Vanguard Consumer Staples Fund

as of:
Stock Holdings

100 Holdings
51-100 of 100 | <Prev  

Holding Shares Market Value
Nu Skin Enterprises Inc. Class A169,472$9,049,805
Sprouts Farmers Market Inc.368,600$8,525,718
Snyder's-Lance Inc.248,407$8,510,424
Flowers Foods Inc.460,439$8,467,473
Darling Ingredients Inc.510,103$8,049,425
United Natural Foods Inc.142,762$7,135,245
Lancaster Colony Corp.54,748$7,115,050
Fresh Del Monte Produce Inc.110,443$6,278,685
Avon Products Inc.1,431,225$5,825,086
Sanderson Farms Inc.65,981$5,779,276
Coty Inc. Class A214,332$5,759,101
Vector Group Ltd.259,304$5,728,025
J&J Snack Foods Corp.45,990$5,592,844
WD-40 Co.47,561$5,468,564
Dean Foods Co.288,109$5,318,492
Pilgrim's Pride Corp.220,016$5,115,372
Boston Beer Co. Inc. Class A27,257$4,984,760
SpartanNash Co.156,969$4,944,524
HRG Group Inc.314,250$4,679,183
PriceSmart Inc.58,650$4,567,662
Universal Corp./VA75,487$4,477,134
Calavo Growers Inc.63,433$4,172,623
Central Garden & Pet Co. Class A179,034$4,080,185
Cal-Maine Foods Inc.94,856$3,974,466
Tootsie Roll Industries Inc.97,532$3,621,363
Weis Markets Inc.68,315$3,529,836
USANA Health Sciences Inc.25,686$3,527,202
Central Garden & Pet Co.142,226$3,450,403
Revlon Inc. Class A93,890$3,332,156
SUPERVALU Inc.681,896$3,327,652
Inter Parfums Inc.101,407$3,299,784
Andersons Inc.88,707$3,280,385
Seneca Foods Corp. Class A79,865$3,128,312
Elizabeth Arden Inc.217,248$3,019,747
Coca-Cola Bottling Co. Consolidated20,037$2,853,469
Medifast Inc.76,458$2,692,851
Village Super Market Inc. Class A85,005$2,689,558
Limoneira Co.139,403$2,466,039
Farmer Brothers Co.79,782$2,446,914
Landec Corp.211,915$2,437,023
Chefs' Warehouse Inc.142,682$2,304,314
Smart & Final Stores Inc.164,724$2,271,544
Ingles Markets Inc. Class A58,462$2,270,079
Freshpet Inc.239,938$2,097,058
Natural Grocers by Vitamin Cottage Inc.108,555$1,486,118
Blue Buffalo Pet Products Inc.11,891$305,361
Amplify Snack Brands Inc.21,129$301,300
Performance Food Group Co.10,856$297,889
Natural Health Trends Corp.8,193$275,203
John B Sanfilippo & Son Inc.4,902$228,776
100 Holdings
51-100 of 100 | <Prev