VANGUARD GROUP INC Q1 2017 Filing

Filed May 12, 2017

Portfolio Value

$1.9T

Holdings

4,069

Report Date

Q1 2017

Filing Type

13F-HR

All Holdings (4,069 positions)

StockValue
EDUCEDUCATIONAL DEV CORP
$718K
PVACUSDPENN VA CORP NEW
$717K
BDQMALBIREO PHARMA INC
$717K
GUARANTY FED BANCSHARES INC
$714K
ECOLOGY & ENVIRONMENT INC
$712K
CAPSTONE TURBINE CORP
$709K
FEMALE HEALTH CO
$705K
AVIRAGEN THERAPEUTICS INC
$703K
ASTCASTROTECH CORP
$695K
KOFCOCA COLA FEMSA S A B DE C V
$687K
EROS INTL PLC
$684K
SILCSILICOM LTD
$684K
TGLSTECNOGLASS INC
$675K
TRACON PHARMACEUTICALS INC
$674K
HTG MOLECULAR DIAGNOSTICS IN
$674K
NAM TAI PPTY INC
$673K
MGC DIAGNOSTICS CORP
$672K
QUMUEURQUMU CORP
$670K
OHR PHARMACEUTICAL INC
$670K
XPLORE TECHNOLOGIES CORP
$668K
TONIX PHARMACEUTICALS HLDG C
$668K
DOVER DOWNS GAMING & ENTMT I
$667K
WIRELESS TELECOM GROUP INC
$665K
MARRONE BIO INNOVATIONS INC
$665K
ENSYNC INC
$660K
TENAX THERAPEUTICS INC
$658K
XINUSDXINYUAN REAL ESTATE CO LTD
$650K
THESTREET INC
$648K
ADCARE HEALTH SYSTEMS INC
$647K
AIRTAIR T INC
$643K
BIOAMBER INC
$641K
RAVERAVE RESTAURANT GROUP INC
$635K
VFHFINANCIALS ETF
$635K
MGKMEGA CAP 300 GROWTH ETF
$630K
TURTLE BEACH CORP
$626K
EYEGATE PHARMACEUTICALS INC
$626K
ECHELON CORP
$624K
CYRXCRYOPORT INC
$622K
CAFEPRESS INC
$620K
MSNEMERSON RADIO CORP
$620K
CALIFORNIA FIRST NTNL BANCOR
$616K
SUMMER INFANT INC
$612K
ASCARDMORE SHIPPING CORP
$610K
IZEA INC
$608K
CITIZENS HLDG CO MISS
$606K
RGCORGC RES INC
$605K
SOHUNSOHU COM INC
$603K
ENGLOBAL CORP
$601K
CVRCHICAGO RIVET & MACH CO
$601K
BELLEROPHON THERAPEUTICS INC
$598K
NVRNVR INC
$596K
INSIGNIA SYS INC
$594K
CATABASIS PHARMACEUTICALS IN
$590K
CYBRCYBERARK SOFTWARE LTD
$590K
ROYAL BANCSHARES PA INC
$587K
ONCOCYTE CORPORATION
$584K
LPGDORIAN LPG LTD
$579K
DOVER MOTORSPORTS INC
$571K
ELMDELECTROMED INC
$570K
ECO STIM ENERGY SOLUTIONS IN
$569K
INODINNODATA INC
$567K
VCSHSHORT-TERM CORP BOND ETF
$564K
EGANEGAIN CORP
$562K
ATECALPHATEC HOLDINGS INC
$559K
JASNQJASON INDS INC
$559K
TCFCUSDCOMMUNITY FINL CORP MD
$553K
TEEKAY TANKERS LTD
$552K
VDCCONSUMER STAPLES ETF
$551K
INTERMOLECULAR INC
$549K
MULESOFT INC
$547K
SPARK NETWORKS INC
$543K
EMPIRE RES INC DEL
$543K
EMMIS COMMUNICATIONS CORP
$542K
CHIASMA INC
$541K
CYTORI THERAPEUTICS INC
$539K
HEAT BIOLOGICS INC
$526K
SIFSIFCO INDS INC
$524K
DXRDAXOR CORP
$520K
GGALGRUPO FINANCIERO SANTANDER M
$514K
CYCLACEL PHARMACEUTICALS INC
$501K
ADESTO TECHNOLOGIES CORP
$499K
DIVERSIFIED RSTRNT HLDGS INC
$493K
CASI PHARMACEUTICALS INC
$491K
VICAL INC
$490K
AEGAEGON N V
$489K
PNRGPRIMEENERGY CORP
$485K
VKTXVIKING THERAPEUTICS INC
$483K
IVOVS&P MID-CAP 400 VALUE ETF
$481K
HISTOGENICS CORP
$481K
DIVERSICARE HEALTHCARE SVCS
$478K
IVOGS&P MID-CAP 400 GRO ETF
$477K
ONVIA INC
$477K
UNILIFE CORP NEW
$475K
URANIUM RES INC
$474K
IDEAL PWR INC
$474K
ERIN ENERGY CORP
$467K
WVVIWILLAMETTE VY VINEYARD INC
$465K
FUE1FUEL TECH INC
$462K
SEVCON INC
$461K
NATIONAL AMERN UNIV HLDGS IN
$461K
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