UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM N-CSR
CERTIFIED SHAREHOLDER REPORT
OF
REGISTERED MANAGEMENT INVESTMENT COMPANIES
Investment Company Act file number: 811-22114
Name of Registrant: Vanguard Montgomery Funds
Address of Registrant: P.O. Box 2600
Valley Forge, PA 19482
Name and address of agent for service: Anne E. Robinson, Esquire
P.O. Box 876
Valley Forge, PA 19482
Registrant’s telephone number, including area code: (610) 669-1000
Date of fiscal year end: December 31
Date of reporting period: January 1, 2022—June 30, 2022
Item 1: Reports to Shareholders
About Your Fund’s Expenses | 1 |
Financial Statements | 4 |
Trustees Approve Advisory Arrangement | 20 |
Liquidity Risk Management | 22 |
• | Based on actual fund return. This section helps you to estimate the actual expenses that you paid over the period. The ”Ending Account Value“ shown is derived from the fund‘s actual return, and the third column shows the dollar amount that would have been paid by an investor who started with $1,000 in the fund. You may use the information here, together with the amount you invested, to estimate the expenses that you paid over the period. |
• | Based on hypothetical 5% yearly return. This section is intended to help you compare your fund‘s costs with those of other mutual funds. It assumes that the fund had a yearly return of 5% before expenses, but that the expense ratio is unchanged. In this case—because the return used is not the fund’s actual return—the results do not apply to your investment. The example is useful in making comparisons because the Securities and Exchange Commission requires all mutual funds to calculate expenses based on a 5% return. You can assess your fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds. |
Six Months Ended June 30, 2022 | |||
Beginning Account Value 12/31/2021 | Ending Account Value 6/30/2022 | Expenses Paid During Period | |
Based on Actual Fund Return | |||
Market Neutral Fund | |||
Investor Shares | $1,000.00 | $1,073.60 | $8.43 |
Institutional Shares | 1,000.00 | 1,073.90 | 8.12 |
Based on Hypothetical 5% Yearly Return | |||
Market Neutral Fund | |||
Investor Shares | $1,000.00 | $1,016.66 | $8.20 |
Institutional Shares | 1,000.00 | 1,016.96 | 7.90 |
Long Portfolio1 | Short Portfolio2 | |
Communication Services | 2.6% | 2.3% |
Consumer Discretionary | 8.8 | 8.5 |
Consumer Staples | 4.7 | 4.9 |
Energy | 4.5 | 4.7 |
Financials | 17.7 | 17.8 |
Health Care | 10.2 | 9.8 |
Industrials | 16.0 | 16.2 |
Information Technology | 15.5 | 15.7 |
Materials | 5.8 | 5.9 |
Real Estate | 10.1 | 10.1 |
Utilities | 4.1 | 4.1 |
1 | Percentage of investments in long portfolio. |
2 | Percentage of investments in short portfolio. |
Shares | Market Value• ($000) | ||
Common Stocks—Long Positions (96.3%) | |||
Communication Services (2.5%) | |||
*,1 | Altice USA Inc. Class A | 451,722 | 4,178 |
* | Charter Communications Inc. Class A | 7,856 | 3,681 |
1 | News Corp. Class A | 93,204 | 1,452 |
Comcast Corp. Class A | 36,003 | 1,413 | |
* | WideOpenWest Inc. | 72,944 | 1,328 |
*,1 | Clear Channel Outdoor Holdings Inc. | 1,221,427 | 1,307 |
*,1 | Yelp Inc. Class A | 26,233 | 729 |
* | Iridium Communications Inc. | 16,835 | 632 |
* | Spotify Technology SA | 6,216 | 583 |
* | Radius Global Infrastructure Inc. Class A (XNMS) | 36,609 | 559 |
15,862 | |||
Consumer Discretionary (8.4%) | |||
1 | Boyd Gaming Corp. | 86,741 | 4,315 |
*,1 | Stride Inc. | 104,731 | 4,272 |
*,1 | Tri Pointe Homes Inc. | 221,125 | 3,730 |
*,1 | Everi Holdings Inc. | 207,926 | 3,391 |
* | Expedia Group Inc. | 33,304 | 3,158 |
1 | Buckle Inc. | 110,637 | 3,064 |
*,1 | Six Flags Entertainment Corp. | 126,943 | 2,755 |
* | NVR Inc. | 637 | 2,551 |
Toll Brothers Inc. | 54,004 | 2,409 | |
*,1 | General Motors Co. | 73,369 | 2,330 |
1 | Signet Jewelers Ltd. | 39,285 | 2,100 |
*,1 | Dave & Buster's Entertainment Inc. | 46,171 | 1,514 |
Oxford Industries Inc. | 16,751 | 1,486 | |
1 | Macy's Inc. | 80,977 | 1,484 |
* | AutoNation Inc. | 11,806 | 1,319 |
Patrick Industries Inc. | 25,273 | 1,310 | |
*,1 | Under Armour Inc. Class C | 172,275 | 1,306 |
* | RH | 5,860 | 1,244 |
*,1 | Perdoceo Education Corp. | 94,292 | 1,111 |
Texas Roadhouse Inc. Class A | 14,029 | 1,027 | |
Steven Madden Ltd. | 30,022 | 967 | |
Travel + Leisure Co. | 22,193 | 862 | |
* | Tesla Inc. | 1,107 | 745 |
* | Skyline Champion Corp. | 15,540 | 737 |
1 | Tapestry Inc. | 24,024 | 733 |
* | Capri Holdings Ltd. | 14,348 | 588 |
* | Golden Entertainment Inc. | 14,796 | 585 |
Shares | Market Value• ($000) | ||
* | MarineMax Inc. | 14,905 | 538 |
*,1 | American Axle & Manufacturing Holdings Inc. | 70,336 | 530 |
1 | Aaron's Co. Inc. | 33,978 | 494 |
1 | Red Rock Resorts Inc. Class A | 14,344 | 479 |
Carriage Services Inc. Class A | 10,658 | 423 | |
Group 1 Automotive Inc. | 1,727 | 293 | |
* | Revolve Group Inc. | 10,413 | 270 |
54,120 | |||
Consumer Staples (4.5%) | |||
*,1 | Pilgrim's Pride Corp. | 151,064 | 4,718 |
1 | Tyson Foods Inc. Class A | 51,852 | 4,462 |
1 | Archer-Daniels-Midland Co. | 51,256 | 3,977 |
1 | Kroger Co. | 81,042 | 3,836 |
1 | Albertsons Cos. Inc. Class A | 101,555 | 2,714 |
1 | Coca-Cola Consolidated Inc. | 3,860 | 2,177 |
*,1 | Darling Ingredients Inc. | 30,610 | 1,830 |
