Vanguard® Explorer Fund
Schedule of Investments (unaudited)
As of July 31, 2021
The fund files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) for the first and third quarters of each fiscal year as an exhibit to its reports on Form N-PORT. The fund’s Form N-PORT reports are available on the SEC’s website at www.sec.gov.
Shares | Market Value ($000) | ||
Common Stocks (96.7%) | |||
Communication Services (2.8%) | |||
* | Live Nation Entertainment Inc. | 1,313,389 | 103,613 |
* | Cardlytics Inc. | 567,150 | 71,438 |
* | Match Group Inc. | 420,525 | 66,977 |
* | Cinemark Holdings Inc. | 3,792,861 | 58,903 |
New York Times Co. Class A | 1,253,184 | 54,864 | |
* | Take-Two Interactive Software Inc. | 251,148 | 43,554 |
* | Cargurus Inc. | 1,319,764 | 37,745 |
* | IAC/InterActiveCorp | 242,443 | 33,285 |
Electronic Arts Inc. | 216,400 | 31,153 | |
Warner Music Group Corp. Class A | 730,951 | 27,623 | |
* | ZipRecruiter Inc. Class A | 1,000,458 | 26,092 |
* | Bandwidth Inc. Class A | 199,694 | 25,892 |
* | Roku Inc. | 51,772 | 22,175 |
* | Iridium Communications Inc. | 420,384 | 17,753 |
* | TechTarget Inc. | 182,237 | 13,318 |
Nexstar Media Group Inc. Class A | 60,358 | 8,877 | |
* | Zynga Inc. Class A | 750,142 | 7,576 |
* | Yelp Inc. Class A | 125,641 | 4,699 |
* | Playtika Holding Corp. | 172,996 | 3,846 |
* | Madison Square Garden Sports Corp. | 18,823 | 3,063 |
Sinclair Broadcast Group Inc. Class A | 104,196 | 2,948 | |
*,1 | Gogo Inc. | 239,242 | 2,481 |
* | Magnite Inc. | 81,454 | 2,468 |
* | EverQuote Inc. Class A | 73,361 | 2,214 |
* | Clear Channel Outdoor Holdings Inc. | 515,480 | 1,371 |
* | Globalstar Inc. | 905,122 | 1,249 |
* | IDT Corp. Class B | 19,546 | 973 |
* | AMC Networks Inc. Class A | 18,335 | 918 |
* | IMAX Corp. | 52,220 | 843 |
* | WideOpenWest Inc. | 32,919 | 732 |
678,643 | |||
Consumer Discretionary (13.7%) | |||
* | Burlington Stores Inc. | 578,835 | 193,794 |
* | Ollie's Bargain Outlet Holdings Inc. | 1,528,750 | 142,327 |
* | Skechers USA Inc. Class A | 2,135,186 | 114,617 |
* | Skyline Champion Corp. | 2,023,503 | 114,126 |
* | Under Armour Inc. Class C | 6,258,904 | 109,656 |
* | Etsy Inc. | 589,936 | 108,259 |
Levi Strauss & Co. Class A | 3,855,312 | 106,098 | |
Carter's Inc. | 945,502 | 92,413 | |
Wingstop Inc. | 524,778 | 89,900 | |
* | Vroom Inc. | 2,394,099 | 88,677 |
Shares | Market Value ($000) | ||
Acushnet Holdings Corp. | 1,722,041 | 88,220 | |
* | 2U Inc. | 1,964,734 | 85,269 |
* | Sally Beauty Holdings Inc. | 4,456,950 | 84,325 |
*,2 | Houghton Mifflin Harcourt Co. | 7,198,968 | 81,492 |
* | Chegg Inc. | 833,787 | 73,899 |
* | Farfetch Ltd. Class A | 1,428,634 | 71,603 |
Hanesbrands Inc. | 3,920,938 | 71,596 | |
* | Deckers Outdoor Corp. | 165,931 | 68,173 |
* | frontdoor Inc. | 1,308,028 | 64,015 |
Papa John's International Inc. | 506,665 | 57,821 | |
*,1 | Chewy Inc. Class A | 652,029 | 54,575 |
* | Floor & Decor Holdings Inc. Class A | 438,995 | 53,562 |
* | Leslie's Inc. | 2,055,507 | 50,052 |
Domino's Pizza Inc. | 95,090 | 49,969 | |
Shutterstock Inc. | 446,824 | 48,476 | |
* | Revolve Group Inc. | 660,467 | 45,975 |
* | Purple Innovation Inc. Class A | 1,733,455 | 45,659 |
* | Ulta Beauty Inc. | 132,041 | 44,339 |
La-Z-Boy Inc. | 1,217,401 | 40,880 | |
* | Five Below Inc. | 204,260 | 39,712 |
* | National Vision Holdings Inc. | 687,868 | 37,131 |
Pool Corp. | 76,523 | 36,564 | |
* | Dollar Tree Inc. | 362,712 | 36,195 |
Polaris Inc. | 247,573 | 32,449 | |
Garmin Ltd. | 203,915 | 32,055 | |
Ralph Lauren Corp. Class A | 276,182 | 31,352 | |
* | Carvana Co. Class A | 91,340 | 30,833 |
* | RealReal Inc. | 1,858,206 | 30,679 |
* | Crocs Inc. | 219,561 | 29,819 |
* | Grand Canyon Education Inc. | 306,624 | 28,323 |
* | Callaway Golf Co. | 873,286 | 27,666 |
*,1 | Petco Health & Wellness Co. Inc. Class A | 1,300,002 | 26,819 |
* | Canada Goose Holdings Inc. | 599,542 | 25,439 |
* | Bright Horizons Family Solutions Inc. | 167,797 | 25,086 |
Monro Inc. | 390,730 | 22,662 | |
Rent-A-Center Inc. | 350,153 | 20,036 | |
* | Fox Factory Holding Corp. | 114,943 | 18,568 |
Tempur Sealy International Inc. | 332,251 | 14,377 | |
* | Coursera Inc. | 400,000 | 14,236 |
* | Lululemon Athletica Inc. | 30,381 | 12,158 |
* | Everi Holdings Inc. | 534,054 | 12,118 |
Signet Jewelers Ltd. | 186,120 | 11,975 | |
* | GameStop Corp. Class A | 74,042 | 11,930 |
Wendy's Co. | 503,466 | 11,685 | |
Service Corp. International | 174,629 | 10,913 | |
Williams-Sonoma Inc. | 71,559 | 10,855 | |
Texas Roadhouse Inc. Class A | 114,190 | 10,525 | |
H&R Block Inc. | 421,713 | 10,353 | |
* | Gentherm Inc. | 122,406 | 10,151 |
* | Academy Sports & Outdoors Inc. | 256,052 | 9,487 |
* | Children's Place Inc. | 112,014 | 9,446 |
* | Scientific Games Corp. Class A | 151,678 | 9,360 |
Winnebago Industries Inc. | 127,240 | 9,145 | |
* | Sleep Number Corp. | 85,206 | 8,453 |
* | Tapestry Inc. | 199,291 | 8,430 |
* | Tenneco Inc. Class A | 476,992 | 8,304 |
PulteGroup Inc. | 148,276 | 8,136 | |
* | Dave & Buster's Entertainment Inc. | 244,177 | 8,126 |
Shares | Market Value ($000) | ||
* | Penn National Gaming Inc. | 114,921 | 7,858 |
* | YETI Holdings Inc. | 78,340 | 7,546 |
Camping World Holdings Inc. Class A | 161,981 | 6,376 | |
* | Overstock.com Inc. | 81,089 | 5,647 |
* | Red Rock Resorts Inc. Class A | 141,311 | 5,568 |
Kontoor Brands Inc. | 100,293 | 5,554 | |
* | Brinker International Inc. | 98,909 | 5,375 |
* | Bed Bath & Beyond Inc. | 183,258 | 5,230 |
* | Bloomin' Brands Inc. | 206,768 | 5,196 |
* | Master Craft Boat Holdings Inc. | 194,458 | 5,184 |
