VANGUARD GROUP INC Q1 2016 Filing

Filed May 13, 2016

Portfolio Value

$1.5T

Holdings

4,140

Report Date

Q1 2016

Filing Type

13F-HR

All Holdings (4,140 positions)

StockValue
CMTCORE MOLDING TECHNOLOGIES IN
$3.5M
AVALANCHE BIOTECHNOLOGIES IN
$3.5M
GIGOPTIX INC
$3.5M
AXTIAXT INC
$3.5M
TXM1TRAVELZOO INC
$3.4M
XOMA CORP DEL
$3.4M
GLOBGLOBANT S A
$3.4M
INTEQINTELSAT S A
$3.4M
TWINTWIN DISC INC
$3.4M
IOUSDION GEOPHYSICAL CORP
$3.4M
FBIZFIRST BUS FINL SVCS INC WIS
$3.4M
ABENGOA YIELD PLC
$3.4M
NWPXNORTHWEST PIPE CO
$3.4M
PMDUSDPSYCHEMEDICS CORP
$3.4M
FIBROCELL SCIENCE INC
$3.4M
CRAFT BREW ALLIANCE INC
$3.4M
NOBILIS HEALTH CORP
$3.4M
DLAPQDELTA APPAREL INC
$3.4M
GOLDA MARK PRECIOUS METALS INC
$3.4M
RCKYROCKY BRANDS INC
$3.4M
BSQUARE CORP
$3.4M
UNITED DEV FDG IV
$3.3M
MBT FINL CORP
$3.3M
FLEX PHARMA INC
$3.3M
ASTA FDG INC
$3.3M
WILLBROS GROUP INC DEL
$3.3M
DYNAMIC MATLS CORP
$3.3M
FPIFARMLAND PARTNERS INC
$3.3M
AVG TECHNOLOGIES N V
$3.3M
ALCOALICO INC
$3.3M
PHARMATHENE INC
$3.3M
NCI INC
$3.3M
KTCCKEY TRONICS CORP
$3.3M
FUEL SYS SOLUTIONS INC
$3.3M
CFFIC & F FINL CORP
$3.3M
OFLXOMEGA FLEX INC
$3.3M
CHRISTOPHER & BANKS CORP
$3.3M
PJ4APARK CITY GROUP INC
$3.3M
COVISINT CORP
$3.3M
PCYOPURECYCLE CORP
$3.3M
EMERGENT CAP INC
$3.2M
ACCESS NATL CORP
$3.2M
SIENUSDSIENTRA INC
$3.2M
ASYSAMTECH SYS INC
$3.2M
ACRSACLARIS THERAPEUTICS INC
$3.2M
STRLSTERLING CONSTRUCTION CO INC
$3.2M
NERVGBPMINERVA NEUROSCIENCES INC
$3.2M
REALNETWORKS INC
$3.2M
AMSCAMERICAN SUPERCONDUCTOR CORP
$3.2M
ITICINVESTORS TITLE CO
$3.2M
DESTINATION MATERNITY CORP
$3.2M
CVGICOMMERCIAL VEH GROUP INC
$3.2M
AMRCAMERESCO INC
$3.1M
ACCURIDE CORP NEW
$3.1M
PAIN THERAPEUTICS INC
$3.1M
UNWIRED PLANET INC NEW
$3.1M
CDZICADIZ INC
$3.1M
FSBCFIVE STAR QUALITY CARE INC
$3.1M
GSTEURGASTAR EXPL INC NEW
$3.1M
AMBER RD INC
$3.1M
CHIASMA INC
$3.1M
AEUSDADAMS RES & ENERGY INC
$3.1M
INDEPENDENCE HLDG CO NEW
$3.1M
VDCCONSUMER STAPLES ETF
$3.0M
LUXOFT HLDG INC
$3.0M
ISTRINVESTAR HLDG CORP
$3.0M
AEROHIVE NETWORKS INC
$3.0M
NEW YORK & CO INC
$3.0M
PLPCPREFORMED LINE PRODS CO
$3.0M
DHTDHT HOLDINGS INC
$3.0M
XG TECHNOLOGY INC
$3.0M
NBYBNORTHWEST BIOTHERAPEUTICS IN
$3.0M
UNILIFE CORP NEW
$3.0M
APIGEE CORP
$3.0M
INTEGRATED ELECTRICAL SVC
$3.0M
VPUUTILITIES ETF
$3.0M
CTMXCYTOMX THERAPEUTICS INC
$3.0M
REFRRESEARCH FRONTIERS INC
$3.0M
CROWN MEDIA HLDGS INC
$3.0M
AMERICAN FARMLAND CO
$2.9M
HC2 HLDGS INC
$2.9M
DICERNA PHARMACEUTICALS INC
$2.9M
OHR PHARMACEUTICAL INC
$2.9M
CORMEDIX INC
$2.9M
LEE1EURLEE ENTERPRISES INC
$2.9M
CPSSCONSUMER PORTFOLIO SVCS INC
$2.9M
MODUSLINK GLOBAL SOLUTIONS I
$2.9M
VCITINTER-TERM CORP BOND ETF
$2.9M
NEONODE INC
$2.9M
KEMET CORP
$2.9M
RIGHTSIDE GROUP LTD
$2.9M
JUNIPER PHARMACEUTICALS INC
$2.9M
HF FINL CORP
$2.9M
AVINGER INC
$2.9M
MSLMIDSOUTH BANCORP INC
$2.9M
RGNXREGENXBIO INC
$2.8M
JOUTJOHNSON OUTDOORS INC
$2.8M
NEOS THERAPEUTICS INC
$2.8M
EGALET CORP
$2.8M
MVISMICROVISION INC DEL
$2.8M
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