Schwab U.S. Small-Cap ETF (SCHA)

All holdings as of date 04/01/26
Displaying 701 - 800 of 1734
  • DAVE INC CLASS A

  • LEGENCE CORP CLASS A

  • KAISER ALUMINIUM CORP

  • STRATEGIC EDUCATION INC

  • ENERPAC TOOL GROUP CORP CLASS A

  • ORUKA THERAPEUTICS INC

  • IMMUNOVANT INC

  • PENN ENTERTAINMENT INC

  • GOODYEAR TIRE & RUBBER

  • DIAMONDROCK HOSPITALITY

  • CORECIVIC REIT INC

  • BELLRING BRANDS INC

  • ARMOUR RESIDENTIAL REIT INC

  • DEFINIUM THERAPEUTICS INC

  • STEWART INFO SERVICES CORP

  • BLACKLINE INC

  • NORTHWEST BANCSHARES INC

  • GLOBAL NET LEASE INC

  • UNIVERSAL TECHNICAL INSTITUTE INC

  • ARCUS BIOSCIENCES INC

  • STOCK YARDS BANCORP INC

  • NETSTREIT CORP

  • AGILYSYS INC

  • ROGERS CORP

  • EVERTEC INC

  • DIGI INTERNATIONAL INC

  • LEVI STRAUSS CLASS A

  • UNDER ARMOUR INC CLASS A

  • CECO ENVIRONMENTAL CORP

  • MARRIOTT VACATIONS WORLDWIDE CORP

  • KEMPER CORP

  • INNOSPEC INC

  • PEDIATRIX MEDICAL GROUP INC

  • SIX FLAGS ENTERTAINMENT CORP

  • XOMETRY INC CLASS A

  • SELECT MEDICAL HOLDINGS CORP

  • FIRST COMMONWEALTH FINANCIAL CORP

  • SKYWARD SPECIALTY INSURANCE GROUP

  • BLUE BIRD CORP

  • NELNET INC CLASS A

  • DXP ENTERPRISES INC

  • ALUMIS INC

  • ALAMO GROUP INC

  • BOSTON BEER INC CLASS A

  • LTC PROPERTIES REIT INC

  • PELOTON INTERACTIVE CLASS A INC

  • WERNER ENTERPRISES INC

  • NATIONAL BANK HOLDINGS CORP CLASS

  • EXPRO GROUP HOLDINGS NV

  • OFG BANCORP

  • HORACE MANN EDUCATORS CORP

  • NAVITAS SEMICONDUCTOR CORP

  • GETTY REALTY REIT CORP

  • ENLIVEN THERAPEUTICS INC

  • SELECT WATER SOLUTIONS INC CLASS A

  • DILLARDS INC CLASS A

  • COHEN & STEERS INC

  • CITY HOLDING

  • BALDWIN INSURANCE GROUP INC CLASS

  • SUNSTONE HOTEL INVESTORS REIT INC

  • FLOWERS FOODS INC

  • MAGNITE INC

  • QUAKER HOUGHTON CORP

  • ADDUS HOMECARE CORP

  • SPECTRUM BRANDS HOLDINGS INC

  • CORVEL CORP

  • FRESHWORKS INC CLASS A

  • UNITI GROUP INC

  • DUCOMMUN INC

  • COMSTOCK RESOURCES INC

  • LIVERAMP HOLDINGS INC

  • STOKE THERAPEUTICS INC

  • HCI GROUP INC

  • WISDOMTREE INC

  • SMARTSTOP SELF STORAGE REIT INC

  • INTERPARFUMS INC

  • STELLAR BANCORP INC

  • TURNING POINT BRANDS INC

  • VIRIDIAN THERAPEUTICS ORS INC

  • AXOGEN INC

  • NUSCALE POWER CORP CLASS A

  • ZIFF DAVIS INC

  • A10 NETWORKS INC

  • INNOVIVA INC

  • HILLMAN SOLUTIONS CORP

  • CENTRAL GARDEN AND PET CLASS A

  • THERMON GROUP HOLDINGS INC

  • SOLENO THERAPEUTICS INC

  • LENDINGCLUB CORP

  • ADAPTIVE BIOTECHNOLOGIES CORP

  • ASGN INC

  • PITNEY BOWES INC

  • SONOS INC

  • VERICEL CORP

  • GREENBRIER INC

  • WORTHINGTON ENTERPRISES INC

  • ICHOR HOLDINGS LTD

  • AMERICAN SUPERCONDUCTOR CORP

  • EOS ENERGY ENTERPRISES INC CLASS A

  • ZOOMINFO TECHNOLOGIES INC

Fund Name CUSIP Symbol Quantity % of Assets Market Value