Churchill Downs Inc. | 26,249 | 4,877 | |
Jack in the Box Inc. | 43,836 | 4,772 | |
*,1 | Canoo Inc. | 578,113 | 4,700 |
* | Abercrombie & Fitch Co. Class A | 121,633 | 4,599 |
Big Lots Inc. | 77,471 | 4,463 | |
* | Sonos Inc. | 132,861 | 4,435 |
* | Visteon Corp. | 37,686 | 4,298 |
* | Lumber Liquidators Holdings Inc. | 223,233 | 4,259 |
* | Planet Fitness Inc. Class A | 56,529 | 4,253 |
* | Perdoceo Education Corp. | 354,118 | 4,200 |
Hibbett Inc. | 47,036 | 4,170 | |
* | Urban Outfitters Inc. | 108,861 | 4,047 |
* | Asbury Automotive Group Inc. | 18,535 | 3,808 |
* | Dine Brands Global Inc. | 47,880 | 3,709 |
* | XPEL Inc. | 39,576 | 3,665 |
* | Ruth's Hospitality Group Inc. | 178,520 | 3,565 |
* | Boyd Gaming Corp. | 61,331 | 3,496 |
* | Lovesac Co. | 54,019 | 3,279 |
* | American Axle & Manufacturing Holdings Inc. | 338,231 | 3,277 |
* | El Pollo Loco Holdings Inc. | 169,399 | 3,153 |
Century Communities Inc. | 40,327 | 2,801 | |
*,1 | QuantumScape Corp. Class A | 113,618 | 2,603 |
Wolverine World Wide Inc. | 77,576 | 2,602 | |
Caleres Inc. | 97,203 | 2,405 | |
Oxford Industries Inc. | 25,385 | 2,207 | |
* | Kirkland's Inc. | 112,424 | 2,188 |
Gentex Corp. | 62,349 | 2,122 | |
Buckle Inc. | 50,079 | 2,107 | |
Standard Motor Products Inc. | 49,905 | 2,084 | |
* | MarineMax Inc. | 37,308 | 2,007 |
* | Six Flags Entertainment Corp. | 47,359 | 1,968 |
* | Stitch Fix Inc. Class A | 35,562 | 1,918 |
* | Vivint Smart Home Inc. | 152,159 | 1,867 |
* | Chico's FAS Inc. | 279,638 | 1,728 |
* | International Game Technology plc | 89,981 | 1,687 |
Aaron's Co. Inc. | 55,989 | 1,616 | |
* | Citi Trends Inc. | 19,885 | 1,586 |
* | Cheesecake Factory Inc. | 32,135 | 1,454 |
* | Party City Holdco Inc. | 167,466 | 1,430 |
* | Neogames SA | 28,009 | 1,351 |
* | Boot Barn Holdings Inc. | 13,572 | 1,173 |
* | Vail Resorts Inc. | 3,554 | 1,085 |
* | Drive Shack Inc. | 429,763 | 1,083 |
* | Golden Entertainment Inc. | 20,553 | 935 |
* | Groupon Inc. Class A | 25,212 | 917 |
* | Red Robin Gourmet Burgers Inc. | 30,382 | 797 |
* | Malibu Boats Inc. Class A | 9,402 | 787 |
1 | PetMed Express Inc. | 24,496 | 769 |
Shares | Market Value ($000) | ||
* | Designer Brands Inc. Class A | 51,456 | 750 |
* | SeaWorld Entertainment Inc. | 15,660 | 742 |
* | WW International Inc. | 19,685 | 605 |
3,281,251 | |||
Consumer Staples (2.7%) | |||
Sanderson Farms Inc. | 554,844 | 103,667 | |
* | Performance Food Group Co. | 2,199,179 | 100,766 |
* | BJ's Wholesale Club Holdings Inc. | 1,666,239 | 84,378 |
Nu Skin Enterprises Inc. Class A | 1,412,345 | 75,829 | |
* | Nomad Foods Ltd. | 2,866,687 | 74,878 |
Casey's General Stores Inc. | 266,643 | 52,718 | |
Coca-Cola Consolidated Inc. | 58,182 | 23,223 | |
Calavo Growers Inc. | 410,548 | 23,130 | |
MGP Ingredients Inc. | 340,973 | 20,339 | |
* | Oatly Group AB ADR | 967,400 | 17,171 |
* | Monster Beverage Corp. | 181,715 | 17,139 |
* | Herbalife Nutrition Ltd. | 314,391 | 16,015 |
Medifast Inc. | 26,046 | 7,437 | |
Vector Group Ltd. | 527,885 | 7,053 | |
* | Boston Beer Co. Inc. Class A | 9,279 | 6,588 |
John B Sanfilippo & Son Inc. | 67,616 | 6,245 | |
* | Pilgrim's Pride Corp. | 214,595 | 4,753 |
* | USANA Health Sciences Inc. | 49,637 | 4,729 |
National Beverage Corp. | 99,161 | 4,500 | |
Turning Point Brands Inc. | 59,064 | 3,132 | |
* | Darling Ingredients Inc. | 33,584 | 2,320 |
1 | Albertsons Cos. Inc. Class A | 89,333 | 1,930 |
657,940 | |||
Energy (0.9%) | |||
* | Whiting Petroleum Corp. | 812,434 | 38,103 |
* | ChampionX Corp. | 1,448,898 | 33,672 |
Delek US Holdings Inc. | 1,788,075 | 31,077 | |
Viper Energy Partners LP | 1,652,764 | 29,766 | |
Pioneer Natural Resources Co. | 103,134 | 14,993 | |
Ovintiv Inc. | 503,335 | 12,916 | |
Cabot Oil & Gas Corp. | 755,303 | 12,085 | |
Texas Pacific Land Corp. | 5,728 | 8,549 | |
* | Denbury Inc. | 122,363 | 8,040 |
* | Southwestern Energy Co. | 1,665,934 | 7,846 |
* | Magnolia Oil & Gas Corp. Class A | 538,163 | 7,534 |
* | Callon Petroleum Co. | 150,868 | 5,938 |
* | Laredo Petroleum Inc. | 99,992 | 5,506 |
Oasis Petroleum Inc. | 37,581 | 3,447 | |
* | Kosmos Energy Ltd. | 1,060,528 | 2,450 |
* | Tellurian Inc. | 428,284 | 1,615 |
Diamondback Energy Inc. | 19,410 | 1,497 | |
225,034 | |||
Financials (7.6%) | |||
LPL Financial Holdings Inc. | 931,598 | 131,393 | |
* | SVB Financial Group | 232,265 | 127,736 |
Tradeweb Markets Inc. Class A | 1,122,453 | 97,350 | |
Assured Guaranty Ltd. | 1,979,361 | 94,633 | |
Hannon Armstrong Sustainable Infrastructure Capital Inc. | 1,653,077 | 93,895 | |
Voya Financial Inc. | 1,419,245 | 91,399 | |
Synovus Financial Corp. | 2,223,541 | 90,943 | |
MGIC Investment Corp. | 6,337,340 | 87,709 | |
American Financial Group Inc. | 685,638 | 86,726 |
Shares | Market Value ($000) | ||
Assurant Inc. | 525,119 | 82,869 | |
Western Alliance Bancorp | 889,042 | 82,521 | |
Webster Financial Corp. | 1,686,269 | 81,110 | |
Sterling Bancorp | 3,449,086 | 74,880 | |
Prosperity Bancshares Inc. | 1,054,817 | 71,928 | |
* | Green Dot Corp. Class A | 1,515,413 | 69,815 |
PROG Holdings Inc. | 1,100,733 | 48,179 | |
Houlihan Lokey Inc. Class A | 510,467 | 45,483 | |
MarketAxess Holdings Inc. | 83,870 | 39,853 | |
* | PRA Group Inc. | 956,062 | 37,086 |
* | Palomar Holdings Inc. | 401,579 | 32,701 |
WisdomTree Investments Inc. | 4,896,168 | 30,258 | |
* | Silvergate Capital Corp. Class A | 277,751 | 28,553 |
Primerica Inc. | 148,249 | 21,677 | |
Piper Sandler Cos. | 168,193 | 20,636 | |
SLM Corp. | 1,078,192 | 20,302 | |
Bank OZK | 454,598 | 18,507 | |
* | Ryan Specialty Group Holdings Inc. Class A | 606,654 | 17,896 |
