Vanguard Consumer Staples Fund

as of:
Stock Holdings

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

Holding Shares Market Value
Snyder's-Lance Inc.240,794$9,706,406
Hain Celestial Group Inc.252,674$9,399,473
Nu Skin Enterprises Inc. Class A165,862$9,211,975
Flowers Foods Inc.465,765$9,040,499
Sprouts Farmers Market Inc.375,146$8,673,376
B&G Foods Inc.193,699$7,796,385
Darling Ingredients Inc.516,861$7,504,822
Lancaster Colony Corp.55,465$7,146,111
Sanderson Farms Inc.66,962$6,953,334
Fresh Del Monte Produce Inc.111,862$6,625,586
J&J Snack Foods Corp.46,725$6,334,041
United Natural Foods Inc.144,573$6,249,891
Avon Products Inc.1,416,601$6,233,044
HRG Group Inc.318,989$6,162,867
Central Garden & Pet Co. Class A173,423$6,021,247
Dean Foods Co.292,334$5,747,286
Vector Group Ltd.275,778$5,736,182
SpartanNash Co.159,428$5,578,386
PriceSmart Inc.59,254$5,463,219
Universal Corp./VA76,334$5,400,631
WD-40 Co.48,301$5,262,394
Pilgrim's Pride Corp.223,470$5,029,192
Central Garden & Pet Co.118,778$4,403,100
Andersons Inc.109,952$4,167,181
Coca-Cola Bottling Co. Consolidated20,177$4,156,866
Weis Markets Inc.69,288$4,133,029
Boston Beer Co. Inc. Class A27,665$4,001,742
Calavo Growers Inc.63,731$3,862,099
Tootsie Roll Industries Inc.101,859$3,804,434
Inter Parfums Inc.101,858$3,722,910
Cal-Maine Foods Inc.96,127$3,537,474
Medifast Inc.76,987$3,415,913
USANA Health Sciences Inc.51,826$2,985,178
Seneca Foods Corp. Class A80,488$2,905,617
Farmer Brothers Co.79,528$2,811,315
Freshpet Inc.244,920$2,694,120
SUPERVALU Inc.692,174$2,671,792
Revlon Inc. Class A93,169$2,594,757
Ingles Markets Inc. Class A57,581$2,484,620
Landec Corp.198,457$2,381,484
Village Super Market Inc. Class A85,725$2,271,713
Smart & Final Stores Inc.166,372$2,013,101
Chefs' Warehouse Inc.139,210$1,935,019
Natural Grocers by Vitamin Cottage Inc.110,578$1,148,905
Performance Food Group Co.20,026$476,619
US Foods Holding Corp.15,938$445,945
John B Sanfilippo & Son Inc.4,986$364,925
National Beverage Corp.4,059$343,107
Blue Buffalo Pet Products Inc.14,513$333,799
MGP Ingredients Inc.5,286$286,660
103 Holdings
51-100 of 103 | <Prev  Next>