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)
| Stock | Value |
|---|---|
—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 |