* | Credit Acceptance Corp. | 33,457 | 16,219 |
Walker & Dunlop Inc. | 112,381 | 11,629 | |
* | Enova International Inc. | 304,985 | 10,092 |
Kinsale Capital Group Inc. | 53,622 | 9,579 | |
Virtus Investment Partners Inc. | 31,447 | 8,683 | |
Cowen Inc. Class A | 210,668 | 8,422 | |
Brightsphere Investment Group Inc. | 304,819 | 7,617 | |
Brown & Brown Inc. | 106,770 | 5,808 | |
* | Texas Capital Bancshares Inc. | 84,440 | 5,318 |
Moelis & Co. Class A | 71,157 | 4,216 | |
Erie Indemnity Co. Class A | 16,789 | 3,104 | |
Universal Insurance Holdings Inc. | 206,778 | 2,928 | |
Meta Financial Group Inc. | 48,406 | 2,406 | |
Morningstar Inc. | 7,590 | 1,917 | |
* | Triumph Bancorp Inc. | 21,433 | 1,643 |
Live Oak Bancshares Inc. | 26,126 | 1,573 | |
PJT Partners Inc. Class A | 19,739 | 1,543 | |
Great Western Bancorp Inc. | 47,844 | 1,474 | |
Everest Re Group Ltd. | 2,962 | 749 | |
* | Upstart Holdings Inc. | 6,080 | 734 |
Pacific Premier Bancorp Inc. | 19,243 | 731 | |
1,832,423 | |||
Health Care (21.6%) | |||
* | ICON plc | 1,059,789 | 257,815 |
* | Omnicell Inc. | 1,095,795 | 160,534 |
* | Charles River Laboratories International Inc. | 367,383 | 149,496 |
* | Acadia Healthcare Co. Inc. | 2,339,311 | 144,382 |
* | Molina Healthcare Inc. | 471,328 | 128,677 |
* | Insulet Corp. | 447,927 | 125,281 |
* | LHC Group Inc. | 537,976 | 115,762 |
STERIS plc | 524,480 | 114,310 | |
* | Hologic Inc. | 1,518,502 | 113,948 |
Hill-Rom Holdings Inc. | 817,620 | 113,208 | |
Bio-Techne Corp. | 216,707 | 104,505 | |
* | Globus Medical Inc. Class A | 1,242,756 | 103,360 |
* | ABIOMED Inc. | 293,141 | 95,898 |
* | Repligen Corp. | 386,994 | 95,084 |
* | Penumbra Inc. | 348,086 | 92,671 |
* | Amedisys Inc. | 344,220 | 89,711 |
* | Catalent Inc. | 746,969 | 89,494 |
Shares | Market Value ($000) | ||
* | Merit Medical Systems Inc. | 1,204,749 | 84,441 |
* | Avantor Inc. | 2,182,504 | 82,019 |
* | Veracyte Inc. | 1,822,539 | 81,212 |
* | IDEXX Laboratories Inc. | 108,026 | 73,299 |
* | Integra LifeSciences Holdings Corp. | 947,199 | 68,568 |
* | Horizon Therapeutics plc | 669,904 | 67,004 |
* | Haemonetics Corp. | 1,066,340 | 64,823 |
* | Syneos Health Inc. | 712,329 | 63,875 |
* | DexCom Inc. | 116,799 | 60,211 |
* | Ultragenyx Pharmaceutical Inc. | 751,380 | 59,983 |
* | Avanos Medical Inc. | 1,553,044 | 58,923 |
* | HealthEquity Inc. | 795,568 | 58,856 |
* | Apellis Pharmaceuticals Inc. | 877,873 | 56,175 |
* | Maravai LifeSciences Holdings Inc. Class A | 1,231,667 | 54,156 |
* | Neurocrine Biosciences Inc. | 559,856 | 52,184 |
* | Inovalon Holdings Inc. Class A | 1,298,448 | 49,185 |
* | AMN Healthcare Services Inc. | 483,191 | 48,590 |
* | Mettler-Toledo International Inc. | 32,775 | 48,301 |
* | Kodiak Sciences Inc. | 563,627 | 47,255 |
ResMed Inc. | 171,664 | 46,658 | |
* | Myriad Genetics Inc. | 1,428,723 | 45,191 |
* | Tandem Diabetes Care Inc. | 396,738 | 43,114 |
* | Quidel Corp. | 293,831 | 41,568 |
* | Dicerna Pharmaceuticals Inc. | 1,105,726 | 41,476 |
*,1 | Cano Health Inc. | 3,804,021 | 40,893 |
* | Y-mAbs Therapeutics Inc. | 1,209,598 | 40,038 |
* | Neogen Corp. | 862,691 | 37,579 |
* | Henry Schein Inc. | 435,448 | 34,901 |
* | Allakos Inc. | 427,329 | 33,998 |
Bruker Corp. | 400,004 | 32,900 | |
* | Arena Pharmaceuticals Inc. | 526,953 | 32,597 |
* | Turning Point Therapeutics Inc. | 505,802 | 32,280 |
* | ALX Oncology Holdings Inc. | 548,551 | 32,123 |
* | Mirati Therapeutics Inc. | 195,080 | 31,225 |
* | Nevro Corp. | 200,847 | 31,131 |
* | Align Technology Inc. | 43,731 | 30,428 |
* | Axogen Inc. | 1,486,139 | 30,273 |
* | Doximity Inc. Class A | 480,860 | 29,765 |
* | TG Therapeutics Inc. | 838,487 | 29,339 |
* | Exelixis Inc. | 1,721,492 | 29,007 |
* | 10X Genomics Inc. Class A | 156,731 | 28,718 |
* | Ascendis Pharma A/S ADR | 239,806 | 28,343 |
* | Pacira BioSciences Inc. | 470,757 | 27,751 |
* | Revance Therapeutics Inc. | 953,614 | 27,731 |
* | Halozyme Therapeutics Inc. | 636,669 | 26,314 |
* | MEDNAX Inc. | 901,705 | 26,258 |
Cerner Corp. | 314,623 | 25,293 | |
* | NuVasive Inc. | 386,489 | 24,716 |
* | Sotera Health Co. | 1,039,429 | 24,634 |
* | Glaukos Corp. | 476,572 | 24,305 |
* | CareDx Inc. | 288,088 | 24,211 |
Chemed Corp. | 50,545 | 24,060 | |
* | Theravance Biopharma Inc. | 1,849,516 | 24,007 |
PerkinElmer Inc. | 129,465 | 23,592 | |
* | Ligand Pharmaceuticals Inc. | 203,738 | 23,126 |
* | Tenet Healthcare Corp. | 315,961 | 22,699 |
* | Sage Therapeutics Inc. | 478,803 | 20,938 |
* | Heron Therapeutics Inc. | 1,663,789 | 20,564 |
Shares | Market Value ($000) | ||
* | Medpace Holdings Inc. | 114,667 | 20,175 |
* | Agios Pharmaceuticals Inc. | 418,385 | 20,120 |
* | REVOLUTION Medicines Inc. | 695,291 | 19,913 |
* | Natera Inc. | 169,449 | 19,405 |
* | SpringWorks Therapeutics Inc. | 224,532 | 19,242 |
* | Novavax Inc. | 107,117 | 19,209 |
* | Illumina Inc. | 38,391 | 19,032 |
* | Stevanato Group SPA | 925,810 | 18,692 |
Select Medical Holdings Corp. | 459,272 | 18,118 | |
Cooper Cos. Inc. | 41,425 | 17,472 | |
* | C4 Therapeutics Inc. | 401,273 | 17,311 |
* | Veeva Systems Inc. Class A | 48,445 | 16,118 |
* | Supernus Pharmaceuticals Inc. | 591,939 | 15,586 |
* | Deciphera Pharmaceuticals Inc. | 508,213 | 15,495 |
* | Arvinas Inc. | 150,126 | 15,178 |
* | Viking Therapeutics Inc. | 2,296,822 | 14,125 |
* | Sarepta Therapeutics Inc. | 203,618 | 13,801 |
* | STAAR Surgical Co. | 104,931 | 13,423 |
* | Exact Sciences Corp. | 121,335 | 13,085 |
* | Agenus Inc. | 2,397,934 | 12,421 |
Ensign Group Inc. | 132,468 | 11,269 | |
* | MacroGenics Inc. | 431,583 | 10,772 |