1 | Ingles Markets Inc. Class A | 20,678 | 1,794 |
*,1 | Herbalife Nutrition Ltd. | 42,613 | 871 |
1 | Vector Group Ltd. | 78,250 | 822 |
John B Sanfilippo & Son Inc. | 8,895 | 645 | |
Cal-Maine Foods Inc. | 12,773 | 631 | |
* | Coty Inc. Class A | 78,025 | 625 |
29,102 | |||
Energy (4.3%) | |||
1 | APA Corp. | 108,205 | 3,776 |
1 | SM Energy Co. | 97,175 | 3,322 |
*,1 | PBF Energy Inc. Class A | 87,912 | 2,551 |
*,1 | ProPetro Holding Corp. | 254,757 | 2,547 |
*,1 | US Silica Holdings Inc. | 194,111 | 2,217 |
*,1 | Talos Energy Inc. | 138,787 | 2,147 |
* | Callon Petroleum Co. | 49,049 | 1,923 |
* | Liberty Energy Inc. Class A | 148,889 | 1,900 |
Hess Corp. | 11,976 | 1,269 | |
Phillips 66 | 15,471 | 1,268 | |
*,1 | Laredo Petroleum Inc. | 17,014 | 1,173 |
Marathon Petroleum Corp. | 12,544 | 1,031 | |
* | Delek US Holdings Inc. | 37,716 | 975 |
CVR Energy Inc. | 27,809 | 932 | |
* | Southwestern Energy Co. | 136,269 | 852 |
27,883 |
Shares | Market Value• ($000) | ||
Financials (17.0%) | |||
American Financial Group Inc. | 34,733 | 4,821 | |
1 | Radian Group Inc. | 238,852 | 4,693 |
1 | MGIC Investment Corp. | 367,703 | 4,633 |
1 | Eagle Bancorp Inc. | 96,576 | 4,579 |
1 | Essent Group Ltd. | 117,014 | 4,552 |
1 | W R Berkley Corp. | 66,498 | 4,539 |
1 | International Bancshares Corp. | 112,485 | 4,508 |
1 | Ally Financial Inc. | 132,193 | 4,430 |
1 | Capital One Financial Corp. | 42,471 | 4,425 |
1 | OFG Bancorp | 172,182 | 4,373 |
1 | Axis Capital Holdings Ltd. | 74,504 | 4,253 |
1 | Stewart Information Services Corp. | 81,289 | 4,044 |
1 | Loews Corp. | 63,339 | 3,753 |
1 | OneMain Holdings Inc. | 97,602 | 3,648 |
*,1 | LendingClub Corp. | 285,529 | 3,338 |
1 | FNB Corp. | 296,215 | 3,217 |
1 | Hope Bancorp Inc. | 226,223 | 3,131 |
* | Encore Capital Group Inc. | 50,414 | 2,912 |
1 | Carlyle Group Inc. | 91,707 | 2,903 |
*,1 | Brighthouse Financial Inc. | 64,273 | 2,637 |
1 | Wells Fargo & Co. | 66,757 | 2,615 |
1 | Hancock Whitney Corp. | 53,641 | 2,378 |
First Bancorp (XNGS) | 59,731 | 2,085 | |
1 | Evercore Inc. Class A | 20,738 | 1,941 |
1 | Navient Corp. | 129,987 | 1,819 |
1 | ProAssurance Corp. | 75,434 | 1,783 |
KKR & Co. Inc. | 38,143 | 1,766 | |
1 | CNO Financial Group Inc. | 89,838 | 1,625 |
*,1 | Genworth Financial Inc. Class A | 459,182 | 1,621 |
1 | Central Pacific Financial Corp. | 64,969 | 1,394 |
1 | PacWest Bancorp | 51,295 | 1,368 |
1 | Virtu Financial Inc. Class A | 49,757 | 1,165 |
Synchrony Financial | 34,061 | 941 | |
Brightsphere Investment Group Inc. | 48,331 | 870 | |
Blackstone Inc. | 9,510 | 868 | |
Banner Corp. | 13,463 | 757 | |
* | Enstar Group Ltd. | 3,151 | 674 |
Westamerica BanCorp. | 11,844 | 659 | |
1 | Southside Bancshares Inc. | 17,316 | 648 |
SEI Investments Co. | 11,610 | 627 | |
Nelnet Inc. Class A | 7,290 | 622 | |
1 | NBT Bancorp Inc. | 16,448 | 618 |
1 | Fidelity National Financial Inc. | 15,071 | 557 |
First Foundation Inc. | 17,953 | 368 | |
* | Ambac Financial Group Inc. | 18,084 | 205 |
109,363 | |||
Health Care (9.8%) | |||
*,1 | AMN Healthcare Services Inc. | 48,116 | 5,279 |
*,1 | FibroGen Inc. | 441,869 | 4,666 |
* | Veeva Systems Inc. Class A | 22,164 | 4,389 |
*,1 | STAAR Surgical Co. | 54,993 | 3,901 |
*,1 | Medpace Holdings Inc. | 25,103 | 3,757 |
*,1 | Allscripts Healthcare Solutions Inc. | 245,564 | 3,642 |
*,1 | Alkermes plc | 105,716 | 3,149 |
Shares | Market Value• ($000) | ||
* | Deciphera Pharmaceuticals Inc. | 197,258 | 2,594 |
West Pharmaceutical Services Inc. | 8,472 | 2,562 | |
* | PTC Therapeutics Inc. | 53,653 | 2,149 |
* | Glaukos Corp. | 46,824 | 2,127 |
* | Arrowhead Pharmaceuticals Inc. | 57,520 | 2,025 |
* | Shockwave Medical Inc. | 10,548 | 2,017 |
Merck & Co. Inc. | 21,703 | 1,979 | |
* | ImmunoGen Inc. | 404,797 | 1,822 |
* | QuidelOrtho Corp. | 17,556 | 1,706 |
Pfizer Inc. | 27,719 | 1,453 | |
* | Nektar Therapeutics Class A | 372,279 | 1,415 |
* | NuVasive Inc. | 26,675 | 1,311 |
* | Cross Country Healthcare Inc. | 59,900 | 1,248 |
* | Health Catalyst Inc. | 71,697 | 1,039 |
* | Sarepta Therapeutics Inc. | 12,276 | 920 |
* | REGENXBIO Inc. | 35,478 | 876 |
*,1 | Agenus Inc. | 443,331 | 860 |
* | Vir Biotechnology Inc. | 27,180 | 692 |
* | MEDNAX Inc. | 29,993 | 630 |
*,1 | NextGen Healthcare Inc. | ���35,866 | 626 |
*,1 | Figs Inc. Class A | 65,533 | 597 |
* | Theravance Biopharma Inc. | 64,468 | 584 |
*,1 | Codexis Inc. | 54,904 | 574 |
* | Masimo Corp. | 4,107 | 537 |
* | Seres Therapeutics Inc. | 151,837 | 521 |
* | ABIOMED Inc. | 1,504 | 372 |
*,1 | Intercept Pharmaceuticals Inc. | 24,410 | 337 |
* | Amneal Pharmaceuticals Inc. | 93,850 | 298 |
*,1 | Endo International plc | 428,290 | 199 |
*,1 | Personalis Inc. | 29,719 | 103 |
62,956 | |||
Industrials (15.5%) | |||
1 | Korn Ferry | 84,470 | 4,901 |
1 | Spirit AeroSystems Holdings Inc. Class A | 167,273 | 4,901 |
*,1 | NOW Inc. | 459,653 | 4,495 |
1 | Allison Transmission Holdings Inc. | 116,384 | 4,475 |
*,1 | Builders FirstSource Inc. | 83,206 | 4,468 |
1 | Kforce Inc. | 72,833 | 4,468 |
1 | ManpowerGroup Inc. | 57,992 | 4,431 |
1 | GrafTech International Ltd. | 621,503 | 4,394 |
*,1 | Univar Solutions Inc. | 172,657 | 4,294 |
*,1 | United Rentals Inc. | 17,146 | 4,165 |
