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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.74,735$6,072,966
Herbalife Ltd.143,058$5,939,768
United Natural Foods Inc.87,058$5,872,933
Casey's General Stores Inc.69,387$5,702,224
Post Holdings Inc.109,719$5,150,210
SpartanNash Co.151,145$4,560,045
Boston Beer Co. Inc. Class A17,929$4,442,806
Spectrum Brands Holdings Inc.48,489$4,433,349
Pilgrim's Pride Corp.166,309$4,107,832
Darling Ingredients Inc.296,791$4,054,165
Coty Inc. Class A168,043$4,017,908
SUPERVALU Inc.452,183$3,974,689
B&G Foods Inc.125,700$3,821,280
Vector Group Ltd.166,271$3,682,903
Cal-Maine Foods Inc.80,460$3,597,367
Fresh Del Monte Produce Inc.97,153$3,587,860
Lancaster Colony Corp.39,707$3,560,130
J&J Snack Foods Corp.32,764$3,418,268
Sanderson Farms Inc.43,607$3,275,758
Dean Foods Co.200,749$3,262,171
PriceSmart Inc.40,112$3,227,412
Snyder's-Lance Inc.108,047$3,190,628
HRG Group Inc.249,809$3,130,107
Fresh Market Inc.87,673$3,080,829
WD-40 Co.37,123$3,005,478
Universal Corp./VA62,296$2,929,781
USANA Health Sciences Inc.23,995$2,729,191
Andersons Inc.62,091$2,650,665
Calavo Growers Inc.46,530$2,356,745
Ingles Markets Inc. Class A56,168$2,351,192
Coca-Cola Bottling Co. Consolidated19,898$2,248,474
Tootsie Roll Industries Inc.70,181$2,174,207
Revlon Inc. Class A55,427$2,167,750
Diamond Foods Inc.76,182$2,136,143
Inter Parfums Inc.67,927$2,050,037
Weis Markets Inc.42,416$1,881,150
Natural Grocers by Vitamin Cottage Inc.71,437$1,880,222
Boulder Brands Inc.195,574$1,865,776
Chefs' Warehouse Inc.98,893$1,800,842
Central Garden & Pet Co. Class A182,553$1,789,019
Village Super Market Inc. Class A53,378$1,704,360
Medifast Inc.55,274$1,658,220
Central Garden & Pet Co.163,264$1,511,008
Seneca Foods Corp. Class A51,616$1,487,573
Limoneira Co.58,969$1,352,749
Elizabeth Arden Inc.96,047$1,351,381
Landec Corp.10,857$154,278
97 Holdings
51-97 of 97 | <Prev