VANGUARD GROUP INC Q1 2019 Filing

Filed May 15, 2019

Portfolio Value

$2.5B

Holdings

4,118

Report Date

Q1 2019

Filing Type

13F-HR

All Holdings (4,118 positions)

StockValue
VCYTVERACYTE INC
$42.0M
LENLENNAR CORP
$41.5M
CASHMETA FINL GROUP INC
$41.5M
MBUUMALIBU BOATS INC
$41.4M
BZUNBAOZUN INC
$41.4M
CHKPCHECK POINT SOFTWARE TECH LT
$41.2M
LIONFIDELITY SOUTHERN CORP NEW
$41.2M
OMEROMEROS CORP
$41.2M
LMATLEMAITRE VASCULAR INC
$41.1M
PLOWDOUGLAS DYNAMICS INC
$40.8M
MLABMESA LABS INC
$40.6M
SCCOSOUTHERN COPPER CORP
$40.5M
UPWKUPWORK INC
$40.3M
BANCBANC OF CALIFORNIA INC
$40.3M
CARBON BLACK INC
$40.2M
51AAMERICAN PUBLIC EDUCATION IN
$40.2M
OSPNONESPAN INC
$40.1M
INSPINSPIRE MED SYS INC
$40.0M
EYEGATE PHARMACEUTICALS INC
$40.0M
PJTPJT PARTNERS INC
$40.0M
CBL & ASSOC PPTYS INC
$40.0M
DXPEDXP ENTERPRISES INC NEW
$40.0M
TSEMTOWER SEMICONDUCTOR LTD
$39.9M
JBSSSANFILIPPO JOHN B & SON INC
$39.9M
BANDBANDWIDTH INC
$39.7M
PDLIEURPDL BIOPHARMA INC
$39.5M
MYEMYERS INDS INC
$39.5M
SSRMSSR MNG INC
$39.5M
EZPWEZCORP INC
$39.5M
MERIDIAN BANCORP INC MD
$39.3M
COMPANHIA BRASILEIRA DE DIST
$39.2M
CMTLCOMTECH TELECOMMUNICATIONS C
$39.2M
CHRSCOHERUS BIOSCIENCES INC
$39.2M
BHRBRAEMAR HOTELS & RESORTS INC
$39.1M
APLSAPELLIS PHARMACEUTICALS INC
$39.1M
SRJSPARTANNASH CO
$39.0M
BSFAANI PHARMACEUTICALS INC
$38.9M
PFBCPREFERRED BK LOS ANGELES CA
$38.9M
FFFUTUREFUEL CORPORATION
$38.9M
TCRTZIOPHARM ONCOLOGY INC
$38.8M
SWCHEURSWITCH INC
$38.7M
BVBRIGHTVIEW HLDGS INC
$38.7M
CASSCASS INFORMATION SYS INC
$38.6M
COHUCOHU INC
$38.6M
VCLTLONG-TERM CORP BOND ETF
$38.5M
GGBGERDAU S A
$38.5M
AU OPTRONICS CORP
$38.3M
RUBYUSDRUBIUS THERAPEUTICS INC
$38.2M
EGRXEAGLE PHARMACEUTICALS INC
$38.1M
VISLINK TECHNOLOGIES INC
$38.0M
PVG1EURPRETIUM RES INC
$37.9M
G2CEVERI HLDGS INC
$37.9M
AKORN INC
$37.9M
HSKAEURHESKA CORP
$37.7M
TDWTIDEWATER INC NEW
$37.6M
SU6SURMODICS INC
$37.4M
NSTGEURNANOSTRING TECHNOLOGIES INC
$37.4M
ANWORTH MORTGAGE ASSET CP
$37.3M
FETUSDFORUM ENERGY TECHNOLOGIES IN
$37.2M
SYBTSTOCK YDS BANCORP INC
$37.1M
EBFENNIS INC
$37.1M
UPLDUPLAND SOFTWARE INC
$37.0M
CMCOCOLUMBUS MCKINNON CORP N Y
$36.9M
WASHWASHINGTON TR BANCORP
$36.7M
OSBCADNORBORD INC
$36.7M
CARE COM INC
$36.6M
HAYNUSDHAYNES INTERNATIONAL INC
$36.6M
PVACUSDPENN VA CORP NEW
$36.6M
CHCTCOMMUNITY HEALTHCARE TR INC
$36.6M
AKCEA THERAPEUTICS INC
$36.6M
CAROLINA FINL CORP NEW
$36.5M
CMBTEURONAV NV ANTWERPEN
$36.5M
FANHFANHUA INC
$36.4M
INTL FCSTONE INC
$36.4M
NTBBANK OF NT BUTTERFIELD&SON L
$36.2M
CEMTREX INC
$36.0M
AGXARGAN INC
$35.8M
SPIRIT MTA REIT
$35.8M
MYRGMYR GROUP INC DEL
$35.8M
PARRPAR PACIFIC HOLDINGS INC
$35.7M
SRCE1ST SOURCE CORP
$35.7M
ACHILLION PHARMACEUTICALS IN
$35.3M
CHLUSDCHINA MOBILE LIMITED
$35.3M
AXGNAXOGEN INC
$35.3M
KBIAKB FINANCIAL GROUP INC
$35.2M
VCITINTER-TERM CORP BOND ETF
$35.2M
BRYN MAWR BK CORP
$35.0M
MOSYS INC
$35.0M
SAHSONIC AUTOMOTIVE INC
$35.0M
CLWCLEARWATER PAPER CORP
$35.0M
CUBICUSTOMERS BANCORP INC
$34.9M
QUANTENNA COMMUNICATIONS INC
$34.8M
UVSPUNIVEST FINANCIAL CORPORATIO
$34.8M
CARAEURCARA THERAPEUTICS INC
$34.6M
UNITED FINL BANCORP INC NEW
$34.6M
LBAIUSDLAKELAND BANCORP INC
$34.6M
CCFEURCHASE CORP
$34.4M
ICHRICHOR HOLDINGS
$34.3M
NOG1EURNORTHERN OIL & GAS INC NEV
$34.2M
BOOMDMC GLOBAL INC
$34.0M
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