*,1 | Atkore Inc. | 48,593 | 4,034 |
1 | Boise Cascade Co. | 66,531 | 3,958 |
1 | Owens Corning | 52,070 | 3,869 |
1 | Esab Corp. | 83,093 | 3,635 |
1 | Emerson Electric Co. | 40,702 | 3,237 |
Waste Management Inc. | 20,770 | 3,177 | |
1 | UFP Industries Inc. | 45,789 | 3,120 |
1 | Robert Half International Inc. | 31,534 | 2,362 |
*,1 | MRC Global Inc. | 220,476 | 2,196 |
1 | Encore Wire Corp. | 20,939 | 2,176 |
1 | Rush Enterprises Inc. Class A | 41,626 | 2,006 |
*,1 | Titan International Inc. | 120,825 | 1,824 |
Cintas Corp. | 4,659 | 1,740 |
Shares | Market Value• ($000) | ||
* | ASGN Inc. | 17,129 | 1,546 |
*,1 | Veritiv Corp. | 12,738 | 1,383 |
*,1 | GMS Inc. | 30,505 | 1,358 |
1 | Mueller Industries Inc. | 25,303 | 1,348 |
1 | Terex Corp. | 48,503 | 1,328 |
1 | Acuity Brands Inc. | 8,043 | 1,239 |
Ryder System Inc. | 16,857 | 1,198 | |
Applied Industrial Technologies Inc. | 11,635 | 1,119 | |
Matson Inc. | 14,780 | 1,077 | |
Watts Water Technologies Inc. Class A | 8,641 | 1,062 | |
Heidrick & Struggles International Inc. | 26,157 | 846 | |
* | Saia Inc. | 4,493 | 845 |
Genco Shipping & Trading Ltd. | 34,192 | 661 | |
* | Clean Harbors Inc. | 7,401 | 649 |
* | SkyWest Inc. | 30,101 | 640 |
* | Hub Group Inc. Class A | 8,812 | 625 |
99,250 | |||
Information Technology (14.9%) | |||
*,1 | Cadence Design Systems Inc. | 31,275 | 4,692 |
*,1 | Nutanix Inc. Class A | 315,297 | 4,613 |
*,1 | Dropbox Inc. Class A | 219,556 | 4,608 |
*,1 | Arrow Electronics Inc. | 39,912 | 4,474 |
*,1 | Kyndryl Holdings Inc. | 450,637 | 4,407 |
* | Splunk Inc. | 49,807 | 4,406 |
*,1 | CommScope Holding Co. Inc. | 719,425 | 4,403 |
*,1 | Extreme Networks Inc. | 493,271 | 4,400 |
*,1 | Cirrus Logic Inc. | 60,527 | 4,391 |
*,1 | Axcelis Technologies Inc. | 71,434 | 3,917 |
*,1 | Everbridge Inc. | 139,012 | 3,877 |
1 | Pegasystems Inc. | 77,292 | 3,698 |
1 | Jabil Inc. | 72,141 | 3,694 |
*,1 | Domo Inc. Class B | 125,249 | 3,482 |
*,1 | 8x8 Inc. | 674,754 | 3,475 |
1 | Accenture plc Class A | 12,510 | 3,473 |
*,1 | Super Micro Computer Inc. | 79,257 | 3,198 |
* | RingCentral Inc. Class A | 53,403 | 2,791 |
1 | QUALCOMM Inc. | 21,330 | 2,725 |
*,1 | MaxLinear Inc. | 79,151 | 2,690 |
*,1 | ACI Worldwide Inc. | 81,659 | 2,114 |
Microsoft Corp. | 7,642 | 1,963 | |
CDW Corp. | 10,544 | 1,661 | |
*,1 | Fortinet Inc. | 26,815 | 1,517 |
*,1 | Manhattan Associates Inc. | 12,906 | 1,479 |
* | Yext Inc. | 265,863 | 1,271 |
* | Fair Isaac Corp. | 3,032 | 1,215 |
1 | TTEC Holdings Inc. | 17,482 | 1,187 |
Avnet Inc. | 23,861 | 1,023 | |
1 | A10 Networks Inc. | 55,617 | 800 |
* | EngageSmart Inc. | 48,059 | 773 |
*,1 | Conduent Inc. | 154,895 | 669 |
Vishay Intertechnology Inc. | 34,846 | 621 | |
* | KnowBe4 Inc. Class A | 39,533 | 617 |
* | EPAM Systems Inc. | 1,954 | 576 |
Kulicke & Soffa Industries Inc. | 12,028 | 515 | |
* | Synopsys Inc. | 1,255 | 381 |
* | Fabrinet | 2,744 | 223 |
96,019 |
Shares | Market Value• ($000) | ||
Materials (5.6%) | |||
1 | LyondellBasell Industries NV Class A | 46,571 | 4,073 |
1 | Warrior Met Coal Inc. | 131,823 | 4,035 |
1 | AdvanSix Inc. | 111,517 | 3,729 |
1 | Reliance Steel & Aluminum Co. | 19,574 | 3,325 |
1 | Chemours Co. | 98,975 | 3,169 |
*,1 | Constellium SE Class A | 226,988 | 2,998 |
1 | Tronox Holdings plc Class A | 174,989 | 2,940 |
1 | CF Industries Holdings Inc. | 27,243 | 2,336 |
Freeport-McMoRan Inc. | 60,962 | 1,784 | |
1 | Packaging Corp. of America | 10,316 | 1,418 |
Mosaic Co. | 23,106 | 1,091 | |
Greif Inc. Class A | 15,358 | 958 | |
1 | Schnitzer Steel Industries Inc. Class A | 27,902 | 916 |
Orion Engineered Carbons SA | 43,588 | 677 | |
Balchem Corp. | 5,170 | 671 | |
Sensient Technologies Corp. | 8,246 | 664 | |
1 | Louisiana-Pacific Corp. | 10,832 | 568 |
* | TimkenSteel Corp. | 27,888 | 522 |
1 | Koppers Holdings Inc. | 6,444 | 146 |
36,020 | |||
Real Estate (9.8%) | |||
1 | STORE Capital Corp. | 182,670 | 4,764 |
Camden Property Trust | 34,669 | 4,662 | |
1 | Piedmont Office Realty Trust Inc. Class A | 348,011 | 4,566 |
1 | Extra Space Storage Inc. | 26,813 | 4,561 |
1 | Outfront Media Inc. | 259,424 | 4,397 |
1 | Highwoods Properties Inc. | 127,477 | 4,359 |
1 | Brandywine Realty Trust | 439,893 | 4,241 |
1 | Paramount Group Inc. | 575,363 | 4,160 |
*,1 | DiamondRock Hospitality Co. | 481,764 | 3,955 |
1 | Office Properties Income Trust | 198,154 | 3,953 |
1 | Getty Realty Corp. | 133,933 | 3,549 |
1 | Weyerhaeuser Co. | 88,600 | 2,935 |
1 | Essential Properties Realty Trust Inc. | 133,395 | 2,867 |
Prologis Inc. | 17,622 | 2,073 | |
1 | American Assets Trust Inc. | 62,905 | 1,868 |
*,1 | Summit Hotel Properties Inc. | 240,021 | 1,745 |
1 | Necessity Retail REIT Inc. | 90,955 | 662 |
Park Hotels & Resorts Inc. | 48,341 | 656 | |
1 | SITE Centers Corp. | 48,092 | 648 |
Simon Property Group Inc. | 6,522 | 619 | |
1 | RLJ Lodging Trust | 56,031 | 618 |
EPR Properties | 12,321 | 578 | |
* | Xenia Hotels & Resorts Inc. | 19,854 | 289 |
62,725 | |||
Utilities (4.0%) | |||
1 | Otter Tail Corp. | 69,494 | 4,665 |
1 | Vistra Corp. | 196,367 | 4,487 |
1 | National Fuel Gas Co. | 67,443 | 4,455 |
1 | Brookfield Infrastructure Corp. Class A (XTSE) | 98,979 | 4,206 |
1 | NRG Energy Inc. | 82,645 | 3,154 |
1 | Constellation Energy Corp. | 44,392 | 2,542 |