* | ModivCare Inc. | 61,332 | 10,426 |
*,1 | Talis Biomedical Corp. | 946,340 | 9,747 |
* | Intellia Therapeutics Inc. | 67,374 | 9,557 |
* | Forte Biosciences Inc. | 278,390 | 8,341 |
* | Enanta Pharmaceuticals Inc. | 195,403 | 8,256 |
* | Alkermes plc | 318,879 | 8,249 |
Encompass Health Corp. | 96,610 | 8,043 | |
* | Emergent BioSolutions Inc. | 119,149 | 7,852 |
* | Ionis Pharmaceuticals Inc. | 209,360 | 7,776 |
* | Tivity Health Inc. | 289,116 | 7,251 |
* | Ortho Clinical Diagnostics Holdings plc Class H | 321,780 | 7,230 |
* | Meridian Bioscience Inc. | 348,216 | 7,138 |
* | iRhythm Technologies Inc. | 134,548 | 6,878 |
* | Blueprint Medicines Corp. | 75,557 | 6,639 |
* | Atara Biotherapeutics Inc. | 519,272 | 6,621 |
* | Vanda Pharmaceuticals Inc. | 393,284 | 6,414 |
* | Bluebird Bio Inc. | 236,009 | 5,997 |
* | Puma Biotechnology Inc. | 777,390 | 5,846 |
* | CytomX Therapeutics Inc. | 1,067,482 | 5,775 |
* | Precision BioSciences Inc. | 564,833 | 5,569 |
* | Travere Thrapeutics Inc. | 395,087 | 5,432 |
* | Fortress Biotech Inc. | 1,732,308 | 5,388 |
* | Inspire Medical Systems Inc. | 29,344 | 5,375 |
* | ImmunoGen Inc. | 954,606 | 5,355 |
* | Pacific Biosciences of California Inc. | 154,059 | 4,953 |
* | Akebia Therapeutics Inc. | 1,981,661 | 4,895 |
* | Biohaven Pharmaceutical Holding Co. Ltd. | 38,214 | 4,815 |
* | Twist Bioscience Corp. | 36,313 | 4,468 |
* | Option Care Health Inc. | 213,416 | 4,422 |
* | Denali Therapeutics Inc. | 85,960 | 4,387 |
* | Intercept Pharmaceuticals Inc. | 252,010 | 4,355 |
U.S. Physical Therapy Inc. | 36,819 | 4,351 | |
* | AtriCure Inc. | 49,809 | 4,207 |
*,1 | Clovis Oncology Inc. | 761,044 | 3,676 |
* | Ovid therapeutics Inc. | 940,320 | 3,507 |
* | Pennant Group Inc. | 101,356 | 3,468 |
Shares | Market Value ($000) | ||
* | Translate Bio Inc. | 125,218 | 3,461 |
* | Castle Biosciences Inc. | 45,720 | 3,194 |
* | MannKind Corp. | 776,640 | 3,184 |
* | Fate Therapeutics Inc. | 38,443 | 3,183 |
* | Cassava Sciences Inc. | 44,589 | 3,100 |
* | Protagonist Therapeutics Inc. | 62,425 | 3,086 |
* | Surgery Partners Inc. | 56,119 | 3,062 |
* | Molecular Templates Inc. | 424,818 | 2,974 |
* | PAVmed Inc. | 422,200 | 2,901 |
* | Reata Pharmaceuticals Inc. Class A | 23,015 | 2,884 |
* | PTC Therapeutics Inc. | 71,569 | 2,743 |
* | Affimed NV | 406,956 | 2,706 |
Owens & Minor Inc. | 56,793 | 2,627 | |
* | Sutro Biopharma Inc. | 150,023 | 2,555 |
* | Mustang Bio Inc. | 864,161 | 2,497 |
* | Fulgent Genetics Inc. | 26,953 | 2,486 |
* | Evolent Health Inc. Class A | 106,855 | 2,451 |
* | ACADIA Pharmaceuticals Inc. | 113,035 | 2,445 |
* | Sangamo Therapeutics Inc. | 247,473 | 2,371 |
* | Silk Road Medical Inc. | 47,078 | 2,362 |
* | Minerva Neurosciences Inc. | 1,241,858 | 2,285 |
* | Athenex Inc. | 602,458 | 2,271 |
* | Anavex Life Sciences Corp. | 124,590 | 2,236 |
* | Corcept Therapeutics Inc. | 105,393 | 2,189 |
* | Ironwood Pharmaceuticals Inc. Class A | 164,794 | 2,187 |
* | Radius Health Inc. | 143,225 | 2,167 |
* | Cytokinetics Inc. | 72,936 | 2,165 |
* | Personalis Inc. | 97,966 | 2,056 |
* | FibroGen Inc. | 156,112 | 2,029 |
* | NanoString Technologies Inc. | 32,290 | 2,000 |
* | Allscripts Healthcare Solutions Inc. | 115,239 | 1,968 |
* | Certara Inc. | 72,160 | 1,963 |
* | Vocera Communications Inc. | 46,090 | 1,934 |
* | ICU Medical Inc. | 9,472 | 1,926 |
*,1 | Esperion Therapeutics Inc. | 119,148 | 1,834 |
* | Selecta Biosciences Inc. | 528,838 | 1,830 |
* | REGENXBIO Inc. | 52,874 | 1,709 |
* | Endo International plc | 337,491 | 1,708 |
* | Lexicon Pharmaceuticals Inc. | 467,460 | 1,655 |
* | Quanterix Corp. | 30,726 | 1,633 |
* | Amneal Pharmaceuticals Inc. | 325,809 | 1,606 |
*,1 | vTv Therapeutics Inc. Class A | 820,390 | 1,575 |
* | Editas Medicine Inc. Class A | 36,482 | 1,527 |
* | NextCure Inc. | 215,436 | 1,493 |
* | Kiniksa Pharmaceuticals Ltd. Class A | 97,334 | 1,492 |
* | Invitae Corp. | 53,091 | 1,486 |
* | Co-Diagnostics Inc. | 143,082 | 1,447 |
* | Voyager Therapeutics Inc. | 457,063 | 1,440 |
*,1 | Bionano Genomics Inc. | 238,402 | 1,414 |
* | Community Health Systems Inc. | 101,242 | 1,349 |
West Pharmaceutical Services Inc. | 3,141 | 1,293 | |
*,1 | Retractable Technologies Inc. | 107,784 | 1,269 |
* | Sorrento Therapeutics Inc. | 148,786 | 1,222 |
* | Joint Corp. | 15,305 | 1,209 |
* | Precigen Inc. | 216,409 | 1,188 |
*,1 | Ocugen Inc. | 168,854 | 1,133 |
* | ZIOPHARM Oncology Inc. | 495,275 | 1,124 |
* | Cutera Inc. | 21,335 | 1,108 |
Shares | Market Value ($000) | ||
* | Syros Pharmaceuticals Inc. | 236,590 | 1,093 |
* | Inari Medical Inc. | 11,863 | 1,065 |
* | VBI Vaccines Inc. | 344,562 | 1,027 |
* | Arrowhead Pharmaceuticals Inc. | 14,785 | 1,024 |
* | 1Life Healthcare Inc. | 37,256 | 1,007 |
* | Amphastar Pharmaceuticals Inc. | 45,367 | 950 |
*,1 | Atossa Therapeutics Inc. | 317,808 | 950 |
* | Apria Inc. | 30,039 | 947 |
* | Xencor Inc. | 30,194 | 929 |
* | Karyopharm Therapeutics Inc. | 110,799 | 923 |
* | Inogen Inc. | 10,877 | 868 |
* | Vir Biotechnology Inc. | 23,998 | 856 |
* | Iovance Biotherapeutics Inc. | 36,960 | 823 |
* | G1 Therapeutics Inc. | 47,376 | 820 |
* | RadNet Inc. | 22,009 | 809 |
* | Omeros Corp. | 55,408 | 803 |
* | Cue Biopharma Inc. | 74,522 | 777 |
* | Immunovant Inc. | 73,772 | 772 |
* | Organogenesis Holdings Inc. Class A | 50,167 | 770 |
* | Aldeyra Therapeutics Inc. | 86,259 | 768 |
* | Spero Therapeutics Inc. | 54,307 | 724 |
* | Adaptive Biotechnologies Corp. | 18,317 | 672 |
* | Seres Therapeutics Inc. | 49,541 | 352 |
5,189,682 | |||
Industrials (18.3%) | |||
