Vanguard Consumer Staples Fund

as of:
Stock Holdings

102 Holdings
51-100 of 102 | <Prev  Next>

Holding Shares Market Value
Darling Ingredients Inc.565,033$9,193,087
Energizer Holdings Inc.198,668$9,152,635
Flowers Foods Inc.511,757$9,001,806
B&G Foods Inc.212,146$7,690,293
Lancaster Colony Corp.60,737$7,447,571
US Foods Holding Corp.261,200$7,352,780
J&J Snack Foods Corp.51,194$6,726,892
Fresh Del Monte Produce Inc.122,383$6,299,053
United Natural Foods Inc.158,269$6,098,105
Vector Group Ltd.301,594$6,071,087
Pilgrim's Pride Corp.244,581$5,940,872
Central Garden & Pet Co. Class A189,935$5,842,401
HRG Group Inc.348,813$5,779,831
Rite Aid Corp.2,533,742$5,675,582
Avon Products Inc.1,554,289$5,657,612
WD-40 Co.52,966$5,648,824
PriceSmart Inc.64,788$5,458,389
Universal Corp./VA83,500$5,339,825
Coca-Cola Bottling Co. Consolidated21,974$5,275,738
Calavo Growers Inc.69,901$5,176,169
SpartanNash Co.174,689$4,845,873
Dean Foods Co.319,948$4,799,220
Boston Beer Co. Inc. Class A30,002$4,704,314
Freshpet Inc.268,074$4,570,662
Inter Parfums Inc.111,507$4,326,472
Central Garden & Pet Co.130,505$4,176,160
Andersons Inc.120,779$4,160,837
Tootsie Roll Industries Inc.111,272$4,139,318
Cal-Maine Foods Inc.105,052$4,007,734
Medifast Inc.84,379$3,602,140
Weis Markets Inc.75,628$3,577,961
Performance Food Group Co.118,985$3,426,768
USANA Health Sciences Inc.56,841$3,245,621
Blue Buffalo Pet Products Inc.139,718$3,125,492
Farmer Brothers Co.87,629$2,729,643
SUPERVALU Inc.760,997$2,724,369
Landec Corp.218,185$2,683,676
Seneca Foods Corp. Class A88,612$2,543,164
Village Super Market Inc. Class A94,954$2,348,212
Chefs' Warehouse Inc.152,338$2,208,901
Revlon Inc. Class A103,527$2,023,953
Ingles Markets Inc. Class A63,721$1,879,770
Smart & Final Stores Inc.184,565$1,587,259
Natural Grocers by Vitamin Cottage Inc.123,715$1,089,929
National Beverage Corp.5,181$529,084
John B Sanfilippo & Son Inc.6,122$393,767
MGP Ingredients Inc.5,622$331,473
Amplify Snack Brands Inc.24,470$255,956
Natural Health Trends Corp.9,556$235,364
Omega Protein Corp.12,311$196,976
102 Holdings
51-100 of 102 | <Prev  Next>