decrease)—Institutional Shares (5,505) (34)   (267,012) (855)
1 2021 shares adjusted to reflect a 2-for-1 share split effective at the beginning of trading on April 20, 2021.
G. Market disruptions associated with current geopolitical events have had a global impact, and uncertainty exists as to their implications. Such disruptions can adversely affect assets and thus performance of the fund; at this time, an aggregate effect on assets and performance cannot be reasonably estimated. Management is continuing to monitor these developments and evaluate impacts they may have on the fund.
Management has determined that no other events or transactions occurred subsequent to February 28, 2022, that would require recognition or disclosure in these financial statements.
35

 

Russell 2000 Value Index Fund
Fund Allocation
As of February 28, 2022
Basic Materials 4.3%
Consumer Discretionary 12.5
Consumer Staples 2.7
Energy 8.4
Financials 26.7
Health Care 8.9
Industrials 14.3
Real Estate 11.5
Technology 4.4
Telecommunications 1.2
Utilities 5.1
Other 0.0
The table reflects the fund’s investments, except short-term investments and derivatives. Sector categories are based on the Industry Classification Benchmark (“ICB”), except for the “Other” category (if applicable), which includes securities that have not been provided an ICB classification as of the effective reporting period.
The fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.
The Industry Classification Benchmark (“ICB”) is owned by FTSE. FTSE does not accept any liability to any person for any loss or damage arising out of any error or omission in the ICB.
36

 

Russell 2000 Value Index Fund
Financial Statements (unaudited)
Schedule of Investments
As of February 28, 2022
The fund files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) for the first and third quarters of each fiscal year as an exhibit to its reports on Form N-PORT. The fund’s Form N-PORT reports are available on the SEC’s website at www.sec.gov.
    Shares Market
Value

($000)
Common Stocks (99.9%)
Basic Materials (4.3%)
* RBC Bearings Inc.  20,479     3,970
  Commercial Metals Co. 102,528     3,952
  Avient Corp.  69,667     3,650
* Arconic Corp.  90,919     2,791
  Boise Cascade Co.  26,305     2,103
* Constellium SE Class A 105,797     2,056
  Tronox Holdings plc Class A  97,458     1,978
  Minerals Technologies Inc.  28,229     1,976
  Hecla Mining Co. 319,468     1,840
  Stepan Co.  16,646     1,725
  Mueller Industries Inc.  29,310     1,672
  Worthington Industries Inc.  28,196     1,608
  Carpenter Technology Corp.  40,567     1,557
  Sensient Technologies Corp.  17,425     1,431
  Innospec Inc.  14,415     1,377
* GCP Applied Technologies Inc.  41,944     1,325
* Kraton Corp.  26,830     1,238
  Kaiser Aluminum Corp.  11,823     1,141
  Schnitzer Steel Industries Inc. Class A  20,356       990
* Century Aluminum Co.  41,571       982
  AdvanSix Inc.  23,422       938
* US Silica Holdings Inc.  62,929       910
  Materion Corp.  10,651       890
  Schweitzer-Mauduit International Inc.  26,833       838
* TimkenSteel Corp.  38,875       701
* Amyris Inc. 132,639       605
  Verso Corp. Class A  22,528       597
  Neenah Inc.  14,535       566
  Glatfelter Corp.  36,954       508
* Koppers Holdings Inc.  17,532       502
* Intrepid Potash Inc.   8,382       477
  Ecovyst Inc.  43,307       473
  UFP Industries Inc.   4,892       419
* Clearwater Paper Corp.  13,912       401
  Haynes International Inc.  10,531       385
* Alto Ingredients Inc.  60,323       352
* Rayonier Advanced Materials Inc.  52,165       306
* Coeur Mining Inc.  68,796       296
  American Vanguard Corp.  18,849       284
  Hawkins Inc.   5,409       245
* Northwest Pipe Co.   8,169       233
* Unifi Inc.  12,153       228
  Olympic Steel Inc.   7,934       212
    Shares Market
Value

($000)
* Zymergen Inc.  54,189       207
  GrafTech International Ltd.  19,422       196
  FutureFuel Corp.  21,671       159
* Energy Fuels Inc.  18,231       149
  Ryerson Holding Corp.   5,132       134
* NN Inc.  35,818        93
  Valhi Inc.   2,020        51
  Tredegar Corp.   4,135        48
* Polymet Mining Corp.  16,031        44
* Ur-Energy Inc.  16,930        25
* Gatos Silver Inc.   6,789        23
         51,857
Consumer Discretionary (12.5%)
*,1 AMC Entertainment Holdings Inc. Class A 440,166     8,302
  Macy's Inc. 268,066     6,948
* Avis Budget Group Inc.  35,256     6,467
  TEGNA Inc. 188,770     4,327
* Goodyear Tire & Rubber Co. 236,397     3,662
* Adient plc  70,560     3,158
* Meritage Homes Corp.  29,567     2,915
  Group 1 Automotive Inc.  14,955     2,721
* Taylor Morrison Home Corp. Class A  90,110     2,658
  MillerKnoll Inc.  63,511     2,469
* Callaway Golf Co.  98,515     2,437
* Academy Sports & Outdoors Inc.  66,164     2,142
  KB Home  55,335     2,136
* Spirit Airlines Inc.  84,791     2,127
  Graham Holdings Co. Class B   3,277     1,970
* Tri Pointe Homes Inc.  87,530     1,958
  Rush Enterprises Inc. Class A  37,177     1,931
* KAR Auction Services Inc. 103,123     1,904
* BJ's Wholesale Club Holdings Inc.  29,547     1,858
  John Wiley & Sons Inc. Class A  36,737     1,848
* Vista Outdoor Inc.  48,930     1,784
* Madison Square Garden Entertainment Corp.  22,429     1,758
* Abercrombie & Fitch Co. Class A  45,681     1,740
* ODP Corp.  39,289     1,729
  Gray Television Inc.  72,860     1,707
* Knowles Corp.  75,803     1,651
  MDC Holdings Inc.  35,976     1,595
* PROG Holdings Inc.  46,742     1,432
  Jack in the Box Inc.  16,105     1,389
37

 

Russell 2000 Value Index Fund
    Shares Market
Value

($000)
* Lions Gate Entertainment Corp. Class B  97,226     1,385
* SeaWorld Entertainment Inc.  19,689     1,366
  HNI Corp.  33,270     1,354
  PriceSmart Inc.  18,486     1,344
*,1 Bed Bath & Beyond Inc.  77,041     1,301
* Coursera Inc.  62,353     1,268
  Dillard's Inc. Class A   4,998     1,253
  Strategic Education Inc.  20,849     1,231
* M/I Homes Inc.  24,671     1,216
* SkyWest Inc.  42,634     1,198
* Stride Inc.  33,515     1,125
* iHeartMedia Inc. Class A  52,370     1,123
  Oxford Industries Inc.  12,639     1,117
  La-Z-Boy Inc.  37,536     1,095
* EW Scripps Co. Class A  48,546     1,081
  Dana Inc.  57,662     1,074
* Clear Channel Outdoor Holdings Inc. 283,967     1,062
* G-III Apparel Group Ltd.  37,700     1,046
  Sinclair Broadcast Group Inc. Class A  33,212       996
  Sonic Automotive Inc. Class A  18,316       984
* Clean Energy Fuels Corp. 133,263       969
  Big Lots Inc.  27,741       964
  Scholastic Corp.  22,532       948
* Central Garden & Pet Co. Class A  21,216       934
  Laureate Education Inc. Class A  85,478       927
  Steelcase Inc. Class A  73,587       896
  Acushnet Holdings Corp.  20,330       890
  Matthews International Corp. Class A  26,747       887
* Adtalem Global Education Inc.  41,901       871
  Franchise Group Inc.  20,661       871
* Dave & Buster's Entertainment Inc.  19,683       853
* Cars.com Inc.  51,110       827
* Hawaiian Holdings Inc.  42,963       824
* Genesco Inc.  12,831       823
* Zumiez Inc.  18,297       814
* Imax Corp.  39,270       812
* Lions Gate Entertainment Corp. Class A  52,645       809
  Standard Motor Products Inc.  17,966       785
* Tupperware Brands Corp.  41,572       758
  Signet Jewelers Ltd.   9,865       695
  Guess? Inc.  29,561       647
* Perdoceo Education Corp.  60,722       636
* Cavco Industries Inc.   2,321       633
* Sleep Number Corp.   9,616       632
* Gannett Co. Inc. 118,660       589
* PowerSchool Holdings Inc. Class A  37,029       583
  Century Communities Inc.   8,972       572
  Aaron's Co. Inc.  26,385       554
* Fossil Group Inc.  40,285       545
  A-Mark Precious Metals Inc.   7,567       543
* Revolve Group Inc.  11,227       532
  Movado Group Inc.  13,193       520
  Carriage Services Inc. Class A  10,515       517
  Monro Inc.  10,760       502
* AMC Networks Inc. Class A  12,042       499
  Interface Inc. Class A  38,172       498
    Shares Market
Value

($000)
  Ethan Allen Interiors Inc.  19,009       495
* Boston Omaha Corp. Class A  17,191       481
* Urban Outfitters Inc.  17,132       471
* TravelCenters of America Inc.  10,534       445
* American Axle & Manufacturing Holdings Inc.  47,824       443
  Winmark Corp.   1,948       441
* Green Brick Partners Inc.  18,563       430
* Hovnanian Enterprises Inc. Class A   4,379       421
* Beazer Homes USA Inc.  24,706       404
* MarineMax Inc.   8,597       393
* LL Flooring Holdings Inc.  24,064       386
* Chico's FAS Inc.  79,701       375
* Stagwell Inc.  47,701       362
* Universal Electronics Inc.  10,759       358
* Marcus Corp.  19,223       349
* Bluegreen Vacations Holding Class A  12,077       342
  Entravision Communications Corp. Class A  51,884       332
* Daily Journal Corp.   1,019       330
  Del Taco Restaurants Inc.  25,196       314
* WW International Inc.  30,857       314
* American Public Education Inc.  15,683       313
* Audacy Inc. Class A  99,613       309
* Stoneridge Inc.  18,649       308
  Kimball International Inc. Class B  33,071       307
*,1 Lordstown Motors Corp. Class A 117,999       303
  Cato Corp. Class A  16,718       294
* Chuy's Holdings Inc.   8,954       292
1 Big 5 Sporting Goods Corp.  17,584       291
* Central Garden & Pet Co.   6,020       285
*,1 Canoo Inc.  48,908       281
* Conn's Inc.  15,071       276
* Cinemark Holdings Inc.  15,680       275
* Motorcar Parts of America Inc.  16,035       259
  Tilly's Inc. Class A  19,004       241
* Container Store Group Inc.  26,828       237
* OneSpaWorld Holdings Ltd.  22,746       235
  Haverty Furniture Cos. Inc.   7,931       225
* Life Time Group Holdings Inc.  14,254       222
* El Pollo Loco Holdings Inc.  16,055       213
*,1 Genius Brands International Inc. 238,446       212
  Rocky Brands Inc.   5,479       211
* Barnes & Noble Education Inc.  37,950       208
* Lands' End Inc.  12,140       206
  Rush Enterprises Inc. Class B   4,137       203
* Denny's Corp.  12,526       198
  Hooker Furnishings Corp.   9,230       194
* Instructure Holdings Inc.   8,567       192
* American Outdoor Brands Inc.  11,804       184
* Cooper-Standard Holdings Inc.  14,210       181
* Legacy Housing Corp.   7,091       181
* Vera Bradley Inc.  22,187       168
* Alta Equipment Group Inc.  12,959       163
* Monarch Casino & Resort Inc.   2,081       162
  Superior Group of Cos. Inc.   7,736       159
 
38

 

Russell 2000 Value Index Fund
    Shares Market
Value

($000)
* Integral Ad Science Holding Corp.   8,061       151
* Fiesta Restaurant Group Inc.  14,878       150
*,1 Portillo's Inc. Class A   5,974       150
* European Wax Center Inc. Class A   5,954       148
* Fisker Inc.  11,627       142
  Lifetime Brands Inc.  10,651       140
* VOXX International Corp. Class A  13,045       140
  Johnson Outdoors Inc. Class A   1,658       137
  National CineMedia Inc.  46,066       137
  Bassett Furniture Industries Inc.   7,805       137
* Houghton Mifflin Harcourt Co.   6,500       136
* iRobot Corp.   2,163       134
* Mesa Air Group Inc.  29,099       127
* CarLotz Inc.  62,722       127
* Traeger Inc.  12,785       126
* Udemy Inc.   9,562       126
* Lazydays Holdings Inc.   6,736       123
  Flexsteel Industries Inc.   5,573       120
1 Weber Inc. Class A  10,403       119
* F45 Training Holdings Inc.   7,425       114
* Snap One Holdings Corp.   5,729       113
  Rent-A-Center Inc.   3,644       104
* 2U Inc.   9,459        99
  Hibbett Inc.   2,179        98
* Tenneco Inc. Class A   5,032        97
* Biglari Holdings Inc. Class B     692        95
* Nautilus Inc.  18,710        91
1 Krispy Kreme Inc.   5,675        85
  Escalade Inc.   6,330        84
*,1 Shift Technologies Inc.  41,678        84
  Global Industrial Co.   2,431        77
* America's Car-Mart Inc.     794        76
  Carrols Restaurant Group Inc.  27,977        74
  Sturm Ruger & Co. Inc.   1,022        74
* Xponential Fitness Inc. Class A   3,528        74
* Emerald Holding Inc.  20,227        72
* Stonemor Inc.  26,974        70
* Torrid Holdings Inc.   8,039        70
  Buckle Inc.   1,915        69
* CuriosityStream Inc.  17,955        66
* Revlon Inc. Class A   6,174        60
* Landsea Homes Corp.   8,972        59
  Hamilton Beach Brands Holding Co. Class A   3,796        57
  Shoe Carnival Inc.   1,962        57
* Turtle Beach Corp.   2,295        55
  NL Industries Inc.   8,084        52
* Fluent Inc.  36,259        51
* Hall of Fame Resort & Entertainment Co.  47,335        50
*,1 XL Fleet Corp.  25,080        49
* Drive Shack Inc.  35,779        48
* Outbrain Inc.   3,526        46
* BJ's Restaurants Inc.   1,393        45
* Chicken Soup For The Soul Entertainment Inc.   4,657        45
* Romeo Power Inc.  24,650        45
* Solo Brands Inc. Class A   4,265        45
* Thryv Holdings Inc.   1,376        42
* Eros STX Global Corp.  13,307        42
    Shares Market
Value

($000)
* First Watch Restaurant Group Inc.   2,830        41
  Nathan's Famous Inc.     624        36
  CompX International Inc.   1,590        35
* Rent the Runway Inc. Class A   5,372        33
* Liberty TripAdvisor Holdings Inc. Class A  13,916        30
* Lulu's Fashion Lounge Holdings Inc.   2,428        24
* aka Brands Holding Corp.   3,000        23
* Eastman Kodak Co.   2,109        10
*,1 Dutch Bros Inc. Class A     187         9
* Regis Corp.   3,562         6
* Sweetgreen Inc. Class A     216         5
* Arhaus Inc.     732         5
* Digital Media Solutions Inc. Class A   1,309         4
* Brilliant Earth Group Inc. Class A     397         4
* Allbirds Inc. Class A     149         1
        149,845
Consumer Staples (2.7%)
* Simply Good Foods Co.  68,038     2,696
* Hostess Brands Inc. Class A 117,405     2,529
  Primo Water Corp. 133,674     1,944
* United Natural Foods Inc.  44,511     1,791
* TreeHouse Foods Inc.  44,272     1,738
  Edgewell Personal Care Co.  46,116     1,645
  B&G Foods Inc.  54,466     1,612
  Cal-Maine Foods Inc.  34,754     1,539
* Sprouts Farmers Market Inc.  53,205     1,515
  Vector Group Ltd. 105,336     1,181
  Universal Corp.  20,653     1,118
  Nu Skin Enterprises Inc. Class A  23,440     1,087
  Ingles Markets Inc. Class A  11,983       985
  Weis Markets Inc.  14,245       879
  SpartanNash Co.  30,232       851
* Chefs' Warehouse Inc.  25,463       836
  Fresh Del Monte Produce Inc.  28,766       745
  Andersons Inc.  15,797       720
  ACCO Brands Corp.  80,381       691
* Performance Food Group Co.  11,302       633
  Sanderson Farms Inc.   2,462       440
  Tootsie Roll Industries Inc.  13,042       440
* Rite Aid Corp.  47,064       431
* Mission Produce Inc.  27,716       360
  Lancaster Colony Corp.   1,940       326
*,1 BellRing Brands Inc. Class A  11,937       305
* Whole Earth Brands Inc.  31,516       299
* Seneca Foods Corp. Class A   5,153       256
* Landec Corp.  21,937       253
  John B Sanfilippo & Son Inc.   2,530       201
* Duckhorn Portfolio Inc.   9,988       196
* HF Foods Group Inc.  30,525       191
  Nature's Sunshine Products Inc.  10,204       179
  Village Super Market Inc. Class A   7,141       163
  MGP Ingredients Inc.   1,935       154
* Sovos Brands Inc.  12,455       151
  Limoneira Co.   9,510       139
  Oil-Dri Corp. of America   4,325       134
  Natural Grocers by Vitamin Cottage Inc.   7,737       131
 
39

 

Russell 2000 Value Index Fund
    Shares Market
Value

($000)
* Beauty Health Co.   6,343       123
* Honest Co. Inc.  20,797       120
* Veru Inc.  15,032        84
  PetMed Express Inc.   2,305        62
* AquaBounty Technologies Inc.  29,274        47
* Vita Coco Co. Inc.   3,136        36
* NewAge Inc.  49,186        33
* Zevia PBC Class A   2,645        17
* Laird Superfood Inc.   1,365         8
* Real Good Food Co. Inc.     187         1
         32,015
Energy (8.4%)
  Ovintiv Inc. (XNYS) 211,157     9,681
  Chesapeake Energy Corp.  84,285     6,511
  PDC Energy Inc.  83,241     5,371
* Antero Resources Corp. 214,629     4,921
* Range Resources Corp. 203,934     4,680
  Murphy Oil Corp. 125,195     4,340
  SM Energy Co. 102,505     3,640
  Helmerich & Payne Inc.  89,777     3,253
* ChampionX Corp. 141,872     3,037
* CNX Resources Corp. 178,631     2,919
  California Resources Corp.  69,092     2,849
  Whiting Petroleum Corp.  33,465     2,471
* Renewable Energy Group Inc.  38,240     2,352
  Patterson-UTI Energy Inc. 161,066     2,324
  Equitrans Midstream Corp. 348,413     2,233
  Arcosa Inc.  41,274     2,174
  Civitas Resources Inc.  31,575     1,594
  World Fuel Services Corp.  53,188     1,507
* Golar LNG Ltd.  86,364     1,503
* PBF Energy Inc. Class A  82,183     1,366
* Green Plains Inc.  40,748     1,334
* Peabody Energy Corp.  75,944     1,317
* Oceaneering International Inc.  85,765     1,256
  Warrior Met Coal Inc.  39,535     1,245
  Arch Resources Inc.  10,355     1,236
* Centennial Resource Development Inc. Class A 136,444     1,198
  Northern Oil and Gas Inc.  44,826     1,124
* NexTier Oilfield Solutions Inc. 132,861     1,058
* Delek US Holdings Inc.  56,225       969
  Archrock Inc. 114,452       956
* Array Technologies Inc.  84,688       952
* ProPetro Holding Corp.  73,095       933
* CONSOL Energy Inc.  29,341       902
* NOW Inc.  94,332       881
* Dril-Quip Inc.  29,702       857
  Brigham Minerals Inc. Class A  37,389       852
* Nabors Industries Ltd. (XNYS)   5,973       750
* MRC Global Inc.  69,168       699
* Bristow Group Inc.  19,972       662
* Comstock Resources Inc.  77,298       642
* Liberty Oilfield Services Inc. Class A  50,172       626
* Ranger Oil Corp. Class A  17,919       605
* Gevo Inc. 168,352       598
* Laredo Petroleum Inc.   7,732       592
  Berry Corp.  56,897       569
  SunCoke Energy Inc.  71,659       568
* Expro Group Holdings NV  33,673       542
* Tidewater Inc.  35,135       520
    Shares Market
Value

