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)

#StockSharesValue% PortfolioType
401
CHRWC H ROBINSON WORLDWIDE INC
15,623,787$1.2B0.06%
402
FLT1EURFLEETCOR TECHNOLOGIES INC
7,662,944$1.2B0.06%
403
MRO*MARATHON OIL CORP
87,366,373$1.2B0.06%
404
MXIMMAXIM INTEGRATED PRODS INC
24,826,487$1.2B0.06%
405
CBOECBOE HLDGS INC
11,002,700$1.2B0.06%
406
VTIVANGUARD INDEX FDS
9,126,927$1.2B0.06%
407
AMDADVANCED MICRO DEVICES INC
92,252,602$1.2B0.05%
408
HESHESS CORP
25,008,593$1.2B0.05%
409
EQTEQT CORP
17,795,748$1.2B0.05%
410
WDAYWORKDAY INC
11,002,905$1.2B0.05%
411
XECEURCIMAREX ENERGY CO
10,026,241$1.1B0.05%
412
CBRECBRE GROUP INC
30,080,770$1.1B0.05%
413
BMOBANK MONTREAL QUE
15,005,311$1.1B0.05%
414
AJGGALLAGHER ARTHUR J & CO
18,435,052$1.1B0.05%
415
TSSTOTAL SYS SVCS INC
17,320,922$1.1B0.05%
416
WPCW P CAREY INC
16,817,985$1.1B0.05%
417
KSUEURKANSAS CITY SOUTHERN
10,406,109$1.1B0.05%
418
CDNSCADENCE DESIGN SYSTEM INC
28,643,317$1.1B0.05%
419
XYLXYLEM INC
17,995,458$1.1B0.05%
420
CTXSEURCITRIX SYS INC
14,566,396$1.1B0.05%
421
TIFEURTIFFANY & CO NEW
12,177,079$1.1B0.05%
422
RJFRAYMOND JAMES FINANCIAL INC
13,180,857$1.1B0.05%
423
ELSEQUITY LIFESTYLE PPTYS INC
13,063,406$1.1B0.05%
424
MYLAN N V
35,333,498$1.1B0.05%
425
GLPIGAMING & LEISURE PPTYS INC
30,022,468$1.1B0.05%
426
NLYEURANNALY CAP MGMT INC
90,670,551$1.1B0.05%
427
KRCKILROY RLTY CORP
15,506,374$1.1B0.05%
428
HSYHERSHEY CO
10,097,560$1.1B0.05%
429
LEALEAR CORP
6,366,720$1.1B0.05%
430
TRPTRANSCANADA CORP
22,265,883$1.1B0.05%
431
PNRPENTAIR PLC
16,192,227$1.1B0.05%
432
ITGARTNER INC
8,815,556$1.1B0.05%
433
CLSCA INC
32,650,820$1.1B0.05%
434
RMERESMED INC
14,140,176$1.1B0.05%
435
CTLEURCENTURYLINK INC
57,373,151$1.1B0.05%
436
JNPJUNIPER NETWORKS INC
38,962,467$1.1B0.05%
437
FNFFIDELITY NATIONAL FINANCIAL
22,617,535$1.1B0.05%
438
BWABORGWARNER INC
20,933,549$1.1B0.05%
439
LENLENNAR CORP
20,305,943$1.1B0.05%
440
AMGAFFILIATED MANAGERS GROUP
5,629,452$1.1B0.05%
441
OHIOMEGA HEALTHCARE INVS INC
33,447,846$1.1B0.05%
442
JBHTHUNT J B TRANS SVCS INC
9,601,319$1.1B0.05%
443
BFHALLIANCE DATA SYSTEMS CORP
4,791,132$1.1B0.05%
444
ZIONZIONS BANCORPORATION
22,492,279$1.1B0.05%
445
PANWPALO ALTO NETWORKS INC
7,352,158$1.1B0.05%
446
GWWGRAINGER W W INC
5,891,037$1.1B0.05%
447
WYNEURWYNDHAM WORLDWIDE CORP
10,030,873$1.1B0.05%
448
STXSEAGATE TECHNOLOGY PLC
31,858,290$1.1B0.05%
449
LKQ1LKQ CORP
29,360,797$1.1B0.05%
450
AKXANSYS INC