DAVE INC CLASS A 23834J201 DAVE 53,682 0.05% $9.3M
LEGENCE CORP CLASS A 52476L109 LGN 165,541 0.05% $9.3M
KAISER ALUMINIUM CORP 483007704 KALU 77,520 0.05% $9.3M
STRATEGIC EDUCATION INC 86272C103 STRA 112,312 0.05% $9.3M
ENERPAC TOOL GROUP CORP CLASS A 292765104 EPAC 255,221 0.05% $9.3M
ORUKA THERAPEUTICS INC 687604108 ORKA 189,720 0.05% $9.3M
IMMUNOVANT INC 45258J102 IMVT 373,977 0.05% $9.3M
PENN ENTERTAINMENT INC 707569109 PENN 616,813 0.05% $9.3M
GOODYEAR TIRE & RUBBER 382550101 GT 1,392,341 0.05% $9.2M
DIAMONDROCK HOSPITALITY 252784301 DRH 983,794 0.05% $9.2M
CORECIVIC REIT INC 21871N101 CXW 484,445 0.05% $9.2M
BELLRING BRANDS INC 07831C103 BRBR 567,916 0.05% $9.1M
ARMOUR RESIDENTIAL REIT INC 042315705 ARR 541,787 0.05% $9.0M
DEFINIUM THERAPEUTICS INC 24477V105 DFTX 476,992 0.05% $9.0M
STEWART INFO SERVICES CORP 860372101 STC 146,325 0.05% $9.0M
BLACKLINE INC 09239B109 BL 243,430 0.05% $9.0M
NORTHWEST BANCSHARES INC 667340103 NWBI 707,545 0.05% $9.0M
GLOBAL NET LEASE INC 379378201 GNL 951,233 0.04% $8.9M
UNIVERSAL TECHNICAL INSTITUTE INC 913915104 UTI 246,422 0.04% $8.9M
ARCUS BIOSCIENCES INC 03969F109 RCUS 410,299 0.04% $8.9M
STOCK YARDS BANCORP INC 861025104 SYBT 133,493 0.04% $8.8M
NETSTREIT CORP 64119V303 NTST 468,649 0.04% $8.8M
AGILYSYS INC 00847J105 AGYS 123,685 0.04% $8.8M
ROGERS CORP 775133101 ROG 81,884 0.04% $8.8M
EVERTEC INC 30040P103 EVTC 311,387 0.04% $8.8M
DIGI INTERNATIONAL INC 253798102 DGII 182,110 0.04% $8.8M
LEVI STRAUSS CLASS A 52736R102 LEVI 473,373 0.04% $8.8M
UNDER ARMOUR INC CLASS A 904311107 UAA 1,479,267 0.04% $8.7M
CECO ENVIRONMENTAL CORP 125141101 CECO 146,646 0.04% $8.7M
MARRIOTT VACATIONS WORLDWIDE CORP 57164Y107 VAC 134,024 0.04% $8.7M
KEMPER CORP 488401100 KMPR 285,532 0.04% $8.7M
INNOSPEC INC 45768S105 IOSP 119,447 0.04% $8.7M
PEDIATRIX MEDICAL GROUP INC 58502B106 MD 407,650 0.04% $8.7M
SIX FLAGS ENTERTAINMENT CORP 83001C108 FUN 491,118 0.04% $8.7M
XOMETRY INC CLASS A 98423F109 XMTR 213,104 0.04% $8.7M
SELECT MEDICAL HOLDINGS CORP 81619Q105 SEM 533,625 0.04% $8.7M
FIRST COMMONWEALTH FINANCIAL CORP 319829107 FCF 494,429 0.04% $8.7M
SKYWARD SPECIALTY INSURANCE GROUP 830940102 SKWD 198,830 0.04% $8.7M
BLUE BIRD CORP 095306106 BLBD 152,680 0.04% $8.7M
NELNET INC CLASS A 64031N108 NNI 67,215 0.04% $8.7M
DXP ENTERPRISES INC 233377407 DXPE 61,861 0.04% $8.6M
ALUMIS INC 022307102 ALMS 392,288 0.04% $8.6M
ALAMO GROUP INC 011311107 ALG 52,366 0.04% $8.6M
BOSTON BEER INC CLASS A 100557107 SAM 37,080 0.04% $8.5M
LTC PROPERTIES REIT INC 502175102 LTC 229,677 0.04% $8.5M
PELOTON INTERACTIVE CLASS A INC 70614W100 PTON 1,987,011 0.04% $8.5M
WERNER ENTERPRISES INC 950755108 WERN 289,840 0.04% $8.5M
NATIONAL BANK HOLDINGS CORP CLASS 633707104 NBHC 217,465 0.04% $8.5M
EXPRO GROUP HOLDINGS NV N3144W105 XPRO 488,580 0.04% $8.5M