* | Middleby Corp. | 934,266 | 178,903 |
* | Trex Co. Inc. | 1,646,231 | 159,849 |
* | TriNet Group Inc. | 1,920,885 | 159,395 |
* | Clean Harbors Inc. | 1,497,861 | 142,297 |
Rexnord Corp. | 2,052,584 | 115,622 | |
SPX FLOW Inc. | 1,401,654 | 115,146 | |
* | Kirby Corp. | 1,878,259 | 108,770 |
John Bean Technologies Corp. | 729,873 | 106,985 | |
Kennametal Inc. | 2,701,107 | 97,915 | |
Fortune Brands Home & Security Inc. | 1,000,482 | 97,517 | |
* | Sensata Technologies Holding plc | 1,625,898 | 95,310 |
* | Builders FirstSource Inc. | 2,138,210 | 95,150 |
* | AerCap Holdings NV | 1,767,122 | 93,657 |
* | Mercury Systems Inc. | 1,356,017 | 89,497 |
EnerSys | 890,982 | 87,904 | |
Spirit AeroSystems Holdings Inc. Class A | 1,933,215 | 83,534 | |
Matson Inc. | 1,214,556 | 81,521 | |
GATX Corp. | 880,314 | 81,209 | |
* | United Rentals Inc. | 245,230 | 80,816 |
2 | Enerpac Tool Group Corp. Class A | 3,138,204 | 80,558 |
* | Chart Industries Inc. | 512,209 | 79,623 |
* | Gibraltar Industries Inc. | 1,063,520 | 79,424 |
* | Generac Holdings Inc. | 182,402 | 76,492 |
Ritchie Bros Auctioneers Inc. | 1,239,956 | 74,063 | |
* | Masonite International Corp. | 634,940 | 71,850 |
TransUnion | 592,363 | 71,119 | |
IDEX Corp. | 308,180 | 69,861 | |
* | Fluor Corp. | 4,144,251 | 69,043 |
* | Kornit Digital Ltd. | 519,610 | 68,672 |
* | XPO Logistics Inc. | 490,170 | 67,982 |
Science Applications International Corp. | 759,235 | 66,281 | |
BWX Technologies Inc. | 1,153,425 | 66,241 | |
* | RBC Bearings Inc. | 275,364 | 64,711 |
Shares | Market Value ($000) | ||
* | SiteOne Landscape Supply Inc. | 321,708 | 56,228 |
CH Robinson Worldwide Inc. | 615,103 | 54,849 | |
Tennant Co. | 648,186 | 51,284 | |
Vertiv Holdings Co. Class A | 1,784,079 | 50,026 | |
* | Axon Enterprise Inc. | 265,860 | 49,455 |
* | Teledyne Technologies Inc. | 107,510 | 48,677 |
Verisk Analytics Inc. Class A | 249,367 | 47,365 | |
ABM Industries Inc. | 1,016,776 | 47,270 | |
Rush Enterprises Inc. Class A | 985,531 | 46,310 | |
*,3 | API Group Corp. | 1,722,155 | 39,472 |
* | Shoals Technologies Group Inc. Class A | 1,341,023 | 39,010 |
* | Cimpress plc | 372,809 | 38,120 |
* | Kratos Defense & Security Solutions Inc. | 1,333,456 | 36,270 |
Booz Allen Hamilton Holding Corp. Class A | 416,281 | 35,721 | |
Forward Air Corp. | 378,482 | 33,473 | |
HEICO Corp. Class A | 275,721 | 33,442 | |
Rockwell Automation Inc. | 87,469 | 26,890 | |
* | Atkore Inc. | 352,831 | 26,501 |
UFP Industries Inc. | 352,870 | 26,204 | |
* | Ameresco Inc. Class A | 360,609 | 24,712 |
Allison Transmission Holdings Inc. | 594,400 | 23,722 | |
EMCOR Group Inc. | 187,448 | 22,833 | |
* | CoStar Group Inc. | 250,893 | 22,292 |
* | AZEK Co. Inc. Class A | 579,264 | 21,068 |
* | ACV Auctions Inc. Class A | 875,807 | 20,284 |
* | GMS Inc. | 401,251 | 19,713 |
Boise Cascade Co. | 378,230 | 19,346 | |
JB Hunt Transport Services Inc. | 114,725 | 19,325 | |
* | IAA Inc. | 318,321 | 19,252 |
Robert Half International Inc. | 190,164 | 18,676 | |
Tetra Tech Inc. | 134,314 | 17,934 | |
Landstar System Inc. | 109,123 | 17,132 | |
Woodward Inc. | 134,555 | 16,356 | |
Terex Corp. | 318,342 | 15,255 | |
Applied Industrial Technologies Inc. | 151,903 | 13,626 | |
* | MRC Global Inc. | 1,335,510 | 12,247 |
* | Upwork Inc. | 232,445 | 12,038 |
Heartland Express Inc. | 705,913 | 12,022 | |
Allegion plc | 87,790 | 11,992 | |
* | Plug Power Inc. | 409,989 | 11,184 |
Franklin Electric Co. Inc. | 122,989 | 10,056 | |
Exponent Inc. | 89,232 | 9,556 | |
Simpson Manufacturing Co. Inc. | 81,375 | 9,153 | |
GrafTech International Ltd. | 727,525 | 8,272 | |
* | SPX Corp. | 123,972 | 8,264 |
* | Atlas Air Worldwide Holdings Inc. | 119,543 | 8,006 |
* | Cornerstone Building Brands Inc. | 449,698 | 7,564 |
Pitney Bowes Inc. | 802,463 | 6,420 | |
Primoris Services Corp. | 213,570 | 6,386 | |
Werner Enterprises Inc. | 131,127 | 5,994 | |
* | TrueBlue Inc. | 216,816 | 5,895 |
* | Avis Budget Group Inc. | 69,290 | 5,735 |
Nordson Corp. | 25,243 | 5,708 | |
Graco Inc. | 68,931 | 5,382 | |
Hillenbrand Inc. | 109,206 | 4,947 | |
* | Textainer Group Holdings Ltd. | 140,478 | 4,535 |
*,1 | Desktop Metal Inc. Class A | 441,030 | 3,969 |
Lincoln Electric Holdings Inc. | 27,411 | 3,822 |
Shares | Market Value ($000) | ||
* | ASGN Inc. | 37,249 | 3,767 |
Toro Co. | 32,667 | 3,716 | |
AGCO Corp. | 26,843 | 3,546 | |
* | Meritor Inc. | 135,630 | 3,300 |
* | American Woodmark Corp. | 42,985 | 3,192 |
Donaldson Co. Inc. | 41,457 | 2,744 | |
* | MYR Group Inc. | 26,235 | 2,509 |
Huntington Ingalls Industries Inc. | 11,868 | 2,434 | |
Brady Corp. Class A | 41,583 | 2,274 | |
Albany International Corp. Class A | 22,876 | 1,975 | |
REV Group Inc. | 127,837 | 1,932 | |
* | Herc Holdings Inc. | 13,842 | 1,717 |
*,1 | Virgin Galactic Holdings Inc. | 56,366 | 1,690 |
* | HyreCar Inc. | 76,034 | 1,329 |
* | Beacon Roofing Supply Inc. | 22,450 | 1,201 |
* | BlueLinx Holdings Inc. | 20,513 | 881 |
Mueller Industries Inc. | 17,851 | 775 | |
Argan Inc. | 15,021 | 675 | |
4,393,814 | |||
Information Technology (22.3%) | |||
*,2 | Momentive Global Inc. | 8,506,283 | 178,632 |
* | Five9 Inc. | 884,171 | 177,975 |
* | Wix.com Ltd. | 536,203 | 160,132 |
* | New Relic Inc. | 2,184,644 | 150,915 |
Monolithic Power Systems Inc. | 304,602 | 136,845 | |
Power Integrations Inc. | 1,379,497 | 133,797 | |
* | Varonis Systems Inc. Class B | 2,015,724 | 123,362 |
* | J2 Global Inc. | 856,774 | 121,036 |
* | Concentrix Corp. | 668,284 | 109,418 |
* | Cloudera Inc. | 6,803,159 | 107,966 |
* | First Solar Inc. | 1,231,113 | 105,925 |
