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

As of 05/14/26
Displaying 701 - 800 of 1714
  • AMNEAL PHARMACEUTICALS INC CLASS A

  • SELECT WATER SOLUTIONS INC CLASS A

  • KLAVIYO INC SERIES A

  • FB FINANCIAL CORP

  • H2O AMERICA

  • CAPRI HOLDINGS LTD

  • DUCOMMUN INC

  • NORTHWEST NATURAL HOLDING COMPANY

  • LEMAITRE VASCULAR INC

  • AXOGEN INC

  • STEWART INFO SERVICES CORP

  • SIX FLAGS ENTERTAINMENT CORP

  • ADMA BIOLOGICS INC

  • UNITI GROUP INC

  • PENN ENTERTAINMENT INC

  • A10 NETWORKS INC

  • MARRIOTT VACATIONS WORLDWIDE CORP

  • CALUMET INC

  • ALUMIS INC

  • NETSTREIT CORP

  • WOLFSPEED INC

  • NORTHWEST BANCSHARES INC

  • COHEN & STEERS INC

  • NEXTNAV INC

  • PEDIATRIX MEDICAL GROUP INC

  • INNOSPEC INC

  • GREIF INC CLASS A

  • HOWARD HUGHES HOLDINGS INC

  • RH

  • OMNICELL INC

  • ALPHA METALLURGICAL RESOURCE INC

  • SUNSTONE HOTEL INVESTORS REIT INC

  • CRANE NXT

  • GREEN BRICK PARTNERS INC

  • SAREPTA THERAPEUTICS INC

  • QUAKER HOUGHTON CORP

  • BRAZE INC CLASS A

  • ARMOUR RESIDENTIAL REIT INC

  • DOUGLAS EMMETT REIT INC

  • TALOS ENERGY INC

  • DXP ENTERPRISES INC

  • OFG BANCORP

  • ENLIVEN THERAPEUTICS INC

  • EZCORP NON VOTING INC CLASS A

  • STOCK YARDS BANCORP INC

  • BIGBEAR.AI HOLDINGS INC

  • DIVERSIFIED HEALTHCARE TRUST

  • ACADIAN ASSET MANAGEMENT INC

  • SPS COMMERCE INC

  • FIGS INC CLASS A

  • FIRST COMMONWEALTH FINANCIAL CORP

  • SKYWARD SPECIALTY INSURANCE GROUP

  • SPECTRUM BRANDS HOLDINGS INC

  • NATIONAL BANK HOLDINGS CORP CLASS

  • NOVOCURE LTD

  • NUSCALE POWER CORP CLASS A

  • LIVERAMP HOLDINGS INC

  • STRATEGIC EDUCATION INC

  • NEOGEN CORP

  • ENERPAC TOOL GROUP CORP CLASS A

  • LENDINGCLUB CORP

  • PROGYNY INC

  • ENCORE CAPITAL GROUP INC

  • ALBANY INTERNATIONAL CORP CLASS A

  • GRAIL INC

  • HORACE MANN EDUCATORS CORP

  • LTC PROPERTIES REIT INC

  • SELECT MEDICAL HOLDINGS CORP

  • GLOBAL NET LEASE INC

  • WALKER & DUNLOP INC

  • CORVEL CORP

  • GETTY REALTY REIT CORP

  • FLYWIRE CORP

  • CTS CORP

  • SYNDAX PHARMACEUTICALS INC

  • LIFESTANCE HEALTH GROUP INC

  • SEZZLE INC

  • MAGNITE INC

  • SONOS INC

  • PATHWARD FINANCIAL INC

  • ADIENT PLC

  • CITY HOLDING

  • KEMPER CORP

  • PURECYCLE TECHNOLOGIES INC

  • NELNET INC CLASS A

  • FRESHWORKS INC CLASS A

  • TREVI THERAPEUTICS INC

  • FEDERAL AGRICULTURAL MORTGAGE NON

  • ALLEGIANT TRAVEL

  • WORTHINGTON ENTERPRISES INC

  • TURNING POINT BRANDS INC

  • MIAMI INTERNATIONAL HOLDINGS INC

  • CENTRAL GARDEN AND PET CLASS A

  • UNIQURE NV

  • PACS GROUP INC

  • PROTO LABS INC

  • INTELLIA THERAPEUTICS INC

  • MOBILEYE GLOBAL INC CLASS A

  • UFP TECHNOLOGIES INC

  • SMARTSTOP SELF STORAGE REIT INC

Fund Name CUSIP Symbol Quantity % of Assets Market Value