Shares | Market Value• ($000) | ||
1 | NiSource Inc. | 39,803 | 1,174 |
Chesapeake Utilities Corp. | 5,580 | 723 | |
25,406 | |||
Total Common Stocks—Long Positions (Cost $668,078) | 618,706 | ||
Temporary Cash Investments (5.0%) | |||
Money Market Fund (5.0%) | |||
2 | Vanguard Market Liquidity Fund, 1.417% (Cost $31,885) | 318,961 | 31,886 |
Common Stocks Sold Short (-95.8%) | |||
Communication Services (-2.2%) | |||
* | Madison Square Garden Entertainment Corp. | (80,467) | (4,234) |
Paramount Global Class B | (131,669) | (3,250) | |
* | Liberty Broadband Corp. Class C | (18,231) | (2,108) |
* | Ziff Davis Inc. | (15,505) | (1,156) |
* | Lions Gate Entertainment Corp. Class A | (108,737) | (1,012) |
* | IAC/InterActiveCorp. | (11,736) | (891) |
* | Liberty Media Corp.- Liberty Formula One Class A | (11,228) | (651) |
* | Roblox Corp. Class A | (18,530) | (609) |
* | Globalstar Inc. | (348,773) | (429) |
(14,340) | |||
Consumer Discretionary (-8.2%) | |||
Polaris Inc. | (45,465) | (4,514) | |
Strategic Education Inc. | (61,921) | (4,370) | |
* | CarMax Inc. | (47,259) | (4,276) |
Whirlpool Corp. | (22,104) | (3,423) | |
* | Bally's Corp. | (159,125) | (3,148) |
Domino's Pizza Inc. | (6,031) | (2,350) | |
Hasbro Inc. | (28,445) | (2,329) | |
* | Helen of Troy Ltd. | (13,580) | (2,206) |
Wingstop Inc. | (29,134) | (2,178) | |
* | National Vision Holdings Inc. | (65,670) | (1,806) |
* | DraftKings Inc. Class A | (148,026) | (1,727) |
* | iRobot Corp. | (46,435) | (1,706) |
* | Petco Health & Wellness Co. Inc. Class A | (111,987) | (1,651) |
BorgWarner Inc. (XNYS) | (49,447) | (1,650) | |
* | Planet Fitness Inc. Class A | (22,427) | (1,525) |
Laureate Education Inc. Class A | (117,966) | (1,365) | |
* | Hilton Grand Vacations Inc. | (34,740) | (1,241) |
* | QuantumScape Corp. Class A | (127,683) | (1,097) |
* | Leslie's Inc. | (72,136) | (1,095) |
Krispy Kreme Inc. | (79,797) | (1,085) | |
* | Las Vegas Sands Corp. | (26,367) | (886) |
Monro Inc. | (20,292) | (870) | |
Papa John's International Inc. | (10,132) | (846) | |
* | Xometry Inc. Class A | (24,154) | (820) |
* | Xponential Fitness Inc. Class A | (58,033) | (729) |
Cracker Barrel Old Country Store Inc. | (8,391) | (701) | |
* | Ollie's Bargain Outlet Holdings Inc. | (11,175) | (657) |
* | Carvana Co. Class A | (27,274) | (616) |
* | Callaway Golf Co. | (30,154) | (615) |
Shares | Market Value• ($000) | ||
* | Carnival Corp. | (65,516) | (567) |
Yum China Holdings Inc. | (7,462) | (362) | |
* | Vroom Inc. | (133,949) | (167) |
(52,578) | |||
Consumer Staples (-4.7%) | |||
Sysco Corp. | (48,971) | (4,148) | |
* | Freshpet Inc. | (56,876) | (2,951) |
Reynolds Consumer Products Inc. | (102,609) | (2,798) | |
* | Grocery Outlet Holding Corp. | (61,595) | (2,626) |
Hormel Foods Corp. | (54,932) | (2,602) | |
McCormick & Co. Inc. | (29,195) | (2,431) | |
Lancaster Colony Corp. | (16,176) | (2,083) | |
J & J Snack Foods Corp. | (13,003) | (1,816) | |
Walmart Inc. | (14,866) | (1,807) | |
MGP Ingredients Inc. | (15,750) | (1,577) | |
Utz Brands Inc. | (99,594) | (1,376) | |
Walgreens Boots Alliance Inc. | (35,592) | (1,349) | |
* | Boston Beer Co. Inc. Class A | (3,417) | (1,035) |
* | TreeHouse Foods Inc. | (19,924) | (833) |
* | Performance Food Group Co. | (13,086) | (602) |
(30,034) | |||
Energy (-4.5%) | |||
Cheniere Energy Inc. | (33,497) | (4,456) | |
* | Green Plains Inc. | (160,734) | (4,367) |
Enviva Inc. | (75,194) | (4,303) | |
Baker Hughes Co. Class A | (111,585) | (3,221) | |
Coterra Energy Inc. | (114,684) | (2,958) | |
Chesapeake Energy Corp. | (30,055) | (2,437) | |
* | Peabody Energy Corp. | (99,641) | (2,125) |
* | Clean Energy Fuels Corp. | (437,914) | (1,962) |
* | Uranium Energy Corp. | (495,976) | (1,528) |
* | Dril-Quip Inc. | (32,520) | (839) |
* | Gevo Inc. | (344,229) | (809) |
* | DMC Global Inc. | (11,285) | (204) |
(29,209) | |||
Financials (-17.0%) | |||
T Rowe Price Group Inc. | (42,594) | (4,839) | |
Erie Indemnity Co. Class A | (25,151) | (4,834) | |
* | Cannae Holdings Inc. | (249,441) | (4,824) |
BancFirst Corp. | (49,877) | (4,774) | |
Moody's Corp. | (17,128) | (4,658) | |
CVB Financial Corp. | (187,108) | (4,642) | |
Progressive Corp. | (39,595) | (4,604) | |
Kemper Corp. | (95,000) | (4,550) | |
Mercury General Corp. | (102,297) | (4,532) | |
FirstCash Holdings Inc. | (64,917) | (4,512) | |
BOK Financial Corp. | (59,337) | (4,485) | |
Hilltop Holdings Inc. | (167,283) | (4,460) | |
LPL Financial Holdings Inc. | (23,214) | (4,283) | |
BankUnited Inc. | (119,905) | (4,265) | |
New York Community Bancorp Inc. | (403,019) | (3,680) | |
B Riley Financial Inc. | (86,010) | (3,634) | |
Lakeland Financial Corp. | (52,877) | (3,512) | |
Voya Financial Inc. | (50,939) | (3,032) | |
* | BRP Group Inc. Class A | (124,807) | (3,014) |
First Financial Bankshares Inc. | (69,645) | (2,735) | |
United Bankshares Inc. | (73,946) | (2,593) | |
Live Oak Bancshares Inc. | (64,955) | (2,201) |
Shares | Market Value• ($000) | ||
Independent Bank Group Inc. | (30,419) | (2,066) | |
Prudential Financial Inc. | (20,987) | (2,008) | |
Artisan Partners Asset Management Inc. Class A | (52,947) | (1,883) | |
United Community Banks Inc. | (48,890) | (1,476) | |
