0001104659-19-011820.txt : 20190301 0001104659-19-011820.hdr.sgml : 20190301 20190301095240 ACCESSION NUMBER: 0001104659-19-011820 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 51 CONFORMED PERIOD OF REPORT: 20181231 FILED AS OF DATE: 20190301 DATE AS OF CHANGE: 20190301 EFFECTIVENESS DATE: 20190301 FILER: COMPANY DATA: COMPANY CONFORMED NAME: VANGUARD INDEX FUNDS CENTRAL INDEX KEY: 0000036405 IRS NUMBER: 231999755 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-02652 FILM NUMBER: 19647043 BUSINESS ADDRESS: STREET 1: PO BOX 2600 STREET 2: V26 CITY: VALLEY FORGE STATE: PA ZIP: 19482 BUSINESS PHONE: 6106691000 MAIL ADDRESS: STREET 1: PO BOX 2600 STREET 2: V26 CITY: VALLEY FORGE STATE: PA ZIP: 19482 FORMER COMPANY: FORMER CONFORMED NAME: VANGUARD INDEX FUNDS/ DATE OF NAME CHANGE: 20011121 FORMER COMPANY: FORMER CONFORMED NAME: VANGUARD INDEX TRUST DATE OF NAME CHANGE: 19920703 FORMER COMPANY: FORMER CONFORMED NAME: FIRST INDEX INVESTMENT TRUST DATE OF NAME CHANGE: 19800904 0000036405 S000002839 Vanguard 500 Index Fund C000007773 Investor Shares VFINX C000007774 Admiral Shares VFIAX C000092055 ETF Shares VOO C000170274 Institutional Select Shares VFFSX C000179712 Institutional Shares C000179713 Institutional Plus Shares 0000036405 S000002840 Vanguard Value Index Fund C000007775 Investor Shares VIVAX C000007776 Admiral Shares VVIAX C000007777 Institutional Shares VIVIX C000007778 ETF Shares VTV 0000036405 S000002841 Vanguard Extended Market Index Fund C000007779 Investor Shares VEXMX C000007780 Admiral Shares VEXAX C000007781 Institutional Shares VIEIX C000007782 ETF Shares VXF C000096110 Institutional Plus Shares VEMPX C000170275 Institutional Select Shares VSEMX 0000036405 S000002842 Vanguard Growth Index Fund C000007783 Investor Shares VIGRX C000007784 Admiral Shares VIGAX C000007785 Institutional Shares VIGIX C000007786 ETF Shares VUG 0000036405 S000002843 Vanguard Large-Cap Index Fund C000007787 Investor Shares VLACX C000007788 Admiral Shares VLCAX C000007789 Institutional Shares VLISX C000007790 ETF Shares VV 0000036405 S000002844 Vanguard Mid-Cap Index Fund C000007791 Investor Shares VIMSX C000007792 Admiral Shares VIMAX C000007793 Institutional Shares VMCIX C000007794 ETF Shares VO C000096111 Institutional Plus Shares VMCPX 0000036405 S000002845 Vanguard Small-Cap Index Fund C000007795 Investor Shares NAESX C000007796 Admiral Shares VSMAX C000007797 Institutional Shares VSCIX C000007798 ETF Shares VB C000096112 Institutional Plus Shares VSCPX 0000036405 S000002846 Vanguard Small-Cap Growth Index Fund C000007799 Investor Shares VISGX C000007800 Institutional Shares VSGIX C000007801 ETF Shares VBK C000105304 Admiral Shares VSGAX 0000036405 S000002847 Vanguard Small-Cap Value Index Fund C000007802 Investor Shares VISVX C000007803 Institutional Shares VSIIX C000007804 ETF Shares VBR C000105305 Admiral Shares VSIAX 0000036405 S000002848 Vanguard Total Stock Market Index Fund C000007805 Investor Shares VTSMX C000007806 Admiral Shares VTSAX C000007807 Institutional Shares VITSX C000007808 ETF Shares VTI C000155407 Institutional Plus Shares VSMPX C000170276 Institutional Select Shares VSTSX 0000036405 S000012756 Vanguard Mid-Cap Growth Index Fund C000034427 Investor Shares VMGIX C000034428 ETF Shares VOT C000105306 Admiral Shares VMGMX 0000036405 S000012757 Vanguard Mid-Cap Value Index Fund C000034429 Investor Shares VMVIX C000034430 ETF Shares VOE C000105307 Admiral Shares VMVAX N-CSR 1 a19-2847_1ncsr.htm N-CSR