($000)
* RPC Inc.  56,959       499
* Helix Energy Solutions Group Inc. 120,791       489
* Select Energy Services Inc. Class A  53,574       444
  CVR Energy Inc.  24,971       434
* FuelCell Energy Inc.  71,426       429
* REX American Resources Corp.   4,485       424
* Talos Energy Inc.  26,325       414
* W&T Offshore Inc.  79,156       385
* Centrus Energy Corp. Class A   8,186       371
  Oasis Petroleum Inc.   2,523       334
* Callon Petroleum Co.   5,375       303
* Aemetis Inc.  22,705       291
* Newpark Resources Inc.  76,161       287
* National Energy Services Reunited Corp.  32,006       285
* Oil States International Inc.  51,089       267
* SunPower Corp.  13,846       248
* Earthstone Energy Inc. Class A  17,937       233
* American Superconductor Corp.  23,529       200
* FTS International Inc. Class A   7,524       199
  Solaris Oilfield Infrastructure Inc. Class A  19,087       198
  Kinetik Holdings Inc.   2,506       170
* Matrix Service Co.  21,837       151
  HighPeak Energy Inc.   4,297        91
* TETRA Technologies Inc.  23,645        76
* Par Pacific Holdings Inc.   5,536        75
  Riley Exploration Permian Inc.   1,838        62
* Nabors Industries Ltd. Warrants Exp. 6/11/26   2,380        33
  Falcon Minerals Corp.   5,658        32
* Beam Global   1,048        15
* Advent Technologies Holdings Inc.   3,818        10
* Fluence Energy Inc.     426         6
        100,624
Financials (26.7%)
  SouthState Corp.  59,478     5,353
  Valley National Bancorp 341,252     4,767
  Glacier Bancorp Inc.  82,856     4,590
  Old National Bancorp 250,915     4,587
  Blackstone Mortgage Trust Inc. Class A 133,812     4,253
  Cadence Bank 134,348     4,248
  Selective Insurance Group Inc.  50,662     4,215
  United Bankshares Inc. 112,422     4,117
  Hancock Whitney Corp.  73,612     4,099
  Essent Group Ltd.  92,306     4,078
  UMB Financial Corp.  37,370     3,807
  Radian Group Inc. 153,424     3,667
  United Community Banks Inc.  89,368     3,455
  BankUnited Inc.  75,857     3,353
  Independent Bank Corp. (XNGS)  38,967     3,352
  Community Bank System Inc.  45,605     3,326
  Walker & Dunlop Inc.  22,402     3,099
  Associated Banc-Corp. 126,718     3,091
 
40

 

Russell 2000 Value Index Fund
    Shares Market
Value

($000)
  Home BancShares Inc. 129,961     3,042
  First Interstate BancSystem Inc. Class A  74,570     3,028
* Enstar Group Ltd.  10,569     3,012
  Cathay General Bancorp  63,219     2,973
  Ameris Bancorp  56,761     2,810
  WSFS Financial Corp.  55,171     2,804
  Simmons First National Corp. Class A  97,081     2,769
* Mr Cooper Group Inc.  52,694     2,678
  American Equity Investment Life Holding Co.  70,523     2,658
  Pacific Premier Bancorp Inc.  67,789     2,624
  Atlantic Union Bankshares Corp.  64,390     2,616
  CVB Financial Corp. 110,402     2,603
  Federated Hermes Inc.  79,170     2,586
  CNO Financial Group Inc. 105,113     2,541
  Eastern Bankshares Inc. 115,616     2,527
  Independent Bank Group Inc.  32,135     2,479
  Chimera Investment Corp. 201,152     2,448
  First BanCorp. (XNYS) 173,069     2,444
  Columbia Banking System Inc.  66,683     2,443
  Fulton Financial Corp. 135,167     2,436
* Axos Financial Inc.  43,947     2,406
  Navient Corp. 135,081     2,379
  FirstCash Holdings Inc.  31,367     2,260
  Arbor Realty Trust Inc. 122,402     2,203
  Piper Sandler Cos.  14,874     2,201
  First Merchants Corp.  48,503     2,122
  Investors Bancorp Inc. 124,629     2,086
  Flagstar Bancorp Inc.  44,364     2,022
  International Bancshares Corp.  45,775     1,969
  Washington Federal Inc.  55,224     1,965
  First Financial Bancorp  78,901     1,939
* Marathon Digital Holdings Inc.  76,449     1,938
* Cannae Holdings Inc.  72,023     1,934
  WesBanco Inc.  52,233     1,909
  Sandy Spring Bancorp Inc.  38,098     1,794
  Banner Corp.  29,058     1,790
* Texas Capital Bancshares Inc.  26,871     1,790
  Towne Bank  57,176     1,783
* Genworth Financial Inc. Class A 432,012     1,754
  Heartland Financial USA Inc.  34,338     1,704
  Renasant Corp.  46,472     1,697
  Hope Bancorp Inc.  98,597     1,672
  Trustmark Corp.  52,933     1,667
  Park National Corp.  12,272     1,645
* PRA Group Inc.  36,844     1,644
  Bank of NT Butterfield & Son Ltd.  42,772     1,642
* Encore Capital Group Inc.  24,851     1,640
  Seacoast Banking Corp. of Florida  44,540     1,632
  Hilltop Holdings Inc.  52,725     1,630
  Eagle Bancorp Inc.  26,923     1,613
* LendingClub Corp.  84,499     1,570
  Apollo Commercial Real Estate Finance Inc. 119,489     1,559
  Lakeland Financial Corp.  19,433     1,559
* NMI Holdings Inc. Class A  67,006     1,551
  Stewart Information Services Corp.  22,732     1,543
    Shares Market
Value

($000)
  PennyMac Financial Services Inc.  26,600     1,536
  Provident Financial Services Inc.  64,618     1,533
  MFA Financial Inc. 377,317     1,532
  Enterprise Financial Services Corp.  30,201     1,493
  Two Harbors Investment Corp. 293,377     1,484
  Horace Mann Educators Corp.  35,558     1,479
  Northwest Bancshares Inc. 104,201     1,467
* Customers Bancorp Inc.  23,503     1,447
  iStar Inc.  57,289     1,439
  Veritex Holdings Inc.  34,826     1,415
  NBT Bancorp Inc.  35,947     1,379
  Westamerica BanCorp.  22,213     1,318
* Bancorp Inc.  44,848     1,314
  First Bancorp (XNGS)  29,244     1,312
  Berkshire Hills Bancorp Inc.  41,716     1,297
  First Commonwealth Financial Corp.  80,225     1,296
* Enova International Inc.  31,028     1,265
  BGC Partners Inc. Class A 269,859     1,236
  Capitol Federal Financial Inc. 110,877     1,211
  American National Group Inc.   6,378     1,206
  OFG Bancorp  41,867     1,180
  First Busey Corp.  42,875     1,177
  Nelnet Inc. Class A  14,498     1,168
  FB Financial Corp.  25,853     1,149
  BancFirst Corp.  14,671     1,146
  Moelis & Co. Class A  23,728     1,144
  Argo Group International Holdings Ltd.  27,032     1,140
  New York Mortgage Trust Inc. 323,966     1,137
  Goosehead Insurance Inc. Class A  12,976     1,129
  Brookline Bancorp Inc.  65,565     1,124
  OceanFirst Financial Corp.  49,845     1,116
  Ladder Capital Corp. Class A  97,006     1,112
  Southside Bancshares Inc.  26,600     1,109
  ProAssurance Corp.  45,956     1,108
  National Bank Holdings Corp. Class A  24,779     1,100
  Meta Financial Group Inc.  19,116     1,059
  ConnectOne Bancorp Inc.  31,852     1,051
  PennyMac Mortgage Investment Trust  67,204     1,048
  S&T Bancorp Inc.  33,222     1,033
  Safety Insurance Group Inc.  12,367     1,032
  B Riley Financial Inc.  17,258     1,028
  TriCo Bancshares  23,531     1,021
  Redwood Trust Inc.  98,099     1,019
* Nicolet Bankshares Inc.  10,685     1,018
  City Holding Co.  12,751     1,016
  Dime Community Bancshares Inc.  29,573     1,005
* StoneX Group Inc.  13,116       990
  Premier Financial Corp.  31,675       971
  Federal Agricultural Mortgage Corp. Class C   7,776       962
  Tompkins Financial Corp.  12,064       954
  Broadmark Realty Capital Inc. 109,836       951
  Lakeland Bancorp Inc.  52,229       942
  Employers Holdings Inc.  23,951       931
  Preferred Bank  11,788       925
  Banc of California Inc.  47,046       924
  First Foundation Inc.  34,004       907
 
41

 

Russell 2000 Value Index Fund
    Shares Market
Value

($000)
  Stock Yards Bancorp Inc.  16,895       903
  HomeStreet Inc.  17,046       877
  German American Bancorp Inc.  21,179       842
* MoneyGram International Inc.  76,741       824
* TriState Capital Holdings Inc.  24,792       823
  Ellington Financial Inc.  45,606       806
* Metropolitan Bank Holding Corp.   7,830       801
  Washington Trust Bancorp Inc.  14,698       798
  State Auto Financial Corp.  15,102       785
  Heritage Financial Corp.  29,728       779
  AMERISAFE Inc.  16,496       777
  Ready Capital Corp.  50,503       750
  Amerant Bancorp Inc.  22,820       741
  Horizon Bancorp Inc.  36,877       740
  Origin Bancorp Inc.  15,778       729
  Univest Financial Corp.  24,817       719
* World Acceptance Corp.   3,653       718
  QCR Holdings Inc.  12,803       715
  James River Group Holdings Ltd.  26,731       711
  1st Source Corp.  14,515       701
  Allegiance Bancshares Inc.  16,341       700
  Hanmi Financial Corp.  26,268       686
  Peoples Bancorp Inc.  21,811       682
  Central Pacific Financial Corp.  23,164       676
  Cowen Inc. Class A  22,283       661
  Brightspire Capital Inc. Class A  72,533       643
  KKR Real Estate Finance Trust Inc.  29,854       641
  ServisFirst Bancshares Inc.   7,108       621
* MBIA Inc.  40,463       617
  First Bancorp Inc. (XNMS)  17,419       615
  ARMOUR Residential REIT Inc.  75,299       612
  Camden National Corp.  12,688       603
  HarborOne Bancorp Inc.  40,618       601
  TPG RE Finance Trust Inc.  50,684       600
  Heritage Commerce Corp.  50,338       599
  Flushing Financial Corp.  25,431       597
  Invesco Mortgage Capital Inc. 272,931       595
  Northfield Bancorp Inc.  37,179       584
  Byline Bancorp Inc.  21,074       575
  First Mid Bancshares Inc.  14,327       574
  Peapack-Gladstone Financial Corp.  15,172       572
  Houlihan Lokey Inc. Class A   5,539       570
  Community Trust Bancorp Inc.  13,436       568
* SiriusPoint Ltd.  75,577       559
  TrustCo Bank Corp. NY  16,272       556
* Atlantic Capital Bancshares Inc.  16,605       537
  Great Southern Bancorp Inc.   8,710       535
  Midland States Bancorp Inc.  18,188       534
  Kearny Financial Corp.  40,132       530
  Cambridge Bancorp   5,881       518
* Blucora Inc.  25,853       514
  Granite Point Mortgage Trust Inc.  45,290       508
  Diamond Hill Investment Group Inc.   2,571       498
* Ambac Financial Group Inc.  38,449       493
    Shares Market
Value

($000)
  United Fire Group Inc.  17,727       489
  Mercantile Bank Corp.  13,071       482
  National Western Life Group Inc. Class A   2,241       478
  Bank of Marin Bancorp  13,357       472
  Dynex Capital Inc.  30,636       471
  CBTX Inc.  15,534       467
  First Financial Corp.   9,966       464
  Farmers National Banc Corp.  26,773       461
* Columbia Financial Inc.  21,499       457
  Financial Institutions Inc.  13,546       433
  Hingham Institution for Savings   1,197       431
  Business First Bancshares Inc.  16,233       425
  First of Long Island Corp.  19,335       421
  Franklin BSP Realty Trust Inc. REIT  31,618       417
  Independent Bank Corp.  17,493       416
  First Community Bankshares Inc.  14,143       415
  Banco Latinoamericano de Comercio Exterior SA Class E  26,231       405
  Arrow Financial Corp.  11,643       400
  Bank First Corp.   5,602       395
  Capstar Financial Holdings Inc.  17,934       384
  First Internet Bancorp   7,843       383
  HomeTrust Bancshares Inc.  12,733       383
1 Orchid Island Capital Inc. 114,773       378
  MidWestOne Financial Group Inc.  12,122       366
  Alerus Financial Corp.  12,708       365
* Carter Bankshares Inc.  21,927       365
* Assetmark Financial Holdings Inc.  15,504       364
  First Financial Bankshares Inc.   7,577       363
  Republic Bancorp Inc. Class A   7,915       363
  Merchants Bancorp  12,445       360
  Equity Bancshares Inc. Class A  11,404       359
  Bar Harbor Bankshares  12,462       358
  CNB Financial Corp.  13,558       355
  Southern Missouri Bancorp Inc.   6,489       348
  American National Bankshares Inc.   8,894       343
  Oppenheimer Holdings Inc. Class A   7,787       336
  Mid Penn Bancorp Inc.  11,956       335
  Old Second Bancorp Inc.  23,411       333
  Waterstone Financial Inc.  17,038       333
  MVB Financial Corp.   8,596       331
  Citizens & Northern Corp.  13,101       325
* CrossFirst Bankshares Inc.  20,355       320
  Capital City Bank Group Inc.  11,357       319
  West BanCorp. Inc.  11,038       319
  Sierra Bancorp  11,841       318
  Spirit of Texas Bancshares Inc.  11,108       317
  Enterprise Bancorp Inc.   7,814       315
* Blue Foundry Bancorp  22,685       315
  Civista Bancshares Inc.  12,618       308
  SmartFinancial Inc.  11,680       305
  HCI Group Inc.   4,777       297
 
42

 

Russell 2000 Value Index Fund
    Shares Market
Value

($000)
* Oportun Financial Corp.  18,090       296
  Metrocity Bankshares Inc.  12,105       294
  Primis Financial Corp.  20,298       290
  Peoples Financial Services Corp.   5,923       283
  Universal Insurance Holdings Inc.  22,875       264
  Summit Financial Group Inc.   9,602       262
  First Bancorp Inc. (XNGS)   8,747       261
  Enact Holdings Inc.  12,490       260
  RLI Corp.   2,548       259
  RBB Bancorp  10,615       256
  Tiptree Inc.  19,883       254
  Home Bancorp Inc.   6,413       251
* EZCorp. Inc. Class A  41,584       249
  South Plains Financial Inc.   8,910       247
* Southern First Bancshares Inc.   4,257       243
  Sculptor Capital Management Inc. Class A  18,631       239
  Blue Ridge Bankshares Inc.  14,611       235
  Guaranty Bancshares Inc.   6,687       234
* Bridgewater Bancshares Inc.  13,794       232
* eHealth Inc.  14,666       228
  Northrim BanCorp Inc.   5,078       227
  Orrstown Financial Services Inc.   9,212       225
  Great Ajax Corp.  19,309       220
  Macatawa Bank Corp.  23,608       217
  AFC Gamma Inc.  10,706       211
  Provident Bancorp Inc.  12,811       210
  PCSB Financial Corp.  10,955       204
  PJT Partners Inc. Class A   3,187       203
  Amalgamated Financial Corp.  11,773       202
  Regional Management Corp.   3,882       199
  Five Star Bancorp   6,544       199
* Ocwen Financial Corp.   6,899       198
  FS Bancorp Inc.   6,133       196
  Red River Bancshares Inc.   3,805       195
* Republic First Bancorp Inc.  37,438       194
  First Bank  13,198       192
* Citizens Inc. Class A  41,801       178
  Investors Title Co.     931       178
  WisdomTree Investments Inc.  31,293       176
  Donegal Group Inc. Class A  12,479       170
  HBT Financial Inc.   8,733       167
  Fidelity D&D Bancorp Inc.   3,364       166
* Greenlight Capital Re Ltd. Class A  22,747       164
  Capital Bancorp Inc.   6,495       161
  Luther Burbank Corp.  12,312       159
* Maiden Holdings Ltd.  58,908       144
* Triumph Bancorp Inc.   1,318       132
* NI Holdings Inc.   7,156       128
* Coastal Financial Corp.   2,510       119
* Pioneer Bancorp Inc.  10,392       110
  Crawford & Co. Class A  14,094       109
  Heritage Insurance Holdings Inc.  19,586       109
* Trean Insurance Group Inc.  14,764       105
* MetroMile Inc.  81,087       104
  Angel Oak Mortgage Inc.   6,082        99
* Velocity Financial LLC   7,439        95
* Third Coast Bancshares Inc.   2,772        65
  United Insurance Holdings Corp.  16,979        62
    Shares Market
Value

($000)
  Associated Capital Group Inc. Class A   1,405        55
* Finance of America Cos. Inc. Class A  15,395        50
  GCM Grosvenor Inc. Class A   3,948        39
  Home Point Capital Inc.   6,360        21
  GAMCO Investors Inc. Class A     490        11
* TPG Inc.     367        11
* P10 Inc. Class A     561         7
  Value Line Inc.      44         3
* Clearwater Analytics Holdings Inc. Class A     111         2
* USCB Financial Holdings Inc.     122         2
        321,080
Health Care (8.9%)
* Tenet Healthcare Corp.  79,862     6,867
* Arena Pharmaceuticals Inc.  47,576     4,518
* Option Care Health Inc. 135,508     3,483
* Prestige Consumer Healthcare Inc.  42,829     2,550
* Integer Holdings Corp.  28,091     2,356
* Lantheus Holdings Inc.  49,067     2,346
* BioCryst Pharmaceuticals Inc. 137,549     2,285
* Biohaven Pharmaceutical Holding Co. Ltd.  15,614     1,854
* Emergent BioSolutions Inc.  41,676     1,725
* Myriad Genetics Inc.  67,737     1,651
  Patterson Cos. Inc.  54,534     1,631
* Veracyte Inc.  58,178     1,617
* Avanos Medical Inc.  41,483     1,468
* Agios Pharmaceuticals Inc.  46,998     1,463
* Evolent Health Inc. Class A  54,361     1,449
* Arcus Biosciences Inc.  38,403     1,429
* Invitae Corp. 127,332     1,374
* Supernus Pharmaceuticals Inc.  41,900     1,339
* ChemoCentryx Inc.  42,948     1,303
* Travere Thrapeutics Inc.  47,092     1,284
* IVERIC bio Inc.  78,441     1,258
* Zogenix Inc.  47,607     1,250
* Ligand Pharmaceuticals Inc.  11,332     1,147
* Turning Point Therapeutics Inc.  35,460     1,123
* Pacific Biosciences of California Inc.  91,126     1,086
* Brookdale Senior Living Inc. 156,988     1,080
* OPKO Health Inc. 341,001     1,067
* AdaptHealth Corp. Class A  61,202     1,067
* Enanta Pharmaceuticals Inc.  14,891     1,049
* Multiplan Corp. 274,556     1,032
* Fulgent Genetics Inc.  15,647       975
* Prometheus Biosciences Inc.  22,347       973
* NextGen Healthcare Inc.  48,566       949
* Atara Biotherapeutics Inc.  68,218       877
* Kura Oncology Inc.  53,811       854
* ModivCare Inc.   7,042       831
* Meridian Bioscience Inc.  32,484       822
* REVOLUTION Medicines Inc.  43,104       816
* Natus Medical Inc.  29,053       808
* Haemonetics Corp.  13,767       794
* AngioDynamics Inc.  31,733       747
* MEDNAX Inc.  30,651       719
  National HealthCare Corp.  10,798       702
* LivaNova plc   8,787       693
* American Well Corp. Class A 160,406       679
 
43

 

Russell 2000 Value Index Fund
    Shares Market
Value

($000)
* Varex Imaging Corp.  28,062       663
* Addus HomeCare Corp.   7,667       652
* Catalyst Pharmaceuticals Inc.  81,844       638
* Innoviva Inc.  32,454       623
* Krystal Biotech Inc.   9,720       618
* iTeos Therapeutics Inc.  17,039       616
* Amphastar Pharmaceuticals Inc.  22,134       613
* Endo International plc 193,580       602
*,1 Inovio Pharmaceuticals Inc. 174,438       565
* Vaxcyte Inc.  24,323       564
* Orthofix Medical Inc.  15,956       542
* Vanda Pharmaceuticals Inc.  46,216       525
* AnaptysBio Inc.  16,270       497
* MannKind Corp. 187,092       490
  Healthcare Services Group Inc.  30,052       475
* Gossamer Bio Inc.  52,366       473
* OraSure Technologies Inc.  60,394       471
  Owens & Minor Inc.  10,665       471
* Syndax Pharmaceuticals Inc.  28,637       446
* Avidity Biosciences Inc.  26,257       445
* Kezar Life Sciences Inc.  29,583       439
* HealthStream Inc.  21,316       437
* ImmunoGen Inc.  77,291       436
* Arcturus Therapeutics Holdings Inc.  17,808       427
* Chinook Therapeutics Inc.  32,952       420
* REGENXBIO Inc.  15,908       417
* Tivity Health Inc.  15,231       416
* Anika Therapeutics Inc.  12,549       408
* Cara Therapeutics Inc.  37,472       389
* UFP Technologies Inc.   5,469       378
* Arcutis Biotherapeutics Inc.  20,977       373
* Computer Programs and Systems Inc.  11,870       365
* NGM Biopharmaceuticals Inc.  24,046       357
*,1 ImmunityBio Inc.  51,252       351
*,1 Recursion Pharmaceuticals Inc. Class A  31,970       350
* Bluebird Bio Inc.  56,957       344
* ANI Pharmaceuticals Inc.   9,197       344
* Praxis Precision Medicines Inc.  25,890       339
* MeiraGTx Holdings plc  23,509       337
* Seer Inc. Class A  21,537       330
* Personalis Inc.  31,324       329
* Apria Inc.   8,600       321
* Atea Pharmaceuticals Inc.  49,524       314
* Allogene Therapeutics Inc.  34,218       313
* Merit Medical Systems Inc.   4,761       310
* Sutro Biopharma Inc.  34,055       304
* Cullinan Oncology Inc.  20,402       293
* Provention Bio Inc.  46,490       291
* 4D Molecular Therapeutics Inc.  21,162       290
* Rhythm Pharmaceuticals Inc.  37,135       283
* 2seventy bio Inc.  19,021       282
* Forma Therapeutics Holdings Inc.  28,502       281
* Geron Corp. (XNGS) 255,419       278
* Ideaya Biosciences Inc.  21,005       277
* Instil Bio Inc.  24,378       262
* Fulcrum Therapeutics Inc.  23,295       256
* Altimmune Inc.  33,736       250
* Athira Pharma Inc.  27,225       249
    Shares Market
Value

