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Vanguard Consumer Staples Fund

as of:
Stock Holdings

97 Holdings
51-97 of 97 | <Prev  

Holding Shares Market Value
TreeHouse Foods Inc.73,411$6,241,403
Casey's General Stores Inc.68,129$6,138,423
Herbalife Ltd.140,587$6,011,500
Avon Products Inc.734,920$5,872,011
SUPERVALU Inc.443,995$5,163,662
Post Holdings Inc.108,366$5,075,863
Boston Beer Co. Inc. Class A17,589$4,703,299
SpartanNash Co.148,281$4,679,748
Spectrum Brands Holdings Inc.47,495$4,253,652
Darling Ingredients Inc.293,117$4,106,569
Coty Inc. Class A164,770$3,998,968
Fresh Del Monte Produce Inc.95,954$3,733,570
Lancaster Colony Corp.39,212$3,731,806
Pilgrim's Pride Corp.164,252$3,710,453
Vector Group Ltd.162,825$3,577,265
Fresh Market Inc.85,795$3,486,709
J&J Snack Foods Corp.32,057$3,420,482
Snyder's-Lance Inc.106,705$3,410,292
Sanderson Farms Inc.42,668$3,398,506
PriceSmart Inc.39,617$3,366,653
B&G Foods Inc.114,159$3,359,699
Dean Foods Co.196,574$3,249,368
WD-40 Co.36,261$3,210,549
Cal-Maine Foods Inc.78,670$3,072,850
HRG Group Inc.244,440$3,050,611
Universal Corp./VA60,826$2,868,554
Ingles Markets Inc. Class A55,475$2,744,903
USANA Health Sciences Inc.23,698$2,633,322
Andersons Inc.61,321$2,536,850
Diamond Foods Inc.75,269$2,451,511
Calavo Growers Inc.45,958$2,363,160
Tootsie Roll Industries Inc.69,312$2,351,063
Revlon Inc. Class A54,745$2,255,494
Coca-Cola Bottling Co. Consolidated19,656$2,222,307
Chefs' Warehouse Inc.97,661$2,190,536
Inter Parfums Inc.67,091$2,188,508
Weis Markets Inc.41,888$2,084,347
Natural Grocers by Vitamin Cottage Inc.70,557$1,948,079
Central Garden & Pet Co. Class A180,298$1,914,765
Boulder Brands Inc.193,143$1,840,653
Medifast Inc.54,592$1,636,122
Village Super Market Inc. Class A51,818$1,629,158
Central Garden & Pet Co.158,257$1,561,997
Seneca Foods Corp. Class A50,967$1,519,326
Elizabeth Arden Inc.94,859$1,479,800
Limoneira Co.58,232$1,269,458
Landec Corp.10,725$149,614
97 Holdings
51-97 of 97 | <Prev