 

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: 811-02652

 

Name of Registrant:

 

Vanguard Index 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, 2018—December 31, 2018

 


 

Item 1: Reports to Shareholders

 


 

 

 

 

 

 

 

Annual Report | December 31, 2018

 

 

Vanguard 500 Index Fund

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

See the inside front cover for important information about access to your fund’s annual and semiannual shareholder reports.

 

 

 

  

 

 

Important information about access to shareholder reports

 

Beginning on January 1, 2021, as permitted by regulations adopted by the Securities and Exchange Commission, paper copies of your fund’s annual and semiannual shareholder reports will no longer be sent to you by mail, unless you specifically request them. Instead, you will be notified by mail each time a report is posted on the website and will be provided with a link to access the report.

 

If you have already elected to receive shareholder reports electronically, you will not be affected by this change and do not need to take any action. You may elect to receive shareholder reports and other communications from the fund electronically by contacting your financial intermediary (such as a broker-dealer or bank) or, if you invest directly with the fund, by calling Vanguard at one of the phone numbers on the back cover of this report or by logging on to vanguard.com.

 

You may elect to receive paper copies of all future shareholder reports free of charge. If you invest through a financial intermediary, you can contact the intermediary to request that you continue to receive paper copies. If you invest directly with the fund, you can call Vanguard at one of the phone numbers on the back cover of this report or log on to vanguard.com. Your election to receive paper copies will apply to all the funds you hold through an intermediary or directly with Vanguard.

 

Contents

 

A Note From Our CEO 1
   
Your Fund’s Performance at a Glance 2
   
About Your Fund’s Expenses 3
   
Performance Summary 5
   
Financial Statements 8

 

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises or advice. Also, please keep in mind that the information and opinions cover the period through the date on the front of this report. Of course, the risks of investing in your fund are spelled out in the prospectus.

 

  

 

 

A Note From Our CEO

 

 

Tim Buckley

Chairman and Chief Executive Officer

 

Dear Shareholder,

 

Over the years, I’ve found that prudent investors exhibit a common trait: discipline. No matter how the markets move or what new investing fad hits the headlines, those who stay focused on their goals and tune out the noise are set up for long-term success.

 

The prime gateway to investing is saving, and you don’t usually become a saver without a healthy dose of discipline. Savers make the decision to sock away part of their income, which means spending less and delaying gratification, no matter how difficult that may be.

 

Of course, disciplined investing extends beyond diligent saving. The financial markets, in the short term especially, are unpredictable; I have yet to meet the investor who can time them perfectly. It takes discipline to resist the urge to go all-in when markets are frothy or to retreat when things look bleak. 

 

Staying put with your investments is one strategy for handling volatility. Another, rebalancing, requires even more discipline because it means steering your money away from strong performers and toward poorer performers.

 

Patience—a form of discipline—is also the friend of long-term investors. Higher returns are the potential reward for weathering the market’s turbulence and uncertainty.

 

It’s important to be prepared for that turbulence, whenever it appears. Don’t panic. Don’t chase returns or look for answers outside the asset classes you trust. And be sure to rebalance periodically, even when there’s turmoil.

 

Whether you’re a master of self-control, get a boost from technology, or work with a professional advisor, know that discipline is necessary to get the most out of your investment portfolio. And know that Vanguard is with you for the entire ride.

 

Thank you for your continued loyalty.

 

Sincerely,

 

 

 

Mortimer J. Buckley

Chairman and Chief Executive Officer

January 17, 2019

 

 1 

 

 

Your Fund’s Performance at a Glance

 

·    For the 12 months ended December 31, 2018, Vanguard 500 Index Fund returned –4.52% for Investor Shares and –4.43% for Admiral Shares. The fund, which provides exposure to the stocks of the largest U.S. companies, closely tracked its target index, the Standard & Poor’s 500 Index, which returned –4.38%.