8,521,570$1.0B0.05%
451
ARNCCHFARCONIC INC
41,841,327$1.0B0.05%
452
ACGLARCH CAP GROUP LTD
10,549,984$1.0B0.05%
453
FBINFORTUNE BRANDS HOME & SEC IN
15,309,527$1.0B0.05%
454
HOLXHOLOGIC INC
28,022,889$1.0B0.05%
455
PNWPINNACLE WEST CAP CORP
12,152,965$1.0B0.05%
456
COLONY NORTHSTAR INC
81,051,394$1.0B0.05%
457
SUISUN CMNTYS INC
11,875,367$1.0B0.05%
458
MSCIMSCI INC
8,689,636$1.0B0.05%
459
XL GROUP LTD
25,686,496$1.0B0.05%
460
LNTALLIANT ENERGY CORP
24,298,655$1.0B0.05%
461
BUNGE LIMITED
14,524,750$1.0B0.05%
462
HRLHORMEL FOODS CORP
31,382,808$1.0B0.05%
463
DRIDARDEN RESTAURANTS INC
12,768,668$1.0B0.05%
464
NNNNATIONAL RETAIL PPTYS INC
23,960,770$998.2M0.05%
465
UHSUNIVERSAL HLTH SVCS INC
8,955,363$993.5M0.05%
466
TMUST MOBILE US INC
15,960,810$984.1M0.05%
467
HLTHILTON WORLDWIDE HLDGS INC
14,139,420$982.0M0.05%
468
VIABVIACOM INC NEW
35,210,526$980.3M0.05%
469
CDWCDW CORP
14,763,386$974.4M0.05%
470
BRK-BBERKSHIRE HATHAWAY INC DEL
3,544$973.7M0.05%
471
LPTUSDLIBERTY PPTY TR
23,704,893$973.3M0.05%
472
PVHPVH CORP
7,714,582$972.5M0.05%
473
TMKTORCHMARK CORP
12,126,695$971.2M0.05%
474
CRCCANADIAN NAT RES LTD
28,985,192$970.7M0.05%
475
HIIHUNTINGTON INGALLS INDS INC
4,282,960$969.8M0.05%
476
FOREST CITY RLTY TR INC
37,670,316$961.0M0.04%
477
W3UWESTERN UN CO
49,983,406$959.7M0.04%
478
VANTIV INC
13,589,346$957.6M0.04%
479
AVYAVERY DENNISON CORP
9,606,653$944.7M0.04%
480
DEIDOUGLAS EMMETT INC
23,958,658$944.5M0.04%
481
ACCUSDAMERICAN CAMPUS CMNTYS INC
21,328,621$941.7M0.04%
482
TTWOTAKE-TWO INTERACTIVE SOFTWAR
9,118,717$932.2M0.04%
483
VAREURVARIAN MED SYS INC
9,311,648$931.7M0.04%
484
NVRNVR INC
325,119$928.2M0.04%
485
TFXTELEFLEX INC
3,824,635$925.4M0.04%
486
LBRDKLIBERTY BROADBAND CORP
9,687,391$923.2M0.04%
487
MFCMANULIFE FINL CORP
45,254,305$918.2M0.04%
488
CCCHEMOURS CO
18,101,963$916.1M0.04%
489
VRSNVERISIGN INC
8,610,317$916.1M0.04%
490
TRGPTARGA RES CORP
19,296,760$912.7M0.04%
491
HN9HANESBRANDS INC
37,027,702$912.4M0.04%
492
ALKALASKA AIR GROUP INC
11,960,897$912.3M0.04%
493
NDAQNASDAQ INC
11,732,109$910.1M0.04%
494
ALLYALLY FINL INC
37,465,096$908.9M0.04%
495
DVADAVITA INC
15,282,788$907.6M0.04%
496
AOSSMITH A O
15,272,363$907.6M0.04%
497
LLOEWS CORP
18,932,620$906.1M0.04%
498
HTAEURHEALTHCARE TR AMER INC
30,359,020$904.7M0.04%
499
BRXBRIXMOR PPTY GROUP INC
47,890,186$900.3M0.04%
500
QRVOQORVO INC
12,715,459$898.7M0.04%
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