* | ON Semiconductor Corp. | 2,499,445 | 97,628 |
* | Ciena Corp. | 1,663,239 | 96,701 |
MKS Instruments Inc. | 604,457 | 94,561 | |
* | Manhattan Associates Inc. | 570,210 | 91,023 |
* | GoDaddy Inc. Class A | 1,039,828 | 87,190 |
* | Cadence Design Systems Inc. | 587,500 | 86,744 |
* | Tower Semiconductor Ltd. | 3,017,577 | 84,040 |
* | HubSpot Inc. | 137,069 | 81,696 |
* | Viavi Solutions Inc. | 4,827,102 | 80,564 |
Maximus Inc. | 898,393 | 79,957 | |
* | Proofpoint Inc. | 438,113 | 76,521 |
* | Fortinet Inc. | 277,048 | 75,424 |
* | Smartsheet Inc. Class A | 1,031,800 | 74,857 |
* | Medallia Inc. | 2,046,702 | 69,322 |
* | Cornerstone OnDemand Inc. | 1,403,675 | 67,292 |
Entegris Inc. | 554,151 | 66,853 | |
* | Envestnet Inc. | 868,901 | 65,367 |
* | Arrow Electronics Inc. | 538,296 | 63,826 |
* | FireEye Inc. | 3,125,776 | 63,141 |
* | Trimble Inc. | 731,697 | 62,560 |
* | Euronet Worldwide Inc. | 424,324 | 60,602 |
* | Enphase Energy Inc. | 310,550 | 58,880 |
* | Everbridge Inc. | 415,373 | 58,659 |
* | Silicon Laboratories Inc. | 385,818 | 57,483 |
* | Dynatrace Inc. | 833,056 | 53,207 |
Belden Inc. | 1,075,651 | 52,707 | |
* | IPG Photonics Corp. | 232,761 | 50,779 |
Shares | Market Value ($000) | ||
* | Avalara Inc. | 299,210 | 50,019 |
* | 8x8 Inc. | 1,899,767 | 48,558 |
* | PTC Inc. | 351,536 | 47,616 |
Microchip Technology Inc. | 313,590 | 44,881 | |
Jack Henry & Associates Inc. | 253,344 | 44,105 | |
* | Nuance Communications Inc. | 776,573 | 42,634 |
* | Tyler Technologies Inc. | 81,643 | 40,221 |
* | Semtech Corp. | 627,657 | 38,858 |
* | WEX Inc. | 191,392 | 36,313 |
* | Fair Isaac Corp. | 68,362 | 35,816 |
Cognex Corp. | 393,517 | 35,578 | |
* | Mimecast Ltd. | 631,671 | 35,089 |
* | Aspen Technology Inc. | 227,926 | 33,336 |
* | Palo Alto Networks Inc. | 81,654 | 32,584 |
* | Rapid7 Inc. | 284,700 | 32,385 |
* | Sprout Social Inc. Class A | 361,959 | 32,156 |
* | DocuSign Inc. Class A | 107,086 | 31,916 |
Brooks Automation Inc. | 356,801 | 31,759 | |
* | Tenable Holdings Inc. | 735,039 | 31,460 |
* | RingCentral Inc. Class A | 113,841 | 30,426 |
Jabil Inc. | 464,211 | 27,639 | |
* | Q2 Holdings Inc. | 266,843 | 27,568 |
* | CyberArk Software Ltd. | 192,785 | 27,381 |
* | Atlassian Corp. plc Class A | 79,982 | 26,004 |
* | Domo Inc. Class B | 290,722 | 25,679 |
* | ANSYS Inc. | 69,172 | 25,487 |
* | Workiva Inc. Class A | 194,816 | 25,281 |
* | Elastic NV | 170,241 | 25,206 |
TTEC Holdings Inc. | 235,435 | 24,603 | |
* | Teradata Corp. | 495,014 | 24,582 |
* | N-Able Inc. | 1,775,427 | 24,501 |
* | Onto Innovation Inc. | 346,299 | 24,269 |
* | SolarWinds Corp. | 2,113,887 | 23,760 |
National Instruments Corp. | 536,903 | 23,683 | |
* | Nutanix Inc. Class A | 652,025 | 23,486 |
* | Zendesk Inc. | 176,415 | 23,027 |
* | Black Knight Inc. | 275,172 | 22,787 |
* | Ultra Clean Holdings Inc. | 417,791 | 22,565 |
* | ChannelAdvisor Corp. | 963,952 | 22,450 |
* | Paycor HCM Inc. | 805,426 | 22,149 |
* | PROS Holdings Inc. | 509,666 | 22,130 |
* | EPAM Systems Inc. | 39,332 | 22,018 |
* | Box Inc. Class A | 910,111 | 21,770 |
* | Repay Holdings Corp. Class A | 866,346 | 21,581 |
* | Comm Scope Holding Co. Inc. | 992,639 | 21,004 |
Marvell Technology Inc. | 344,837 | 20,866 | |
* | Sumo Logic Inc. | 955,172 | 19,724 |
* | A10 Networks Inc. | 1,540,105 | 19,667 |
* | Guidewire Software Inc. | 158,923 | 18,308 |
* | MongoDB Inc. Class A | 50,829 | 18,244 |
* | Alarm.com Holdings Inc. | 218,670 | 18,198 |
* | Qualys Inc. | 174,109 | 17,683 |
* | Bill.Com Holdings Inc. | 80,032 | 16,552 |
* | Procore Technologies Inc. | 150,000 | 15,492 |
* | Dropbox Inc. Class A | 471,104 | 14,835 |
* | Unity Software Inc. | 133,516 | 14,302 |
* | Digital Turbine Inc. | 207,858 | 13,085 |
* | Avaya Holdings Corp. | 509,498 | 12,340 |
Shares | Market Value ($000) | ||
CDW Corp. | 63,762 | 11,691 | |
* | Ichor Holdings Ltd. | 220,818 | 11,388 |
* | Coupa Software Inc. | 50,913 | 11,048 |
* | Avid Technology Inc. | 291,562 | 10,902 |
* | Monday.com Ltd. | 49,177 | 10,882 |
* | SMART Global Holdings Inc. | 211,742 | 9,918 |
* | Sentinelone Inc. Class A | 200,000 | 9,862 |
* | Axcelis Technologies Inc. | 221,954 | 8,556 |
Amkor Technology Inc. | 336,946 | 8,302 | |
* | Zuora Inc. Class A | 475,022 | 8,213 |
* | Extreme Networks Inc. | 724,617 | 7,978 |
* | Calix Inc. | 165,778 | 7,755 |
* | Plantronics Inc. | 247,995 | 7,735 |
* | MACOM Technology Solutions Holdings Inc. Class H | 123,741 | 7,637 |
* | Agilysys Inc. | 127,866 | 7,104 |
McAfee Corp.Class A | 261,409 | 7,076 | |
Advanced Energy Industries Inc. | 66,583 | 6,908 | |
CSG Systems International Inc. | 147,717 | 6,700 | |
* | NeoPhotonics Corp. | 677,376 | 6,571 |
* | Diodes Inc. | 74,645 | 6,121 |
* | Clear Secure Inc. Class A | 122,218 | 6,041 |
* | Brightcove Inc. | 524,919 | 6,021 |
* | Unisys Corp. | 247,472 | 5,531 |
* | Cohu Inc. | 155,470 | 5,505 |
* | eGain Corp. | 440,680 | 5,143 |
* | Diebold Nixdorf Inc. | 476,775 | 4,963 |
* | Paylocity Holding Corp. | 23,279 | 4,829 |
* | 3D Systems Corp. | 173,776 | 4,786 |
* | Cambium Networks Corp. | 97,642 | 4,301 |
* | LivePerson Inc. | 64,427 | 4,103 |
*,1 | Corsair Gaming Inc. | 140,498 | 4,101 |
Hackett Group Inc. | 198,772 | 3,562 | |
*,1 | MicroVision Inc. | 255,291 | 3,515 |
* | Appian Corp. Class A | 29,666 | 3,454 |
* | ePlus Inc. | 36,557 | 3,380 |
EVERTEC Inc. | 74,346 | 3,249 | |
* | Ambarella Inc. | 32,816 | 3,232 |
* | Allegro MicroSystems Inc. | 117,467 | 3,220 |
* | Riot Blockchain Inc. | 96,185 | 3,169 |
*,1 | Maxeon Solar Technologies Ltd. | 183,558 | 2,919 |
