VANGUARD GROUP INC Q2 2019 Filing

Filed August 14, 2019

Portfolio Value

$2.7T

Holdings

4,168

Report Date

Q2 2019

Filing Type

13F-HR

All Holdings (4,168 positions)

StockValue
CBUCOMMUNITY BK SYS INC
$404.2M
GARDNER DENVER HLDGS INC
$404.0M
2L9BLUEPRINT MEDICINES CORP
$403.9M
6PMPARAMOUNT GROUP INC
$403.8M
AAALCOA CORP
$403.1M
TECH DATA CORP
$403.1M
TNDMTANDEM DIABETES CARE INC
$401.8M
BNDTOTAL BOND MARKET ETF
$401.7M
HZNPHORIZON THERAPEUTICS PUB LTD
$399.3M
BHFBRIGHTHOUSE FINL INC
$398.3M
KDPKEURIG DR PEPPER INC
$396.6M
SAMBOSTON BEER INC
$395.6M
FFINFIRST FINL BANKSHARES
$395.1M
JXC1J2 GLOBAL INC
$393.6M
JWNUSDNORDSTROM INC
$392.2M
WF2WINTRUST FINL CORP
$391.7M
ETRNUSDEQUITRANS MIDSTREAM CORPORATIO
$391.6M
MSAMSA SAFETY INC
$391.3M
CRICARTERS INC
$390.8M
STRASTRATEGIC ED INC
$390.8M
8INSYNEOS HEALTH INC
$390.7M
BLKBBLACKBAUD INC
$390.1M
SKAASKECHERS U S A INC
$390.0M
NVCRNOVOCURE LTD
$389.6M
NWENORTHWESTERN CORP
$389.4M
MKSIMKS INSTRUMENT INC
$389.2M
KWKENNEDY-WILSON HLDGS INC
$388.8M
TREXTREX CO INC
$388.7M
SMGSCOTTS MIRACLE GRO CO
$388.4M
LAZLAZARD LTD
$388.2M
LFUSLITTELFUSE INC
$387.9M
JBTJOHN BEAN TECHNOLOGIES CORP
$387.9M
MRCYMERCURY SYS INC
$387.6M
AJRDEURAEROJET ROCKETDYNE HLDGS INC
$387.2M
AXONAXON ENTERPRISE INC
$385.7M
PCHPOTLATCHDELTIC CORPORATION
$385.3M
PFGCPERFORMANCE FOOD GROUP CO
$384.3M
CR1USDCRANE CO
$382.6M
XHRXENIA HOTELS & RESORTS INC
$382.5M
LITELUMENTUM HLDGS INC
$382.5M
WYNEURWYNDHAM DESTINATIONS INC
$381.9M
PNFPPINNACLE FINL PARTNERS INC
$381.4M
EQTEQT CORP
$381.3M
GEGGEO GROUP INC NEW
$380.7M
LPXLOUISIANA PAC CORP
$380.4M
ALAIR LEASE CORP
$380.3M
RGENREPLIGEN CORP
$379.9M
SUXSYNNEX CORP
$379.7M
EXPEAGLE MATERIALS INC
$378.4M
PDMPIEDMONT OFFICE REALTY TR INC
$378.2M
VALEVALE S A
$378.0M
UMPQUSDUMPQUA HLDGS CORP
$377.2M
CHRCHURCHILL DOWNS INC
$377.1M
ADCAGREE REALTY CORP
$375.8M
SFSTIFEL FINL CORP
$375.5M
IBERIABANK CORP
$375.0M
SRCLSTERICYCLE INC
$374.7M
AVTRAVANTOR INC
$374.4M
QTS RLTY TR INC
$374.2M
RBCRBC BEARINGS INC
$374.1M
WEAWESTERN ALLIANCE BANCORP
$374.0M
2362120DSINCLAIR BROADCAST GROUP INC
$374.0M
NVTNVENT ELECTRIC PLC
$373.8M
LHCGUSDLHC GROUP INC
$372.1M
PLANUSDANAPLAN INC
$372.0M
CCCHEMOURS CO
$372.0M
CXWCORECIVIC INC
$371.8M
GPKGRAPHIC PACKAGING HLDG CO
$371.3M
RETAIL PPTYS AMER INC
$371.2M
CLRUSDCONTINENTAL RESOURCES INC
$371.0M
FUODOLBY LABORATORIES INC
$370.1M
BCOBRINKS CO
$369.9M
FNBFNB CORP PA
$369.3M
HQYHEALTHEQUITY INC
$369.3M
LXPUSDLEXINGTON REALTY TRUST
$369.1M
SKYWSKYWEST INC
$368.6M
FCNFTI CONSULTING INC
$368.2M
BDNBRANDYWINE RLTY TR
$367.4M
VACMARRIOTT VACTINS WORLDWID CORP
$365.4M
UBSIUNITED BANKSHARES INC WEST VA
$364.5M
CNKCINEMARK HOLDINGS INC
$364.1M
GBCIGLACIER BANCORP INC NEW
$363.6M
AATAMERICAN ASSETS TR INC
$363.6M
OMCLOMNICELL INC
$363.4M
ZSZSCALER INC
$363.2M
KNXKNIGHT SWIFT TRANSN HLDGS INC
$363.0M
BCPCBALCHEM CORP
$362.8M
BCBRUNSWICK CORP
$361.7M
TAUBMAN CTRS INC
$361.0M
IARTINTEGRA LIFESCIENCES HLDGS CP
$359.6M
UFSDOMTAR CORP
$358.3M
VYXNCR CORP NEW
$357.2M
VVVVALVOLINE INC
$356.5M
TNETTRINET GROUP INC
$356.2M
CTRECARETRUST REIT INC
$356.1M
TRI4EURTHOMSON REUTERS CORP
$355.8M
ENSGENSIGN GROUP INC
$355.8M
TSAACI WORLDWIDE INC
$355.7M
FIVNFIVE9 INC
$355.6M
AEMAGNICO EAGLE MINES LTD
$353.9M
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