Vanguard Consumer Staples Fund

as of:
Stock Holdings

103 Holdings
51-100 of 103 | <Prev  Next>

Holding Shares Market Value
Snyder's-Lance Inc.240,188$9,506,641
Flowers Foods Inc.464,553$8,947,291
Hain Celestial Group Inc.251,080$8,883,210
B&G Foods Inc.193,054$8,204,795
Nu Skin Enterprises Inc. Class A165,294$8,188,665
Lancaster Colony Corp.55,209$7,276,546
Sprouts Farmers Market Inc.373,749$6,899,407
Darling Ingredients Inc.515,083$6,701,230
Fresh Del Monte Produce Inc.111,354$6,444,056
Sanderson Farms Inc.66,617$6,331,280
Vector Group Ltd.274,499$6,253,087
J&J Snack Foods Corp.46,463$6,216,749
Avon Products Inc.1,410,653$6,206,873
United Natural Foods Inc.143,992$6,198,856
HRG Group Inc.317,547$5,836,514
SpartanNash Co.158,559$5,533,709
Central Garden & Pet Co. Class A172,664$5,516,615
Dean Foods Co.290,870$5,305,469
WD-40 Co.48,041$5,279,706
PriceSmart Inc.59,303$5,242,385
Universal Corp./VA76,397$5,172,077
Pilgrim's Pride Corp.222,152$4,527,458
Andersons Inc.110,043$4,352,201
Boston Beer Co. Inc. Class A27,388$4,345,106
Weis Markets Inc.68,745$4,124,700
Central Garden & Pet Co.118,876$4,012,065
Tootsie Roll Industries Inc.98,174$3,843,512
Cal-Maine Foods Inc.95,406$3,620,658
Calavo Growers Inc.63,784$3,597,418
Inter Parfums Inc.101,942$3,527,193
Medifast Inc.77,049$3,454,877
Coca-Cola Bottling Co. Consolidated19,992$3,440,023
Revlon Inc. Class A93,246$3,133,066
Seneca Foods Corp. Class A79,654$2,991,008
USANA Health Sciences Inc.51,267$2,976,049
Ingles Markets Inc. Class A57,627$2,699,825
SUPERVALU Inc.692,738$2,618,550
Farmer Brothers Co.79,594$2,600,734
Village Super Market Inc. Class A85,802$2,540,597
Landec Corp.198,621$2,502,625
Freshpet Inc.245,120$2,475,712
Smart & Final Stores Inc.166,508$2,322,787
Chefs' Warehouse Inc.139,323$1,950,522
Natural Grocers by Vitamin Cottage Inc.110,669$1,335,775
Performance Food Group Co.20,041$472,968
US Foods Holding Corp.15,951$439,450
Blue Buffalo Pet Products Inc.14,525$354,991
John B Sanfilippo & Son Inc.4,990$306,386
National Beverage Corp.4,062$237,261
Natural Health Trends Corp.8,172$227,100
103 Holdings
51-100 of 103 | <Prev  Next>