Vanguard Consumer Staples Fund

as of:
Stock Holdings

100 Holdings
51-100 of 100 | <Prev  

Holding Shares Market Value
Avon Products Inc.1,415,632$9,272,390
Hain Celestial Group Inc.252,164$9,171,205
Snyder's-Lance Inc.240,480$8,553,874
Energizer Holdings Inc.180,742$8,406,310
Sprouts Farmers Market Inc.375,246$8,311,699
B&G Foods Inc.193,159$8,189,942
Flowers Foods Inc.464,956$7,216,117
Lancaster Colony Corp.55,210$7,213,187
Darling Ingredients Inc.515,192$7,006,611
Fresh Del Monte Produce Inc.111,854$6,750,389
United Natural Foods Inc.144,692$6,039,444
Sanderson Farms Inc.66,617$5,994,198
Vector Group Ltd.274,502$5,748,072
J&J Snack Foods Corp.46,463$5,675,455
PriceSmart Inc.59,303$5,393,608
Dean Foods Co.290,863$5,311,158
WD-40 Co.48,041$5,122,372
Pilgrim's Pride Corp.222,152$4,851,800
HRG Group Inc.317,542$4,775,832
SpartanNash Co.158,563$4,439,764
Boston Beer Co. Inc. Class A27,388$4,251,987
Central Garden & Pet Co. Class A181,273$4,230,912
Andersons Inc.110,033$4,186,756
Universal Corp./VA76,497$4,146,137
Weis Markets Inc.68,745$3,824,284
Calavo Growers Inc.63,774$3,772,232
Cal-Maine Foods Inc.96,206$3,718,362
Tootsie Roll Industries Inc.98,176$3,480,339
USANA Health Sciences Inc.25,923$3,331,106
Inter Parfums Inc.102,042$3,326,569
Central Garden & Pet Co.132,976$3,233,976
Revlon Inc. Class A93,246$3,170,364
Medifast Inc.77,060$3,164,084
SUPERVALU Inc.692,730$2,971,812
Coca-Cola Bottling Co. Consolidated19,986$2,824,022
Limoneira Co.139,049$2,737,875
Landec Corp.198,611$2,631,596
Farmer Brothers Co.79,584$2,602,397
Village Super Market Inc. Class A85,792$2,565,181
Seneca Foods Corp. Class A79,654$2,341,828
Ingles Markets Inc. Class A57,618$2,275,911
Freshpet Inc.245,720$2,088,620
Smart & Final Stores Inc.166,509$1,998,108
Chefs' Warehouse Inc.139,632$1,591,805
Natural Grocers by Vitamin Cottage Inc.110,669$1,314,748
Blue Buffalo Pet Products Inc.14,525$364,868
Amplify Snack Brands Inc.19,181$277,933
John B Sanfilippo & Son Inc.4,990$252,893
Performance Food Group Co.9,532$228,768
Natural Health Trends Corp.8,172$190,653
100 Holdings
51-100 of 100 | <Prev