Vanguard Consumer Staples Fund

as of:
Stock Holdings

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

Holding Shares Market Value
Spectrum Brands Holdings Inc.80,713$9,272,309
Energizer Holdings Inc.196,485$9,024,556
Pilgrim's Pride Corp.242,469$8,891,338
B&G Foods Inc.210,256$8,136,907
Lancaster Colony Corp.60,089$8,008,662
J&J Snack Foods Corp.50,554$7,639,215
United Natural Foods Inc.156,930$7,535,779
Central Garden & Pet Co. Class A188,070$7,253,860
Vector Group Ltd.314,373$7,070,249
TreeHouse Foods Inc.151,592$6,976,264
WD-40 Co.52,357$6,251,426
HRG Group Inc.346,113$6,005,061
Fresh Del Monte Produce Inc.121,371$5,910,768
Medifast Inc.83,709$5,736,578
PriceSmart Inc.64,435$5,509,193
Boston Beer Co. Inc. Class A29,778$5,355,573
Calavo Growers Inc.69,446$5,305,674
Cal-Maine Foods Inc.104,269$5,187,383
Central Garden & Pet Co.129,419$5,128,875
Rite Aid Corp.2,516,793$5,058,754
Freshpet Inc.266,243$5,058,617
Inter Parfums Inc.110,814$4,909,060
Coca-Cola Bottling Co. Consolidated21,817$4,706,145
Universal Corp./VA83,134$4,435,199
SpartanNash Co.172,936$4,383,928
Blue Buffalo Pet Products Inc.138,094$4,240,867
Tootsie Roll Industries Inc.110,469$4,131,543
USANA Health Sciences Inc.56,082$4,021,079
Andersons Inc.119,770$3,868,571
Dean Foods Co.316,973$3,537,419
Performance Food Group Co.117,509$3,484,142
Weis Markets Inc.75,054$3,089,973
Chefs' Warehouse Inc.150,999$3,057,730
Avon Products Inc.1,539,743$3,048,691
Seneca Foods Corp. Class A87,909$3,019,674
Farmer Brothers Co.86,705$2,965,311
Landec Corp.216,211$2,702,638
Village Super Market Inc. Class A93,180$2,390,067
Revlon Inc. Class A101,728$2,227,843
SUPERVALU Inc.107,852$1,971,535
Ingles Markets Inc. Class A62,671$1,739,120
Smart & Final Stores Inc.136,780$1,251,537
Natural Grocers by Vitamin Cottage Inc.90,964$714,977
National Beverage Corp.5,577$608,562
MGP Ingredients Inc.6,111$454,353
John B Sanfilippo & Son Inc.6,118$369,650
Omega Protein Corp.12,302$270,029
Hostess Brands Inc. Class A14,347$201,719
elf Beauty Inc.8,448$187,208
Natural Health Trends Corp.9,549$171,405
102 Holdings
51-100 of 102 | <Prev  Next>