Progress Software Corp. | 61,785 | 2,817 | |
* | FormFactor Inc. | 73,194 | 2,727 |
* | Telos Corp. | 95,415 | 2,674 |
* | Anaplan Inc. | 45,786 | 2,619 |
* | Super Micro Computer Inc. | 65,149 | 2,478 |
* | Veritone Inc. | 118,490 | 2,450 |
* | MaxLinear Inc. | 47,976 | 2,314 |
* | SPS Commerce Inc. | 21,040 | 2,292 |
* | Zebra Technologies Corp. Class A | 4,047 | 2,236 |
* | Sitime Corp. | 15,500 | 2,102 |
* | International Money Express Inc. | 118,414 | 1,917 |
* | Vonage Holdings Corp. | 132,440 | 1,889 |
* | SunPower Corp. | 74,969 | 1,857 |
* | CommVault Systems Inc. | 23,823 | 1,801 |
* | LiveRamp Holdings Inc. | 44,254 | 1,771 |
* | Kopin Corp. | 244,566 | 1,648 |
* | Zix Corp. | 220,604 | 1,635 |
* | BigCommerce Holdings Inc. Series 1 | 24,538 | 1,589 |
Shares | Market Value ($000) | ||
* | Insight Enterprises Inc. | 14,117 | 1,417 |
* | ON24 Inc. | 37,202 | 1,359 |
*,1 | Eastman Kodak Co. | 180,429 | 1,332 |
* | Mitek Systems Inc. | 57,521 | 1,272 |
* | MicroStrategy Inc. Class A | 1,636 | 1,024 |
* | Turtle Beach Corp. | 30,150 | 932 |
* | Yext Inc. | 68,143 | 888 |
Pegasystems Inc. | 5,846 | 746 | |
* | Arlo Technologies Inc. | 114,201 | 698 |
5,345,058 | |||
Materials (2.0%) | |||
Smurfit Kappa Group plc | 1,917,978 | 107,609 | |
Louisiana-Pacific Corp. | 1,721,558 | 95,443 | |
Methanex Corp. | 2,284,243 | 76,888 | |
* | Summit Materials Inc. Class A | 1,830,961 | 61,520 |
Graphic Packaging Holding Co. | 1,370,758 | 26,277 | |
Balchem Corp. | 145,522 | 19,630 | |
Steel Dynamics Inc. | 293,385 | 18,909 | |
Avery Dennison Corp. | 64,673 | 13,625 | |
Trinseo SA | 217,452 | 11,821 | |
RPM International Inc. | 115,914 | 10,037 | |
Sensient Technologies Corp. | 97,393 | 8,491 | |
Olin Corp. | 133,316 | 6,270 | |
Westlake Chemical Corp. | 72,592 | 6,019 | |
*,1 | MP Materials Corp. | 148,848 | 5,600 |
* | O-I Glass Inc. | 316,625 | 4,683 |
* | Ingevity Corp. | 49,933 | 4,241 |
Schnitzer Steel Industries Inc. Class A | 61,147 | 3,205 | |
* | Orion Engineered Carbons SA | 141,341 | 2,555 |
Tronox Holdings plc Class A | 45,608 | 841 | |
* | Berry Global Group Inc. | 11,457 | 737 |
484,401 | |||
Other (1.3%) | |||
4 | Vanguard Small-Cap ETF | 1,373,109 | 304,761 |
Real Estate (3.0%) | |||
Life Storage Inc. | 792,473 | 93,005 | |
Essential Properties Realty Trust Inc. | 2,999,109 | 89,373 | |
VICI Properties Inc. | 2,825,326 | 88,122 | |
PS Business Parks Inc. | 544,725 | 83,708 | |
JBG SMITH Properties | 2,495,160 | 81,417 | |
Pebblebrook Hotel Trust | 2,114,744 | 47,561 | |
* | Xenia Hotels & Resorts Inc. | 2,529,999 | 44,730 |
SBA Communications Corp. Class A | 113,161 | 38,587 | |
CoreSite Realty Corp. | 255,670 | 35,336 | |
* | Redfin Corp. | 391,218 | 22,914 |
Iron Mountain Inc. | 460,155 | 20,136 | |
Americold Realty Trust | 484,600 | 18,827 | |
Uniti Group Inc. | 1,348,614 | 15,792 | |
Lamar Advertising Co. Class A | 49,002 | 5,224 | |
1 | GEO Group Inc. | 617,508 | 4,273 |
* | eXp World Holdings Inc. | 115,703 | 4,156 |
CareTrust REIT Inc. | 155,817 | 3,758 | |
* | Ryman Hospitality Properties Inc. | 36,022 | 2,763 |
Innovative Industrial Properties Inc. | 11,747 | 2,525 | |
RMR Group Inc. Class A | 57,499 | 2,256 | |
Alexander's Inc. | 7,820 | 2,181 |
Shares | Market Value ($000) | ||
American Finance Trust Inc. | 81,888 | 694 | |
707,338 | |||
Utilities (0.5%) | |||
Atlantica Sustainable Infrastructure plc | 2,379,746 | 94,619 | |
NRG Energy Inc. | 159,625 | 6,583 | |
Brookfield Renewable Corp. Class A (XNYS) | 132,224 | 5,612 | |
1 | Brookfield Infrastructure Corp. Class A | 54,357 | 3,520 |
American States Water Co. | 15,323 | 1,353 | |
111,687 | |||
Total Common Stocks (Cost $15,262,799) | 23,212,032 | ||
Preferred Stock (0.0%) | |||
*,1,5,6 | Meta Material Inc. (Cost $267) | 181,756 | 196 |
Temporary Cash Investments (3.5%) | |||
Money Market Fund (3.0%) | |||
7,8 | Vanguard Market Liquidity Fund, 0.064% | 7,149,148 | 714,915 |
Face Amount ($000) | |||
Repurchase Agreement (0.5%) | |||
Deutsche Bank Securities Inc. 0.050%, 8/2/21 (Dated 7/30/21, Repurchase Value $124,100,000, collateralized by U.S. Treasury Note/Bond 2.625%, 12/15/21, with a value of $126,582,000) | 124,100 | 124,100 | |
U.S. Government and Agency Obligations (0.0%) | |||
9 | U.S. Treasury Bill, 0.020%, 8/26/21 | 800 | 800 |
Total Temporary Cash Investments (Cost $839,718) | 839,815 | ||
Total Investments (100.2%) (Cost $16,102,784) | 24,052,043 | ||
Other Assets and Liabilities—Net (-0.2%) | (38,929) | ||
Net Assets (100%) | 24,013,114 | ||
Cost is in $000. |
* | Non-income-producing security. |
1 | Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $74,042,000. |
2 | Considered an affiliated company of the fund as the fund owns more than 5% of the outstanding voting securities of such company. |
3 | Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. At July 31, 2021, the aggregate value was $39,472,000, representing 0.2% of net assets. |
4 | Considered an affiliated company of the fund as the issuer is another member of The Vanguard Group. |
5 | Perpetual security with no stated maturity date. |
6 | Security value determined using significant unobservable inputs. |
7 | Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield. |
8 | Collateral of $78,979,000 was received for securities on loan. |
9 | Securities with a value of $503,000 have been segregated as initial margin for open futures contracts. |
ADR—American Depositary Receipt. | |
REIT—Real Estate Investment Trust. |
Derivative Financial Instruments Outstanding as of Period End
Futures Contracts | ||||
($000) | ||||
