Vanguard Consumer Staples Fund

as of:
Stock Holdings

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

Holding Shares Market Value
B&G Foods Inc.193,690$9,196,401
Energizer Holdings Inc.181,142$8,952,038
Snyder's-Lance Inc.240,170$8,487,608
Sprouts Farmers Market Inc.374,481$8,437,057
Avon Products Inc.1,415,038$8,065,717
Lancaster Colony Corp.55,462$7,461,303
Darling Ingredients Inc.516,031$7,265,716
Flowers Foods Inc.465,590$6,941,947
United Natural Foods Inc.144,533$6,590,705
Fresh Del Monte Produce Inc.111,771$6,501,719
Sanderson Farms Inc.66,876$6,435,477
Vector Group Ltd.262,648$5,859,677
WD-40 Co.48,221$5,706,955
J&J Snack Foods Corp.46,632$5,689,104
Coty Inc. Class A201,443$5,428,889
HRG Group Inc.318,711$5,153,557
Pilgrim's Pride Corp.222,972$5,146,194
SpartanNash Co.159,148$5,095,919
Dean Foods Co.291,868$5,023,048
Boston Beer Co. Inc. Class A27,464$5,016,300
PriceSmart Inc.59,491$4,969,283
Universal Corp./VA76,654$4,612,271
Cal-Maine Foods Inc.96,267$4,422,506
Central Garden & Pet Co. Class A181,784$4,408,262
Andersons Inc.110,226$4,072,851
SUPERVALU Inc.693,244$3,798,977
Tootsie Roll Industries Inc.99,161$3,777,042
Calavo Growers Inc.63,910$3,767,495
USANA Health Sciences Inc.25,875$3,538,148
Weis Markets Inc.68,828$3,506,098
Inter Parfums Inc.102,163$3,490,910
Central Garden & Pet Co.132,997$3,415,363
Revlon Inc. Class A93,283$3,375,912
Elizabeth Arden Inc.221,086$3,086,361
Coca-Cola Bottling Co. Consolidated20,190$3,034,557
Medifast Inc.77,029$2,832,356
Village Super Market Inc. Class A85,644$2,739,752
Farmer Brothers Co.80,376$2,573,640
Freshpet Inc.244,556$2,570,284
Landec Corp.198,191$2,568,555
Seneca Foods Corp. Class A80,459$2,373,541
Limoneira Co.140,441$2,332,725
Ingles Markets Inc. Class A58,194$2,201,479
Smart & Final Stores Inc.168,166$2,149,161
Chefs' Warehouse Inc.138,412$1,525,300
Natural Grocers by Vitamin Cottage Inc.111,774$1,380,409
Amplify Snack Brands Inc.21,273$360,152
Blue Buffalo Pet Products Inc.11,972$308,638
John B Sanfilippo & Son Inc.5,638$289,906
Performance Food Group Co.10,928$280,850
101 Holdings
51-100 of 101 | <Prev  Next>