First Interstate BancSystem Inc. Class A | (38,140) | (1,454) | |
James River Group Holdings Ltd. | (58,520) | (1,450) | |
S&P Global Inc. | (4,275) | (1,441) | |
Huntington Bancshares Inc. | (113,524) | (1,366) | |
Goosehead Insurance Inc. Class A | (29,419) | (1,344) | |
ServisFirst Bancshares Inc. | (16,540) | (1,305) | |
Trustmark Corp. | (40,537) | (1,183) | |
White Mountains Insurance Group Ltd. | (683) | (851) | |
Principal Financial Group Inc. | (12,727) | (850) | |
* | Axos Financial Inc. | (17,008) | (610) |
* | Mr Cooper Group Inc. | (15,920) | (585) |
Horace Mann Educators Corp. | (14,707) | (564) | |
HCI Group Inc. | (2,456) | (166) | |
(109,265) | |||
Health Care (-9.4%) | |||
* | Halozyme Therapeutics Inc. | (105,448) | (4,640) |
Azenta Inc. | (63,733) | (4,595) | |
* | OPKO Health Inc. | (1,763,244) | (4,461) |
* | Progyny Inc. | (128,018) | (3,719) |
* | Arvinas Inc. | (84,786) | (3,569) |
* | Innoviva Inc. | (198,120) | (2,924) |
* | Axonics Inc. | (45,511) | (2,579) |
Mesa Laboratories Inc. | (11,422) | (2,329) | |
* | Cytokinetics Inc. | (58,866) | (2,313) |
STERIS plc | (10,880) | (2,243) | |
* | Teladoc Health Inc. | (66,543) | (2,210) |
* | ICU Medical Inc. | (11,330) | (1,863) |
* | Ironwood Pharmaceuticals Inc. Class A | (151,374) | (1,745) |
* | Cerevel Therapeutics Holdings Inc. | (65,827) | (1,740) |
* | AdaptHealth Corp. Class A | (95,792) | (1,728) |
* | Alphatec Holdings Inc. | (261,289) | (1,709) |
* | Krystal Biotech Inc. | (24,878) | (1,633) |
Royalty Pharma plc Class A | (35,707) | (1,501) | |
* | Inari Medical Inc. | (20,701) | (1,407) |
* | ImmunityBio Inc. | (374,475) | (1,393) |
* | Dynavax Technologies Corp. | (107,090) | (1,348) |
* | SpringWorks Therapeutics Inc. | (50,108) | (1,234) |
Baxter International Inc. | (18,540) | (1,191) | |
* | Harmony Biosciences Holdings Inc. | (20,484) | (999) |
* | Enovis Corp. | (17,159) | (944) |
* | PMV Pharmaceuticals Inc. | (53,708) | (765) |
* | Cutera Inc. | (18,510) | (694) |
* | Intra-Cellular Therapies Inc. | (11,104) | (634) |
* | Outset Medical Inc. | (38,534) | (573) |
Shares | Market Value• ($000) | ||
* | Vericel Corp. | (20,516) | (517) |
* | Alignment Healthcare Inc. | (41,723) | (476) |
* | Nuvation Bio Inc. | (104,257) | (338) |
* | Instil Bio Inc. | (38,891) | (180) |
(60,194) | |||
Industrials (-15.6%) | |||
* | RBC Bearings Inc. | (27,247) | (5,039) |
* | FTI Consulting Inc. | (27,053) | (4,893) |
Rockwell Automation Inc. | (22,695) | (4,523) | |
Stanley Black & Decker Inc. | (42,838) | (4,492) | |
Flowserve Corp. | (152,721) | (4,372) | |
MillerKnoll Inc. | (163,895) | (4,305) | |
* | Construction Partners Inc. Class A | (204,946) | (4,292) |
* | MasTec Inc. | (56,839) | (4,073) |
Woodward Inc. | (43,522) | (4,025) | |
Federal Signal Corp. | (110,186) | (3,923) | |
Quanta Services Inc. | (29,883) | (3,746) | |
* | Array Technologies Inc. | (316,261) | (3,482) |
* | AeroVironment Inc. | (41,798) | (3,436) |
* | Mercury Systems Inc. | (52,651) | (3,387) |
* | Stericycle Inc. | (67,617) | (2,965) |
* | Chart Industries Inc. | (16,601) | (2,779) |
CH Robinson Worldwide Inc. | (25,795) | (2,615) | |
* | KAR Auction Services Inc. | (166,718) | (2,462) |
* | Plug Power Inc. | (143,416) | (2,376) |
* | Frontier Group Holdings Inc. | (251,990) | (2,361) |
Steelcase Inc. Class A | (214,905) | (2,306) | |
AAON Inc. | (41,777) | (2,288) | |
Rollins Inc. | (61,525) | (2,148) | |
Granite Construction Inc. | (69,891) | (2,037) | |
TransUnion | (25,255) | (2,020) | |
Enerpac Tool Group Corp. Class A | (104,640) | (1,990) | |
Greenbrier Cos. Inc. | (53,977) | (1,943) | |
* | Ameresco Inc. Class A | (42,243) | (1,925) |
* | Clarivate plc | (117,967) | (1,635) |
Ingersoll Rand Inc. | (35,523) | (1,495) | |
* | Bloom Energy Corp. Class A | (83,879) | (1,384) |
* | Shoals Technologies Group Inc. Class A | (81,927) | (1,350) |
* | Fluence Energy Inc. | (91,509) | (867) |
Oshkosh Corp. | (8,485) | (697) | |
* | Generac Holdings Inc. | (3,005) | (633) |
* | Uber Technologies Inc. | (29,463) | (603) |
* | GXO Logistics Inc. | (13,747) | (595) |
* | Driven Brands Holdings Inc. | (14,972) | (412) |
* | Hydrofarm Holdings Group Inc. | (34,646) | (121) |
(99,995) | |||
Information Technology (-15.0%) | |||
* | First Solar Inc. | (69,114) | (4,709) |
* | Jamf Holding Corp. | (187,290) | (4,639) |
NortonLifeLock Inc. | (209,756) | (4,606) | |
* | Lumentum Holdings Inc. | (57,882) | (4,597) |
* | nCino Inc. | (143,517) | (4,438) |
* | Akamai Technologies Inc. | (46,539) | (4,251) |
Visa Inc. Class A | (21,257) | (4,185) | |
* | 3D Systems Corp. | (414,216) | (4,018) |
* | Tyler Technologies Inc. | (11,941) | (3,970) |
* | II-VI Inc. | (68,639) | (3,497) |
* | Ping Identity Holding Corp. | (177,408) | (3,218) |
Shares | Market Value• ($000) | ||
* | Paycor HCM Inc. | (121,617) | (3,162) |
* | AppLovin Corp. Class A | (89,251) | (3,074) |
* | DigitalOcean Holdings Inc. | (71,866) | (2,972) |
* | PAR Technology Corp. | (76,883) | (2,882) |
* | Novanta Inc. | (22,558) | (2,736) |
* | Guidewire Software Inc. | (37,573) | (2,667) |
* | ViaSat Inc. | (84,667) | (2,593) |
* | Rambus Inc. | (118,901) | (2,555) |
* | SunPower Corp. | (156,793) | (2,479) |
* | Envestnet Inc. | (44,093) | (2,327) |