Expiration | Number of Long (Short) Contracts | Notional Amount | Value and Unrealized Appreciation (Depreciation) | |
Long Futures Contracts | ||||
E-mini Russell 2000 Index | September 2021 | 4,443 | 493,528 | (20,152) |
A. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market- or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities.
Investments in Vanguard Market Liquidity Fund are valued at that fund's net asset value. Temporary cash investments are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services.
B. Foreign Currency: Securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars using exchange rates obtained from an independent third party as of the fund’s pricing time on the valuation date. Realized gains (losses) and unrealized appreciation (depreciation) on investment securities include the effects of changes in exchange rates since the securities were purchased, combined with the effects of changes in security prices. Fluctuations in the value of other assets and liabilities resulting from changes in exchange rates are recorded as unrealized foreign currency gains (losses) until the assets or liabilities are settled in cash, at which time they are recorded as realized foreign currency gains (losses).
C. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objective of maintaining full exposure to the stock market while maintaining liquidity. The fund may purchase or sell futures contracts to achieve a desired level of investment, whether to accommodate portfolio turnover or cash flows from capital share transactions. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts, and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract. Any securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. Fluctuations in the value of the contracts are recorded as an asset (liability).
D. Repurchase Agreements: The fund enters into repurchase agreements with institutional counterparties. Securities pledged as collateral to the fund under repurchase agreements are held by a custodian bank until the agreements mature, and in the absence of a default, such collateral cannot be repledged, resold, or rehypothecated. Each agreement requires that the market value of the collateral be sufficient to cover payments of interest and principal. The fund further mitigates its counterparty risk by entering into repurchase agreements only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master repurchase agreements with its counterparties. The master repurchase agreements provide that, in the event of a counterparty's default (including bankruptcy), the fund may terminate any repurchase agreements with that counterparty, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund. Such action may be subject to legal proceedings, which may delay or limit the disposition of collateral.
E. Various inputs may be used to determine the value of the fund’s investments and derivatives. 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.
Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
The following table summarizes the market value of the fund’s investments and derivatives as of July 31, 2021, based on the inputs used to value them:
Level 1 ($000) | Level 2 ($000) | Level 3 ($000) | Total ($000) | |
Investments | ||||
Assets | ||||
Common Stocks | 23,104,423 | 107,609 | — | 23,212,032 |
Preferred Stock | — | — | 196 | 196 |
Temporary Cash Investments | 714,915 | 124,900 | — | 839,815 |
Total | 23,819,338 | 232,509 | 196 | 24,052,043 |
Derivative Financial Instruments | ||||
Liabilities | ||||
Futures Contracts1 | 20,152 | — | — | 20,152 |
1 | Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. |
F. Certain of the fund’s investments are in companies that are considered to be affiliated companies of the fund because the fund owns more than 5% of the outstanding voting securities of the company or the issuer is another member of The Vanguard Group. Transactions during the period in securities of these companies were as follows:
Current Period Transactions | ||||||||
Oct. 31, 2020 Market Value ($000) | Purchases at Cost ($000) | Proceeds from Securities Sold ($000) | Realized Net Gain (Loss) ($000) | Change in Unrealized App. (Dep.) ($000) | Income ($000) | Capital Gain Distributions Received ($000) | Jul. 31, 2021 Market Value ($000) | |
BioTelemetry Inc. | 87,075 | 1,786 | 149,536 | 50,245 | 10,430 | — | — | — |
Cardtronics plc Class A | 56,987 | — | 126,000 | 21,643 | 47,370 | — | — | — |
Current Period Transactions | ||||||||
Oct. 31, 2020 Market Value ($000) | Purchases at Cost ($000) | Proceeds from Securities Sold ($000) | Realized Net Gain (Loss) ($000) | Change in Unrealized App. (Dep.) ($000) | Income ($000) | Capital Gain Distributions Received ($000) | Jul. 31, 2021 Market Value ($000) | |
Enerpac Tool Group Corp. Class A | NA1 | 4,612 | 652 | 225 | 23,687 | — | — | 80,558 |
Houghton Mifflin Harcourt Co. | 18,789 | — | — | — | 62,703 | — | — | 81,492 |
Jaws Acquisition Corp. Class A | — | 51,726 | 66,512 | 14,786 | — | — | — | — |
Momentive Global Inc.2 | NA1 | 70,431 | — | — | 970 | — | — | 178,632 |
Vanguard Market Liquidity Fund | 456,995 | NA3 | NA3 | 37 | (37) | 442 | — | 714,915 |
Vanguard Small-Cap ETF | 196,329 | 207,999 | 156,835 | 14,032 | 43,236 | 5,277 | — | 304,761 |
Total | 816,175 | 100,968 | 188,359 | 5,719 | — | 1,360,358 |
1 | Not applicable—at October 31, 2020, the issuer was not an affiliated company of the fund. |
2 | In June 2021, SVMK Inc. changed its name to Momentive Global Inc.. |
3 | Not applicable—purchases and sales are for temporary cash investment purposes. |