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Vanguard Consumer Staples Fund

as of:
Stock Holdings

98 Holdings
51-98 of 98 | <Prev  

Holding Shares Market Value
TreeHouse Foods Inc.77,043$6,437,713
Casey's General Stores Inc.71,477$6,272,107
Nu Skin Enterprises Inc. Class A111,977$6,066,914
Post Holdings Inc.113,570$5,619,444
Darling Ingredients Inc.306,905$5,346,285
Boston Beer Co. Inc. Class A18,439$4,934,276
Pilgrim's Pride Corp.172,028$4,718,728
Spectrum Brands Holdings Inc.49,687$4,654,678
SUPERVALU Inc.465,475$4,598,893
Herbalife Ltd.147,567$4,576,053
SpartanNash Co.155,193$4,120,374
Vector Group Ltd.171,753$3,958,907
Coty Inc. Class A173,794$3,927,744
Sanderson Farms Inc.45,020$3,836,154
Lancaster Colony Corp.40,916$3,739,722
Fresh Del Monte Produce Inc.100,386$3,534,591
Pantry Inc.95,977$3,522,356
B&G Foods Inc.120,393$3,449,259
Snyder's-Lance Inc.111,405$3,436,844
J&J Snack Foods Corp.33,833$3,423,561
Fresh Market Inc.89,699$3,413,944
Dean Foods Co.207,378$3,342,933
PriceSmart Inc.41,377$3,286,989
Harbinger Group Inc.255,276$3,145,000
WD-40 Co.38,221$3,103,545
Cal-Maine Foods Inc.82,190$3,092,810
Universal Corp./VA64,190$3,075,343
Andersons Inc.64,681$2,863,428
Ingles Markets Inc. Class A57,799$2,499,229
USANA Health Sciences Inc.24,694$2,469,647
Tootsie Roll Industries Inc.70,004$2,308,732
Natural Grocers by Vitamin Cottage Inc.73,297$2,158,597
Coca-Cola Bottling Co. Consolidated20,412$2,130,809
Boulder Brands Inc.203,703$2,100,178
Chefs' Warehouse Inc.103,041$2,087,611
Weis Markets Inc.43,592$2,056,235
Diamond Foods Inc.75,753$2,041,543
Calavo Growers Inc.48,454$2,032,645
Inter Parfums Inc.69,739$1,982,680
Revlon Inc. Class A56,821$1,918,277
Medifast Inc.57,568$1,821,452
Central Garden and Pet Co. Class A186,982$1,809,986
Elizabeth Arden Inc.98,187$1,644,632
Central Garden and Pet Co.166,993$1,512,957
Village Super Market Inc. Class A54,644$1,509,814
Seneca Foods Corp. Class A53,745$1,453,265
Limoneira Co.61,448$1,284,263
Landec Corp.11,301$157,762
98 Holdings
51-98 of 98 | <Prev