* | Enphase Energy Inc. | (10,519) | (2,054) |
Dolby Laboratories Inc. Class A | (28,442) | (2,035) | |
* | Unity Software Inc. | (50,255) | (1,850) |
* | Bill.com Holdings Inc. | (16,531) | (1,818) |
* | Blackbaud Inc. | (29,146) | (1,693) |
* | Repay Holdings Corp. Class A | (129,679) | (1,666) |
* | Plexus Corp. | (19,127) | (1,502) |
* | Blackline Inc. | (19,957) | (1,329) |
* | Appfolio Inc. Class A | (14,604) | (1,324) |
* | I3 Verticals Inc. Class A | (51,734) | (1,294) |
Methode Electronics Inc. | (33,941) | (1,257) | |
Universal Display Corp. | (11,347) | (1,148) | |
* | Marqeta Inc. Class A | (120,480) | (977) |
* | Ceridian HCM Holding Inc. | (18,225) | (858) |
* | MeridianLink Inc. | (50,144) | (837) |
Teradyne Inc. | (7,426) | (665) | |
* | Asana Inc. Class A | (26,997) | (475) |
(96,357) | |||
Materials (-5.6%) | |||
Quaker Chemical Corp. | (32,456) | (4,853) | |
Amcor plc | (381,374) | (4,740) | |
RPM International Inc. | (56,238) | (4,427) | |
Scotts Miracle-Gro Co. | (54,590) | (4,312) | |
Worthington Industries Inc. | (97,689) | (4,308) | |
Martin Marietta Materials Inc. | (14,323) | (4,286) | |
Compass Minerals International Inc. | (85,228) | (3,016) | |
Kaiser Aluminum Corp. | (30,004) | (2,373) | |
International Flavors & Fragrances Inc. | (14,488) | (1,726) | |
* | Ranpak Holdings Corp. Class A | (212,538) | (1,488) |
* | Novagold Resources Inc. | (117,905) | (567) |
(36,096) | |||
Real Estate (-9.7%) | |||
Newmark Group Inc. Class A | (513,538) | (4,966) | |
National Health Investors Inc. | (79,192) | (4,800) | |
Iron Mountain Inc. | (95,176) | (4,634) | |
Welltower Inc. | (54,966) | (4,526) |
Shares | Market Value• ($000) | ||
Safehold Inc. | (125,736) | (4,447) | |
Cousins Properties Inc. | (151,696) | (4,434) | |
Americold Realty Trust | (147,489) | (4,431) | |
LXP Industrial Trust | (411,403) | (4,418) | |
JBG SMITH Properties | (183,215) | (4,331) | |
Washington REIT | (202,519) | (4,316) | |
* | Veris Residential Inc. | (318,913) | (4,222) |
Physicians Realty Trust | (104,834) | (1,829) | |
LTC Properties Inc. | (46,826) | (1,798) | |
* | Equity Commonwealth | (63,628) | (1,752) |
SL Green Realty Corp. | (37,699) | (1,740) | |
* | Ryman Hospitality Properties Inc. | (21,078) | (1,603) |
Agree Realty Corp. | (14,429) | (1,041) | |
American Tower Corp. | (3,123) | (798) | |
NETSTREIT Corp. | (39,732) | (750) | |
American Homes 4 Rent Class A | (18,098) | (641) | |
* | DigitalBridge Group Inc. | (122,455) | (598) |
(62,075) | |||
Utilities (-3.9%) | |||
Ormat Technologies Inc. (XNYS) | (61,150) | (4,791) | |
Atmos Energy Corp. | (42,471) | (4,761) | |
Clearway Energy Inc. Class C | (136,180) | (4,744) | |
Brookfield Renewable Corp. Class A Class A | (129,334) | (4,606) | |
ONE Gas Inc. | (46,380) | (3,766) | |
Public Service Enterprise Group Inc. | (20,966) | (1,327) | |
* | Southwest Gas Holdings Inc. | (13,290) | (1,157) |
(25,152) | |||
Total Common Stocks Sold Short (Proceeds $683,113) | (615,295) | ||
Other Assets and Other Liabilities—Net (94.5%) | 607,254 | ||
Net Assets (100%) | 642,551 | ||
Cost is in $000. |
• | See Note A in Notes to Financial Statements. |
* | Non-income-producing security. |
1 | Long security positions with a value of $344,293,000 are held in a segregated account at the fund's custodian bank and pledged to a broker-dealer as collateral for the fund's obligation to return borrowed securities. For so long as such obligations continue, the fund’s access to these assets is subject to authorization from the broker-dealer. |
2 | Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield. |
REIT—Real Estate Investment Trust. |
($000s, except shares and per-share amounts) | Amount |
Assets | |
Investments in Securities, at Value | |
Unaffiliated Issuers (Cost $668,078) | 618,706 |
Affiliated Issuers (Cost $31,885) | 31,886 |
Total Investments in Securities | 650,592 |
Investment in Vanguard | 23 |
Cash Segregated for Short Positions | 599,194 |
Receivables for Investment Securities Sold | 34,670 |
Receivables for Accrued Income | 685 |
Receivables for Capital Shares Issued | 5,190 |
Total Assets | 1,290,354 |
Liabilities | |
Securities Sold Short, at Value (Proceeds $683,113) | 615,295 |
Due to Custodian | 9 |
Payables for Investment Securities Purchased | 31,231 |
Payables for Capital Shares Redeemed | 620 |
Payables to Vanguard | 51 |
Accrued Dividend Expense on Securities Sold Short | 597 |
Total Liabilities | 647,803 |
Net Assets | 642,551 |
At June 30, 2022, net assets consisted of: | |
Paid-in Capital | 816,083 |
Total Distributable Earnings (Loss) | (173,532) |
Net Assets | 642,551 |
Investor Shares—Net Assets | |
Applicable to 50,365,919 outstanding $.001 par value shares of beneficial interest (unlimited authorization) | 594,919 |
Net Asset Value Per Share—Investor Shares | $11.81 |
Institutional Shares—Net Assets | |
Applicable to 4,047,430 outstanding $.001 par value shares of beneficial interest (unlimited authorization) | 47,632 |
Net Asset Value Per Share—Institutional Shares | $11.77 |
Six Months Ended June 30, 2022 | |
($000) | |
Investment Income | |
Income | |
Dividends1 | 3,504 |
Interest2 | 21 |
Securities Lending—Net | 2 |
Total Income | 3,527 |
Expenses | |