($000)
* Celldex Therapeutics Inc.   8,274       247
* Eagle Pharmaceuticals Inc.   5,205       247
* Prothena Corp. plc   7,065       244
* MaxCyte Inc.  33,864       236
  Utah Medical Products Inc.   2,569       231
* Adicet Bio Inc.  17,689       231
* Bridgebio Pharma Inc.  29,453       230
* Viking Therapeutics Inc.  65,325       219
* Kronos Bio Inc.  28,790       217
* Dyne Therapeutics Inc.  25,170       216
* Fluidigm Corp.  57,748       213
* Jounce Therapeutics Inc.  27,639       206
* Arbutus Biopharma Corp.  62,939       201
* Neogen Corp.   5,554       198
* Blueprint Medicines Corp.   3,194       193
* Akebia Therapeutics Inc.  87,142       188
* Immunic Inc.  16,092       187
* Cymabay Therapeutics Inc.  58,136       185
* Gritstone bio Inc.  35,956       183
* Verve Therapeutics Inc.   5,567       182
* ORIC Pharmaceuticals Inc.  22,908       178
* EyePoint Pharmaceuticals Inc.  17,718       176
* Cytokinetics Inc.   4,790       169
* SeaSpine Holdings Corp.  13,150       167
* Kinnate Biopharma Inc.  20,526       160
* MiMedx Group Inc.  30,919       156
* Relay Therapeutics Inc.   6,436       155
* Lineage Cell Therapeutics Inc. 106,395       150
* Citius Pharmaceuticals Inc.  95,175       147
* Selecta Biosciences Inc.  78,732       146
* G1 Therapeutics Inc.  13,519       143
* Community Health Systems Inc.  13,536       142
* CorMedix Inc.  28,769       140
* LifeStance Health Group Inc.  14,483       137
* Kiniksa Pharmaceuticals Ltd. Class A  13,233       136
* Foghorn Therapeutics Inc.  14,067       135
* Cogent Biosciences Inc.  22,273       132
* Vor BioPharma Inc.  14,613       132
* Ikena Oncology Inc.  21,538       132
* Design Therapeutics Inc.   9,396       128
* Annexon Inc.  26,142       127
  XBiotech Inc.  12,687       125
* Homology Medicines Inc.  35,144       123
* Replimune Group Inc.   7,671       123
* Albireo Pharma Inc.   3,340       111
* Atossa Therapeutics Inc.  91,050       111
* Crinetics Pharmaceuticals Inc.   5,486       110
* NanoString Technologies Inc.   3,041       108
* Eiger BioPharmaceuticals Inc.  26,845       107
* Akouos Inc.  20,125       107
* Nkarta Inc.  11,823       107
* Nuvation Bio Inc.  21,204       107
* Surface Oncology Inc.  29,505       106
* Asensus Surgical Inc. 135,669       104
* XOMA Corp.   4,690       103
* Passage Bio Inc.  31,086       103
* SQZ Biotechnologies Co.  19,076       101
* Akero Therapeutics Inc.   5,642       100
* Reata Pharmaceuticals Inc. Class A   3,013        99
* Chimerix Inc.  17,306        98
 
44

 

Russell 2000 Value Index Fund
    Shares Market
Value

($000)
* Adverum Biotechnologies Inc.  72,724        97
* Viemed Healthcare Inc.  24,943        96
* Aeglea BioTherapeutics Inc.  33,880        94
*,1 Erasca Inc.   7,341        91
* DICE Therapeutics Inc.   4,924        91
* Oyster Point Pharma Inc.   8,810        88
* Poseida Therapeutics Inc.  24,120        88
* FibroGen Inc.   6,211        87
* Cardiff Oncology Inc.  31,910        86
* Bioventus Inc. Class A   6,647        86
* DarioHealth Corp.  11,294        82
* Icosavax Inc.   4,700        82
* Vera Therapeutics Inc.   3,489        81
* Janux Therapeutics Inc.   4,619        80
* Imago Biosciences Inc.   3,413        80
* Mersana Therapeutics Inc.  17,659        78
* Frequency Therapeutics Inc.  26,815        76
* KemPharm Inc.  12,774        76
* Artivion Inc.   3,794        74
* Silverback Therapeutics Inc.  17,202        74
* Caribou Biosciences Inc.   7,424        74
* Lexicon Pharmaceuticals Inc.  35,042        73
* Immunovant Inc.  13,091        73
* TCR2 Therapeutics Inc.  25,960        70
* Inozyme Pharma Inc.  12,144        70
* Tonix Pharmaceuticals Holding Corp. 380,428        70
* Oncternal Therapeutics Inc.  37,091        68
* Bolt Biotherapeutics Inc.  19,174        67
* Sorrento Therapeutics Inc.  25,853        65
* Viracta Therapeutics Inc.  23,787        65
* Scholar Rock Holding Corp.   3,702        64
* Castle Biosciences Inc.   1,451        63
* Sensei Biotherapeutics Inc.  17,540        63
*,1 Monte Rosa Therapeutics Inc.   4,228        61
* Avid Bioservices Inc.   2,925        60
* Deciphera Pharmaceuticals Inc.   7,721        60
* Sangamo Therapeutics Inc.  10,259        60
* Black Diamond Therapeutics Inc.  19,100        60
* Lyell Immunopharma Inc.   8,231        60
* Invacare Corp.  28,173        58
* Mirum Pharmaceuticals Inc.   2,447        58
* Neoleukin Therapeutics Inc.  22,620        58
* iBio Inc. 180,973        58
* Century Therapeutics Inc.   4,144        58
* Tenaya Therapeutics Inc.   4,922        57
* Nuvalent Inc. Class A   3,667        55
* Olema Pharmaceuticals Inc.  11,536        54
* Werewolf Therapeutics Inc.   7,386        53
* Alphatec Holdings Inc.   4,756        52
* Mustang Bio Inc.  60,007        52
* Day One Biopharmaceuticals Inc.   3,835        52
* Graphite Bio Inc.   5,685        52
* Tyra Biosciences Inc.   4,201        50
* Adagio Therapeutics Inc.   7,315        49
* Exagen Inc.   6,193        47
* Vaxart Inc.   9,322        47
* Finch Therapeutics Group Inc.   5,594        47
* Avrobio Inc.  31,572        46
* VBI Vaccines Inc.  30,430        45
* Bright Health Group Inc.  13,177        44
* Absci Corp.   4,743        44
    Shares Market
Value

($000)
*,1 Cue Health Inc.   5,173        43
* Ventyx Biosciences Inc.   3,704        43
*,1 Trevena Inc.  90,725        42
* Theravance Biopharma Inc.   4,202        42
* Talaris Therapeutics Inc.   5,971        42
* Solid Biosciences Inc.  50,266        41
* Alpha Teknova Inc.   2,431        41
* Theseus Pharmaceuticals Inc.   4,077        41
* Atreca Inc. Class A  21,775        39
* Entrada Therapeutics Inc.   3,241        39
* 89bio Inc.   8,173        38
* Nurix Therapeutics Inc.   2,336        38
* MacroGenics Inc.   3,951        37
* SOC Telemed Inc. Class A  12,515        37
* VistaGen Therapeutics Inc.  26,126        37
* Oncorus Inc.  17,126        36
* Aerovate Therapeutics Inc.   3,587        35
* Aura Biosciences Inc.   1,938        35
* Singular Genomics Systems Inc.   4,190        34
* Portage Biotech Inc.   4,191        33
* Cytek Biosciences Inc.   2,391        33
* Syros Pharmaceuticals Inc.  24,895        32
* Xilio Therapeutics Inc.   2,719        32
* Curis Inc.   9,359        31
* CytomX Therapeutics Inc.   8,111        31
* Omega Therapeutics Inc.   2,629        31
* Rallybio Corp.   2,804        31
*,1 PROCEPT BioRobotics Corp.   1,143        29
* Spero Therapeutics Inc.   2,875        28
* Tarsus Pharmaceuticals Inc.   1,598        28
* Codex DNA Inc.   2,752        28
* Sight Sciences Inc.   1,606        28
* Paragon 28 Inc.   1,691        28
* UroGen Pharma Ltd.   4,485        27
* Rain Therapeutics Inc.   4,484        27
* AirSculpt Technologies Inc.   1,987        27
* Sana Biotechnology Inc.   3,872        25
* Talis Biomedical Corp.  12,089        25
* Athenex Inc.  29,860        24
* Convey Health Solutions Holdings Inc.   4,156        24
* Harvard Bioscience Inc.   4,230        23
* Precigen Inc.  10,182        23
* Pyxis Oncology Inc.   3,800        23
* Oncocyte Corp.  15,324        22
* Immuneering Corp. Class A   2,954        22
* Eliem Therapeutics Inc.   2,386        22
* Athersys Inc.  23,624        21
* Taysha Gene Therapies Inc.   3,220        21
* Gemini Therapeutics Inc.  15,433        21
* Rapid Micro Biosystems Inc. Class A   2,937        21
* Acumen Pharmaceuticals Inc.   3,515        21
* Shattuck Labs Inc.   4,013        20
* Clene Inc.   6,313        20
* IsoPlexis Corp.   4,083        20
* RxSight Inc.   1,388        19
* Sientra Inc.   6,045        17
* Spruce Biosciences Inc.   7,292        17
* Cyteir Therapeutics Inc.   2,937        17
* Sigilon Therapeutics Inc.  10,981        16
* Doximity Inc. Class A     260        16
* CVRx Inc.   1,796        16
* Ardelyx Inc.  19,227        15
 
45

 

Russell 2000 Value Index Fund
    Shares Market
Value

($000)
* CEL–SCI Corp.   2,611        15
*,1 Hookipa Pharma Inc.   6,350        15
* Pliant Therapeutics Inc.   1,683        15
* Reneo Pharmaceuticals Inc.   2,808        14
* Terns Pharmaceuticals Inc.   3,960        13
* Magenta Therapeutics Inc.   3,892        12
* Generation Bio Co.   2,275        12
* Cincor Pharma Inc.     523        12
* NexImmune Inc.   4,475        11
*,1 Impel Neuropharma Inc.   1,474        11
* Thorne HealthTech Inc.   2,427        11
* Forian Inc.   1,385        10
* Lucid Diagnostics Inc.   2,640        10
* Kala Pharmaceuticals Inc.  13,479         9
* Sera Prognostics Inc. Class A   1,749         9
* Amylyx Pharmaceuticals Inc.     286         9
* NantHealth Inc.   9,769         8
* Infinity Pharmaceuticals Inc.   7,665         8
* Neuronetics Inc.   2,180         7
* Applied Therapeutics Inc.   3,668         7
* Brooklyn ImmunoTherapeutics Inc.   3,111         7
* Vigil Neuroscience Inc.     411         7
* Arcellx Inc.     281         5
* Warby Parker Inc. Class A     111         3
* In8bio Inc.     448         2
* TScan Therapeutics Inc.     395         2
* Avalo Therapeutics Inc.   2,511         2
* Minerva Surgical Inc.     310         2
* MiNK Therapeutics Inc.     682         2
* Kaleido Biosciences Inc.     867         1
* Elevation Oncology Inc.     189         1
* Candel Therapeutics Inc.     334         1
* Definitive Healthcare Corp. Class A      46         1
* Sonendo Inc.     281         1
*,1 Vaxxinity Inc. Class A     223         1
*,2 PDL BioPharma Inc.     270        —
        106,714
Industrials (14.2%)
  EMCOR Group Inc.  40,947     4,731
  Matson Inc.  35,432     3,925
* WESCO International Inc.  31,309     3,811
  Triton International Ltd.  56,822     3,732
* API Group Corp. 171,750     3,705
  GATX Corp.  30,098     3,209
* Summit Materials Inc. Class A 101,458     3,167
  Korn Ferry  46,135     3,057
* Resideo Technologies Inc. 108,627     2,796
  SPX FLOW Inc.  32,556     2,796
* Fluor Corp. 120,819     2,617
  ABM Industries Inc.  57,322     2,570
  HB Fuller Co.  36,506     2,496
* Hub Group Inc. Class A  28,188     2,379
  EnerSys  32,642     2,374
  Altra Industrial Motion Corp.  55,178     2,343
  UniFirst Corp.  12,886     2,336
  Kennametal Inc.  71,087     2,254
  Otter Tail Corp.  34,973     2,163
  Belden Inc.  37,693     2,124
  Moog Inc. Class A  24,684     2,051
  Werner Enterprises Inc.  46,298     2,012
  Maxar Technologies Inc.  61,828     2,006
  ArcBest Corp.  21,566     1,999
* GMS Inc.  36,494     1,980
  Encore Wire Corp.  16,795     1,955
    Shares Market
Value

($000)
  ManTech International Corp. Class A  23,343     1,946
  EnPro Industries Inc.  17,576     1,941
* Atlas Air Worldwide Holdings Inc.  24,500     1,920
  Trinity Industries Inc.  65,804     1,899
  Barnes Group Inc.  40,272     1,871
  Brady Corp. Class A  40,120     1,849
  Albany International Corp. Class A  20,926     1,838
* Chart Industries Inc.  12,409     1,792
* Kratos Defense & Security Solutions Inc.  81,136     1,697
* CBIZ Inc.  41,611     1,619
* Air Transport Services Group Inc.  50,388     1,588
  Mueller Water Products Inc. Class A 125,048     1,587
  Zurn Water Solutions Corp.  48,746     1,585
  Watts Water Technologies Inc. Class A  10,334     1,488
  ICF International Inc.  15,793     1,400
  ESCO Technologies Inc.  19,962     1,389
* Triumph Group Inc.  54,383     1,362
  Hillenbrand Inc.  28,056     1,339
* AAR Corp.  29,329     1,318
* Veritiv Corp.  12,269     1,315
  Textainer Group Holdings Ltd.  34,819     1,236
  Greenbrier Cos. Inc.  27,293     1,213
  Primoris Services Corp.  45,624     1,203
  TriMas Corp.  36,937     1,201
  Granite Construction Inc.  39,127     1,184
* Green Dot Corp. Class A  40,962     1,174
* Proto Labs Inc.  20,056     1,128
  Deluxe Corp.  35,968     1,119
  Greif Inc. Class A  19,434     1,117
* JELD-WEN Holding Inc.  47,793     1,103
  Columbus McKinnon Corp.  24,099     1,100
* Allegheny Technologies Inc.  42,446     1,093
  Standex International Corp.  10,253     1,086
  Mesa Laboratories Inc.   4,248     1,085
  AZZ Inc.  21,443     1,056
  SFL Corp. Ltd. 106,146     1,056
* OSI Systems Inc.  13,058     1,053
  Kaman Corp.  23,423     1,017
1 Frontline Ltd. 102,714       966
* Gibraltar Industries Inc.  19,964       965
  Astec Industries Inc.  19,367       964
  Apogee Enterprises Inc.  21,316       961
* CoreCivic Inc. 102,546       934
  Griffon Corp.  39,778       917
* NV5 Global Inc.   8,491       911
  Marten Transport Ltd.  50,925       878
* Huron Consulting Group Inc.  16,620       820
* TrueBlue Inc.  29,689       807
* Great Lakes Dredge & Dock Corp.  55,485       783
* American Woodmark Corp.  14,178       760
  DHT Holdings Inc. 119,878       754
* Donnelley Financial Solutions Inc.  23,393       751
  Scorpio Tankers Inc.  41,938       729
  International Seaways Inc.  39,204       717
* Beacon Roofing Supply Inc.  11,839       707
* Repay Holdings Corp. Class A  40,942       707
* Conduent Inc. 144,043       701
 
46

 

Russell 2000 Value Index Fund
    Shares Market
Value

($000)
  Wabash National Corp.  39,452       672
  Quanex Building Products Corp.  28,270       646
  Kelly Services Inc. Class A  30,241       642
* Ranpak Holdings Corp. Class A  26,357       638
  Costamare Inc.  44,659       603
  Gorman-Rupp Co.  15,977       595
* Cross Country Healthcare Inc.  26,394       589
  Heartland Express Inc.  40,160       577
* Sterling Construction Co. Inc.  18,822       556
* PGT Innovations Inc.  25,649       552
  Genco Shipping & Trading Ltd.  27,769       535
  Insteel Industries Inc.  14,378       534
  McGrath RentCorp.   6,500       528
* ASGN Inc.   4,610       511
* Advantage Solutions Inc.  64,405       507
  Argan Inc.  12,896       501
  Aerojet Rocketdyne Holdings Inc.  12,882       499
* Manitowoc Co. Inc.  28,959       479
* Thermon Group Holdings Inc.  27,773       475
* BrightView Holdings Inc.  34,551       467
* Titan Machinery Inc.  16,338       463
* Ducommun Inc.   9,155       462
  Resources Connection Inc.  26,857       446
* Vectrus Inc.   9,728       446
  Chase Corp.   4,767       438
  VSE Corp.   8,924       425
* DXP Enterprises Inc.  14,669       421
* FARO Technologies Inc.   7,678       420
  Ennis Inc.  22,136       416
* Vivint Smart Home Inc.  56,738       408
* Titan International Inc.  36,296       406
* Dycom Industries Inc.   4,625       403
  Heidrick & Struggles International Inc.   9,295       397
  Eagle Bulk Shipping Inc.   7,539       397
  Cass Information Systems Inc.   9,872       391
* Modine Manufacturing Co.  38,583       390
*,1 Ideanomics Inc. 370,845       389
  Barrett Business Services Inc.   6,308       379
* Yellow Corp.  40,113       361
* Tutor Perini Corp.  35,894       352
  Pactiv Evergreen Inc.  36,311       349
* Hyliion Holdings Corp.  79,729       344
  Nordic American Tankers Ltd. 141,536       342
  National Presto Industries Inc.   4,286       341
* Astronics Corp.  22,448       330
* Vishay Precision Group Inc.  10,478       329
* Itron Inc.   6,826       325
  Hyster-Yale Materials Handling Inc.   8,429       323
* SPX Corp.   6,224       316
* MYR Group Inc.   3,512       315
* Meritor Inc.   8,836       315
  Dorian LPG Ltd.  21,525       297
*,1 Workhorse Group Inc.  92,082       288
* Teekay Tankers Ltd. Class A  20,122       288
*,1 View Inc. 117,806       285
  REV Group Inc.  20,498       277
  Miller Industries Inc.   8,900       276
    Shares Market
Value

($000)
  Myers Industries Inc.  16,272       270
* Ferro Corp.  11,800       256
  Kronos Worldwide Inc.  15,996       236
  Luxfer Holdings plc  13,371       233
* Covenant Logistics Group Inc. Class A  10,290       232
* Babcock & Wilcox Enterprises Inc.  33,001       231
* Desktop Metal Inc. Class A  55,435       231
  Caesarstone Ltd.  19,129       229
* Flywire Corp.   8,474       229
  Park Aerospace Corp.  16,414       228
* Radiant Logistics Inc.  32,833       227
* Safe Bulkers Inc.  53,486       224
  Greif Inc. Class B   3,772       215
*,1 Custom Truck One Source Inc.  26,668       210
* Teekay Corp.  58,660       198
  United States Lime & Minerals Inc.   1,635       192
* PAM Transportation Services Inc.   2,557       172
* Sterling Check Corp.   8,035       169
  Powell Industries Inc.   7,648       162
* Concrete Pumping Holdings Inc.  21,604       161
* Infrastructure and Energy Alternatives Inc.  14,655       159
* Acacia Research Corp.  41,018       157
* Blue Bird Corp.   6,787       145
* CECO Environmental Corp.  25,941       140
  Preformed Line Products Co.   2,480       138
* Hireright Holdings Corp.  10,488       137
  Alamo Group Inc.     981       136
* Commercial Vehicle Group Inc.  16,917       135
* INNOVATE Corp.  39,843       133
* CS Disco Inc.   3,495       132
* Aersale Corp.   8,288       130
  Lindsay Corp.     882       116
* Atlas Technical Consultants Inc.   9,998       115
* Mistras Group Inc.  17,068       114
  Park-Ohio Holdings Corp.   7,128       113
* US Xpress Enterprises Inc. Class A  23,149       105
  CRA International Inc.     945        84
* Willis Lease Finance Corp.   2,314        81
* Mayville Engineering Co. Inc.   7,585        78
* First Advantage Corp.   4,707        76
  Cadre Holdings Inc.   3,326        73
* StarTek Inc.  14,106        62
* Willdan Group Inc.   1,875        61
* Rekor Systems Inc.   9,862        47
* AvidXchange Holdings Inc.   3,458        33
  Allied Motion Technologies Inc.     803        28
  Universal Logistics Holdings Inc.   1,266        24
* AgEagle Aerial Systems Inc.  20,250        24
* Target Hospitality Corp.   6,616        21
* Team Inc.  22,082        21
* Remitly Global Inc.   1,691        18
  Hirequest Inc.     661        12
        171,096
Other (0.0%)3
*,2 Media General Inc. CVR  35,434         1
 
47

 