 

·    The broad U.S. stock market returned about –5%, its first negative calendar-year result since 2008. Growth stocks outperformed value; large-capitalization stocks bested small- and mid-caps.

 

·    Among sectors, financials and industrials were the biggest detractors. Health care and information technology contributed most.

 

·    For the ten years ended December 31, 2018, the 500 Index Fund posted an average annual return of about 13%, in line with its target index.

 

·    In November, Vanguard lowered the investment minimum for your fund’s Admiral Shares from $10,000 to $3,000.

 

Market Barometer

 

  Average Annual Total Returns
Periods Ended December 31, 2018
  One Year Three Years Five Years
Stocks      
Russell 1000 Index (Large-caps) -4.78% 9.09% 8.21%
Russell 2000 Index (Small-caps) -11.01    7.36    4.41   
Russell 3000 Index (Broad U.S. market) -5.24    8.97    7.91   
FTSE All-World ex US Index (International) -14.13    4.58    1.05   
       
Bonds      
Bloomberg Barclays U.S. Aggregate Bond Index      
(Broad taxable market) 0.01% 2.06% 2.52%
Bloomberg Barclays Municipal Bond Index      
(Broad tax-exempt market) 1.28    2.30    3.82   
FTSE Three-Month U.S. Treasury Bill Index 1.86    0.98    0.59   
       
CPI      
Consumer Price Index 1.91% 2.03% 1.51%

 

 2 

 

 

About Your Fund’s Expenses

 

As a shareholder of the fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund.

 

A fund’s expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing costs (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period.

 

The accompanying table illustrates your fund’s costs in two ways:

 

·     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.

 

To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund under the heading “Expenses Paid During 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.

 

Note that the expenses shown in the table are meant to highlight and help you compare ongoing costs only and do not reflect transaction costs incurred by the fund for buying and selling securities. Further, the expenses do not include any purchase, redemption, or account service fees described in the fund prospectus. If such fees were applied to your account, your costs would be higher. Your fund does not carry a “sales load.”

 

The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions.

 

You can find more information about the fund’s expenses, including annual expense ratios, in the Financial Statements section of this report. For additional information on operating expenses and other shareholder costs, please refer to your fund’s current prospectus.

 

 3 

 

 

Six Months Ended December 31, 2018

 

  Beginning Ending Expenses
  Account Value Account Value Paid During
500 Index Fund 6/30/2018 12/31/2018 Period
Based on Actual Fund Return      
Investor Shares $1,000.00 $930.77 $0.68
ETF Shares 1,000.00 931.45 0.10
Admiral™ Shares 1,000.00 931.25 0.19
Institutional Select Shares 1,000.00 931.42 0.05
Based on Hypothetical 5% Yearly Return      
Investor Shares $1,000.00 $1,024.50 $0.71
ETF Shares 1,000.00 1,025.10 0.10
Admiral Shares 1,000.00 1,025.00 0.20
Institutional Select Shares 1,000.00 1,025.16 0.05

The calculations are based on expenses incurred in the most recent six-month period. The fund’s annualized six-month expense ratios for that period are 0.14% for Investor Shares, 0.02% for ETF Shares, 0.04% for Admiral Shares, and 0.01% for Institutional Select Shares. The dollar amounts shown as “Expenses Paid” are equal to the annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent six-month period, then divided by the number of days in the most recent 12-month period (184/365).

 

 4 

 

 

500 Index Fund

 

Performance Summary

 

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

 

Cumulative Performance: December 31, 2008, Through December 31, 2018

Initial Investment of $10,000

 

 

    Average Annual Total Returns  
    Periods Ended December 31, 2018 Final Value 
    One Five Ten of a $10,000
    Year Years Years Investment
500 Index Fund Investor Shares -4.52% 8.34% 12.97% $33,870
S&P 500 Index -4.38    8.49    13.12    34,304
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30    7.86    13.22    34,625

 

      Since Final Value
  One Five Inception of a $10,000
  Year Years (9/7/2010) Investment
500 Index Fund        
ETF Shares Net Asset Value -4.42% 8.45% 12.81% $27,248
S&P 500 Index -4.38    8.49    12.85    27,325
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30    7.86    12.63    26,886

"Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standards.

