VANGUARD GROUP INC Q1 2020 Filing

Filed May 15, 2020

Portfolio Value

$2.3T

Holdings

4,081

Report Date

Q1 2020

Filing Type

13F-HR

All Holdings (4,081 positions)

#StockSharesValue% PortfolioType
601
NTRNUTRIEN LTD
17,642,574$598.8M0.03%
602
HP5AEQUITY COMWLTH
18,835,026$597.3M0.03%
603
BNDTOTAL BOND MARKET ETF
6,991,350$596.7M0.03%
604
JBGSJBG SMITH PPTYS
18,746,184$596.7M0.03%
605
APOEURAPOLLO GLOBAL MGMT INC
17,743,312$594.4M0.03%
606
NIELSEN HLDGS PLC
47,186,341$591.7M0.03%
607
CIENCIENA CORP
14,819,764$590.0M0.03%
608
LIESUN LIFE FINL INC
18,383,822$589.9M0.03%
609
ZNGAEURZYNGA INC
86,073,760$589.6M0.03%
610
SLG2EURSL GREEN RLTY CORP
13,670,671$589.2M0.03%
611
AMEDAMEDISYS INC
3,181,353$583.9M0.02%
612
PRAHPRA HEALTH SCIENCES INC
7,002,353$581.5M0.02%
613
PBCTEURPEOPLES UTD FINL INC
52,477,109$579.9M0.02%
614
MDBMONGODB INC
4,228,179$577.3M0.02%
615
CA8ACACI INTL INC
2,733,382$577.2M0.02%
616
FNVFRANCO NEVADA CORP
5,798,030$577.0M0.02%
617
AMTTD AMERITRADE HLDG CORP
16,643,138$576.9M0.02%
618
BWABORGWARNER INC
23,659,886$576.6M0.02%
619
GNRCGENERAC HLDGS INC
6,155,178$573.5M0.02%
620
HPPHUDSON PAC PPTYS INC
22,605,059$573.3M0.02%
621
MTNVAIL RESORTS INC
3,879,324$573.0M0.02%
622
ISIIONIS PHARMACEUTICALS INC
12,053,561$569.9M0.02%
623
ZMZOOM VIDEO COMMUNICATIONS IN
3,887,247$568.0M0.02%
624
S76STORE CAP CORP
31,319,270$567.5M0.02%
625
AGNCAGNC INVT CORP
53,569,545$566.8M0.02%
626
ENQENTEGRIS INC
12,590,896$563.7M0.02%
627
GNTXGENTEX CORP
25,430,472$563.5M0.02%
628
ACCUSDAMERICAN CAMPUS CMNTYS INC
20,251,756$562.0M0.02%
629
PNRPENTAIR PLC
18,816,437$560.0M0.02%
630
HRUSDHEALTHCARE RLTY TR
20,006,580$558.8M0.02%
631
ZIONZIONS BANCORPORATION N A
20,846,304$557.8M0.02%
632
EDUNEW ORIENTAL ED & TECH GRP I
5,151,089$557.6M0.02%
633
BFAMBRIGHT HORIZONS FAM SOL IN D
5,457,770$556.7M0.02%
634
VOYAVOYA FINANCIAL INC
13,706,122$555.8M0.02%
635
HIWHIGHWOODS PPTYS INC
15,594,871$552.4M0.02%
636
CBSHCOMMERCE BANCSHARES INC
10,966,372$552.2M0.02%
637
DISHDISH NETWORK CORPORATION
27,608,051$551.9M0.02%
638
ALLYALLY FINL INC
38,185,494$551.0M0.02%
639
FTSFORTIS INC
14,283,704$550.6M0.02%
640
HAEHAEMONETICS CORP
5,523,488$550.5M0.02%
641
AFGAMERICAN FINL GROUP INC OHIO
7,826,890$548.5M0.02%
642
PFPTPROOFPOINT INC
5,312,847$545.0M0.02%
643
CASYCASEYS GEN STORES INC
4,084,249$541.1M0.02%
644
RHIROBERT HALF INTL INC
14,267,845$538.6M0.02%
645
OLEDUNIVERSAL DISPLAY CORP
4,067,970$536.1M0.02%
646
LITELUMENTUM HLDGS INC
7,242,375$533.8M0.02%
647
AALAMERICAN AIRLS GROUP INC
43,524,836$530.6M0.02%
648