AMNEAL PHARMACEUTICALS INC CLASS A 03168L105 AMRX 821,936 0.05% $10.1M
SELECT WATER SOLUTIONS INC CLASS A 81617J301 WTTR 540,390 0.05% $10.1M
KLAVIYO INC SERIES A 49845K101 KVYO 699,967 0.05% $10.0M
FB FINANCIAL CORP 30257X104 FBK 193,846 0.05% $10.0M
H2O AMERICA 784305104 HTO 179,150 0.05% $10.0M
CAPRI HOLDINGS LTD G1890L107 CPRI 571,386 0.04% $10.0M
DUCOMMUN INC 264147109 DCO 65,897 0.04% $10.0M
NORTHWEST NATURAL HOLDING COMPANY 66765N105 NWN 200,144 0.04% $10.0M
LEMAITRE VASCULAR INC 525558201 LMAT 100,016 0.04% $10.0M
AXOGEN INC 05463X106 AXGN 241,746 0.04% $9.9M
STEWART INFO SERVICES CORP 860372101 STC 145,810 0.04% $9.8M
SIX FLAGS ENTERTAINMENT CORP 83001C108 FUN 489,309 0.04% $9.8M
ADMA BIOLOGICS INC 000899104 ADMA 1,144,907 0.04% $9.7M
UNITI GROUP INC 912932100 UNIT 864,184 0.04% $9.7M
PENN ENTERTAINMENT INC 707569109 PENN 613,914 0.04% $9.7M
A10 NETWORKS INC 002121101 ATEN 345,063 0.04% $9.7M
MARRIOTT VACATIONS WORLDWIDE CORP 57164Y107 VAC 133,797 0.04% $9.7M
CALUMET INC 131428104 CLMT 308,045 0.04% $9.7M
ALUMIS INC 022307102 ALMS 391,290 0.04% $9.6M
NETSTREIT CORP 64119V303 NTST 467,012 0.04% $9.6M
WOLFSPEED INC 97785W106 WOLF 137,081 0.04% $9.6M
NORTHWEST BANCSHARES INC 667340103 NWBI 704,701 0.04% $9.6M
COHEN & STEERS INC 19247A100 CNS 131,911 0.04% $9.6M
NEXTNAV INC 65345N106 NN 430,236 0.04% $9.5M
PEDIATRIX MEDICAL GROUP INC 58502B106 MD 406,321 0.04% $9.5M
INNOSPEC INC 45768S105 IOSP 119,185 0.04% $9.5M
GREIF INC CLASS A 397624107 GEF 145,728 0.04% $9.5M
HOWARD HUGHES HOLDINGS INC 44267T102 HHH 147,428 0.04% $9.5M
RH 74967X103 RH 74,355 0.04% $9.5M
OMNICELL INC 68213N109 OMCL 216,513 0.04% $9.5M
ALPHA METALLURGICAL RESOURCE INC 020764106 AMR 51,839 0.04% $9.4M
SUNSTONE HOTEL INVESTORS REIT INC 867892101 SHO 909,586 0.04% $9.4M
CRANE NXT 224441105 CXT 236,814 0.04% $9.4M
GREEN BRICK PARTNERS INC 392709101 GRBK 147,169 0.04% $9.4M
SAREPTA THERAPEUTICS INC 803607100 SRPT 503,651 0.04% $9.4M
QUAKER HOUGHTON CORP 747316107 KWR 65,901 0.04% $9.4M
BRAZE INC CLASS A 10576N102 BRZE 472,168 0.04% $9.4M
ARMOUR RESIDENTIAL REIT INC 042315705 ARR 539,816 0.04% $9.4M
DOUGLAS EMMETT REIT INC 25960P109 DEI 807,564 0.04% $9.4M
TALOS ENERGY INC 87484T108 TALO 606,629 0.04% $9.4M
DXP ENTERPRISES INC 233377407 DXPE 61,037 0.04% $9.3M
OFG BANCORP 67103X102 OFG 208,523 0.04% $9.3M
ENLIVEN THERAPEUTICS INC 29337E102 ELVN 214,710 0.04% $9.2M
EZCORP NON VOTING INC CLASS A 302301106 EZPW 281,298 0.04% $9.2M
STOCK YARDS BANCORP INC 861025104 SYBT 131,639 0.04% $9.2M
BIGBEAR.AI HOLDINGS INC 08975B109 BBAI 2,095,935 0.04% $9.2M
DIVERSIFIED HEALTHCARE TRUST 25525P107 DHC 1,052,140 0.04% $9.1M
ACADIAN ASSET MANAGEMENT INC 10948W103 AAMI 127,096 0.04% $9.1M
SPS COMMERCE INC 78463M107 SPSC 180,845 0.04% $9.0M
FIGS INC CLASS A 30260D103 FIGS 752,157 0.04% $9.0M