 

See Financial Highlights for dividend and capital gains information.

 

 5 

 

 

500 Index Fund

 

  Average Annual Total Returns  
  Periods Ended December 31, 2018  Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
500 Index Fund Admiral Shares -4.43% 8.46% 13.10% $34,247
S&P 500 Index -4.38    8.49    13.12    34,304
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30    7.86    13.22    34,625

 

    Since Final Value
  One Inception of a $5,000,000,000
  Year (6/24/2016) Investment
500 Index Fund Institutional Select Shares -4.40% 10.78% $6,471,250,500
S&P 500 Index -4.38    10.79    6,471,833,715
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30    10.46    6,423,697,561

“Since Inception” performance is calculated from the Institutional Select Shares’ inception date for both the fund and its comparative standards.

 

Cumulative Returns of ETF Shares: September 7, 2010, Through December 31, 2018

 

      Since
  One Five Inception
  Year Years (9/7/2010)
500 Index Fund ETF Shares Market Price -4.47% 50.02% 172.43%
500 Index Fund ETF Shares Net Asset Value -4.42    50.05    172.48   
S&P 500 Index -4.38    50.33    173.25   

"Since Inception" performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standards.

 

For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market price was above or below the NAV.

 

 6 

 

 

500 Index Fund

 

Sector Diversification 

As of December 31, 2018

 

Communication Services 10.1%
Consumer Discretionary 9.9   
Consumer Staples 7.4   
Energy 5.3   
Financials 13.4   
Health Care 15.6   
Industrials 9.2   
Information Technology 20.1   
Materials 2.7   
Real Estate 3.0   
Utilities 3.3   

 

The table reflects the fund’s equity exposure, based on its investments in stocks and stock index futures. Any holdings in short-term reserves are excluded. Sector categories are based on the Global Industry Classification Standard (“GICS”), except for the “Other” category (if applicable), which includes securities that have not been provided a GICS classification as of the effective reporting period.

 

The Global Industry Classification Standard (“GICS”) was developed by and is the exclusive property and a service mark of MSCI Inc. (“MSCI”) and Standard and Poor’s, a division of McGraw-Hill Companies, Inc. (“S&P”), and is licensed for use by Vanguard. Neither MSCI, S&P nor any third party involved in making or compiling the GICS or any GICS classification makes any express or implied warranties or representations with respect to such standard or classification (or the results to be obtained by the use thereof), and all such parties hereby expressly disclaim all warranties of originality, accuracy, completeness, merchantability or fitness for a particular purpose with respect to any such standard or classification. Without limiting any of the foregoing, in no event shall MSCI, S&P, any of its affiliates or any third party involved in making or compiling the GICS or any GICS classification have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages.

 

 7 

 

 

500 Index Fund

 

Financial Statements

 

Statement of Net Assets

As of December 31, 2018

 

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the lists appear in the fund’s semiannual and annual reports to shareholders. For the first and third fiscal quarters, the fund files the lists with the Securities and Exchange Commission on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website at sec.gov.

 

