Vanguard Small-Cap Value Fund

as of:
Stock Holdings

875 Holdings
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Holding Shares Market Value
CDW Corp./DE2,295,130$159,488,584
Spirit AeroSystems Holdings Inc. Class A1,733,792$151,273,352
IDEX Corp.1,145,206$151,132,836
Leidos Holdings Inc.2,268,191$146,457,093
Steel Dynamics Inc.3,376,560$145,631,033
Atmos Energy Corp.1,669,076$143,356,938
Chemours Co.2,777,261$139,029,686
WellCare Health Plans Inc.667,680$134,277,125
ON Semiconductor Corp.6,360,870$133,196,618
East West Bancorp Inc.2,168,082$131,884,428
NRG Energy Inc.4,510,994$128,473,109
Teradyne Inc.2,941,557$123,162,992
UGI Corp.2,604,069$122,261,040
PerkinElmer Inc.1,651,101$120,728,505
American Financial Group Inc./OH1,056,723$114,696,714
Orbital ATK Inc.864,653$113,701,870
Allegion plc1,424,976$113,371,091
Thor Industries Inc.750,797$113,160,124
Westar Energy Inc. Class A2,130,611$112,496,261
WP Carey Inc.1,602,116$110,385,792
CommScope Holding Co. Inc.2,860,674$108,219,297
JetBlue Airways Corp.4,811,030$107,478,410
Pinnacle Foods Inc.1,784,873$106,146,397
Carlisle Cos. Inc.929,064$105,588,124
RPM International Inc.2,001,147$104,900,126
Aqua America Inc.2,664,946$104,545,832
Great Plains Energy Inc.3,234,075$104,266,578
Janus Henderson Group plc2,704,630$103,479,144
Apartment Investment & Management Co.2,355,239$102,947,497
US Foods Holding Corp.3,218,313$102,760,734
Oshkosh Corp.1,127,426$102,471,749
KAR Auction Services Inc.2,027,387$102,403,317
Huntsman Corp.3,054,383$101,680,410
Service Corp. International/US2,670,358$99,657,761
National Retail Properties Inc.2,281,118$98,384,619
Sage Therapeutics Inc.592,403$97,574,698
Donaldson Co. Inc.1,947,332$95,321,901
Liberty Property Trust2,210,693$95,081,906
Eaton Vance Corp.1,683,243$94,918,073
Leggett & Platt Inc.1,977,075$94,365,790
First American Financial Corp.1,660,726$93,067,085
United States Steel Corp.2,624,944$92,371,779
Brown & Brown Inc.1,775,913$91,388,483
Microsemi Corp.1,763,521$91,085,860
United Therapeutics Corp.615,272$91,029,492
Quanta Services Inc.2,321,052$90,776,344
Olin Corp.2,495,377$88,785,514
AECOM2,364,185$87,829,473
First Horizon National Corp.4,367,926$87,314,841
Foot Locker Inc.1,860,075$87,200,316
875 Holdings
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