Vanguard Extended Market Index Fund
as of:
Stock Holdings

3235 Holdings
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Holding Shares Market Value
Tesla Inc.1,749,109$514,063,135
ServiceNow Inc.2,256,006$374,812,837
Las Vegas Sands Corp.4,752,434$348,495,985
Worldpay Inc. Class A3,876,121$314,818,548
Twitter Inc.8,454,350$256,251,349
Liberty Global plc8,409,433$244,714,500
FleetCor Technologies Inc.1,172,991$243,137,574
T-Mobile US Inc.3,918,040$237,080,600
Palo Alto Networks Inc.1,200,845$231,174,671
Workday Inc. Class A1,788,973$223,335,389
TD Ameritrade Holding Corp.3,573,787$207,601,287
Markel Corp.183,223$207,049,319
Maxim Integrated Products Inc.3,683,795$200,766,828
Celanese Corp. Class A1,772,638$192,632,571
BioMarin Pharmaceutical Inc.2,295,271$191,678,081
First Republic Bank/CA2,058,186$191,143,734
Splunk Inc.1,848,592$189,757,969
Dell Technologies Inc. Class V2,605,976$187,030,898
Square Inc.3,714,201$175,830,275
CoStar Group Inc.472,372$173,199,918
ABIOMED Inc.550,023$165,529,422
Diamondback Energy Inc.1,286,503$165,251,310
Lear Corp.876,572$163,892,667
Broadridge Financial Solutions Inc.1,527,873$163,803,264
Arista Networks Inc.618,470$163,616,239
IAC/InterActiveCorp997,303$161,702,708
Annaly Capital Management Inc.15,193,269$157,554,200
Teleflex Inc.588,125$157,546,925
Cheniere Energy Inc.2,640,783$153,587,939
Autoliv Inc.1,139,410$152,737,911
Ally Financial Inc.5,686,898$148,428,038
Arch Capital Group Ltd.1,791,870$143,582,543
CDW Corp./DE2,003,614$142,837,642
HollyFrontier Corp.2,315,784$140,544,931
NVR Inc.44,698$138,563,800
Steel Dynamics Inc.3,078,953$137,967,884
Domino's Pizza Inc.570,466$137,898,746
Qurate Retail Group Inc. QVC Group Class A5,870,942$137,438,752
Copart Inc.2,638,549$134,777,083
IDEX Corp.1,002,960$134,055,634
Liberty Broadband Corp.1,885,884$133,690,317
Bunge Ltd.1,842,590$133,090,276
Targa Resources Corp.2,822,576$132,576,395
FNF Group3,566,707$131,361,819
Keysight Technologies Inc.2,487,779$128,568,419
TransUnion1,957,475$127,059,702
SS&C Technologies Holdings Inc.2,554,071$126,809,625
XPO Logistics Inc.1,304,906$126,784,667
Atmos Energy Corp.1,447,819$125,800,993
Reinsurance Group of America Inc. Class A840,269$125,536,189
3235 Holdings
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