          Market 
          Value 
      Shares   ($000) 
Common Stocks (99.5%)1          
Communication Services (10.1%)          
*  Alphabet Inc. Class C   5,829,972    6,037,577 
*  Facebook Inc. Class A   45,525,094    5,967,885 
*  Alphabet Inc. Class A   5,665,331    5,920,044 
   Verizon Communications Inc.   78,298,803    4,401,959 
   AT&T Inc.   137,912,898    3,936,034 
   Walt Disney Co.   28,209,421    3,093,163 
   Comcast Corp. Class A   86,031,121    2,929,360 
*  Netflix Inc.   8,263,443    2,211,793 
   Twenty-First Century Fox Inc. Class A   20,028,496    963,771 
*  Charter Communications Inc. Class A   3,340,064    951,818 
   Activision Blizzard Inc.   14,459,184    673,364 
*  Electronic Arts Inc.   5,725,288    451,782 
   Twenty-First Century Fox Inc.   9,230,177    441,018 
*  Twitter Inc.   13,704,746    393,874 
   Omnicom Group Inc.   4,248,007    311,124 
   CBS Corp. Class B   6,379,638    278,918 
   CenturyLink Inc.   18,027,593    273,118 
*  Take-Two Interactive Software Inc.   2,159,061    222,254 
   Viacom Inc. Class B   6,692,871    172,007 
*  Discovery Communications Inc.   6,819,337    157,390 
   Interpublic Group of Cos. Inc.   7,277,853    150,142 
   News Corp. Class A   9,690,119    109,983 
*  DISH Network Corp. Class A   4,340,468    108,382 
*  TripAdvisor Inc.   1,938,827    104,580 
*,^  Discovery Communications Inc. Class A   2,982,141    73,778 
   News Corp. Class B   6,219    72 
            40,335,190 
Consumer Discretionary (9.9%)          
*  Amazon.com Inc.   7,783,149    11,690,056 
   Home Depot Inc.   21,403,764    3,677,595 
   McDonald’s Corp.   14,608,127    2,593,965 
   NIKE Inc. Class B   24,125,282    1,788,648 
   Starbucks Corp.   23,508,155    1,513,925 
*  Booking Holdings Inc.   877,958    1,512,212 
   Lowe’s Cos. Inc.   15,215,641    1,405,317 
   TJX Cos. Inc.   23,450,854    1,049,191 
   General Motors Co.   24,876,139    832,107 
   Target Corp.   9,888,774    653,549 
   Ross Stores Inc.   7,074,761    588,620 
   Marriott International Inc. Class A   5,364,662    582,388 
   Ford Motor Co.   74,038,120    566,392 
   Yum! Brands Inc.   5,917,251    543,914 
   Dollar General Corp.   4,981,374    538,387 
*  O’Reilly Automotive Inc.   1,517,671    522,580 
*  eBay Inc.   17,150,081    481,403 
   VF Corp.   6,166,167    439,894 
*  Dollar Tree Inc.   4,509,590    407,306 
   Hilton Worldwide Holdings Inc.   5,619,315    403,467 
*  AutoZone Inc.   477,831    400,585 
   Carnival Corp.   7,588,411    374,109 
   Royal Caribbean Cruises Ltd.   3,248,096    317,631 
   Aptiv plc   4,993,164    307,429 
   Genuine Parts Co.   2,782,312    267,158 
*  Ulta Beauty Inc.   1,068,392    261,585 
   Expedia Group Inc.   2,246,142    253,028 
   Best Buy Co. Inc.   4,439,195    235,100 
   Darden Restaurants Inc.   2,353,060    234,977 
   MGM Resorts International   9,496,286    230,380 
   DR Horton Inc.   6,492,484    225,030 
   Advance Auto Parts Inc.   1,382,224    217,645 
   Lennar Corp. Class A   5,483,844    214,692 
   Kohl’s Corp.   3,131,552    207,747 
*  CarMax Inc.   3,311,320    207,719 

 

 8 

 

 

500 Index Fund

 

