Vanguard Consumer Staples Fund

as of:
Stock Holdings

97 Holdings
51-97 of 97 | <Prev  

Holding Shares Market Value
Spectrum Brands Holdings Inc.65,306$7,418,762
Snyder's-Lance Inc.220,736$7,056,930
Energizer Holdings Inc.159,006$6,915,171
Darling Ingredients Inc.452,668$6,559,159
B&G Foods Inc.158,593$6,535,618
Nu Skin Enterprises Inc. Class A150,462$6,134,336
Avon Products Inc.1,266,005$5,962,884
Coty Inc. Class A191,014$5,806,826
Lancaster Colony Corp.48,502$5,650,483
Sanderson Farms Inc.58,661$5,381,560
Pilgrim's Pride Corp.195,484$5,260,474
Vector Group Ltd.231,077$4,991,263
United Natural Foods Inc.126,779$4,522,207
PriceSmart Inc.51,934$4,494,368
Dean Foods Co.255,862$4,408,502
WD-40 Co.42,322$4,329,541
Cal-Maine Foods Inc.84,520$4,290,235
Fresh Del Monte Produce Inc.97,836$4,232,385
J&J Snack Foods Corp.40,998$4,146,128
HRG Group Inc.278,753$4,014,043
SpartanNash Co.139,282$3,858,111
Boston Beer Co. Inc. Class A24,084$3,759,031
Universal Corp./VA67,195$3,665,487
Andersons Inc.96,524$3,234,519
Calavo Growers Inc.56,102$3,207,351
Tootsie Roll Industries Inc.86,624$3,087,279
SUPERVALU Inc.608,711$3,061,816
Revlon Inc. Class A81,807$2,980,229
Coca-Cola Bottling Co. Consolidated17,571$2,800,290
Weis Markets Inc.60,527$2,755,189
Inter Parfums Inc.89,349$2,735,866
USANA Health Sciences Inc.22,722$2,691,194
Central Garden & Pet Co. Class A159,494$2,598,157
Chefs' Warehouse Inc.122,496$2,360,498
Smart & Final Stores Inc.146,664$2,334,891
Seneca Foods Corp. Class A70,771$2,306,427
Limoneira Co.123,028$2,200,971
Medifast Inc.67,456$2,126,888
Farmer Brothers Co.69,919$2,112,253
Central Garden & Pet Co.126,876$2,064,273
Elizabeth Arden Inc.192,748$1,971,812
Landec Corp.174,366$1,961,618
Village Super Market Inc. Class A75,269$1,836,564
Ingles Markets Inc. Class A50,802$1,832,428
Freshpet Inc.216,434$1,792,074
Natural Grocers by Vitamin Cottage Inc.96,757$1,292,674
Natural Health Trends Corp.6,758$244,572
97 Holdings
51-97 of 97 | <Prev