Vanguard Consumer Staples Fund

as of:
Stock Holdings

103 Holdings
51-100 of 103 | <Prev  Next>

Holding Shares Market Value
Spectrum Brands Holdings Inc.72,775$8,902,566
B&G Foods Inc.190,033$8,323,445
Herbalife Ltd.170,459$8,205,896
Energizer Holdings Inc.177,921$7,937,056
Nu Skin Enterprises Inc. Class A162,810$7,779,062
Lancaster Colony Corp.54,346$7,683,981
Avon Products Inc.1,388,496$6,998,020
Sprouts Farmers Market Inc.367,882$6,960,327
United Natural Foods Inc.141,731$6,763,403
Fresh Del Monte Produce Inc.109,606$6,645,412
Darling Ingredients Inc.507,018$6,545,602
Dean Foods Co.286,310$6,235,832
Sanderson Farms Inc.65,572$6,179,505
SpartanNash Co.156,070$6,171,008
Vector Group Ltd.270,197$6,144,280
J&J Snack Foods Corp.45,741$6,103,222
WD-40 Co.47,281$5,527,149
Central Garden & Pet Co. Class A178,333$5,510,490
PriceSmart Inc.58,372$4,874,062
HRG Group Inc.312,569$4,863,574
Andersons Inc.108,314$4,841,636
Universal Corp./VA75,300$4,800,375
Boston Beer Co. Inc. Class A26,951$4,577,627
Weis Markets Inc.67,662$4,522,528
Central Garden & Pet Co.130,896$4,331,349
Pilgrim's Pride Corp.218,666$4,152,467
Cal-Maine Foods Inc.93,905$4,148,253
Calavo Growers Inc.62,777$3,854,508
Tootsie Roll Industries Inc.96,635$3,841,241
Coca-Cola Bottling Co. Consolidated19,673$3,518,516
Inter Parfums Inc.100,346$3,286,332
SUPERVALU Inc.681,875$3,184,356
Medifast Inc.75,852$3,157,719
Seneca Foods Corp. Class A78,400$3,139,920
USANA Health Sciences Inc.50,444$3,087,173
Farmer Brothers Co.78,340$2,875,078
Ingles Markets Inc. Class A56,716$2,728,040
Landec Corp.195,505$2,697,969
Revlon Inc. Class A91,783$2,675,474
Village Super Market Inc. Class A84,453$2,609,598
Freshpet Inc.241,592$2,452,159
Smart & Final Stores Inc.163,897$2,310,948
Chefs' Warehouse Inc.137,157$2,167,081
Natural Grocers by Vitamin Cottage Inc.108,940$1,295,297
John B Sanfilippo & Son Inc.4,914$345,896
Blue Buffalo Pet Products Inc.14,297$343,700
Performance Food Group Co.12,646$303,504
US Foods Holding Corp.8,686$238,691
Omega Protein Corp.8,709$218,160
MGP Ingredients Inc.4,214$210,616
103 Holdings
51-100 of 103 | <Prev  Next>