Russell 2000 Value Index Fund
    Shares Market
Value

($000)
*,2 Aduro Biotech Inc. CVR     724         1
*,2 Ferroglobe Unit  19,424        —
              2
Real Estate (11.5%)
  STAG Industrial Inc. 150,245     5,854
  Terreno Realty Corp.  62,841     4,323
  Kite Realty Group Trust 184,678     4,050
  Agree Realty Corp.  58,592     3,759
  LXP Industrial Trust 237,962     3,679
  Healthcare Realty Trust Inc. 125,692     3,278
  Apple Hospitality REIT Inc. 182,766     3,233
  PotlatchDeltic Corp.  56,220     3,086
  Physicians Realty Trust 187,773     3,053
* Digitalbridge Group Inc. 414,890     3,008
  Hannon Armstrong Sustainable Infrastructure Capital Inc.  61,610     2,917
  Broadstone Net Lease Inc. 134,145     2,906
  Macerich Co. 182,810     2,797
* Equity Commonwealth 100,055     2,658
  Outfront Media Inc.  99,085     2,646
  Sabra Health Care REIT Inc. 194,450     2,611
  Essential Properties Realty Trust Inc. 102,863     2,600
  Corporate Office Properties Trust  96,566     2,531
  Pebblebrook Hotel Trust 111,324     2,506
  SITE Centers Corp. 147,814     2,299
  Independence Realty Trust Inc.  89,711     2,267
  Kennedy-Wilson Holdings Inc. 101,064     2,238
  Uniti Group Inc. 167,254     2,169
  National Health Investors Inc.  37,259     1,986
  RLJ Lodging Trust 140,732     1,969
* Sunstone Hotel Investors Inc. 185,147     1,959
  Brandywine Realty Trust 144,694     1,929
  Retail Opportunity Investments Corp. 101,055     1,835
  Innovative Industrial Properties Inc.   9,729     1,834
  Urban Edge Properties  98,863     1,801
* Xenia Hotels & Resorts Inc.  97,029     1,799
  Piedmont Office Realty Trust Inc. Class A 105,524     1,798
* Realogy Holdings Corp.  98,219     1,786
  Paramount Group Inc. 159,310     1,783
  Four Corners Property Trust Inc.  65,805     1,736
* DiamondRock Hospitality Co. 178,209     1,702
  Washington REIT  72,147     1,685
  Acadia Realty Trust  73,997     1,586
  American Assets Trust Inc.  42,550     1,556
  Easterly Government Properties Inc. Class A  73,807     1,537
  CareTrust REIT Inc.  82,495     1,444
  Alexander & Baldwin Inc.  61,824     1,387
  NexPoint Residential Trust Inc.  15,378     1,307
  Global Net Lease Inc.  89,096     1,266
* Veris Residential Inc.  74,905     1,266
  Industrial Logistics Properties Trust  55,433     1,240
  Service Properties Trust 142,193     1,227
  Empire State Realty Trust Inc. Class A 121,982     1,154
    Shares Market
Value

($000)
  Centerspace  12,268     1,153
  LTC Properties Inc.  33,235     1,124
  Preferred Apartment Communities Inc. Class A  44,485     1,124
  Tanger Factory Outlet Centers Inc.  63,563     1,060
  Office Properties Income Trust  41,201     1,032
  Getty Realty Corp.  34,851       960
  RPT Realty  72,088       934
* Apartment Investment and Management Co. Class A 128,018       914
* Marcus & Millichap Inc.  18,169       904
* Summit Hotel Properties Inc.  88,684       877
  Global Medical REIT Inc.  51,555       809
  Armada Hoffler Properties Inc.  51,709       759
  NETSTREIT Corp.  33,570       743
  Necessity Retail REIT Inc. 100,701       709
  Plymouth Industrial REIT Inc.  26,355       687
* Radius Global Infrastructure Inc. Class A (XNMS)  49,848       641
  City Office REIT Inc.  36,070       621
  GEO Group Inc.  99,545       593
  Diversified Healthcare Trust 204,202       588
* Chatham Lodging Trust  41,444       570
  Ares Commercial Real Estate Corp.  36,933       541
* CorePoint Lodging Inc.  33,221       531
  Franklin Street Properties Corp.  86,449       500
  Gladstone Commercial Corp.  22,727       482
  RE/MAX Holdings Inc. Class A  16,013       475
  Urstadt Biddle Properties Inc. Class A  25,096       473
  Whitestone REIT  39,303       463
  Phillips Edison & Co. Inc.  13,879       449
  PS Business Parks Inc.   2,575       410
  One Liberty Properties Inc.  13,573       394
* Douglas Elliman Inc.  52,295       394
  Safehold Inc.   5,788       355
  RMR Group Inc. Class A  11,549       337
* FRP Holdings Inc.   5,640       327
* Ryman Hospitality Properties Inc.   3,670       323
* Seritage Growth Properties Class A  31,709       323
  Gladstone Land Corp.  10,777       322
  CTO Realty Growth Inc.   4,946       310
  Community Healthcare Trust Inc.   7,313       305
* Tejon Ranch Co.  17,579       298
* Braemar Hotels & Resorts Inc.  48,901       291
  Farmland Partners Inc.  24,492       286
* Hersha Hospitality Trust Class A  27,267       252
  BRT Apartments Corp.   9,779       215
* Forestar Group Inc.  10,711       196
  Postal Realty Trust Inc. Class A  10,629       185
* Ashford Hospitality Trust Inc.  14,331       123
  UMH Properties Inc.   5,266       121
  Indus Realty Trust Inc.   1,235        94
  CatchMark Timber Trust Inc. Class A  12,059        92
 
48

 

Russell 2000 Value Index Fund
    Shares Market
Value

($000)
  Universal Health Realty Income Trust     842        48
  Retail Value Inc.  14,596        45
  Saul Centers Inc.     783        36
  Clipper Realty Inc.   1,174        11
  Bridge Investment Group Holdings Inc. Class A     229         5
        137,854
Technology (4.4%)
* Verint Systems Inc.  54,843     2,755
* Rambus Inc.  92,668     2,502
* Onto Innovation Inc.  28,411     2,449
* LiveRamp Holdings Inc.  56,259     2,428
* Sanmina Corp.  54,045     2,150
* Allscripts Healthcare Solutions Inc. 104,310     2,030
* Insight Enterprises Inc.  19,126     1,989
  Vishay Intertechnology Inc.  98,056     1,882
* NetScout Systems Inc.  59,746     1,860
* Bottomline Technologies DE Inc.  31,570     1,788
  Amkor Technology Inc.  69,059     1,566
* Covetrus Inc.  88,171     1,562
  Xperi Holding Corp.  89,490     1,550
* E2open Parent Holdings Inc. 169,706     1,524
  Methode Electronics Inc.  32,509     1,484
* Super Micro Computer Inc.  37,222     1,462
* Veeco Instruments Inc.  42,473     1,213
* TTM Technologies Inc.  89,180     1,121
* Ping Identity Holding Corp.  52,975     1,115
* ePlus Inc.  22,726     1,066
* Photronics Inc.  51,079       941
  CSG Systems International Inc.  14,844       916
  CTS Corp.  21,295       808
  Benchmark Electronics Inc.  30,770       804
* Parsons Corp.  22,217       770
* Diodes Inc.   8,362       749
  KBR Inc.  14,922       741
* PDF Solutions Inc.  25,761       705
* ScanSource Inc.  21,629       683
* NeoPhotonics Corp.  43,328       663
  Ebix Inc.  22,419       662
* Rogers Corp.   1,946       531
  PC Connection Inc.   9,364       457
* II-VI Inc.   6,504       452
* Fabrinet   4,360       437
* Limelight Networks Inc. 105,365       412
* Aeva Technologies Inc.  89,185       375
* FormFactor Inc.   8,194       332
* Kimball Electronics Inc.  19,250       332
*,1 Cleanspark Inc.  29,457       312
* Ichor Holdings Ltd.   8,327       293
* Asana Inc. Class A   5,009       274
* TrueCar Inc.  81,572       272
* AXT Inc.  34,045       254
* Unisys Corp.  11,733       251
* Plexus Corp.   2,726       222
* Envestnet Inc.   2,924       219
* GAN Ltd.  30,297       202
* Smith Micro Software Inc.  43,831       182
* Alpha & Omega Semiconductor Ltd.   3,392       182
* Cohu Inc.   5,344       167
* 3D Systems Corp.   9,218       164
* comScore Inc.  59,366       156
* Yelp Inc. Class A   4,574       155
    Shares Market
Value

($000)
* Rackspace Technology Inc.  12,831       143
* Daktronics Inc.  30,798       142
* DigitalOcean Holdings Inc.   2,351       139
* ChannelAdvisor Corp.   7,306       131
* SecureWorks Corp. Class A   8,366       129
* Quantum Corp.  49,129       128
  American Software Inc. Class A   5,780       127
* ON24 Inc.   8,161       127
* GTY Technologies Holdings Inc.  26,963       120
  A10 Networks Inc.   8,383       119
* eGain Corp.   9,210       109
* EMCORE Corp.  26,018       101
* Agilysys Inc.   2,356        99
* VirnetX Holding Corp.  53,187        97
* Enfusion Inc. Class A   4,449        74
* EngageSmart Inc.   3,301        73
* Xometry Inc. Class A   1,475        72
* Groupon Inc. Class A   2,785        60
* Model N Inc.   2,383        59
* Benefitfocus Inc.   5,542        56
* MeridianLink Inc.   2,477        49
* Intapp Inc.   2,072        48
* Couchbase Inc.   2,142        45
*,1 EverCommerce Inc.   3,217        39
  Hackett Group Inc.   1,608        33
* Identiv Inc.   1,442        30
* Alkami Technology Inc.   1,662        26
* Arteris Inc.   1,664        25
* 1stdibs.com Inc.   2,172        24
* Stronghold Digital Mining Inc. Class A   1,640        21
* Mediaalpha Inc. Class A   1,405        20
  NVE Corp.     234        13
* Informatica Inc. Class A     615        12
* Weave Communications Inc.   1,022        10
* SkyWater Technology Inc.     460         5
* Freshworks Inc. Class A     270         5
* Expensify Inc. Class A     203         4
* Amplitude Inc. Class A     114         2
* Thoughtworks Holding Inc.      92         2
* NerdWallet Inc. Class A     189         2
* UserTesting Inc.     212         2
* Society Pass Inc.     633         2
* ForgeRock Inc. Class A      93         1
* Gitlab Inc. Class A      20         1
* Backblaze Inc. Class A     125         1
* Braze Inc. Class A      21         1
         53,099
Telecommunications (1.2%)
  Telephone and Data Systems Inc.  85,989     1,492
* Liberty Latin America Ltd. Class C 133,647     1,349
  InterDigital Inc.  15,679     1,010
* Iridium Communications Inc.  24,966       988
  ADTRAN Inc.  38,384       790
* EchoStar Corp. Class A  31,966       778
* NETGEAR Inc.  24,910       663
*,1 Gogo Inc.  46,364       660
  Shenandoah Telecommunications Co.  27,490       614
* Plantronics Inc.  21,117       595
* Harmonic Inc.  62,419       581
* Digi International Inc.  28,492       572
 
49

 

Russell 2000 Value Index Fund
    Shares Market
Value

($000)
  Comtech Telecommunications Corp.  21,889       450
* Calix Inc.   8,099       440
* Consolidated Communications Holdings Inc.  61,514       438
* Viavi Solutions Inc.  23,912       392
* Anterix Inc.   6,853       365
* United States Cellular Corp.  12,967       357
* Liberty Latin America Ltd. Class A  33,437       336
  ATN International Inc.   9,371       312
* WideOpenWest Inc.  16,588       282
* Inseego Corp.  57,243       270
* Aviat Networks Inc.   9,231       261
* Ribbon Communications Inc.  59,281       180
* IDT Corp. Class B   4,147       150
* Ooma Inc.   7,754       130
* DZS Inc.   8,193       119
* KVH Industries Inc.  12,695       109
*,1 Globalstar Inc.  64,099        76
* Hemisphere Media Group Inc. Class A  13,550        73
* Kaltura Inc.   7,804        18
* IHS Holding Ltd.     369         4
         14,854
Utilities (5.1%)
  Portland General Electric Co.  76,754     3,897
  Black Hills Corp.  54,609     3,822
  ONE Gas Inc.  44,899     3,731
  Brookfield Infrastructure Corp. Class A (XTSE)  52,705     3,713
  Southwest Gas Holdings Inc.  51,503     3,654
  New Jersey Resources Corp.  82,290     3,589
  PNM Resources Inc.  72,883     3,292
  South Jersey Industries Inc.  87,921     2,983
  Spire Inc.  43,251     2,903
  ALLETE Inc.  44,780     2,818
  Ormat Technologies Inc. (XNYS)  38,590     2,753
  NorthWestern Corp.  45,102     2,728
  Avista Corp.  60,432     2,697
  California Water Service Group  44,687     2,544
  MGE Energy Inc.  31,103     2,240
  Chesapeake Utilities Corp.  14,673     1,951
  Clearway Energy Inc. Class C  51,742     1,728
  SJW Group  23,607     1,540
  Northwest Natural Holding Co.  26,052     1,355
  American States Water Co.  15,115     1,272
* Sunnova Energy International Inc.  62,854     1,267
* US Ecology Inc.  23,791     1,129
  Middlesex Water Co.   9,284       928
  Clearway Energy Inc. Class A  22,761       696
  Unitil Corp.  13,419       678
* Harsco Corp.  38,227       455
    Shares Market
Value

($000)
  Artesian Resources Corp. Class A   6,866       319
* Casella Waste Systems Inc. Class A   3,243       245
* Heritage-Crystal Clean Inc.   8,035       225
  York Water Co.   4,206       189
  Aris Water Solution Inc. Class A   9,046       132
* Cadiz Inc.  16,732        43
* Pure Cycle Corp.   1,761        21
  Via Renewables Inc. Class A   1,023        11
         61,548
Total Common Stocks (Cost $1,245,951) 1,200,588
    Face
Amount
($000)
 
Corporate Bonds (0.0%)
4 GAMCO Investors Inc., 5.000% coupon rate effective 6/15/22 4.000%, 6/15/23 (Cost $1)       1          1
    Shares  
Temporary Cash Investments (0.9%)
Money Market Fund (0.9%)
5,6 Vanguard Market Liquidity Fund, 0.138% (Cost $10,571) 105,734          10,572
Total Investments (100.8%) (Cost $1,256,523) 1,211,161
Other Assets and Liabilities—Net (-0.8%) (10,083)
Net Assets (100%) 1,201,078
Cost is in $000.
See Note A in Notes to Financial Statements.
* Non-income-producing security.
1 Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $10,175,000.
2 Security value determined using significant unobservable inputs.
3 “Other” represents securities that are not classified by the fund’s benchmark index.
4 Step bond.
5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
6 Collateral of $10,572,000 was received for securities on loan.
  CVR—Contingent Value Rights.
  REIT—Real Estate Investment Trust.
 
50

 

Russell 2000 Value Index Fund

Derivative Financial Instruments Outstanding as of Period End

Futures Contracts
      ($000)
  Expiration Number of
Long (Short)
Contracts
Notional
Amount
Value and
Unrealized
Appreciation
(Depreciation)
Long Futures Contracts        
E-mini Russell 2000 Index March 2022 12 1,227 23
  
See accompanying Notes, which are an integral part of the Financial Statements.
51

 

Russell 2000 Value Index Fund
Statement of Assets and Liabilities
As of February 28, 2022
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers (Cost $1,245,952) 1,200,589
Affiliated Issuers (Cost $10,571) 10,572
Total Investments in Securities 1,211,161
Investment in Vanguard 52
Cash Collateral Pledged—Futures Contracts 110
Receivables for Investment Securities Sold 3,115
Receivables for Accrued Income 1,019
Receivables for Capital Shares Issued 164
Variation Margin Receivable—Futures Contracts 5
Total Assets 1,215,626
Liabilities  
Due to Custodian 673
Payables for Investment Securities Purchased 3,222
Collateral for Securities on Loan 10,572
Payables for Capital Shares Redeemed 23
Payables to Vanguard 58
Total Liabilities 14,548
Net Assets 1,201,078
At February 28, 2022, net assets consisted of:  
   
Paid-in Capital 1,199,384
Total Distributable Earnings (Loss) 1,694
Net Assets 1,201,078
 
ETF Shares—Net Assets  
Applicable to 7,175,000 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
997,872
Net Asset Value Per Share—ETF Shares $139.08
 
Institutional Shares—Net Assets  
Applicable to 740,717 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
203,206
Net Asset Value Per Share—Institutional Shares $274.34
  
See accompanying Notes, which are an integral part of the Financial Statements.
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Russell 2000 Value Index Fund
Statement of Operations
  Six Months Ended
February 28, 2022
  ($000)
Investment Income  
Income  
Dividends1 9,319
Interest2 1
Securities Lending—Net 128
Total Income 9,448
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 27
Management and Administrative—ETF Shares 665
Management and Administrative—Institutional Shares 61
Marketing and Distribution—ETF Shares 20
Marketing and Distribution—Institutional Shares 6
Custodian Fees 48
Shareholders’ Reports—ETF Shares 26
Shareholders’ Reports—Institutional Shares
Trustees’ Fees and Expenses
Other Expenses 8
Total Expenses 861
Net Investment Income 8,587
Realized Net Gain (Loss)  
Investment Securities Sold2,3 151,592
Futures Contracts (279)
Realized Net Gain (Loss) 151,313
Change in Unrealized Appreciation (Depreciation)  
Investment Securities2 (202,298)
Futures Contracts (33)
Change in Unrealized Appreciation (Depreciation) (202,331)
Net Increase (Decrease) in Net Assets Resulting from Operations (42,431)
1 Dividends are net of foreign withholding taxes of $12,000.
2 Interest income, realized net gain (loss), capital gain distributions received, and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $1,000, ($3,000), less than $1,000, and less than $1,000, respectively. Purchases and sales are for temporary cash investment purposes.
3 Includes $144,244,000 of net gain (loss) resulting from in-kind redemptions.
  
See accompanying Notes, which are an integral part of the Financial Statements.
53

 

Russell 2000 Value Index Fund
Statement of Changes in Net Assets
  Six Months Ended
February 28,
2022
  Year Ended
August 31,
2021
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 8,587   13,150
Realized Net Gain (Loss) 151,313   131,754
Change in Unrealized Appreciation (Depreciation) (202,331)   143,464
Net Increase (Decrease) in Net Assets Resulting from Operations (42,431)   288,368
Distributions      
ETF Shares (11,799)   (9,366)
Institutional Shares (2,438)   (1,795)
Total Distributions (14,237)   (11,161)
Capital Share Transactions      
ETF Shares 11,484   496,571
Institutional Shares 8,309   73,727
Net Increase (Decrease) from Capital Share Transactions 19,793   570,298
Total Increase (Decrease) (36,875)   847,505
Net Assets      
Beginning of Period 1,237,953   390,448
End of Period 1,201,078   1,237,953
  
See accompanying Notes, which are an integral part of the Financial Statements.
54

 

Russell 2000 Value Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
February 28,
2022
Year Ended August 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $143.88 $91.76 $99.51 $119.05 $100.96 $90.64
Investment Operations            
Net Investment Income1 .968 1.998 1.868 1.912 1.905 1.736
Net Realized and Unrealized Gain (Loss) on Investments (4.086) 51.982 (7.771) (19.589) 18.070 10.358
Total from Investment Operations (3.118) 53.980 (5.903) (17.677) 19.975 12.094
Distributions            
Dividends from Net Investment Income (1.682) (1.860) (1.847) (1.863) (1.885) (1.774)
Distributions from Realized Capital Gains
Total Distributions (1.682) (1.860) (1.847) (1.863) (1.885) (1.774)
Net Asset Value, End of Period $139.08 $143.88 $91.76 $99.51 $119.05 $100.96
Total Return -2.18% 59.34% -6.05% -14.93% 19.96% 13.42%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $998 $1,036 $303 $251 $223 $172
Ratio of Total Expenses to Average Net Assets 0.15% 0.15% 0.15% 0.15% 0.20% 0.20%
Ratio of Net Investment Income to Average Net Assets 1.47% 1.52% 1.99% 1.83% 1.73% 1.76%
Portfolio Turnover Rate2 5% 45% 38% 27% 30% 36%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.
  
See accompanying Notes, which are an integral part of the Financial Statements.
55

 

Russell 2000 Value Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
February 28,
2022
Year Ended August 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $283.82 $180.98 $196.24 $234.81 $199.13 $178.76
Investment Operations            
Net Investment Income1 2.055 4.212 3.783 3.966 4.029 3.737
Net Realized and Unrealized Gain (Loss) on Investments (8.124) 102.428 (15.303) (38.670) 35.618 20.356
Total from Investment Operations (6.069) 106.640 (11.520) (34.704) 39.647 24.093
Distributions            
Dividends from Net Investment Income (3.411) (3.800) (3.740) (3.866) (3.967) (3.723)
Distributions from Realized Capital Gains
Total Distributions (3.411) (3.800) (3.740) (3.866) (3.967) (3.723)
Net Asset Value, End of Period $274.34 $283.82 $180.98 $196.24 $234.81 $199.13
Total Return -2.15% 59.46% -5.97% -14.88% 20.10% 13.55%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $203 $202 $88 $140 $151 $146
Ratio of Total Expenses to Average Net Assets 0.08% 0.08% 0.08% 0.08% 0.08% 0.08%
Ratio of Net Investment Income to Average Net Assets 1.57% 1.67% 2.04% 1.90% 1.85% 1.88%
Portfolio Turnover Rate2 5% 45% 38% 27% 30% 36%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.
  