The Vanguard Group—Note B | |
Investment Advisory Services | 180 |
Management and Administrative—Investor Shares | 191 |
Management and Administrative—Institutional Shares | 10 |
Marketing and Distribution—Investor Shares | 19 |
Marketing and Distribution—Institutional Shares | 1 |
Custodian Fees | 8 |
Shareholders’ Reports—Investor Shares | 14 |
Shareholders’ Reports—Institutional Shares | 1 |
Trustees’ Fees and Expenses | — |
Dividend Expense on Securities Sold Short | 3,122 |
Borrowing Expense on Securities Sold Short | 96 |
Other Expenses | 9 |
Total Expenses | 3,651 |
Net Investment Income (Loss) | (124) |
Realized Net Gain (Loss) | |
Investment Securities Sold—Long Positions2 | 8,771 |
Investment Securities Sold—Short Positions | 36,845 |
Realized Net Gain (Loss) | 45,616 |
Change in Unrealized Appreciation (Depreciation) | |
Investment Securities—Long Positions2 | (98,711) |
Investment Securities—Short Positions | 69,791 |
Change in Unrealized Appreciation (Depreciation) | (28,920) |
Net Increase (Decrease) in Net Assets Resulting from Operations | 16,572 |
1 | Dividends are net of foreign withholding taxes of $12,000. |
2 | Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $21,000, ($5,000), and $1,000, respectively. Purchases and sales are for temporary cash investment purposes. |
Six Months Ended June 30, 2022 | Year Ended December 31, 2021 | ||
($000) | ($000) | ||
Increase (Decrease) in Net Assets | |||
Operations | |||
Net Investment Income | (124) | 517 | |
Realized Net Gain (Loss) | 45,616 | 14,667 | |
Change in Unrealized Appreciation (Depreciation) | (28,920) | 46,599 | |
Net Increase (Decrease) in Net Assets Resulting from Operations | 16,572 | 61,783 | |
Distributions | |||
Investor Shares | — | (438) | |
Institutional Shares | — | (88) | |
Total Distributions | — | (526) | |
Capital Share Transactions | |||
Investor Shares | 298,430 | (11,669) | |
Institutional Shares | (230) | (28,931) | |
Net Increase (Decrease) from Capital Share Transactions | 298,200 | (40,600) | |
Total Increase (Decrease) | 314,772 | 20,657 | |
Net Assets | |||
Beginning of Period | 327,779 | 307,122 | |
End of Period | 642,551 | 327,779 |
Investor Shares | ||||||
For a Share Outstanding Throughout Each Period | Six Months Ended June 30, 2022 | Year Ended December 31, | ||||
2021 | 2020 | 2019 | 2018 | 2017 | ||
Net Asset Value, Beginning of Period | $11.00 | $8.94 | $10.19 | $11.62 | $11.66 | $12.39 |
Investment Operations | ||||||
Net Investment Income (Loss)1 | (.003) | .017 | .051 | .206 | .108 | .111 |
Net Realized and Unrealized Gain (Loss) on Investments | .813 | 2.060 | (1.229) | (1.314) | (.038) | (.717) |
Total from Investment Operations | .810 | 2.077 | (1.178) | (1.108) | .070 | (.606) |
Distributions | ||||||
Dividends from Net Investment Income | — | (.017) | (.072) | (.322) | (.110) | (.124) |
Distributions from Realized Capital Gains | — | — | — | — | — | — |
Total Distributions | — | (.017) | (.072) | (.322) | (.110) | (.124) |
Net Asset Value, End of Period | $11.81 | $11.00 | $8.94 | $10.19 | $11.62 | $11.66 |
Total Return | 7.36% | 23.24% | -11.57% | -9.57% | 0.59% | -4.89% |
Ratios/Supplemental Data | ||||||
Net Assets, End of Period (Millions) | $595 | $283 | $243 | $408 | $1,209 | $1,368 |
Ratio of Total Expenses to Average Net Assets | ||||||
Based on Total Expenses2,3 | 1.64% | 1.31% | 1.18% | 1.46% | 1.80% | 1.54% |
Net of Dividend and Borrowing Expense on Securities Sold Short | 0.20% | 0.20% | 0.20% | 0.20% | 0.20% | 0.22% |
Ratio of Net Investment Income (Loss) to Average Net Assets | (0.19%) | 0.18% | 0.52% | 1.90% | 0.93% | 0.94% |
Portfolio Turnover Rate | 123% | 133% | 172% | 141% | 110% | 79% |
The expense ratio and net investment income ratio for the current period have been annualized. |
1 | Calculated based on average shares outstanding. |
2 | Includes dividend expense on securities sold short of 1.40%, 0.84%, 0.98%, 1.26%, 1.60%, and 1.32%, respectively. |
3 | Includes borrowing expense on securities sold short of 0.04%, 0.27%, 0.00%, 0.00%, 0.00%, and 0.00%, respectively. |
Institutional Shares | ||||||
For a Share Outstanding Throughout Each Period | Six Months Ended June 30, 2022 | Year Ended December 31, | ||||
2021 | 2020 | 2019 | 2018 | 2017 | ||
Net Asset Value, Beginning of Period | $10.96 | $8.90 | $10.15 | $11.57 | $11.61 | $12.34 |
Investment Operations | ||||||
Net Investment Income (Loss)1 | (.005) | .017 | .057 | .213 | .119 | .123 |
Net Realized and Unrealized Gain (Loss) on Investments | .815 | 2.065 | (1.230) | (1.305) | (.043) | (.719) |
Total from Investment Operations | .810 | 2.082 | (1.173) | (1.092) | .076 | (.596) |
Distributions | ||||||
Dividends from Net Investment Income | — | (.022) | (.077) | (.328) | (.116) | (.134) |
Distributions from Realized Capital Gains | — | — | — | — | — | — |
Total Distributions | — | (.022) | (.077) | (.328) | (.116) | (.134) |
Net Asset Value, End of Period | $11.77 | $10.96 | $8.90 | $10.15 | $11.57 | $11.61 |
Total Return | 7.39% | 23.39% | -11.58% | -9.48% | 0.65% | -4.83% |
Ratios/Supplemental Data | ||||||
Net Assets, End of Period (Millions) | $48 | $45 | $65 | $142 | $346 | $332 |
Ratio of Total Expenses to Average Net Assets | ||||||
