Vanguard Extended Market Index Fund
as of:
Stock Holdings

3138 Holdings
1-50 of 3138 |   Next>

Holding Shares Market Value
Tesla Inc.1,689,704$598,679,024
Las Vegas Sands Corp.4,620,279$358,164,028
ServiceNow Inc.2,195,453$326,837,088
Worldpay Inc. Class A3,772,949$303,005,534
Liberty Global plc8,354,559$298,759,030
FleetCor Technologies Inc.1,136,897$241,590,613
T-Mobile US Inc.3,696,868$240,666,107
Maxim Integrated Products Inc.3,580,269$218,396,409
Twitter Inc.8,242,075$212,727,956
Workday Inc. Class A1,705,481$204,470,117
Markel Corp.177,470$203,680,544
BioMarin Pharmaceutical Inc.2,247,732$202,812,858
TD Ameritrade Holding Corp.3,439,989$191,916,986
Celanese Corp. Class A1,718,594$185,883,127
Dell Technologies Inc. Class V2,582,133$185,138,936
Palo Alto Networks Inc.1,167,861$184,370,216
Take-Two Interactive Software Inc.1,450,961$183,793,230
First Republic Bank/CA1,995,057$178,657,354
Liberty Broadband Corp.1,854,368$177,184,862
Liberty Interactive Corp. QVC Group Class A6,048,346$169,898,039
Autoliv Inc.1,106,646$168,442,588
Nektar Therapeutics Class A2,011,371$168,170,729
Ally Financial Inc.5,594,330$166,543,204
Lear Corp.855,929$165,314,127
Arista Networks Inc.596,720$164,587,310
SVB Financial Group667,242$164,508,515
Splunk Inc.1,780,287$164,445,110
Square Inc.3,423,572$160,599,763
CoStar Group Inc.459,650$159,089,462
Teleflex Inc.572,722$159,073,536
MSCI Inc. Class A1,141,277$158,899,997
Diamondback Energy Inc.1,248,778$156,721,639
Annaly Capital Management Inc.14,592,221$153,802,009
Arch Capital Group Ltd.1,653,416$150,361,651
Spirit AeroSystems Holdings Inc. Class A1,464,933$149,950,542
Cheniere Energy Inc.2,571,947$145,469,322
CDW Corp./DE1,943,818$145,378,148
Bioverativ Inc.1,383,412$142,574,441
Aramark3,097,845$141,912,279
Broadridge Financial Solutions Inc.1,471,937$141,909,446
Trimble Inc.3,209,706$141,548,035
Bunge Ltd.1,781,719$141,521,940
NVR Inc.44,200$140,475,114
IAC/InterActiveCorp968,466$140,398,516
IDEX Corp.966,064$138,610,863
Cognex Corp.2,202,329$137,359,260
Steel Dynamics Inc.3,001,896$136,286,078
Alnylam Pharmaceuticals Inc.1,042,778$135,540,284
FNF Group3,446,574$134,347,455
ON Semiconductor Corp.5,369,613$132,844,226
3138 Holdings
1-50 of 3138 |   Next>