FIRST COMMONWEALTH FINANCIAL CORP 319829107 FCF 492,572 0.04% $9.0M
SKYWARD SPECIALTY INSURANCE GROUP 830940102 SKWD 198,401 0.04% $9.0M
SPECTRUM BRANDS HOLDINGS INC 84790A105 SPB 111,821 0.04% $9.0M
NATIONAL BANK HOLDINGS CORP CLASS 633707104 NBHC 216,674 0.04% $8.9M
NOVOCURE LTD G6674U108 NVCR 493,524 0.04% $8.9M
NUSCALE POWER CORP CLASS A 67079K100 SMR 738,300 0.04% $8.9M
LIVERAMP HOLDINGS INC 53815P108 RAMP 304,785 0.04% $8.9M
STRATEGIC EDUCATION INC 86272C103 STRA 112,017 0.04% $8.9M
NEOGEN CORP 640491106 NEOG 1,048,363 0.04% $8.8M
ENERPAC TOOL GROUP CORP CLASS A 292765104 EPAC 254,462 0.04% $8.8M
LENDINGCLUB CORP 52603A208 LC 555,376 0.04% $8.8M
PROGYNY INC 74340E103 PGNY 384,546 0.04% $8.8M
ENCORE CAPITAL GROUP INC 292554102 ECPG 107,576 0.04% $8.8M
ALBANY INTERNATIONAL CORP CLASS A 012348108 AIN 138,485 0.04% $8.8M
GRAIL INC 384747101 GRAL 141,991 0.04% $8.8M
HORACE MANN EDUCATORS CORP 440327104 HMN 195,443 0.04% $8.8M
LTC PROPERTIES REIT INC 502175102 LTC 228,764 0.04% $8.8M
SELECT MEDICAL HOLDINGS CORP 81619Q105 SEM 532,149 0.04% $8.8M
GLOBAL NET LEASE INC 379378201 GNL 947,912 0.04% $8.7M
WALKER & DUNLOP INC 93148P102 WD 163,582 0.04% $8.7M
CORVEL CORP 221006109 CRVL 150,657 0.04% $8.7M
GETTY REALTY REIT CORP 374297109 GTY 264,860 0.04% $8.7M
FLYWIRE CORP 302492103 FLYW 525,214 0.04% $8.6M
CTS CORP 126501105 CTS 140,047 0.04% $8.6M
SYNDAX PHARMACEUTICALS INC 87164F105 SNDX 417,627 0.04% $8.6M
LIFESTANCE HEALTH GROUP INC 53228F101 LFST 1,084,631 0.04% $8.6M
SEZZLE INC 78435P105 SEZL 82,646 0.04% $8.5M
MAGNITE INC 55955D100 MGNI 688,185 0.04% $8.5M
SONOS INC 83570H108 SONO 581,225 0.04% $8.5M
PATHWARD FINANCIAL INC 59100U108 CASH 105,110 0.04% $8.5M
ADIENT PLC G0084W101 ADNT 378,875 0.04% $8.5M
CITY HOLDING 177835105 CHCO 69,628 0.04% $8.5M
KEMPER CORP 488401100 KMPR 281,412 0.04% $8.5M
PURECYCLE TECHNOLOGIES INC 74623V103 PCT 682,231 0.04% $8.5M
NELNET INC CLASS A 64031N108 NNI 67,190 0.04% $8.4M
FRESHWORKS INC CLASS A 358054104 FRSH 999,671 0.04% $8.4M
TREVI THERAPEUTICS INC 89532M101 TRVI 556,219 0.04% $8.4M
FEDERAL AGRICULTURAL MORTGAGE NON 313148306 AGM 47,726 0.04% $8.4M
ALLEGIANT TRAVEL 01748X102 ALGT 104,196 0.04% $8.4M
WORTHINGTON ENTERPRISES INC 981811102 WOR 150,465 0.04% $8.4M
TURNING POINT BRANDS INC 90041L105 TPB 91,768 0.04% $8.4M
MIAMI INTERNATIONAL HOLDINGS INC 59356Q108 MIAX 147,254 0.04% $8.4M
CENTRAL GARDEN AND PET CLASS A 153527205 CENTA 245,889 0.04% $8.4M
UNIQURE NV N90064101 QURE 301,217 0.04% $8.4M
PACS GROUP INC 69380Q107 PACS 210,281 0.04% $8.3M
PROTO LABS INC 743713109 PRLB 114,714 0.04% $8.3M
INTELLIA THERAPEUTICS INC 45826J105 NTLA 635,704 0.04% $8.3M
MOBILEYE GLOBAL INC CLASS A 60741F104 MBLY 801,160 0.04% $8.3M
UFP TECHNOLOGIES INC 902673102 UFPT 37,170 0.04% $8.2M
SMARTSTOP SELF STORAGE REIT INC 83192D402 SMA 266,548 0.04% $8.2M