CMACOMERICA INC
17,815,135$522.7M0.02%
649
LPLALPL FINL HLDGS INC
9,580,669$521.5M0.02%
650
CRCCANADIAN NAT RES LTD
38,418,040$520.6M0.02%
651
IDAIDACORP INC
5,923,945$520.1M0.02%
652
HZNPHORIZON THERAPEUTICS PUB LTD
17,544,776$519.7M0.02%
653
TRNOTERRENO RLTY CORP
10,025,583$518.8M0.02%
654
HEIHEICO CORP NEW
8,113,924$518.5M0.02%
655
HEHAWAIIAN ELEC INDUSTRIES
12,008,627$517.0M0.02%
656
HUBSHUBSPOT INC
3,864,099$514.7M0.02%
657
JAZZJAZZ PHARMACEUTICALS PLC
5,150,087$513.7M0.02%
658
RGAREINSURANCE GRP OF AMERICA I
6,093,532$512.7M0.02%
659
FIVNFIVE9 INC
6,671,789$510.1M0.02%
660
POSTPOST HLDGS INC
6,141,860$509.6M0.02%
661
SONSONOCO PRODS CO
10,943,334$507.2M0.02%
662
DCIDONALDSON INC
13,115,250$506.6M0.02%
663
FAFFIRST AMERN FINL CORP
11,889,991$504.3M0.02%
664
NWSANEWS CORP NEW
55,912,714$501.8M0.02%
665
GGENPACT LIMITED
17,154,549$500.9M0.02%
666
MHKMOHAWK INDS INC
6,566,178$500.6M0.02%
667
NVCRNOVOCURE LTD
7,418,256$499.5M0.02%
668
GCI LIBERTY INC
8,768,326$499.5M0.02%
669
QTS RLTY TR INC
8,585,349$498.0M0.02%
670
EX9EXELIXIS INC
28,902,587$497.7M0.02%
671
FWONALIBERTY MEDIA CORP DEL
18,242,668$496.7M0.02%
672
PWRQUANTA SVCS INC
15,613,245$495.4M0.02%
673
WSOWATSCO INC
3,130,474$494.7M0.02%
674
INGRINGREDION INC
6,550,495$494.6M0.02%
675
FLIRFLIR SYS INC
15,411,755$491.5M0.02%
676
DELLDELL TECHNOLOGIES INC
12,381,974$489.7M0.02%
677
ONON SEMICONDUCTOR CORP
39,362,862$489.7M0.02%
678
DAYCERIDIAN HCM HLDG INC
9,759,159$488.6M0.02%
679
PORPORTLAND GEN ELEC CO
10,172,526$487.7M0.02%
680
FANGDIAMONDBACK ENERGY INC
18,598,891$487.3M0.02%
681
LYFTLYFT INC
18,131,147$486.8M0.02%
682
AMCRAMCOR PLC
58,789,697$477.4M0.02%
683
VEAFTSE DEVELOPED MKTS ETF
14,313,044$477.2M0.02%
684
WORKSLACK TECHNOLOGIES INC
17,771,899$477.0M0.02%
685
ARMKARAMARK
23,870,532$476.7M0.02%
686
FCNFTI CONSULTING INC
3,960,450$474.3M0.02%
687
ARNCCHFARCONIC INC
29,438,516$472.8M0.02%
688
LEALEAR CORP
5,802,946$471.5M0.02%
689
PENPENUMBRA INC
2,913,389$470.0M0.02%
690
SMGSCOTTS MIRACLE GRO CO
4,563,525$467.3M0.02%
691
SEESEALED AIR CORP NEW
18,814,610$464.9M0.02%
692
ACADACADIA PHARMACEUTICALS INC
10,983,037$464.0M0.02%
693
HDSUSDHD SUPPLY HLDGS INC
16,305,451$463.6M0.02%
694
MDUMDU RES GROUP INC
21,482,404$461.9M0.02%
695
TECH DATA CORP
3,516,326$460.1M0.02%
696
LSXMKUSDLIBERTY MEDIA CORP DEL
14,500,852$458.5M0.02%
697
OGSONE GAS INC
5,456,866$456.3M0.02%
698
RYNRAYONIER INC
19,213,978$452.5M0.02%
699
NOVEURNATIONAL OILWELL VARCO INC
45,638,748$448.6M0.02%
700
STLDSTEEL DYNAMICS INC
19,898,549$448.5M0.02%
PreviousPage 7 of 41Next