See accompanying Notes, which are an integral part of the Financial Statements.
56

 

Russell 2000 Value Index Fund
Notes to Financial Statements
Vanguard Russell 2000 Value Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers two classes of shares: ETF Shares and Institutional Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares are listed for trading on Nasdaq; they can be purchased and sold through a broker.
Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.
A. The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements.
1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. Investments in Vanguard Market Liquidity Fund are valued at that fund's net asset value. Bonds are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services.
2. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts, and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract. Any securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. Fluctuations in the value of the contracts are recorded in the Statement of Assets and Liabilities as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized gains (losses) on futures contracts.
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Russell 2000 Value Index Fund
During the six months ended February 28, 2022, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.
3. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for income tax is required in the fund’s financial statements.
4. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis at the fiscal year-end and may differ from net investment income and realized capital gains for financial reporting purposes.
5. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Assets and Liabilities for the return of the collateral, during the period the securities are on loan. Collateral investments in Vanguard Market Liquidity Fund are subject to market appreciation or depreciation. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.
6. Credit Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group ("Vanguard") participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds
58

 

Russell 2000 Value Index Fund
effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternate rate agreed to by the fund and Vanguard.
In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.
For the six months ended February 28, 2022, the fund did not utilize the credit facilities or the Interfund Lending Program.
7. Other: Dividend income is recorded on the ex-dividend date. Non-cash dividends included in income, if any, are recorded at the fair value of the securities received. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.
Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.
B. In accordance with the terms of a Funds' Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees and are generally settled twice a month.
Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At February 28, 2022, the fund had contributed to Vanguard capital in the amount of $52,000, representing less than 0.01% of the fund’s net assets and 0.02% of Vanguard’s capital received pursuant to the FSA. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.
C. Various inputs may be used to determine the value of the fund’s investments and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
Level 1—Quoted prices in active markets for identical securities.
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Russell 2000 Value Index Fund
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
The following table summarizes the market value of the fund’s investments and derivatives as of February 28, 2022, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 1,200,586 2 1,200,588
Corporate Bonds 1 1
Temporary Cash Investments 10,572 10,572
Total 1,211,158 1 2 1,211,161
Derivative Financial Instruments        
Assets        
Futures Contracts1 23 23
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
D. As of February 28, 2022, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:
  Amount
($000)
Tax Cost 1,261,635
Gross Unrealized Appreciation 84,805
Gross Unrealized Depreciation (135,256)
Net Unrealized Appreciation (Depreciation) (50,451)
The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at August 31, 2021, the fund had available capital losses totaling $100,542,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending August 31, 2022; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.
E. During the six months ended February 28, 2022, the fund purchased $589,007,000 of investment securities and sold $572,539,000 of investment securities, other than temporary cash investments. Purchases and sales include $502,788,000 and $505,164,000, respectively, in connection with in-kind purchases and redemptions of the fund's capital shares.
The fund purchased securities from and sold securities to other Vanguard funds or accounts managed by Vanguard or its affiliates, in accordance with procedures adopted by the board of trustees in compliance with Rule 17a-7 of the Investment Company Act of 1940. For the six
60

 

Russell 2000 Value Index Fund
months ended February 28, 2022, such purchases were $7,451,000 and sales were $8,692,000, resulting in net realized loss of $117,000; these amounts, other than temporary cash investments, are included in the purchases and sales of investment securities noted above.
F. Capital share transactions for each class of shares were:
    
  Six Months Ended
February 28, 2022
  Year Ended
August 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
ETF Shares          
Issued 517,066 3,625   880,493 6,600
Issued in Lieu of Cash Distributions  
Redeemed (505,582) (3,650)   (383,922) (2,700)
Net Increase (Decrease)—ETF Shares 11,484 (25)   496,571 3,900
Institutional Shares          
Issued 9,396 33   120,164 430
Issued in Lieu of Cash Distributions 2,437 9   1,795 8
Redeemed (3,524) (13)   (48,232) (210)
Net Increase (Decrease)—Institutional Shares 8,309 29   73,727 228
G. Market disruptions associated with current geopolitical events have had a global impact, and uncertainty exists as to their implications. Such disruptions can adversely affect assets and thus performance of the fund; at this time, an aggregate effect on assets and performance cannot be reasonably estimated. Management is continuing to monitor these developments and evaluate impacts they may have on the fund.
Management has determined that no other events or transactions occurred subsequent to February 28, 2022, that would require recognition or disclosure in these financial statements.
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Russell 2000 Growth Index Fund
Fund Allocation
As of February 28, 2022
Basic Materials 3.7%
Consumer Discretionary 16.2
Consumer Staples 3.6
Energy 3.3
Financials 5.6
Health Care 23.9
Industrials 16.4
Real Estate 3.2
Technology 20.8
Telecommunications 2.3
Utilities 1.0
Other 0.0
The table reflects the fund’s investments, except short-term investments and derivatives. Sector categories are based on the Industry Classification Benchmark (“ICB”), except for the “Other” category (if applicable), which includes securities that have not been provided an ICB classification as of the effective reporting period.
The fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.
The Industry Classification Benchmark (“ICB”) is owned by FTSE. FTSE does not accept any liability to any person for any loss or damage arising out of any error or omission in the ICB.
62

 

Russell 2000 Growth Index Fund
Financial Statements (unaudited)
Schedule of Investments
As of February 28, 2022
The fund files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) for the first and third quarters of each fiscal year as an exhibit to its reports on Form N-PORT. The fund’s Form N-PORT reports are available on the SEC’s website at www.sec.gov.
    Shares Market
Value

($000)
Common Stocks (100.0%)
Basic Materials (3.7%)
  UFP Industries Inc.  39,388    3,377
  Balchem Corp.  23,343    3,229
  Cabot Corp.  40,566    2,968
* Livent Corp. 117,552    2,768
*,1 MP Materials Corp.  54,812    2,501
* Ingevity Corp.  28,707    1,959
  Quaker Chemical Corp.   9,752    1,810
  Trinseo plc  28,130    1,462
  Compass Minerals International Inc.  24,780    1,453
  Sensient Technologies Corp.  15,851    1,302
  GrafTech International Ltd. 128,549    1,296
* Novagold Resources Inc. 171,605    1,198
  Mueller Industries Inc.  15,698      896
*,1 Energy Fuels Inc.  97,121      793
* Uranium Energy Corp. 187,101      747
  Orion Engineered Carbons SA  43,658      678
  Hecla Mining Co. 112,621      649
* RBC Bearings Inc.   2,886      559
* Coeur Mining Inc. 125,375      539
  Innospec Inc.   5,509      526
  Boise Cascade Co.   6,114      489
  Materion Corp.   5,696      476
  Hawkins Inc.   9,286      420
  Avient Corp.   6,875      360
  Omega Flex Inc.   2,259      328
*,1 Meta Materials Inc. 145,510      313
  Ryerson Holding Corp.   7,377      193
  Tredegar Corp.  15,976      184
* Ur-Energy Inc. 117,568      174
  Stepan Co.   1,434      149
  Kaiser Aluminum Corp.   1,456      140
* Gatos Silver Inc.  28,019       94
* Perpetua Resources Corp.  24,219       87
  Schnitzer Steel Industries Inc. Class A   1,600       78
  American Vanguard Corp.   4,773       72
* Amyris Inc.  13,687       62
* Marrone Bio Innovations Inc.  74,842       52
* Century Aluminum Co.   2,129       50
* Zymergen Inc.  11,093       42
* Polymet Mining Corp.   7,362       20
        34,493
    Shares Market
Value

($000)
Consumer Discretionary (16.2%)
  Texas Roadhouse Inc. Class A  50,677    4,810
* BJ's Wholesale Club Holdings Inc.  74,120    4,660
* Scientific Games Corp. Class A  69,698    4,385
* Fox Factory Holding Corp.  30,598    3,611
* Helen of Troy Ltd.  17,448    3,589
* Crocs Inc.  42,224    3,535
* Asbury Automotive Group Inc.  16,780    3,257
* Hilton Grand Vacations Inc.  61,854    3,208
  Murphy USA Inc.  17,481    3,160
  Wingstop Inc.  21,643    3,146
  Papa John's International Inc.  23,985    2,562
* Skyline Champion Corp.  38,095    2,561
  Steven Madden Ltd.  58,470    2,494
* Visteon Corp.  20,064    2,411
* Sonos Inc.  87,210    2,389
  American Eagle Outfitters Inc. 110,011    2,319
  Cracker Barrel Old Country Store Inc.  17,154    2,303
  LCI Industries  17,945    2,235
  International Game Technology plc  72,515    2,220
  Red Rock Resorts Inc. Class A  43,116    2,168
* National Vision Holdings Inc.  59,012    2,164
  Signet Jewelers Ltd.  29,809    2,102
* Gentherm Inc.  24,093    2,044
* Shake Shack Inc. Class A  27,080    2,023
* LGI Homes Inc.  15,621    1,970
* Allegiant Travel Co.  11,124    1,937
  Kontoor Brands Inc.  37,464    1,856
* Boot Barn Holdings Inc.  21,151    1,841
* Houghton Mifflin Harcourt Co.  86,329    1,809
* Dorman Products Inc.  19,084    1,783
* Overstock.com Inc.  31,141    1,772
* Bloomin' Brands Inc.  64,092    1,577
  Winnebago Industries Inc.  23,330    1,495
* Everi Holdings Inc.  61,727    1,444
* Cheesecake Factory Inc.  33,338    1,427
* SeaWorld Entertainment Inc.  20,559    1,427
* Sally Beauty Holdings Inc.  81,646    1,411
* Brinker International Inc.  32,862    1,398
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Russell 2000 Growth Index Fund
    Shares Market
Value

($000)
* Cardlytics Inc.  23,437    1,359
  Wolverine World Wide Inc.  58,821    1,355
*,1 Fisker Inc. 108,692    1,326
* Cavco Industries Inc.   4,733    1,290
  Rent-A-Center Inc.  44,579    1,266
  Inter Parfums Inc.  12,925    1,200
* Cinemark Holdings Inc.  64,854    1,138
* iRobot Corp.  17,686    1,099
  Dana Inc.  56,499    1,052
* Malibu Boats Inc. Class A  14,947    1,041
  Dine Brands Global Inc.  11,751      985
* Urban Outfitters Inc.  34,960      962
* XPEL Inc.  12,921      938
  Camping World Holdings Inc. Class A  30,134      925
* elf Beauty Inc.  34,767      919
  Century Communities Inc.  14,089      898
* Tenneco Inc. Class A  45,038      868
* Bally's Corp.  23,775      856
  Sturm Ruger & Co. Inc.  11,610      841
* GoPro Inc. Class A  93,708      806
* iHeartMedia Inc. Class A  37,100      796
* Revolve Group Inc.  16,376      777
* Stitch Fix Inc. Class A  59,501      747
* Arko Corp.  87,992      735
  Buckle Inc.  20,361      733
* Liberty Media Corp.- Liberty Braves Class C  28,838      712
* Golden Entertainment Inc.  12,399      706
  Monro Inc.  14,701      686
*,1 Blink Charging Co.  26,319      647
* Children's Place Inc.  10,141      638
* Sun Country Airlines Holdings Inc.  23,379      632
* Dave & Buster's Entertainment Inc.  14,408      624
  Smith & Wesson Brands Inc.  34,456      607
* Monarch Casino & Resort Inc.   7,750      604
  Ruth's Hospitality Group Inc.  23,921      593
* Designer Brands Inc. Class A  43,946      573
* Arlo Technologies Inc.  61,370      570
  Caleres Inc.  26,916      559
* Denny's Corp.  34,306      543
* Accel Entertainment Inc. Class A  40,497      530
* Central Garden & Pet Co. Class A  11,626      512
* RealReal Inc.  57,446      512
* Sleep Number Corp.   7,739      508
* Viad Corp.  14,503      507
  MDC Holdings Inc.  11,172      495
* BJ's Restaurants Inc.  15,011      481
* 2U Inc.  44,345      466
*,1 Corsair Gaming Inc.  19,565      452
* AMC Networks Inc. Class A  10,692      443
  Clarus Corp.  19,074      434
* Quotient Technology Inc.  64,754      430
* QuinStreet Inc.  36,436      410
  KB Home  10,454      404
* Latham Group Inc.  22,928      401
  Hibbett Inc.   8,843      399
* Adient plc   8,862      397
  RCI Hospitality Holdings Inc.   6,069      394
* Lindblad Expeditions Holdings Inc.  22,174      393
    Shares Market
Value

($000)
* Lovesac Co.   9,206      391
* Rush Street Interactive Inc.  37,698      389
* Master Craft Boat Holdings Inc.  13,526      387
* American Axle & Manufacturing Holdings Inc.  40,881      379
  OneWater Marine Inc. Class A   7,382      375
* Sportsman's Warehouse Holdings Inc.  31,811      363
* MarineMax Inc.   7,882      361
* America's Car-Mart Inc.   3,722      358
* Party City Holdco Inc.  79,758      345
* Funko Inc. Class A  19,715      344
  Shoe Carnival Inc.  11,747      343
  Acushnet Holdings Corp.   7,503      329
* Liquidity Services Inc.  19,046      328
*,1 Frontier Group Holdings Inc.  25,242      325
* Taylor Morrison Home Corp. Class A  10,294      304
* AMMO Inc.  63,821      301
* Selectquote Inc.  96,267      299
* 1-800-Flowers.com Inc. Class A  19,237      298
*,1 Portillo's Inc. Class A  11,749      294
* CarParts.com Inc.  35,009      293
* Purple Innovation Inc. Class A  41,316      249
* Golden Nugget Online Gaming Inc.  28,577      246
* Life Time Group Holdings Inc.  15,746      245
* Century Casinos Inc.  19,542      240
*,1 Vuzix Corp.  42,111      238
* Citi Trends Inc.   6,162      230
* PROG Holdings Inc.   7,495      230
  Global Industrial Co.   7,249      230
* Turtle Beach Corp.   9,117      217
* Chuy's Holdings Inc.   6,623      216
* Full House Resorts Inc.  23,556      207
* Noodles & Co. Class A  29,509      202
* OneSpaWorld Holdings Ltd.  19,537      202
  Winmark Corp.     882      200
*,1 Canoo Inc.  34,389      197
* Red Robin Gourmet Burgers Inc.  11,048      194
  Johnson Outdoors Inc. Class A   2,344      193
  Jack in the Box Inc.   2,099      181
1 Krispy Kreme Inc.  11,645      174
* ONE Group Hospitality Inc.  14,776      173
* NEOGAMES SA   7,351      166
* PlayAGS Inc.  19,467      163
  Sinclair Broadcast Group Inc. Class A   5,292      159
* Meritage Homes Corp.   1,605      158
* Kura Sushi USA Inc. Class A   2,988      157
*,1 Eastman Kodak Co.  31,703      151
* Green Brick Partners Inc.   6,166      143
  Haverty Furniture Cos. Inc.   5,016      142
* Bed Bath & Beyond Inc.   8,368      141
* Abercrombie & Fitch Co. Class A   3,654      139
  HNI Corp.   3,412      139
* Thryv Holdings Inc.   4,581      139
* Tri Pointe Homes Inc.   6,097      136
* Romeo Power Inc.  73,316      134
 
64

 

Russell 2000 Growth Index Fund
    Shares Market
Value

($000)
* Kirkland's Inc.   9,522      132
* F45 Training Holdings Inc.   8,326      128
* Duluth Holdings Inc. Class B   9,121      127
* Liberty Media Corp.- Liberty Braves Class A   4,889      125
  Franchise Group Inc.   2,921      123
  Interface Inc. Class A   9,171      120
*,1 Arcimoto Inc.  20,263      119
* WW International Inc.  11,331      115
* PowerSchool Holdings Inc. Class A   7,027      111
* Cars.com Inc.   6,797      110
* Central Garden & Pet Co.   2,307      109
* European Wax Center Inc. Class A   4,347      108
  Carriage Services Inc. Class A   2,178      107
* Integral Ad Science Holding Corp.   5,547      104
  Nathan's Famous Inc.   1,607       93
* Snap One Holdings Corp.   4,692       92
* Chico's FAS Inc.  19,310       91
1 JOANN Inc.   7,900       90
* Liberty TripAdvisor Holdings Inc. Class A  42,062       89
* Clear Channel Outdoor Holdings Inc.  23,264       87
  Guess? Inc.   3,907       86
  Oxford Industries Inc.     957       85
  PriceSmart Inc.   1,140       83
* First Watch Restaurant Group Inc.   5,468       79
* Xponential Fitness Inc. Class A   3,729       78
* Imax Corp.   3,622       75
  Marine Products Corp.   5,791       70
* Esports Technologies Inc.   7,897       65
*,1 Aterian Inc.  18,665       56
* Stride Inc.   1,577       53
* Traeger Inc.   5,325       53
* Solo Brands Inc. Class A   4,857       51
* Stoneridge Inc.   3,015       50
* Regis Corp.  26,848       49
* Rent the Runway Inc. Class A   7,707       47
1 Weber Inc. Class A   3,957       45
* Drive Shack Inc.  29,887       40
* LiveOne Inc.  42,949       37
* HyreCar Inc.  13,113       36
* Instructure Holdings Inc.   1,585       36
  Superior Group of Cos. Inc.   1,643       34
* Alta Equipment Group Inc.   2,599       33
* Outbrain Inc.   2,551       33
* aka Brands Holding Corp.   4,281       32
  Hamilton Beach Brands Holding Co. Class A   1,962       30
* Stagwell Inc.   4,025       30
* Nautilus Inc.   5,885       29
  Escalade Inc.   1,993       26
* Lulu's Fashion Lounge Holdings Inc.   2,600       26
* Lordstown Motors Corp. Class A   9,792       25
* Udemy Inc.   1,818       24
*,1 Dutch Bros Inc. Class A     469       23
* Torrid Holdings Inc.   2,344       20
* Shift Technologies Inc.   9,247       19
* Sweetgreen Inc. Class A     561       14
    Shares Market
Value

($000)
  Hooker Furnishings Corp.     599       13
* CuriosityStream Inc.   3,442       13
* Arhaus Inc.   1,965       13
  National CineMedia Inc.   4,012       12
* Chicken Soup For The Soul Entertainment Inc.   1,265       12
* Brilliant Earth Group Inc. Class A     992        9
* XL Fleet Corp.   3,853        8
  Rocky Brands Inc.     170        7
* Revlon Inc. Class A     429        4
* Digital Media Solutions Inc. Class A   1,082        4
* Allbirds Inc. Class A     389        3
       151,664
Consumer Staples (3.6%)
* Performance Food Group Co. 100,104    5,610
* Celsius Holdings Inc.  38,990    2,491
  Sanderson Farms Inc.  12,614    2,253
  WD-40 Co.   9,900    2,098
  Lancaster Colony Corp.  12,052    2,027
  J & J Snack Foods Corp.  10,642    1,742
  Coca-Cola Consolidated Inc.   3,402    1,691
  Energizer Holdings Inc.  49,298    1,646
  Medifast Inc.   8,334    1,550
* Beauty Health Co.  57,429    1,113
* Sprouts Farmers Market Inc.  36,508    1,040
* USANA Health Sciences Inc.   8,633      760
  National Beverage Corp.  17,098      753
  Nu Skin Enterprises Inc. Class A  15,982      741
  MGP Ingredients Inc.   8,576      683
  Utz Brands Inc.  42,460      648
* Hydrofarm Holdings Group Inc.  28,040      568
  Calavo Growers Inc.  12,481      533
*,1 BellRing Brands Inc. Class A  18,818      481
*,1 Tattooed Chef Inc.  34,437      418
  Andersons Inc.   9,121      416
  Turning Point Brands Inc.  10,446      350
* Duckhorn Portfolio Inc.  17,608      346
* GrowGeneration Corp.  40,476      340
  PetMed Express Inc.  12,589      339
  John B Sanfilippo & Son Inc.   4,261      339
* PLBY Group Inc.  20,681      329
* 22nd Century Group Inc. 115,148      269
* Vital Farms Inc.  17,709      252
* Honest Co. Inc.  43,149      249
*,1 AppHarvest Inc.  50,106      191
* Veru Inc.  33,695      188
  Vector Group Ltd.  14,879      167
* Simply Good Foods Co.   3,859      153
* United Natural Foods Inc.   2,604      105
* Sovos Brands Inc.   7,906       96
* Vita Coco Co. Inc.   5,641       65
* Chefs' Warehouse Inc.   1,608       53
  Limoneira Co.   3,079       45
* NewAge Inc.  56,034       38
* Mission Produce Inc.   2,768       36
* Zevia PBC Class A   5,270       33
* AquaBounty Technologies Inc.  13,110       21
* Laird Superfood Inc.   3,373       21
* MedAvail Holdings Inc.   8,704       10
* Greenlane Holdings Inc. Class A  14,390        8
 
65


 

