Vanguard Consumer Staples Fund

as of:
Stock Holdings

101 Holdings
51-100 of 101 | <Prev  Next>

Holding Shares Market Value
Energizer Holdings Inc.164,614$7,791,181
Sprouts Farmers Market Inc.293,024$7,255,274
Snyder's-Lance Inc.229,062$7,080,306
B&G Foods Inc.164,601$7,076,197
Lancaster Colony Corp.50,347$6,103,567
Darling Ingredients Inc.391,611$6,011,229
Sanderson Farms Inc.60,916$5,464,774
Fresh Del Monte Produce Inc.101,647$5,323,253
Coty Inc. Class A198,352$5,224,592
Vector Group Ltd.238,492$5,120,423
Pilgrim's Pride Corp.203,027$5,049,281
Nu Skin Enterprises Inc. Class A126,185$4,977,998
WD-40 Co.43,841$4,882,572
Dean Foods Co.266,281$4,867,617
PriceSmart Inc.53,963$4,780,582
J&J Snack Foods Corp.42,396$4,472,778
SpartanNash Co.145,512$4,323,162
Avon Products Inc.1,021,329$3,983,183
Cal-Maine Foods Inc.87,579$3,897,266
HRG Group Inc.291,034$3,821,276
Universal Corp./VA69,718$3,813,575
United Natural Foods Inc.98,765$3,679,984
Andersons Inc.100,214$3,585,657
Calavo Growers Inc.58,494$3,311,345
Tootsie Roll Industries Inc.90,825$3,250,627
Weis Markets Inc.64,724$3,247,203
Central Garden & Pet Co. Class A166,735$3,039,579
USANA Health Sciences Inc.23,463$2,830,811
Revlon Inc. Class A89,039$2,776,236
Inter Parfums Inc.94,015$2,748,999
Boston Beer Co. Inc. Class A17,308$2,689,663
Smart & Final Stores Inc.156,081$2,477,005
Central Garden & Pet Co.131,629$2,458,830
Landec Corp.205,583$2,380,651
Seneca Foods Corp. Class A75,707$2,363,573
Medifast Inc.70,579$2,252,176
Village Super Market Inc. Class A82,329$2,231,116
Ingles Markets Inc. Class A57,789$2,154,374
Farmer Brothers Co.75,624$2,136,378
Chefs' Warehouse Inc.135,490$2,056,738
SUPERVALU Inc.385,300$1,783,939
Coca-Cola Bottling Co. Consolidated14,163$1,749,131
Elizabeth Arden Inc.149,233$1,369,959
Limoneira Co.81,157$1,335,033
Freshpet Inc.96,064$889,553
John B Sanfilippo & Son Inc.9,050$428,246
Amplify Snack Brands Inc.17,821$232,564
Blue Buffalo Pet Products Inc.8,848$228,632
Performance Food Group Co.9,052$224,761
Natural Grocers by Vitamin Cottage Inc.15,193$201,307
101 Holdings
51-100 of 101 | <Prev  Next>