Vanguard Consumer Staples Fund

as of:
Stock Holdings

100 Holdings
51-100 of 100 | <Prev  

Holding Shares Market Value
B&G Foods Inc.169,687$8,178,913
Sprouts Farmers Market Inc.352,159$8,064,441
Snyder's-Lance Inc.235,064$7,966,319
Nu Skin Enterprises Inc. Class A160,663$7,421,024
Darling Ingredients Inc.482,678$7,191,902
Lancaster Colony Corp.51,894$6,622,193
United Natural Foods Inc.135,531$6,342,851
Fresh Del Monte Produce Inc.104,735$5,700,726
Vector Group Ltd.245,920$5,513,526
Sanderson Farms Inc.62,486$5,413,787
Pilgrim's Pride Corp.209,500$5,338,060
WD-40 Co.45,301$5,320,602
Coty Inc. Class A203,261$5,282,753
J&J Snack Foods Corp.43,528$5,191,585
PriceSmart Inc.55,449$5,188,363
Avon Products Inc.1,346,706$5,090,549
Dean Foods Co.273,049$4,939,456
SpartanNash Co.149,550$4,573,239
Boston Beer Co. Inc. Class A25,630$4,383,499
Universal Corp./VA71,800$4,145,732
HRG Group Inc.299,212$4,108,181
Calavo Growers Inc.59,836$4,009,012
Cal-Maine Foods Inc.90,185$3,996,999
Central Garden & Pet Co. Class A170,431$3,700,057
Andersons Inc.103,288$3,670,856
Tootsie Roll Industries Inc.92,763$3,574,158
Weis Markets Inc.65,522$3,312,137
Central Garden & Pet Co.134,995$3,081,936
SUPERVALU Inc.647,915$3,058,159
Revlon Inc. Class A90,117$2,899,965
Elizabeth Arden Inc.205,877$2,832,868
Coca-Cola Bottling Co. Consolidated18,904$2,787,773
Seneca Foods Corp. Class A76,631$2,774,809
Inter Parfums Inc.96,291$2,751,034
USANA Health Sciences Inc.24,357$2,714,101
Farmer Brothers Co.76,548$2,454,129
Medifast Inc.72,471$2,411,110
Village Super Market Inc. Class A83,326$2,407,288
Smart & Final Stores Inc.158,009$2,352,754
Landec Corp.203,879$2,193,738
Chefs' Warehouse Inc.137,096$2,193,536
Freshpet Inc.230,040$2,146,273
Ingles Markets Inc. Class A56,157$2,094,656
Limoneira Co.89,091$1,569,783
Natural Grocers by Vitamin Cottage Inc.48,295$630,250
Amplify Snack Brands Inc.20,345$300,089
Performance Food Group Co.10,464$281,586
Blue Buffalo Pet Products Inc.11,450$267,243
Natural Health Trends Corp.7,850$221,292
John B Sanfilippo & Son Inc.4,706$200,617
100 Holdings
51-100 of 100 | <Prev