Russell 2000 Growth Index Fund
    Shares Market
Value

($000)
* Real Good Food Co. Inc.     491        3
        33,308
Energy (3.3%)
  Matador Resources Co.  80,033    3,970
* Southwestern Energy Co. 734,592    3,666
* Denbury Inc.  36,486    2,651
  Magnolia Oil & Gas Corp. Class A 104,236    2,330
  Cactus Inc. Class A  40,054    2,029
* Callon Petroleum Co.  29,716    1,675
  Oasis Petroleum Inc.  12,196    1,616
* Kosmos Energy Ltd. 323,861    1,574
* Ameresco Inc. Class A  22,345    1,436
* FuelCell Energy Inc. 206,579    1,239
* Tellurian Inc. 266,535    1,015
* SunPower Corp.  45,903      823
* Stem Inc.  82,249      783
* Antero Resources Corp.  25,166      577
* ChampionX Corp.  26,759      573
  Ovintiv Inc. (XNYS)  10,924      501
* DMC Global Inc.  13,325      392
* Par Pacific Holdings Inc.  27,321      372
* TPI Composites Inc.  26,378      357
  Chesapeake Energy Corp.   4,534      350
* Crescent Energy Inc. Class A  21,456      325
* Liberty Oilfield Services Inc. Class A  23,202      290
  Arch Resources Inc.   2,122      253
* Array Technologies Inc.  21,896      246
  Civitas Resources Inc.   4,633      234
* TETRA Technologies Inc.  67,758      217
* Laredo Petroleum Inc.   2,434      186
* Centennial Resource Development Inc. Class A  17,173      151
  Falcon Minerals Corp.  24,795      142
  Warrior Met Coal Inc.   3,895      123
* NexTier Oilfield Solutions Inc.  13,908      111
*,1 Beam Global   5,653       82
* Expro Group Holdings NV   4,536       73
* Talos Energy Inc.   4,288       67
* FTC Solar Inc.  14,256       67
  Solaris Oilfield Infrastructure Inc. Class A   6,397       66
* Earthstone Energy Inc. Class A   3,045       40
* Advent Technologies Holdings Inc.   8,267       21
  Kinetik Holdings Inc.     221       15
* Fluence Energy Inc.   1,129       15
  Riley Exploration Permian Inc.     205        7
        30,660
Financials (5.6%)
  First Financial Bankshares Inc.  87,474    4,192
  Houlihan Lokey Inc. Class A  32,288    3,321
  Kinsale Capital Group Inc.  15,555    3,263
  RLI Corp.  26,698    2,710
  ServisFirst Bancshares Inc.  30,088    2,629
* Silvergate Capital Corp. Class A  19,894    2,548
* Trupanion Inc.  27,624    2,476
* Focus Financial Partners Inc. Class A  43,090    2,156
  Hamilton Lane Inc. Class A  25,297    1,976
    Shares Market
Value

($000)
  Artisan Partners Asset Management Inc. Class A  42,380    1,615
* Triumph Bancorp Inc.  15,962    1,601
* Open Lending Corp. Class A  75,493    1,573
  Live Oak Bancshares Inc.  23,105    1,478
  Cohen & Steers Inc.  17,985    1,461
  Virtus Investment Partners Inc.   5,270    1,268
  Moelis & Co. Class A  24,394    1,176
* Palomar Holdings Inc.  17,783    1,146
*,1 Riot Blockchain Inc.  64,507    1,111
* LendingTree Inc.   8,433    1,020
  StepStone Group Inc. Class A  29,369    1,014
  Brightsphere Investment Group Inc.  41,999    1,003
  Investors Bancorp Inc.  59,011      988
* BRP Group Inc. Class A  34,273      952
* Texas Capital Bancshares Inc.  13,858      923
  PJT Partners Inc. Class A  14,422      920
  Cadence Bank  22,116      699
  Eastern Bankshares Inc.  26,056      570
  Glacier Bancorp Inc.   9,427      522
  WisdomTree Investments Inc.  72,420      408
  Pacific Premier Bancorp Inc.  10,307      399
  Meta Financial Group Inc.   6,627      367
  Walker & Dunlop Inc.   2,128      294
  GCM Grosvenor Inc. Class A  28,464      284
* Blucora Inc.  12,897      257
* CrossFirst Bankshares Inc.  16,365      257
  PennyMac Mortgage Investment Trust  14,336      224
* Coastal Financial Corp.   4,661      222
* Columbia Financial Inc.  10,100      215
* Axos Financial Inc.   3,868      212
  Veritex Holdings Inc.   5,004      203
  Curo Group Holdings Corp.  14,472      194
  Kearny Financial Corp.  14,308      189
  Greenhill & Co. Inc.  10,272      182
  Goosehead Insurance Inc. Class A   2,079      181
  Stock Yards Bancorp Inc.   3,051      163
  FirstCash Holdings Inc.   2,083      150
  Origin Bancorp Inc.   2,840      131
* Customers Bancorp Inc.   1,833      113
  Pzena Investment Management Inc. Class A  11,802      109
  Regional Management Corp.   2,113      108
  James River Group Holdings Ltd.   4,043      108
*,1 Marathon Digital Holdings Inc.   4,178      106
* Southern First Bancshares Inc.   1,767      101
  Five Star Bancorp   3,289      100
  FB Financial Corp.   2,054       91
  Lakeland Financial Corp.   1,108       89
* NMI Holdings Inc. Class A   3,867       89
* eHealth Inc.   5,405       84
  Metrocity Bankshares Inc.   3,430       83
* StoneX Group Inc.   1,016       77
  GAMCO Investors Inc. Class A   3,306       71
  West BanCorp. Inc.   2,079       60
* Bridgewater Bancshares Inc.   3,436       58
 
66

 

Russell 2000 Growth Index Fund
    Shares Market
Value

($000)
* Metropolitan Bank Holding Corp.     463       47
  Value Line Inc.     704       42
* TPG Inc.   1,040       32
  Waterstone Financial Inc.   1,411       28
  Investors Title Co.     143       27
  RBB Bancorp   1,138       27
  Hingham Institution for Savings      59       21
* Blue Foundry Bancorp   1,357       19
* P10 Inc. Class A   1,503       19
  Heritage Insurance Holdings Inc.   1,791       10
  Luther Burbank Corp.     805       10
* Clearwater Analytics Holdings Inc. Class A     281        6
* USCB Financial Holdings Inc.     391        5
* Finwise Bancorp     201        4
        52,587
Health Care (23.9%)
* Intellia Therapeutics Inc.  50,518    4,994
* Inspire Medical Systems Inc.  19,481    4,755
* Shockwave Medical Inc.  24,447    4,333
* Omnicell Inc.  31,685    4,096
* Halozyme Therapeutics Inc. 100,220    3,555
* Arrowhead Pharmaceuticals Inc.  73,249    3,223
* Biohaven Pharmaceutical Holding Co. Ltd.  27,074    3,214
* Medpace Holdings Inc.  20,971    3,208
  Ensign Group Inc.  37,995    3,193
* HealthEquity Inc.  59,136    3,176
* Intra-Cellular Therapies Inc.  57,079    3,167
  CONMED Corp.  21,042    3,075
* LHC Group Inc.  22,147    3,016
* Beam Therapeutics Inc.  37,004    2,899
* Alkermes plc 116,114    2,887
* iRhythm Technologies Inc.  21,352    2,760
* STAAR Surgical Co.  34,352    2,725
* Neogen Corp.  73,192    2,613
* LivaNova plc  31,163    2,456
* Blueprint Medicines Corp.  39,643    2,400
* R1 RCM Inc.  85,853    2,334
* AtriCure Inc.  32,403    2,250
* Arvinas Inc.  34,155    2,214
* ACADIA Pharmaceuticals Inc.  86,529    2,199
* Apellis Pharmaceuticals Inc.  51,674    2,198
* Inari Medical Inc.  24,903    2,191
* Merit Medical Systems Inc.  33,057    2,150
* Denali Therapeutics Inc.  65,753    2,141
* Pacira BioSciences Inc.  32,018    2,135
* Insmed Inc.  85,432    2,042
* Fate Therapeutics Inc.  58,699    2,028
* NuVasive Inc.  37,461    2,027
  Owens & Minor Inc.  43,323    1,913
* Twist Bioscience Corp.  34,151    1,910
* Axonics Inc.  33,163    1,882
* Cytokinetics Inc.  53,204    1,879
  Select Medical Holdings Corp.  79,849    1,848
* Progyny Inc.  46,740    1,840
* Glaukos Corp.  33,028    1,827
* Nevro Corp.  25,104    1,800
* PTC Therapeutics Inc.  50,240    1,764
    Shares Market
Value

($000)
* NeoGenomics Inc.  82,073    1,757
* Karuna Therapeutics Inc.  16,062    1,687
* Amicus Therapeutics Inc. 189,871    1,546
*,1 Corcept Therapeutics Inc.  69,207    1,543
* Ortho Clinical Diagnostics Holdings plc Class H  87,075    1,540
* Outset Medical Inc.  33,998    1,495
* Haemonetics Corp.  24,936    1,439
* CareDx Inc.  36,596    1,405
* Vericel Corp.  33,677    1,388
* Global Blood Therapeutics Inc.  44,824    1,354
* Zentalis Pharmaceuticals Inc.  26,386    1,316
* Apollo Medical Holdings Inc.  27,229    1,310
* Surgery Partners Inc.  24,558    1,284
* Xencor Inc.  40,905    1,281
* SpringWorks Therapeutics Inc.  21,211    1,200
*,1 Cassava Sciences Inc.  27,689    1,177
* Ironwood Pharmaceuticals Inc. Class A 106,457    1,145
* Phreesia Inc.  35,804    1,102
* Vir Biotechnology Inc.  43,503    1,096
* Relay Therapeutics Inc.  45,178    1,089
* NanoString Technologies Inc.  30,416    1,079
* Health Catalyst Inc.  37,961    1,029
* CorVel Corp.   6,396    1,017
* Heska Corp.   7,062    1,003
* Kymera Therapeutics Inc.  24,916      991
* Dynavax Technologies Corp.  77,996      956
* TG Therapeutics Inc.  94,191      930
* Silk Road Medical Inc.  24,787      920
* 1Life Healthcare Inc.  84,964      918
* Codexis Inc.  43,855      874
* Editas Medicine Inc. Class A  49,844      853
  US Physical Therapy Inc.   9,277      853
* Avid Bioservices Inc.  41,139      843
* Community Health Systems Inc.  78,182      822
* RadNet Inc.  32,906      812
* FibroGen Inc.  56,817      799
* Madrigal Pharmaceuticals Inc.   8,574      796
* Celldex Therapeutics Inc.  26,275      786
* Tenet Healthcare Corp.   9,116      784
* Protagonist Therapeutics Inc.  32,235      783
* Cerevel Therapeutics Holdings Inc.  29,525      782
* Pacific Biosciences of California Inc.  64,949      774
* Quanterix Corp.  22,332      753
  Atrion Corp.   1,013      725
* Cerus Corp. 120,899      710
* Prothena Corp. plc  20,151      697
* Revance Therapeutics Inc.  50,427      684
* MEDNAX Inc.  29,077      682
* Alector Inc.  42,508      673
* Harmony Biosciences Holdings Inc.  16,533      661
* Intersect ENT Inc.  24,265      660
* Accolade Inc.  36,572      658
  LeMaitre Vascular Inc.  13,648      648
* C4 Therapeutics Inc.  27,706      621
*,1 Recursion Pharmaceuticals Inc. Class A  56,017      613
* Castle Biosciences Inc.  14,117      611
 
67

 

Russell 2000 Growth Index Fund
    Shares Market
Value

($000)
* Keros Therapeutics Inc.  11,359      610
* Morphic Holding Inc.  15,276      609
* Cardiovascular Systems Inc.  28,633      603
* Crinetics Pharmaceuticals Inc.  28,822      577
* Axsome Therapeutics Inc.  20,279      570
*,1 Senseonics Holdings Inc. 312,641      563
* Reata Pharmaceuticals Inc. Class A  17,171      562
* OptimizeRx Corp.  12,386      561
* OrthoPediatrics Corp.   9,976      559
* Aclaris Therapeutics Inc.  37,264      555
* Coherus Biosciences Inc.  46,836      552
* Karyopharm Therapeutics Inc.  52,155      539
* Rocket Pharmaceuticals Inc.  29,989      534
* Anavex Life Sciences Corp.  48,136      528
* SI-BONE Inc.  23,721      523
* Alphatec Holdings Inc.  47,032      518
* Tivity Health Inc.  18,887      515
* Inogen Inc.  14,330      500
* Pulmonx Corp.  18,878      496
* Hanger Inc.  27,287      494
* Nuvation Bio Inc.  97,584      494
* Cutera Inc.  12,849      493
*,1 Sorrento Therapeutics Inc. 193,918      491
* Collegium Pharmaceutical Inc.  25,172      490
* Alignment Healthcare Inc.  57,837      488
* Heron Therapeutics Inc.  67,657      480
*,1 Ocugen Inc. 134,395      473
* Treace Medical Concepts Inc.  21,905      472
* Artivion Inc.  24,028      470
  Patterson Cos. Inc.  15,608      467
* Butterfly Network Inc.  89,765      462
* Sangamo Therapeutics Inc.  78,398      459
*,1 Bionano Genomics Inc. 210,515      450
  Healthcare Services Group Inc.  28,297      448
* Surmodics Inc.   9,828      441
* ImmunoGen Inc.  76,709      433
* Inhibrx Inc.  20,079      432
* Agenus Inc. 157,230      425
* Antares Pharma Inc. 119,594      419
* ViewRay Inc.  99,532      414
* Arena Pharmaceuticals Inc.   4,336      412
* Joint Corp.   9,950      408
*,1 Vaxart Inc.  79,726      405
* Seres Therapeutics Inc.  50,280      402
* Addus HomeCare Corp.   4,719      401
*,1 Bridgebio Pharma Inc.  51,182      399
* Invitae Corp.  36,894      398
  National Research Corp.  10,016      398
* Theravance Biopharma Inc.  39,373      396
* PetIQ Inc. Class A  19,715      391
* REGENXBIO Inc.  14,804      388
* Sana Biotechnology Inc.  58,446      378
* MacroGenics Inc.  40,192      376
* BioDelivery Sciences International Inc.  66,918      373
* Affimed NV  83,001      366
* ModivCare Inc.   2,996      354
* TransMedics Group Inc.  18,540      343
* Lantheus Holdings Inc.   6,954      333
* Nurix Therapeutics Inc.  20,456      331
    Shares Market
Value

($000)
* Amneal Pharmaceuticals Inc.  72,504      328
* Edgewise Therapeutics Inc.  27,641      326
* Albireo Pharma Inc.   9,699      323
  Phibro Animal Health Corp. Class A  14,896      317
*,1 Omeros Corp.  43,350      312
* Evolent Health Inc. Class A  11,588      309
* Ocular Therapeutix Inc.  55,138      308
* Rigel Pharmaceuticals Inc. 122,245      307
* Rapt Therapeutics Inc.  15,288      306
* Privia Health Group Inc.  11,850      305
* Mind Medicine Mindmed Inc. 249,847      305
* Agiliti Inc.  16,879      304
* Scholar Rock Holding Corp.  17,226      300
* Pennant Group Inc.  18,420      299
* PMV Pharmaceuticals Inc.  18,775      297
* Krystal Biotech Inc.   4,612      293
* Radius Health Inc.  34,281      285
* Inotiv Inc.  10,597      280
* Tactile Systems Technology Inc.  13,698      279
* MaxCyte Inc.  39,866      277
* MiMedx Group Inc.  54,045      273
* Stoke Therapeutics Inc.  13,957      272
* Berkeley Lights Inc.  34,802      267
* IVERIC bio Inc.  16,491      265
* Axogen Inc.  28,037      262
* Phathom Pharmaceuticals Inc.  14,474      262
* KalVista Pharmaceuticals Inc.  16,161      259
* Intercept Pharmaceuticals Inc.  17,905      255
* Aerie Pharmaceuticals Inc.  30,329      252
* Apria Inc.   6,736      252
* Vapotherm Inc.  16,229      247
* Akero Therapeutics Inc.  13,871      246
* Replimune Group Inc.  14,942      240
* ALX Oncology Holdings Inc.  13,053      237
* Y-mAbs Therapeutics Inc.  25,747      235
* Relmada Therapeutics Inc.  11,110      228
* Bioxcel Therapeutics Inc.  12,355      226
* Apyx Medical Corp.  22,242      225
* BioCryst Pharmaceuticals Inc.  13,524      225
* Dermtech Inc.  17,617      225
* Accuray Inc.  64,472      224
* Amphastar Pharmaceuticals Inc.   8,050      223
  iRadimed Corp.   4,494      223
* 908 Devices Inc.  13,339      222
* Oramed Pharmaceuticals Inc.  21,548      222
* Evolus Inc.  23,946      219
* Verve Therapeutics Inc.   6,618      216
* SIGA Technologies Inc.  35,486      213
* Chimerix Inc.  37,526      212
* Marinus Pharmaceuticals Inc.  26,848      210
* Kodiak Sciences Inc.  24,240      209
* Organogenesis Holdings Inc. Class A  28,047      209
* LifeStance Health Group Inc.  21,061      199
* Vaxcyte Inc.   8,548      198
* Bioventus Inc. Class A  15,068      196
* Allovir Inc.  21,573      194
 
68

 

Russell 2000 Growth Index Fund
    Shares Market
Value

($000)
* Deciphera Pharmaceuticals Inc.  24,877      192
* Instil Bio Inc.  17,940      192
* Curis Inc.  55,414      186
* G1 Therapeutics Inc.  17,271      183
* VBI Vaccines Inc. 120,750      180
* Allogene Therapeutics Inc.  19,610      179
* Eagle Pharmaceuticals Inc.   3,749      178
* Seer Inc. Class A  11,522      177
* BioLife Solutions Inc.   7,490      176
* MEI Pharma Inc.  78,447      169
*,1 Clovis Oncology Inc.  80,893      167
* VistaGen Therapeutics Inc. 119,442      167
* Rubius Therapeutics Inc.  33,346      166
* Stereotaxis Inc.  35,473      164
* Avita Medical Inc.  17,773      164
* Multiplan Corp.  42,022      158
* Mersana Therapeutics Inc.  35,836      157
* Spero Therapeutics Inc.  16,306      157
* Precision BioSciences Inc.  36,457      155
* Generation Bio Co.  30,296      155
* CytomX Therapeutics Inc.  39,979      153
* InfuSystem Holdings Inc.  13,233      152
* Aveanna Healthcare Holdings Inc.  28,697      151
* Design Therapeutics Inc.  11,026      150
* Verastem Inc. 124,437      149
* Aldeyra Therapeutics Inc.  36,332      147
* Alaunos Therapeutics Inc. 148,224      146
* SeaSpine Holdings Corp.  11,283      143
* Allakos Inc.  25,489      142
* Pliant Therapeutics Inc.  15,852      142
* CEL–SCI Corp.  24,165      140
* Precigen Inc.  60,635      136
* Harvard Bioscience Inc.  24,936      135
* Ligand Pharmaceuticals Inc.   1,296      131
* Cytek Biosciences Inc.   9,435      129
* Cue Biopharma Inc.  22,070      128
* Syndax Pharmaceuticals Inc.   8,235      128
* Paratek Pharmaceuticals Inc.  35,214      124
* ClearPoint Neuro Inc.  14,053      123
* Applied Molecular Transport Inc.  18,329      120
* CytoSorbents Corp.  30,865      119
* REVOLUTION Medicines Inc.   6,269      119
* Prometheus Biosciences Inc.   2,724      119
* Akebia Therapeutics Inc.  54,637      118
* Fulgent Genetics Inc.   1,864      116
* Athersys Inc. 128,703      115
* Turning Point Therapeutics Inc.   3,605      114
* Durect Corp. 169,774      113
* Sight Sciences Inc.   6,492      113
* Immunovant Inc.  19,344      108
*,1 Erasca Inc.   8,627      107
* DICE Therapeutics Inc.   5,764      107
* Outlook Therapeutics Inc.  65,232      106
* Sientra Inc.  37,613      106
* Akoya Biosciences Inc.   9,486      105
*,1 PROCEPT BioRobotics Corp.   4,204      105
* Kiniksa Pharmaceuticals Ltd. Class A  10,016      103
* Eargo Inc.  21,407      103
1 Zynex Inc.  15,996      101
* SOC Telemed Inc. Class A  34,096      100
    Shares Market
Value