          Market 
          Value 
      Shares   ($000) 
*  Chipotle Mexican Grill Inc. Class A   463,587    200,172 
   Tractor Supply Co.   2,311,699    192,888 
   Tapestry Inc.   5,496,446    185,505 
   Wynn Resorts Ltd.   1,856,047    183,582 
   Hasbro Inc.   2,203,874    179,065 
*  Norwegian Cruise Line Holdings Ltd.   4,165,404    176,571 
   Macy’s Inc.   5,822,145    173,383 
   Tiffany & Co.   2,056,582    165,575 
   Newell Brands Inc.   8,132,211    151,178 
   Garmin Ltd.   2,288,155    144,886 
*  LKQ Corp.   6,025,277    142,980 
*  Mohawk Industries Inc.   1,195,481    139,823 
   BorgWarner Inc.   3,943,926    137,012 
   PVH Corp.   1,433,903    133,281 
   Whirlpool Corp.   1,208,525    129,155 
   PulteGroup Inc.   4,892,310    127,151 
   Foot Locker Inc.   2,175,981    115,762 
   L Brands Inc.   4,324,237    111,003 
*  Michael Kors Holdings Ltd.   2,844,728    107,872 
   Ralph Lauren Corp. Class A   1,032,984    106,873 
   Harley-Davidson Inc.   3,083,735    105,217 
   Gap Inc.   4,045,102    104,202 
   Nordstrom Inc.   2,154,400    100,417 
   H&R Block Inc.   3,891,806    98,735 
   Goodyear Tire & Rubber Co.   4,412,322    90,055 
   Leggett & Platt Inc.   2,469,041    88,490 
   Hanesbrands Inc.   6,830,936    85,592 
*,^  Mattel Inc.   6,535,351    65,288 
*,^  Under Armour Inc. Class A   3,552,722    62,777 
*,^  Under Armour Inc.   3,642,688    58,902 
   Lennar Corp. Class B   76,975    2,412 
   Wyndham Hotels & Resorts Inc.   216    10 
            39,611,545 
Consumer Staples (7.4%)          
   Procter & Gamble Co.   47,210,675    4,339,605 
   Coca-Cola Co.   72,594,382    3,437,344 
   PepsiCo Inc.   26,748,745    2,955,201 
   Walmart Inc.   26,976,018    2,512,816 
   Philip Morris International Inc.   29,457,223    1,966,564 
   Altria Group Inc.   35,606,812    1,758,620 
   Costco Wholesale Corp.   8,303,690    1,691,545 
   Mondelez International Inc. Class A   27,550,051    1,102,829 
   Walgreens Boots Alliance Inc.   15,233,759    1,040,923 
   Colgate-Palmolive Co.   16,435,661    978,251 
   Kimberly-Clark Corp.   6,562,385    747,718 
   Sysco Corp.   9,060,573    567,735 
   Estee Lauder Cos. Inc. Class A   4,166,605    542,075 
   Kraft Heinz Co.   11,783,458    507,160 
   Constellation Brands Inc. Class A   3,148,094    506,276 
   General Mills Inc.   11,297,934    439,942 
   Archer-Daniels-Midland Co.   10,623,847    435,259 
   Kroger Co.   15,121,904    415,852 
   Clorox Co.   2,419,216    372,898 
*  Monster Beverage Corp.    7,544,980    371,364 
   McCormick & Co. Inc.   2,308,071    321,376 
   Church & Dwight Co. Inc.   4,667,283    306,921 
   Tyson Foods Inc. Class A   5,593,626    298,700 
   Hershey Co.   2,658,362    284,923 
   Kellogg Co.   4,802,235    273,775 
^  Hormel Foods Corp.   5,163,036    220,358 
   Lamb Weston Holdings Inc.   2,773,254    204,001 
   JM Smucker Co.   2,154,136    201,390 
   Molson Coors Brewing Co. Class B   3,546,671    199,181 
   Conagra Brands Inc.   9,208,854    196,701 
   Brown-Forman Corp. Class B   3,149,087    149,834 
*,^  Campbell Soup Co.   3,647,856    120,343 
   Coty Inc. Class A   8,538,203    56,011 
            29,523,491 
Energy (5.3%)          
   Exxon Mobil Corp.   80,227,601    5,470,720 
   Chevron Corp.   36,207,844    3,939,051 
   ConocoPhillips   21,814,925    1,360,161 
   EOG Resources Inc.   10,988,511    958,308 
   Schlumberger Ltd.   26,240,368    946,753 
   Occidental Petroleum Corp.   14,307,129    878,172 
   Marathon Petroleum Corp.   13,091,083    772,505 
   Phillips 66   8,038,870    692,549 
   Valero Energy Corp.   8,039,814    602,745 
   Kinder Morgan Inc.   35,961,578    553,089 
   Williams Cos. Inc.   22,937,434    505,770 
   Halliburton Co.   16,601,107    441,257 
   Pioneer Natural Resources Co.   3,230,016    424,812 
   ONEOK Inc.   7,795,538    420,569 
   Anadarko Petroleum Corp.   9,555,625    418,919 
*  Concho Resources Inc.   3,794,822    390,070 
   Diamondback Energy Inc.   2,923,951    271,050 
   Marathon Oil Corp.   15,762,200    226,030 

