Vanguard Small-Cap Index Fund
as of:
Stock Holdings

1414 Holdings
1-50 of 1414 |   Next>

Holding Shares Market Value
Seaboard Corp.6,198$20,516,062
GCI Liberty Inc ESCROW DUMMY12,245$0
Loar Holdings Inc.13,084$684,555
Associated Capital Group Inc. Class A33,619$1,092,281
Greif Inc. Class B40,344$2,520,693
Rubrik Inc. Class A52,339$1,675,895
National Western Life Group Inc. Class A52,438$25,632,743
Alexander's Inc.58,457$12,367,163
White Mountains Insurance Group Ltd.61,917$110,097,094
Dillard's Inc. Class A77,826$34,087,010
World Acceptance Corp.85,029$11,697,440
Graham Holdings Co. Class B86,713$60,817,897
Cavco Industries Inc.100,863$36,735,313
Cable One Inc.114,312$45,021,781
Rush Enterprises Inc. Class B120,767$4,940,578
Credit Acceptance Corp.125,168$64,301,305
Coca-Cola Consolidated Inc.127,800$105,562,800
National Presto Industries Inc.135,167$11,082,342
Medifast Inc.138,590$3,815,383
Forrester Research Inc.146,893$2,671,984
Kadant Inc.149,255$40,864,526
Ibotta Inc. Class A173,170$17,710,096
Virtus Investment Partners Inc.173,636$38,081,848
SecureWorks Corp. Class A179,899$1,095,585
Boston Beer Co. Inc. Class A180,264$50,187,300
NewMarket Corp.183,015$96,434,264
ViacomCBS Inc. Class A191,726$3,966,811
CSW Industrials Inc.198,039$47,058,027
American Woodmark Corp.203,810$18,766,825
Central Garden & Pet Co. Class A210,957$8,638,689
AMERCO211,726$13,387,435
Liberty Broadband Corp. Class A211,983$10,626,708
AnaptysBio Inc.219,737$5,348,399
Texas Pacific Land Corp.234,257$135,002,309
CorVel Corp.239,734$57,260,466
Hyster-Yale Materials Handling Inc.244,248$14,305,605
Alpha Metallurgical Resources Inc.270,429$88,462,734
First Citizens BancShares Inc./NC Class A275,153$464,117,074
Lindsay Corp.280,586$32,590,064
Triumph Bancorp Inc.281,793$19,826,955
CONSOL Energy Inc.282,339$23,366,376
USANA Health Sciences Inc.291,971$12,122,636
Tompkins Financial Corp.293,166$12,893,441
J&J Snack Foods Corp.295,787$40,608,597
Palomar Holdings Inc. Class A299,285$23,544,751
Standex International Corp.302,759$52,340,976
Saul Centers Inc.304,639$11,091,906
Nelnet Inc. Class A305,245$28,747,974
Enstar Group Ltd.309,450$89,854,997
Universal Health Realty Income Trust316,441$11,401,369
1414 Holdings
1-50 of 1414 |   Next>

© 1995–2024  The Vanguard Group, Inc. All rights reserved. Vanguard Marketing Corporation, Distributor of the Vanguard Funds. Your use of this site signifies that you accept our terms & conditions of use.  |  Manage cookies
Security  |  Prospectuses