OFG BANCORP 67103X102 OFG 209,222 0.04% $8.5M
HORACE MANN EDUCATORS CORP 440327104 HMN 198,327 0.04% $8.5M
NAVITAS SEMICONDUCTOR CORP 63942X106 NVTS 964,381 0.04% $8.5M
GETTY REALTY REIT CORP 374297109 GTY 265,588 0.04% $8.4M
ENLIVEN THERAPEUTICS INC 29337E102 ELVN 215,397 0.04% $8.4M
SELECT WATER SOLUTIONS INC CLASS A 81617J301 WTTR 548,630 0.04% $8.4M
DILLARDS INC CLASS A 254067101 DDS 14,634 0.04% $8.4M
COHEN & STEERS INC 19247A100 CNS 133,765 0.04% $8.4M
CITY HOLDING 177835105 CHCO 69,767 0.04% $8.3M
BALDWIN INSURANCE GROUP INC CLASS 05589G102 BWIN 379,692 0.04% $8.3M
SUNSTONE HOTEL INVESTORS REIT INC 867892101 SHO 923,388 0.04% $8.3M
FLOWERS FOODS INC 343498101 FLO 1,019,044 0.04% $8.3M
MAGNITE INC 55955D100 MGNI 698,691 0.04% $8.3M
QUAKER HOUGHTON CORP 747316107 KWR 66,725 0.04% $8.3M
ADDUS HOMECARE CORP 006739106 ADUS 88,304 0.04% $8.3M
SPECTRUM BRANDS HOLDINGS INC 84790A105 SPB 112,185 0.04% $8.3M
CORVEL CORP 221006109 CRVL 151,063 0.04% $8.3M
FRESHWORKS INC CLASS A 358054104 FRSH 1,014,915 0.04% $8.1M
UNITI GROUP INC 912932100 UNIT 868,198 0.04% $8.1M
DUCOMMUN INC 264147109 DCO 66,721 0.04% $8.1M
COMSTOCK RESOURCES INC 205768302 CRK 385,529 0.04% $8.1M
LIVERAMP HOLDINGS INC 53815P108 RAMP 305,668 0.04% $8.1M
STOKE THERAPEUTICS INC 86150R107 STOK 248,802 0.04% $8.1M
HCI GROUP INC 40416E103 HCI 52,352 0.04% $8.1M
WISDOMTREE INC 97717P104 WT 555,586 0.04% $8.1M
SMARTSTOP SELF STORAGE REIT INC 83192D402 SMA 267,140 0.04% $8.1M
INTERPARFUMS INC 458334109 IPAR 89,026 0.04% $8.1M
STELLAR BANCORP INC 858927106 STEL 220,807 0.04% $8.1M
TURNING POINT BRANDS INC 90041L105 TPB 93,004 0.04% $8.1M
VIRIDIAN THERAPEUTICS ORS INC 92790C104 VRDN 411,325 0.04% $8.0M
AXOGEN INC 05463X106 AXGN 242,608 0.04% $8.0M
NUSCALE POWER CORP CLASS A 67079K100 SMR 740,508 0.04% $8.0M
ZIFF DAVIS INC 48123V102 ZD 191,279 0.04% $8.0M
A10 NETWORKS INC 002121101 ATEN 346,152 0.04% $8.0M
INNOVIVA INC 45781M101 INVA 343,439 0.04% $8.0M
HILLMAN SOLUTIONS CORP 431636109 HLMN 961,070 0.04% $8.0M
CENTRAL GARDEN AND PET CLASS A 153527205 CENTA 246,424 0.04% $8.0M
THERMON GROUP HOLDINGS INC 88362T103 THR 158,485 0.04% $8.0M
SOLENO THERAPEUTICS INC 834203309 SLNO 238,448 0.04% $8.0M
LENDINGCLUB CORP 52603A208 LC 557,242 0.04% $8.0M
ADAPTIVE BIOTECHNOLOGIES CORP 00650F109 ADPT 574,788 0.04% $8.0M
ASGN INC 00191U102 ASGN 205,941 0.04% $8.0M
PITNEY BOWES INC 724479100 PBI 716,035 0.04% $7.9M
SONOS INC 83570H108 SONO 590,083 0.04% $7.9M
VERICEL CORP 92346J108 VCEL 245,603 0.04% $7.9M
GREENBRIER INC 393657101 GBX 149,556 0.04% $7.9M
WORTHINGTON ENTERPRISES INC 981811102 WOR 150,790 0.04% $7.9M
ICHOR HOLDINGS LTD G4740B105 ICHR 167,440 0.04% $7.8M
AMERICAN SUPERCONDUCTOR CORP 030111207 AMSC 230,314 0.04% $7.8M
EOS ENERGY ENTERPRISES INC CLASS A 29415C101 EOSE 1,568,031 0.04% $7.8M
ZOOMINFO TECHNOLOGIES INC 98980F104 GTM 1,300,169 0.04% $7.8M