VANGUARD GROUP INC Q3 2017 Filing

Filed November 14, 2017

Portfolio Value

$2.1T

Holdings

4,074

Report Date

Q3 2017

Filing Type

13F-HR

All Holdings (4,074 positions)

StockValue
CHIASMA INC
$511K
BELFABEL FUSE INC
$510K
ONVIA INC
$506K
INTERSECTIONS INC
$498K
TRACON PHARMACEUTICALS INC
$495K
TEEKAY TANKERS LTD
$490K
CAS MED SYS INC
$489K
HELIOS & MATHESON ANALYTICS
$489K
I9DNARBUTUS BIOPHARMA CORP
$488K
FACOFIRST ACCEPTANCE CORP
$487K
IVOVS&P MID-CAP 400 VALUE ETF
$486K
MYOMO INC
$483K
WVVIWILLAMETTE VY VINEYARD INC
$477K
WINS FIN HLDGS INC
$474K
CYCLACEL PHARMACEUTICALS INC
$473K
DLHCDLH HLDGS CORP
$472K
VTIPSTERM INFLATPRO SEC ETF
$469K
CVRCHICAGO RIVET & MACH CO
$464K
ZDGEZEDGE INC
$464K
BEBE STORES INC
$462K
VTWORUSSELL 2000 ETF
$460K
VTNRUSDVERTEX ENERGY INC
$458K
SUMMER INFANT INC
$457K
STRONGBRIDGE BIOPHARMA PLC
$454K
SODASTREAM INTERNATIONAL LTD
$453K
SONOMA PHARMACEUTICALS INC
$451K
MARRONE BIO INNOVATIONS INC
$447K
ASTCASTROTECH CORP
$446K
SYBXSYNLOGIC INC
$444K
CIVEO CORP CDA
$442K
BSVSHORT-TERM BOND ETF
$441K
ONCOSEC MED INC
$439K
DIVERSIFIED RSTRNT HLDGS INC
$425K
FUE1FUEL TECH INC
$421K
ONCOBIOLOGICS INC
$418K
IDEAL PWR INC
$417K
PROTEON THERAPEUTICS INC
$417K
HTG MOLECULAR DIAGNOSTICS IN
$416K
CENTRAL FED CORP
$413K
RAVERAVE RESTAURANT GROUP INC
$406K
EMMIS COMMUNICATIONS CORP
$404K
VICAL INC
$402K
BRTBRT APARTMENTS CORP
$398K
MIRAGEN THERAPEUTICS INC
$398K
NATIONAL AMERN UNIV HLDGS IN
$395K
IMAGE SENSING SYS INC
$393K
JYNTJOINT CORP
$390K
U S GOLD CORP
$387K
CWCOCONSOLIDATED WATER CO INC
$380K
ADCARE HEALTH SYSTEMS INC
$378K
CTHRUSDCHARLES & COLVARD LTD
$376K
ECHELON CORP
$375K
LUXOFT HLDG INC
$374K
TRANS WORLD ENTMT CORP
$374K
PPSIPIONEER PWR SOLUTIONS INC
$366K
SFBCSOUND FINL BANCORP INC
$363K
HV BANCORP INC
$360K
EDUCEDUCATIONAL DEV CORP
$358K
MICROBOT MED INC
$358K
QUOTIENT LTD
$354K
AXRAMREP CORP NEW
$353K
AYS1SANDSTORM GOLD LTD
$350K
DXRDAXOR CORP
$347K
VOOGS&P 500 GROWTH ETF
$345K
POLAEURPOLAR PWR INC
$343K
IMMUNE PHARMACEUTICALS INC
$342K
INSIGNIA SYS INC
$341K
KOFCOCA COLA FEMSA S A B DE C V
$341K
VCRCONSUMER DISCRET ETF
$339K
VSSFTSE AW EX-US SM-CAP ETF
$339K
STRMSTREAMLINE HEALTH SOLUTIONS
$339K
VYMIINTL HIGH DIV YLD ETF
$338K
JCTCJEWETT CAMERON TRADING LTD
$333K
ENGLOBAL CORP
$333K
AETHLON MED INC
$331K
PGFUSDPENGROWTH ENERGY CORP
$329K
GAMING PARTNERS INTL CORP
$329K
STKSTHE ONE GROUP HOSPITALITY IN
$328K
AZURRX BIOPHARMA INC
$328K
ARDAGH GROUP S A
$328K
STANLEY FURNITURE CO INC
$326K
MQ8MAG SILVER CORP
$325K
CATASYS INC
$325K
CSBRCHAMPIONS ONCOLOGY INC
$323K
CAFEPRESS INC
$317K
INODINNODATA INC
$317K
EYEGATE PHARMACEUTICALS INC
$314K
YANGTZE RIV DEV LTD
$311K
CRSPCRISPR THERAPEUTICS AG
$309K
CSTMCONSTELLIUM NV
$305K
PATRIOT TRANSN HLDG INC
$304K
DIGITAL ALLY INC
$303K
ARCOARCOS DORADOS HOLDINGS INC
$301K
ENSERVCO CORP
$299K
NAVIOS MARITIME HOLDINGS INC
$299K
PATRIOT NATL INC
$296K
ZAIS GROUP HLDGS INC
$293K
ELEVEN BIOTHERAPEUTICS INC
$291K
NOAHNOAH HLDGS LTD
$289K
GYRECATALYST BIOSCIENCES INC
$289K
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