Based on Total Expenses2,3 | 1.58% | 1.25% | 1.12% | 1.40% | 1.74% | 1.46% |
Net of Dividend and Borrowing Expense on Securities Sold Short | 0.14% | 0.14% | 0.14% | 0.14% | 0.14% | 0.14% |
Ratio of Net Investment Income (Loss) to Average Net Assets | (0.22)% | 0.17% | 0.59% | 1.96% | 0.99% | 1.02% |
Portfolio Turnover Rate | 123% | 133% | 172% | 141% | 110% | 79% |
The expense ratio and net investment income ratio for the current period have been annualized. |
1 | Calculated based on average shares outstanding. |
2 | Includes dividend expense on securities sold short of 1.40%, 0.84%, 0.98%, 1.26%, 1.60, and 1.32, respectively. |
3 | Includes borrowing expense on securities sold short of 0.04%, 0.27%, 0.00%, 0.00%, 0.00%, and 0.00%, respectively. |
A. | The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements. |
B. | In accordance with the terms of a Funds' Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees and are generally settled twice a month. |
C. | Various inputs may be used to determine the value of the fund’s investments. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. |
D. | As of June 30, 2022, gross unrealized appreciation and depreciation for investments and securities sold short based on cost for U.S. federal income tax purposes were as follows: |
Amount ($000) | |
Tax Cost | 704,303 |
Gross Unrealized Appreciation | 100,410 |
Gross Unrealized Depreciation | (86,303) |
Net Unrealized Appreciation (Depreciation) | 14,107 |
E. | During the six months ended June 30, 2022, the fund purchased $694,554,000 of investment securities and sold $299,730,000 of investment securities, other than temporary cash investments. The proceeds of short sales and the cost of purchases to cover short sales were $773,174,000 and $362,595,000, respectively. |
F. | Capital share transactions for each class of shares were: |
Six Months Ended June 30, 2022 | Year Ended December 31, 2021 | ||||
Amount ($000) | Shares (000) | Amount ($000) | Shares (000) | ||
Investor Shares | |||||
Issued | 443,966 | 36,967 | 72,755 | 7,263 | |
Issued in Lieu of Cash Distributions | — | — | 357 | 33 | |
Redeemed | (145,536) | (12,350) | (84,781) | (8,684) | |
Net Increase (Decrease)—Investor Shares | 298,430 | 24,617 | (11,669) | (1,388) | |
Institutional Shares | |||||
Issued | 16,120 | 1,364 | 7,810 | 806 | |
Issued in Lieu of Cash Distributions | — | — | 28 | 3 | |
Redeemed | (16,350) | (1,383) | (36,769) | (3,989) | |
Net Increase (Decrease)—Institutional Shares | (230) | (19) | (28,931) | (3,180) |
G. | Management has determined that no events or transactions occurred subsequent to June 30, 2022, that would require recognition or disclosure in these financial statements. |
All rights reserved.
Vanguard Marketing Corporation, Distributor.
Item 2: Code of Ethics.
Not applicable.
Item 3: Audit Committee Financial Expert.
Not applicable.
Item 4: Principal Accountant Fees and Services.
Not applicable.
Item 5: Audit Committee of Listed Registrants.
Not applicable.
Item 6: Investments.
Not applicable. The complete schedule of investments is included as part of the report to shareholders filed under Item 1 of this Form.
Item 7: Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.
Not applicable.
Item 8: Portfolio Managers of Closed-End Management Investment Companies.
Not applicable.
Item 9: Purchase of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.
Not applicable.
Item 10: Submission of Matters to a Vote of Security Holders.
Not applicable.
Item 11: Controls and Procedures.
(a) Disclosure Controls and Procedures. The Principal Executive and Financial Officers concluded that the Registrant’s Disclosure Controls and Procedures are effective based on their evaluation of the Disclosure Controls and Procedures as of a date within 90 days of the filing date of this report.
(b) Internal Control Over Financial Reporting. There were no significant changes in the Registrant’s Internal Control Over Financial Reporting or in other factors that could significantly affect this control subsequent to the date of the evaluation, including any corrective actions with regard to significant deficiencies and material weaknesses.
Item 12: Disclosure of Securities Lending Activities for Closed-End Management Investment Companies.
Not applicable.
Item 13: Exhibits.
(a)(1) Not applicable.
(a)(2) Certifications filed herewith.
(b) Certifications filed herewith.
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.
VANGUARD MONTGOMERY FUNDS | ||
BY: | /s/ MORTIMER J. BUCKLEY* | |
MORTIMER J. BUCKLEY | ||
CHIEF EXECUTIVE OFFICER |
Date: August 22, 2022
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.
VANGUARD MONTGOMERY FUNDS | ||
BY: | /s/ MORTIMER J. BUCKLEY* | |
MORTIMER J. BUCKLEY | ||
CHIEF EXECUTIVE OFFICER |
Date: August 22, 2022
VANGUARD MONTGOMERY FUNDS | ||
BY: | /s/ CHRISTINE BUCHANAN* | |
CHRISTINE BUCHANAN | ||
CHIEF FINANCIAL OFFICER |
Date: August 22, 2022
* By: | /s/ Anne E. Robinson |
Anne E. Robinson, pursuant to a Power of Attorney filed on November 29, 2021 (see File Number 33-64845), a Power of Attorney filed on October 12, 2021 (see File Number 33-23444), and a Power of Attorney filed on August 26, 2021 (see file Number 811-02652), Incorporated by Reference.