($000)
* IGM Biosciences Inc.   5,916       99
* Epizyme Inc.  65,894       98
* Biomea Fusion Inc.  15,247       98
* Icosavax Inc.   5,605       98
* Enanta Pharmaceuticals Inc.   1,376       97
* Imago Biosciences Inc.   4,101       97
* ChromaDex Corp.  34,935       95
* Vera Therapeutics Inc.   4,078       95
* Janux Therapeutics Inc.   5,507       95
* Sesen Bio Inc. 148,525       94
* Tabula Rasa HealthCare Inc.  16,565       94
* 9 Meters Biopharma Inc. 167,850       92
* Meridian Bioscience Inc.   3,579       91
* Varex Imaging Corp.   3,845       91
* Tarsus Pharmaceuticals Inc.   5,105       90
* Werewolf Therapeutics Inc.  12,558       90
* Bright Health Group Inc.  26,717       89
* Caribou Biosciences Inc.   8,828       88
* Taysha Gene Therapies Inc.  13,737       87
* Forian Inc.  12,334       86
* Paragon 28 Inc.   5,271       86
* Fortress Biotech Inc.  53,048       85
* ChemoCentryx Inc.   2,699       82
* Quotient Ltd.  58,766       82
* Verrica Pharmaceuticals Inc.   9,674       81
* WaVe Life Sciences Ltd.  33,049       81
* Esperion Therapeutics Inc.  19,466       80
* PAVmed Inc.  52,335       80
* iCAD Inc.  16,416       79
* Avidity Biosciences Inc.   4,666       79
* Travere Thrapeutics Inc.   2,913       79
* Shattuck Labs Inc.  15,772       79
* Spectrum Pharmaceuticals Inc. 113,984       78
* Ideaya Biosciences Inc.   5,752       76
* Seelos Therapeutics Inc.  70,338       75
* BioAtla Inc.  11,111       72
* Humanigen Inc.  35,440       72
* Lyell Immunopharma Inc.   9,956       72
* Ampio Pharmaceuticals Inc. 141,533       71
* Innoviva Inc.   3,698       71
* Evelo Biosciences Inc.  22,733       71
* Alpine Immune Sciences Inc.   8,659       71
* Prelude Therapeutics Inc.   8,090       71
* Talaris Therapeutics Inc.  10,108       71
* Accelerate Diagnostics Inc.  24,719       70
* Celcuity Inc.   6,919       70
* Century Therapeutics Inc.   4,919       69
*,1 Monte Rosa Therapeutics Inc.   4,792       69
* TherapeuticsMD Inc. 286,042       68
* Tenaya Therapeutics Inc.   5,839       68
* Innovage Holding Corp.  13,690       67
* Nuvalent Inc. Class A   4,512       67
* Atara Biotherapeutics Inc.   5,125       66
* Molecular Templates Inc.  27,706       65
* Infinity Pharmaceuticals Inc.  58,982       65
* RxSight Inc.   4,842       65
* Cortexyme Inc.  14,627       64
* Magenta Therapeutics Inc.  19,985       63
* Day One Biopharmaceuticals Inc.   4,605       63
* UroGen Pharma Ltd.  10,269       62
* Graphite Bio Inc.   6,787       62
*,1 Retractable Technologies Inc.  12,917       61
 
69

 

Russell 2000 Growth Index Fund
    Shares Market
Value

($000)
* KemPharm Inc.  10,268       61
* Tyra Biosciences Inc.   5,049       60
* Aspira Women's Health Inc.  54,476       59
* Doximity Inc. Class A     966       59
* Adagio Therapeutics Inc.   8,866       59
* Greenwich Lifesciences Inc.   2,989       58
* Vincerx Pharma Inc.  11,505       58
* Harpoon Therapeutics Inc.  13,999       57
* Neuronetics Inc.  16,642       56
* Codiak Biosciences Inc.  11,764       56
* Puma Biotechnology Inc.  23,990       55
* Summit Therapeutics Inc.  19,938       55
* Absci Corp.   5,785       54
* Pulse Biosciences Inc.  10,418       53
*,1 Cue Health Inc.   6,050       50
* Ventyx Biosciences Inc.   4,284       50
* MannKind Corp.  18,891       49
* Alpha Teknova Inc.   2,889       49
* Theseus Pharmaceuticals Inc.   4,740       48
* Cogent Biosciences Inc.   7,924       47
* Oncocyte Corp.  31,758       46
* Entrada Therapeutics Inc.   3,805       46
* Rain Therapeutics Inc.   7,457       45
* Lexicon Pharmaceuticals Inc.  20,236       42
* Asensus Surgical Inc.  53,984       42
* Brooklyn ImmunoTherapeutics Inc.  18,639       42
* NeuroPace Inc.   5,207       41
* CVRx Inc.   4,667       41
* Aerovate Therapeutics Inc.   4,209       41
* Aura Biosciences Inc.   2,271       41
* AirSculpt Technologies Inc.   3,025       41
*,1 BeyondSpring Inc.  16,696       40
* Singular Genomics Systems Inc.   4,858       40
* GT Biopharma Inc.  12,691       40
* Olema Pharmaceuticals Inc.   8,391       39
* ImmunityBio Inc.   5,598       38
* Arcutis Biotherapeutics Inc.   2,068       37
* Aligos Therapeutics Inc.  15,190       37
* Ardelyx Inc.  46,320       36
* Omega Therapeutics Inc.   3,066       36
* Xilio Therapeutics Inc.   3,080       36
* Convey Health Solutions Holdings Inc.   5,901       34
* Avalo Therapeutics Inc.  45,901       34
* NGM Biopharmaceuticals Inc.   2,254       33
* Mirum Pharmaceuticals Inc.   1,401       33
* Rallybio Corp.   2,999       33
* Cincor Pharma Inc.   1,460       33
* Codex DNA Inc.   3,136       32
* Athenex Inc.  38,055       31
* UFP Technologies Inc.     447       31
* Angion Biomedica Corp.  15,575       29
  Utah Medical Products Inc.     310       28
* Atea Pharmaceuticals Inc.   4,346       28
* Syros Pharmaceuticals Inc.  20,838       27
* Praxis Precision Medicines Inc.   2,041       27
* Clene Inc.   8,586       27
* Kronos Bio Inc.   3,471       26
* 4D Molecular Therapeutics Inc.   1,889       26
* Immuneering Corp. Class A   3,419       26
    Shares Market
Value

($000)
* Eliem Therapeutics Inc.   2,935       26
* Pyxis Oncology Inc.   4,351       26
* Amylyx Pharmaceuticals Inc.     785       26
* ORIC Pharmaceuticals Inc.   3,018       23
* Rapid Micro Biosystems Inc. Class A   3,276       23
* Acumen Pharmaceuticals Inc.   3,938       23
* Acutus Medical Inc.  13,559       22
* Biodesix Inc.   9,188       22
* Terns Pharmaceuticals Inc.   6,542       22
* Personalis Inc.   2,047       21
*,1 Hookipa Pharma Inc.   8,665       21
* Foghorn Therapeutics Inc.   2,213       21
* NexImmune Inc.   8,486       21
*,1 Impel Neuropharma Inc.   2,915       21
* MeiraGTx Holdings plc   1,381       20
* Exagen Inc.   2,606       20
* Cyteir Therapeutics Inc.   3,505       20
* Vigil Neuroscience Inc.   1,159       20
* Fluidigm Corp.   5,078       19
* Trevena Inc.  41,256       19
* Sutro Biopharma Inc.   2,182       19
* Applied Therapeutics Inc.   9,976       19
* Arbutus Biopharma Corp.   5,980       19
* Kaleido Biosciences Inc.  12,537       19
* Cullinan Oncology Inc.   1,309       19
* Reneo Pharmaceuticals Inc.   4,011       19
*,2 Alder Biopharmaceuticals CVR  20,196       18
*,1,2 Tobira Therapeutics Inc. CVR   3,989       18
* IsoPlexis Corp.   3,674       18
* Ontrak Inc.   6,309       17
*,1 Kala Pharmaceuticals Inc.  24,204       16
* Neoleukin Therapeutics Inc.   6,191       16
* Viemed Healthcare Inc.   4,180       16
* Viracta Therapeutics Inc.   5,931       16
* Arcellx Inc.     823       16
* Thorne HealthTech Inc.   3,301       15
*,1 Vor BioPharma Inc.   1,591       14
* Sera Prognostics Inc. Class A   2,575       14
* CorMedix Inc.   2,671       13
* Selecta Biosciences Inc.   6,681       12
* Ikena Oncology Inc.   1,935       12
* Forte Biosciences Inc.   8,473       11
* NantHealth Inc.  10,993        9
* Warby Parker Inc. Class A     308        9
* Lucid Diagnostics Inc.   2,422        9
* Kinnate Biopharma Inc.     964        7
* Atossa Therapeutics Inc.   6,154        7
* XOMA Corp.     284        6
* Landos Biopharma Inc.   2,918        6
* TScan Therapeutics Inc.   1,433        6
* Oyster Point Pharma Inc.     470        5
* Candel Therapeutics Inc.   1,139        5
* In8bio Inc.   1,087        5
* Gemini Therapeutics Inc.   2,905        4
* Portage Biotech Inc.     526        4
* Minerva Surgical Inc.     807        4
* Sonendo Inc.     749        4
* Definitive Healthcare Corp. Class A     118        3
*,1 Vaxxinity Inc. Class A     594        3
* Finch Therapeutics Group Inc.     258        2
* Elevation Oncology Inc.     686        2
 
70

 

Russell 2000 Growth Index Fund
    Shares Market
Value

($000)
* MiNK Therapeutics Inc.     820        2
*,1,2 Synergy Pharmaceuticals Inc. 124,654       —
*,2 Progenics Pharmaceuticals Inc. CVR  71,640       —
* Sigilon Therapeutics Inc.     336       —
*,2 Prevail Therapeutics Inc. CVR      58       —
       222,746
Industrials (16.4%)
  Tetra Tech Inc.  39,012    6,194
* Saia Inc.  19,218    5,520
* WillScot Mobile Mini Holdings Corp. 153,012    5,437
  Simpson Manufacturing Co. Inc.  31,565    3,741
* ASGN Inc.  32,913    3,646
* AMN Healthcare Services Inc.  34,156    3,625
  Exponent Inc.  37,541    3,557
  Maximus Inc.  44,444    3,505
* Atkore Inc.  33,428    3,400
* ExlService Holdings Inc.  23,807    2,876
  Herc Holdings Inc.  18,034    2,870
* ACI Worldwide Inc.  85,509    2,866
  Franklin Electric Co. Inc.  33,581    2,840
  Applied Industrial Technologies Inc.  27,830    2,814
  John Bean Technologies Corp.  22,733    2,577
* TriNet Group Inc.  29,292    2,557
  Brink's Co.  34,858    2,442
  Insperity Inc.  26,341    2,369
* Chart Industries Inc.  15,909    2,297
* Bloom Energy Corp. Class A 102,868    2,284
* Welbilt Inc.  94,531    2,235
  Comfort Systems USA Inc.  25,776    2,216
  Badger Meter Inc.  21,108    2,098
  Terex Corp.  49,625    2,049
  Forward Air Corp.  19,380    2,000
  Helios Technologies Inc.  23,451    1,839
* Beacon Roofing Supply Inc.  30,187    1,802
  AAON Inc.  30,317    1,775
  EVERTEC Inc.  43,804    1,768
* Verra Mobility Corp. Class A 104,054    1,748
  Aerojet Rocketdyne Holdings Inc.  43,168    1,673
  Installed Building Products Inc.  17,147    1,658
  Kadant Inc.   8,335    1,645
* Masonite International Corp.  17,241    1,626
  Watts Water Technologies Inc. Class A  11,138    1,603
  Federal Signal Corp.  43,554    1,573
* Dycom Industries Inc.  17,366    1,512
  Zurn Water Solutions Corp.  46,395    1,509
* Meritor Inc.  41,832    1,490
* O-I Glass Inc. 114,220    1,460
* Allegheny Technologies Inc.  56,047    1,443
  Hillenbrand Inc.  28,962    1,382
* SPX Corp.  26,383    1,338
*,1 Nikola Corp. 164,990    1,303
  CSW Industrials Inc.  10,746    1,293
* Itron Inc.  26,865    1,281
  Patrick Industries Inc.  16,490    1,176
* AeroVironment Inc.  16,311    1,159
* Vicor Corp.  15,338    1,147
    Shares Market
Value

($000)
  Kforce Inc.  14,710    1,106
* Ferro Corp.  49,322    1,072
  TTEC Holdings Inc.  13,426    1,067
  Tennant Co.  13,346    1,051
* Flywire Corp.  38,190    1,033
* CryoPort Inc.  29,414    1,010
  Shyft Group Inc.  24,987    1,010
  H&E Equipment Services Inc.  23,360      976
  McGrath RentCorp.  11,957      972
  Lindsay Corp.   7,103      932
  Alamo Group Inc.   6,303      877
* Cornerstone Building Brands Inc.  39,710      877
* Montrose Environmental Group Inc.  18,984      837
* Evo Payments Inc. Class A  34,438      830
* MYR Group Inc.   8,983      806
* Cimpress plc  12,753      803
  Enerpac Tool Group Corp. Class A  43,698      754
* WESCO International Inc.   5,702      694
  Pitney Bowes Inc. 126,483      630
* JELD-WEN Holding Inc.  26,166      604
  Douglas Dynamics Inc.  16,298      599
* BlueLinx Holdings Inc.   6,666      596
* First Advantage Corp.  36,594      591
* Energy Recovery Inc.  30,266      575
* Construction Partners Inc. Class A  21,184      567
* SP Plus Corp.  16,775      501
* Forterra Inc.  21,083      497
* Aspen Aerogels Inc.  16,089      476
* Repay Holdings Corp. Class A  27,380      473
  HB Fuller Co.   6,857      469
  EMCOR Group Inc.   3,852      445
* Forrester Research Inc.   8,220      427
* Napco Security Technologies Inc.  20,743      423
* PGT Innovations Inc.  19,654      423
* Franklin Covey Co.   9,093      419
* Kratos Defense & Security Solutions Inc.  19,792      414
* I3 Verticals Inc. Class A  15,329      405
* Transcat Inc.   5,128      402
* Paya Holdings Inc.  61,468      396
  Albany International Corp. Class A   4,470      393
  CRA International Inc.   4,408      392
* International Money Express Inc.  23,411      376
* Desktop Metal Inc. Class A  87,219      363
* Daseke Inc.  28,864      362
* FARO Technologies Inc.   6,622      362
* CIRCOR International Inc.  13,206      356
* Gibraltar Industries Inc.   6,878      332
* Cantaloupe Inc.  42,507      330
* Resideo Technologies Inc.  12,371      318
* BTRS Holdings Inc. Class A  47,921      292
  Allied Motion Technologies Inc.   7,792      271
*,1 PureCycle Technologies Inc.  38,219      266
* IES Holdings Inc.   6,176      260
*,1 Danimer Scientific Inc.  64,928      258
  Heidrick & Struggles International Inc.   5,997      256
* NV5 Global Inc.   2,308      248
 
71

 

Russell 2000 Growth Index Fund
    Shares Market
Value

($000)
  EnerSys   3,393      247
  Werner Enterprises Inc.   5,231      227
  SPX FLOW Inc.   2,498      215
* Willdan Group Inc.   6,550      212
* Velodyne Lidar Inc.  55,704      206
  Myers Industries Inc.  12,119      201
* Atlanticus Holdings Corp.   3,491      186
* Proto Labs Inc.   3,137      176
  Textainer Group Holdings Ltd.   4,622      164
* Luna Innovations Inc.  22,736      155
  Greif Inc. Class A   2,686      154
* ShotSpotter Inc.   6,005      154
  Luxfer Holdings plc   8,755      153
* AvidXchange Holdings Inc.  15,247      147
* Lawson Products Inc.   3,368      143
  Chase Corp.   1,436      132
* Byrna Technologies Inc.  13,195      132
* Vivint Smart Home Inc.  18,270      131
  Gorman-Rupp Co.   3,090      115
* Green Dot Corp. Class A   4,031      115
* Ranpak Holdings Corp. Class A   4,772      115
* Blue Bird Corp.   5,370      114
* Sterling Construction Co. Inc.   3,852      114
* Sterling Check Corp.   5,262      111
  ESCO Technologies Inc.   1,584      110
* OSI Systems Inc.   1,317      106
* Iteris Inc.  31,074      102
  Mueller Water Products Inc. Class A   7,705       98
* Eos Energy Enterprises Inc.  31,794       92
* CS Disco Inc.   2,424       92
* Hireright Holdings Corp.   7,077       92
* Huron Consulting Group Inc.   1,783       88
* Babcock & Wilcox Enterprises Inc.  12,304       86
* Infrastructure and Energy Alternatives Inc.   7,942       86
* EVI Industries Inc.   4,109       85
  Universal Logistics Holdings Inc.   4,367       84
* Custom Truck One Source Inc.  10,603       83
*,1 Remitly Global Inc.   7,388       81
* Cross Country Healthcare Inc.   3,454       77
* Hyliion Holdings Corp.  16,828       73
* Commercial Vehicle Group Inc.   8,916       71
* Rekor Systems Inc.  14,973       71
  Cass Information Systems Inc.   1,751       69
* Titan International Inc.   5,956       67
* IBEX Holdings Ltd.   4,266       67
  Hirequest Inc.   3,367       63
  Dorian LPG Ltd.   4,388       60
* Karat Packaging Inc.   3,454       56
  Wabash National Corp.   2,847       49
  Insteel Industries Inc.   1,186       44
* GreenBox POS  12,840       44
* Donnelley Financial Solutions Inc.   1,349       43
* Modine Manufacturing Co.   4,114       42
  REV Group Inc.   3,000       41
* Target Hospitality Corp.  12,777       40
    Shares Market
Value

($000)
* Priority Technology Holdings Inc.   7,535       40
* AgEagle Aerial Systems Inc.  31,731       37
  Cadre Holdings Inc.   1,686       37
  Kronos Worldwide Inc.   2,430       36
  Greif Inc. Class B     557       32
*,1 Workhorse Group Inc.   8,682       27
* PAM Transportation Services Inc.     390       26
* Atlas Technical Consultants Inc.   1,978       23
* Yellow Corp.   2,053       19
  Miller Industries Inc.     513       16
  United States Lime & Minerals Inc.     106       12
       153,078
Other (0.0%)3
*,2 Aduro Biotech Inc. CVR   9,451        6
*,1,2 GTX Inc. CVR     530       —
             6
Real Estate (3.2%)
  EastGroup Properties Inc.  29,274    5,584
  National Storage Affiliates Trust  58,751    3,423
* Ryman Hospitality Properties Inc.  35,735    3,149
* Cushman & Wakefield plc 100,482    2,203
  PS Business Parks Inc.  12,352    1,968
  Newmark Group Inc. Class A 108,141    1,912
  Innovative Industrial Properties Inc.   8,995    1,695
* Redfin Corp.  74,668    1,615
  St. Joe Co.  24,085    1,301
  eXp World Holdings Inc.  45,424    1,215
  Safehold Inc.  10,087      619
  UMH Properties Inc.  26,407      609
  Outfront Media Inc.  21,169      565
  Universal Health Realty Income Trust   8,500      486
  Community Healthcare Trust Inc.  11,060      461
  Gladstone Land Corp.  13,223      395
  Alexander's Inc.   1,555      394
  Saul Centers Inc.   7,953      366
  Tanger Factory Outlet Centers Inc.  20,432      341
  NexPoint Residential Trust Inc.   3,096      263
  Indus Realty Trust Inc.   3,115      237
  CatchMark Timber Trust Inc. Class A  25,095      192
  Gladstone Commercial Corp.   7,154      152
  Hannon Armstrong Sustainable Infrastructure Capital Inc.   3,087      146
* Marcus & Millichap Inc.   1,965       98
  Clipper Realty Inc.   8,083       77
* Forestar Group Inc.   3,290       60
* Fathom Holdings Inc.   4,463       57
  Phillips Edison & Co. Inc.   1,684       54
* Douglas Elliman Inc.   6,870       52
  RMR Group Inc. Class A   1,132       33
  Necessity Retail REIT Inc.   4,298       30
* Rafael Holdings Inc. Class B   7,293       23
 
72

 

Russell 2000 Growth Index Fund
    Shares Market
Value

($000)
  Bridge Investment Group Holdings Inc. Class A     789       17
        29,792
Technology (20.8%)
* Synaptics Inc.  28,389    6,485
* Lattice Semiconductor Corp.  98,306    6,156
* II-VI Inc.  71,252    4,949
  KBR Inc.  89,500    4,443
* Silicon Laboratories Inc.  28,875    4,438
* Rapid7 Inc.  40,760    4,217
  Power Integrations Inc.  43,725    3,935
  CMC Materials Inc.  20,552    3,811
* Tenable Holdings Inc.  66,734    3,694
* Ambarella Inc.  25,544    3,569
* Mimecast Ltd.  44,098    3,507
* Novanta Inc.  25,554    3,491
* SPS Commerce Inc.  26,147    3,395
* Varonis Systems Inc. Class B  77,422    3,376
* Cargurus Inc.  69,179    3,352
* Workiva Inc. Class A  31,035    3,268
* Rogers Corp.  11,903    3,250
* Semtech Corp.  46,845    3,250
* Digital Turbine Inc.  65,647    3,183
* Ziff Davis Inc.  31,415    3,160
* MaxLinear Inc.  51,445    3,156
* Qualys Inc.  24,709    3,096
* Blackline Inc.  39,221    2,954
* Envestnet Inc.  36,887    2,760
* Sailpoint Technologies Holdings Inc.  66,141    2,736
*,1 MicroStrategy Inc. Class A   6,128    2,715
* Box Inc. Class A 101,214    2,592
* Asana Inc. Class A  47,315    2,592
* Q2 Holdings Inc.  39,679    2,581
* Perficient Inc.  23,538    2,399
  Advanced Energy Industries Inc.  27,258    2,340
* SiTime Corp.  11,529    2,330
  Kulicke & Soffa Industries Inc.  44,245    2,311
* Fabrinet  23,021    2,305
* Alarm.com Holdings Inc.  34,295    2,258
* Altair Engineering Inc. Class A  33,475    2,223
* Diodes Inc.  24,414    2,187
* Blackbaud Inc.  34,611    2,163
* Upwork Inc.  85,297    2,156
* Sprout Social Inc. Class A  32,718    2,130
* MACOM Technology Solutions Holdings Inc. Class H  35,206    2,116
* CommVault Systems Inc.  33,111    2,083
* DigitalOcean Holdings Inc.  34,801    2,064
* PagerDuty Inc.  59,417    2,010
* FormFactor Inc.  49,176    1,991
* Appian Corp. Class A  28,459    1,735
* Axcelis Technologies Inc.  24,090    1,668
* Yelp Inc. Class A  47,995    1,627
* Appfolio Inc. Class A  13,832    1,565
  Shutterstock Inc.  16,919    1,532
* TechTarget Inc.  18,863    1,479
* Ultra Clean Holdings Inc.  32,242    1,477
* Momentive Global Inc.  93,940    1,477
* 3D Systems Corp.  81,993    1,461
* Plexus Corp.  17,895    1,458
  Progress Software Corp.  31,895    1,406
    Shares Market
Value

($000)
* Magnite Inc.  94,114    1,372
* Zuora Inc. Class A  80,800    1,227
* Schrodinger Inc.  32,878    1,143
* Cerence Inc.  27,478      992
* LivePerson Inc.  47,509      964
* Onto Innovation Inc.  11,070      954
* JFrog Ltd.  38,385      951
* Impinj Inc.  13,665      939
* Cohu Inc.  29,987      935
* PROS Holdings Inc.  28,822      916
* BigCommerce Holdings Inc. Series 1  35,236      913
* Domo Inc. Class B  20,326      905
* Insight Enterprises Inc.   8,671      902
* Eventbrite Inc. Class A  55,690      841
* Avaya Holdings Corp.  59,492      819
* Avid Technology Inc.  26,033      819
* Unisys Corp.  37,520      802
*,1 PAR Technology Corp.  18,381      771
* Sumo Logic Inc.  63,148      760
* SMART Global Holdings Inc.  25,484      700
  CSG Systems International Inc.  11,069      683
* Alpha & Omega Semiconductor Ltd.  12,689      682
* CEVA Inc.  16,173      659
* Consensus Cloud Solutions Inc.  11,700      651
* Yext Inc.  81,203      603
  Sapiens International Corp. NV  22,289      602
* Model N Inc.  23,749      584
* Agilysys Inc.  13,815      581
* nLight Inc.  31,871      520
  A10 Networks Inc.  35,925      512
* Bandwidth Inc. Class A  16,661      509
*,1 MicroVision Inc. 118,712      476
* Tucows Inc. Class A   6,979      469
* Ichor Holdings Ltd.  13,285      468
* Mitek Systems Inc.  31,221      464
* Diebold Nixdorf Inc.  52,404      456
* Porch Group Inc.  55,558      450
  Simulations Plus Inc.  10,943      431
* Grid Dynamics Holdings Inc.  32,922      400
  American Software Inc. Class A  17,932      394
* Upland Software Inc.  20,696      390
*,1 Ouster Inc. 114,594      387
* OneSpan Inc.  25,353      349
* Veritone Inc.  20,661      348
  Amkor Technology Inc.  15,163      344
  Hackett Group Inc.  16,276      337
* Telos Corp.  28,440      325
* Bottomline Technologies DE Inc.   5,723      324
* Groupon Inc. Class A  14,574      317
* Rackspace Technology Inc.  28,161      313
* Alkami Technology Inc.  18,959      299
* Identiv Inc.  14,228      298
* Digimarc Corp.   9,137      275
* ChannelAdvisor Corp.  15,009      269
  Vishay Intertechnology Inc.  13,325      256
*,1 Atomera Inc.  14,801      238
*,1 Xometry Inc. Class A   4,518      221
* Brightcove Inc.  29,014      217
* EverQuote Inc. Class A  14,000      208
* Mediaalpha Inc. Class A  14,135      203
 
73

 

Russell 2000 Growth Index Fund
    Shares Market
Value

($000)
* Enfusion Inc. Class A  11,854      197
* ON24 Inc.  12,533      196
  CTS Corp.   5,082      193
* EngageSmart Inc.   8,706      192
  NVE Corp.   3,236      185
* CoreCard Corp.   5,198      167
* Kopin Corp.  56,668      150
* Rimini Street Inc.  32,091      145
* Benefitfocus Inc.  13,716      138
* Intapp Inc.   5,885      136
* MeridianLink Inc.   6,951      136
*,1 EverCommerce Inc.   9,116      109
* Couchbase Inc.   5,131      108
* eGain Corp.   7,247       85
* Viant Technology Inc. Class A   8,192       67
* SkyWater Technology Inc.   5,355       62
* Stronghold Digital Mining Inc. Class A   3,875       49
*,1 1stdibs.com Inc.   3,761       41
* Informatica Inc. Class A   1,639       33
* Arteris Inc.   2,207       33
* Weave Communications Inc.   2,517       25
* GAN Ltd.   3,204       21
* Kimball Electronics Inc.     972       17
* EMCORE Corp.   4,106       16
* Freshworks Inc. Class A     686       13
* Expensify Inc. Class A     552       11
* Amplitude Inc. Class A     289        6
* NerdWallet Inc. Class A     480        6
* Thoughtworks Holding Inc.     235        5
* UserTesting Inc.     552        5
* Backblaze Inc. Class A     347        4
* Society Pass Inc.   1,707        4
* ForgeRock Inc. Class A     234        3
* Gitlab Inc. Class A      56        3
* Braze Inc. Class A      55        2
       193,762
Telecommunications (2.3%)
* Vonage Holdings Corp. 174,998    3,556
* Iridium Communications Inc.  64,656    2,560
* Viavi Solutions Inc. 153,704    2,521
  Cogent Communications Holdings Inc.  30,808    1,953
* Calix Inc.  33,037    1,795
* Infinera Corp. 132,420    1,222
* 8x8 Inc.  82,155    1,065
* Extreme Networks Inc.  92,267    1,060
*,1 fuboTV Inc.  98,775      845
  InterDigital Inc.   8,952      577
* Clearfield Inc.   8,251      529
*,1 Globalstar Inc. 381,577      450
* WideOpenWest Inc.  23,495      399
* IDT Corp. Class B  10,970      396
* Plantronics Inc.  12,626      356
  Shenandoah Telecommunications Co.  11,852      265
* Akoustis Technologies Inc.  34,761      219
* Cambium Networks Corp.   7,883      219
* Telesat Corp.   9,300      193
* CalAmp Corp.  25,228      178
* Ooma Inc.   9,388      157
* Anterix Inc.   2,504      133
* Harmonic Inc.  12,286      114
* Casa Systems Inc.  23,397       97
* DZS Inc.   5,350       78
* Inseego Corp.  13,096       62
  ADTRAN Inc.   2,448       50
    Shares Market
Value

($000)
* Gogo Inc.   3,157       45
* Kaltura Inc.   6,437       14
* IHS Holding Ltd.   1,003       11
        21,119
Utilities (1.0%)
* Evoqua Water Technologies Corp.  83,816    3,576
* Casella Waste Systems Inc. Class A  32,735    2,468
  American States Water Co.  13,888    1,169
  Clearway Energy Inc. Class C  14,913      498
  Middlesex Water Co.   4,621      462
* Harsco Corp.  24,171      288
  York Water Co.   5,757      258
  Clearway Energy Inc. Class A   6,294      193
* Sunnova Energy International Inc.   9,251      186
  Global Water Resources Inc.   9,476      145
* Pure Cycle Corp.  12,044      143
* Heritage-Crystal Clean Inc.   4,518      127
* US Ecology Inc.   2,641      125
  Via Renewables Inc. Class A   8,165       91
  Aris Water Solution Inc. Class A   6,181       90
* Sharps Compliance Corp.  13,550       83
* Cadiz Inc.     931        2
         9,904
Total Common Stocks (Cost $897,765) 933,119
    Face
Amount
($000)
 
Corporate Bonds (0.0%)
4 GAMCO Investors Inc., 5.000% coupon rate effective 6/15/22 4.000%, 6/15/23 (Cost $9)       9         9
 
74

 

Russell 2000 Growth Index Fund
    Shares Market
Value

($000)
Temporary Cash Investments (2.0%)
Money Market Fund (2.0%)
5,6 Vanguard Market Liquidity Fund, 0.138% (Cost $18,659) 186,632         18,662
Total Investments (102.0%) (Cost $916,433) 951,790
Other Assets and Liabilities—Net (-2.0%) (18,620)
Net Assets (100%) 933,170
Cost is in $000.
See Note A in Notes to Financial Statements.
* Non-income-producing security.
1 Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $17,294,000.
2 Security value determined using significant unobservable inputs.
3 “Other” represents securities that are not classified by the fund’s benchmark index.
4 Step bond.
5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
6 Collateral of $18,601,000 was received for securities on loan.
  CVR—Contingent Value Rights.
  REIT—Real Estate Investment Trust.

Derivative Financial Instruments Outstanding as of Period End

Futures Contracts
      ($000)
  Expiration Number of
Long (Short)
Contracts
Notional
Amount
Value and
Unrealized
Appreciation
(Depreciation)
Long Futures Contracts        
E-mini Russell 2000 Index March 2022 2 204 6
  
See accompanying Notes, which are an integral part of the Financial Statements.
75

 

Russell 2000 Growth Index Fund
Statement of Assets and Liabilities
As of February 28, 2022
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers (Cost $897,774) 933,128
Affiliated Issuers (Cost $18,659) 18,662
Total Investments in Securities 951,790
Investment in Vanguard 31
Cash 224
Cash Collateral Pledged—Futures Contracts 50
Receivables for Accrued Income 230
Receivables for Capital Shares Issued 52
Total Assets 952,377
Liabilities  
Payables for Investment Securities Purchased 349
Collateral for Securities on Loan 18,601
Payables for Capital Shares Redeemed 212
Payables to Vanguard 43
Variation Margin Payable—Futures Contracts 2
Total Liabilities 19,207
Net Assets 933,170
At February 28, 2022, net assets consisted of:  
   
Paid-in Capital 881,706
Total Distributable Earnings (Loss) 51,464
Net Assets 933,170
 
ETF Shares—Net Assets  
Applicable to 3,425,062 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
635,047
Net Asset Value Per Share—ETF Shares $185.41
 
Institutional Shares—Net Assets  
Applicable to 843,986 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
298,123
Net Asset Value Per Share—Institutional Shares $353.23
  
See accompanying Notes, which are an integral part of the Financial Statements.
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Russell 2000 Growth Index Fund
Statement of Operations
  Six Months Ended
February 28, 2022
  ($000)
Investment Income  
Income  
Dividends1 3,515
Interest2 1
Securities Lending—Net 379
Total Income 3,895
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 26
Management and Administrative—ETF Shares 467
Management and Administrative—Institutional Shares 173
Marketing and Distribution—ETF Shares 12
Marketing and Distribution—Institutional Shares 14
Custodian Fees 31
Shareholders’ Reports—ETF Shares 13
Shareholders’ Reports—Institutional Shares 6
Trustees’ Fees and Expenses
Other Expenses 8
Total Expenses 750
Net Investment Income 3,145
Realized Net Gain (Loss)  
Investment Securities Sold2,3 166,101
Futures Contracts 6
Realized Net Gain (Loss) 166,107
Change in Unrealized Appreciation (Depreciation)  
Investment Securities2 (366,328)
Futures Contracts (27)
Change in Unrealized Appreciation (Depreciation) (366,355)
Net Increase (Decrease) in Net Assets Resulting from Operations (197,103)
1 Dividends are net of foreign withholding taxes of $2,000.
2 Interest income, realized net gain (loss), capital gain distributions received, and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $1,000, ($3,000), less than $1,000, and less than $1,000, respectively. Purchases and sales are for temporary cash investment purposes.
3 Includes $157,200,000 of net gain (loss) resulting from in-kind redemptions.
  
See accompanying Notes, which are an integral part of the Financial Statements.
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Russell 2000 Growth Index Fund
Statement of Changes in Net Assets
  Six Months Ended
February 28,
2022
  Year Ended
August 31,
2021
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 3,145   5,841
Realized Net Gain (Loss) 166,107   120,421
Change in Unrealized Appreciation (Depreciation) (366,355)   204,030
Net Increase (Decrease) in Net Assets Resulting from Operations (197,103)   330,292
Distributions      
ETF Shares (2,849)   (2,369)
Institutional Shares (3,060)   (3,418)
Total Distributions (5,909)   (5,787)
Capital Share Transactions      
ETF Shares 19,152   230,394
Institutional Shares (369,780)   61,405
Net Increase (Decrease) from Capital Share Transactions (350,628)   291,799
Total Increase (Decrease) (553,640)   616,304
Net Assets      
Beginning of Period 1,486,810   870,506
End of Period 933,170   1,486,810
  
See accompanying Notes, which are an integral part of the Financial Statements.
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Russell 2000 Growth Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
February 28,
2022
Year Ended August 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $222.64 $164.83 $141.63 $160.12 $123.26 $106.98
Investment Operations            
Net Investment Income1 .404 .839 1.097 .971 .895 .961
Net Realized and Unrealized Gain (Loss) on Investments (36.775) 57.852 23.237 (18.527) 36.791 16.455
Total from Investment Operations (36.371) 58.691 24.334 (17.556) 37.686 17.416
Distributions            
Dividends from Net Investment Income (.859) (.881) (1.134) (.934) (.826) (1.136)
Distributions from Realized Capital Gains
Total Distributions (.859) (.881) (1.134) (.934) (.826) (1.136)
Net Asset Value, End of Period $185.41 $222.64 $164.83 $141.63 $160.12 $123.26
Total Return -16.38% 35.67% 17.32% -10.97% 30.69% 16.39%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $635 $735 $371 $301 $328 $194
Ratio of Total Expenses to Average Net Assets 0.15% 0.15% 0.15% 0.15% 0.20% 0.20%
Ratio of Net Investment Income to Average Net Assets 0.34% 0.40% 0.75% 0.68% 0.64% 0.83%
Portfolio Turnover Rate2 7% 47% 38% 28% 35% 34%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.
  
See accompanying Notes, which are an integral part of the Financial Statements.
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Russell 2000 Growth Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
February 28,
2022
Year Ended August 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $424.16 $314.01 $269.76 $305.04 $234.80 $203.79
Investment Operations            
Net Investment Income1 1.266 1.912 2.275 2.021 2.026 2.102
Net Realized and Unrealized Gain (Loss) on Investments (70.424) 110.162 44.269 (35.267) 70.080 31.338
Total from Investment Operations (69.158) 112.074 46.544 (33.246) 72.106 33.440
Distributions            
Dividends from Net Investment Income (1.772) (1.924) (2.294) (2.034) (1.866) (2.430)
Distributions from Realized Capital Gains
Total Distributions (1.772) (1.924) (2.294) (2.034) (1.866) (2.430)
Net Asset Value, End of Period $353.23 $424.16 $314.01 $269.76 $305.04 $234.80
Total Return -16.36% 35.77% 17.42% -10.91% 30.85% 16.53%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $298 $752 $500 $472 $545 $370
Ratio of Total Expenses to Average Net Assets 0.08% 0.08% 0.08% 0.08% 0.08% 0.08%
Ratio of Net Investment Income to Average Net Assets 0.58% 0.48% 0.82% 0.75% 0.76% 0.95%
Portfolio Turnover Rate2 7% 47% 38% 28% 35% 34%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.
  
See accompanying Notes, which are an integral part of the Financial Statements.
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Russell 2000 Growth Index Fund
Notes to Financial Statements
Vanguard Russell 2000 Growth Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers two classes of shares: ETF Shares and Institutional Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares are listed for trading on Nasdaq; they can be purchased and sold through a broker.
Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.
A. The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements.
1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. Investments in Vanguard Market Liquidity Fund are valued at that fund's net asset value. Bonds are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services.
2. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts, and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract. Any securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. Fluctuations in the value of the contracts are recorded in the Statement of Assets and Liabilities as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized gains (losses) on futures contracts.
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Russell 2000 Growth Index Fund
During the six months ended February 28, 2022, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.
3. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for income tax is required in the fund’s financial statements.
4. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis at the fiscal year-end and may differ from net investment income and realized capital gains for financial reporting purposes.
5. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Assets and Liabilities for the return of the collateral, during the period the securities are on loan. Collateral investments in Vanguard Market Liquidity Fund are subject to market appreciation or depreciation. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.
6. Credit Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group ("Vanguard") participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds
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Russell 2000 Growth Index Fund
effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternate rate agreed to by the fund and Vanguard.
In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.
For the six months ended February 28, 2022, the fund did not utilize the credit facilities or the Interfund Lending Program.
7. Other: Dividend income is recorded on the ex-dividend date. Non-cash dividends included in income, if any, are recorded at the fair value of the securities received. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.
Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.
B. In accordance with the terms of a Funds' Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees and are generally settled twice a month.
Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At February 28, 2022, the fund had contributed to Vanguard capital in the amount of $31,000, representing less than 0.01% of the fund’s net assets and 0.01% of Vanguard’s capital received pursuant to the FSA. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.
C. Various inputs may be used to determine the value of the fund’s investments and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
Level 1—Quoted prices in active markets for identical securities.
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Russell 2000 Growth Index Fund
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
The following table summarizes the market value of the fund’s investments and derivatives as of February 28, 2022, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 933,077 42 933,119
Corporate Bonds 9 9
Temporary Cash Investments 18,662 18,662
Total 951,739 9 42 951,790
Derivative Financial Instruments        
Assets        
Futures Contracts1 6 6
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
D. As of February 28, 2022, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:
  Amount
($000)
Tax Cost 919,081
Gross Unrealized Appreciation 208,883
Gross Unrealized Depreciation (176,168)
Net Unrealized Appreciation (Depreciation) 32,715
The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at August 31, 2021, the fund had available capital losses totaling $147,811,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending August 31, 2022; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.
E. During the six months ended February 28, 2022, the fund purchased $121,889,000 of investment securities and sold $474,759,000 of investment securities, other than temporary cash investments. Purchases and sales include $36,068,000 and $376,363,000, respectively, in connection with in-kind purchases and redemptions of the fund's capital shares.
The fund purchased securities from and sold securities to other Vanguard funds or accounts managed by Vanguard or its affiliates, in accordance with procedures adopted by the board of trustees in compliance with Rule 17a-7 of the Investment Company Act of 1940. For the six
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Russell 2000 Growth Index Fund
months ended February 28, 2022, such purchases were $8,057,000 and sales were $15,024,000, resulting in net realized loss of $1,562,000; these amounts, other than temporary cash investments, are included in the purchases and sales of investment securities noted above.
F. Capital share transactions for each class of shares were:
    
  Six Months Ended
February 28, 2022
  Year Ended
August 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
ETF Shares          
Issued 396,034 1,900   399,369 1,800
Issued in Lieu of Cash Distributions  
Redeemed (376,882) (1,775)   (168,975) (750)
Net Increase (Decrease)—ETF Shares 19,152 125   230,394 1,050
Institutional Shares          
Issued 15,048 37   170,590 475
Issued in Lieu of Cash Distributions 2,912 7   3,267 9
Redeemed (387,740) (973)   (112,452) (302)
Net Increase (Decrease)—Institutional Shares (369,780) (929)   61,405 182
G. Market disruptions associated with current geopolitical events have had a global impact, and uncertainty exists as to their implications. Such disruptions can adversely affect assets and thus performance of the fund; at this time, an aggregate effect on assets and performance cannot be reasonably estimated. Management is continuing to monitor these developments and evaluate impacts they may have on the fund.
Management has determined that no other events or transactions occurred subsequent to February 28, 2022, that would require recognition or disclosure in these financial statements.
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The Products are not sponsored, endorsed, sold or promoted by Frank Russell Company (“Russell”). Russell makes no representation or warranty, express or implied, to the owners of the Products or any member of the public regarding the advisability of investing in securities generally or in the Products particularly or the ability of the Russell 2000, Russell 2000 Value, and Russell 2000 Growth Indexes to track general stock market performance or a segment of the same. Russell’s publication of the Russell 2000, Russell 2000 Value, and Russell 2000 Growth Indexes in no way suggests or implies an opinion by Russell as to the advisability of investment in any or all of the securities upon which the Russell 2000, Russell 2000 Value, and Russell 2000 Growth Indexes are based. Russell’s only relationship to The Vanguard Group, Inc. is the licensing of certain trademarks and trade names of Russell and of the Russell 2000, Russell 2000 Value, and Russell 2000 Growth Indexes which are determined, composed and calculated by Russell without regard to The Vanguard Group, Inc. or the Products. Russell is not responsible for and has not reviewed the Products nor any associated literature or publications and Russell makes no representation or warranty express or implied as to their accuracy or completeness, or otherwise. Russell has no obligation or liability in connection with the administration, marketing or trading of the Products.
Russell makes no representation, warranty or guarantee as to the accuracy, completeness, reliability or otherwise of the Russell Indexes or any data included in the Russell Indexes. Russell does not guarantee the accuracy and/or the completeness of the Russell 2000, Russell 2000 Value, and Russell 2000 Growth Indexes or any data included therein and Russell shall have no liability for any errors, omissions, or interruptions therein. Russell makes no warranty, express or implied, as to the use of or results to be obtained by The Vanguard Group, Inc., investors, owners of the Products, or any other person or entity from the use of the Russell 2000, Russell 2000 Value, and Russell 2000 Growth Indexes or any data included therein. Russell makes no express or implied warranties, and expressly disclaims all warranties of merchantability or fitness for a particular purpose or use with respect to the Russell 2000, Russell 2000 Value, and Russell 2000 Growth Indexes or any data included therein. Without limiting any of the foregoing, in no event shall Russell have any liability for any special, punitive, indirect, or consequential damages (including lost profits), even if notified of the possibility of such damages.
Russell reserves the right, at any time and without notice, to alter, amend, terminate or in any way change the Russell Indexes. Russell has no obligation to take the needs of any particular fund or its participants or any other product or person into consideration in determining, composing or calculating any of the Russell Indexes.
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U.S. Patent Nos. 6,879,964.
Vanguard Marketing Corporation, Distributor.
Q18512 042022