 

 9 

 

 

500 Index Fund

 

          Market 
          Value 
      Shares   ($000) 
   Baker Hughes a GE Co. Class A   9,735,695    209,317 
   Devon Energy Corp.   8,878,674    200,125 
   Hess Corp.   4,719,423    191,137 
   Apache Corp.   7,197,985    188,947 
   National Oilwell Varco Inc.   7,259,501    186,569 
   Cabot Oil & Gas Corp.   8,164,170    182,469 
   Noble Energy Inc.   9,084,927    170,433 
   TechnipFMC plc   8,068,418    157,980 
   HollyFrontier Corp.   3,018,880    154,325 
   Cimarex Energy Co.   1,810,628    111,625 
   Helmerich & Payne Inc.   2,064,754    98,984 
*  Newfield Exploration Co.   3,793,561    55,614 
            21,180,055 
Financials (13.3%)          
*  Berkshire Hathaway Inc. Class B   35,620,768    7,273,048 
   JPMorgan Chase & Co.   63,012,774    6,151,307 
   Bank of America Corp.   172,949,801    4,261,483 
   Wells Fargo & Co.   80,278,244    3,699,222 
   Citigroup Inc.   46,275,685    2,409,112 
   US Bancorp   28,785,034    1,315,476 
   CME Group Inc.   6,779,749    1,275,406 
   American Express Co.   13,273,589    1,265,239 
   Chubb Ltd.   8,732,407    1,128,052 
   Goldman Sachs Group Inc.   6,555,332    1,095,068 
   PNC Financial Services Group Inc.   8,743,198    1,022,167 
   Morgan Stanley   24,773,515    982,270 
   Charles Schwab Corp.   22,775,616    945,871 
   BlackRock Inc.   2,301,255    903,979 
   Intercontinental Exchange Inc.   10,793,314    813,060 
   Bank of New York Mellon Corp.   17,238,503    811,416 
   S&P Global Inc.   4,754,508    807,981 
   MetLife Inc.   18,700,775    767,854 
   Marsh & McLennan Cos. Inc.   9,545,045    761,217 
   Capital One Financial Corp.   8,975,495    678,458 
   Progressive Corp.   11,048,936    666,582 
   Aon plc   4,563,513    663,352 
   American International Group Inc.   16,763,427    660,647 
   Aflac Inc.   14,425,060    657,206 
   Prudential Financial Inc.   7,826,355    638,239 
   BB&T Corp.   14,601,642    632,543 
   Travelers Cos. Inc.   5,019,120    601,040 
   Allstate Corp.   6,527,029    539,328 
   State Street Corp.   7,191,607    453,575 
   Moody’s Corp.   3,159,022    442,390 
   SunTrust Banks Inc.   8,512,790    429,385 
   T. Rowe Price Group Inc.   4,560,379    421,014 
   M&T Bank Corp.   2,659,308    380,627 
   Discover Financial Services   6,367,349    375,546 
   Willis Towers Watson plc   2,462,788    373,999 
   Northern Trust Corp.   4,196,374    350,775 
   Hartford Financial Services Group Inc.   6,800,110    302,265 
   Synchrony Financial   12,534,629    294,062 
   Fifth Third Bancorp   12,429,791    292,473 
   KeyCorp   19,611,814    289,863 
   Ameriprise Financial Inc.   2,641,767    275,721 
   Citizens Financial Group Inc.   8,871,096    263,738 
   Regions Financial Corp.   19,601,153    262,264 
   Arthur J Gallagher & Co.   3,478,024    256,330 
*  Berkshire Hathaway Inc. Class A   829    253,674 
   MSCI Inc. Class A   1,669,070    246,071 
   Huntington Bancshares Inc.   20,126,960    239,913 
   Loews Corp.   5,240,114    238,530 
   Cincinnati Financial Corp.   2,866,225    221,903 
   Principal Financial Group Inc.   4,989,511    220,387 
*  First Republic Bank   2,493,174    216,657 
   E*TRADE Financial Corp.   4,814,558    211,263 
   Comerica Inc.   3,066,358    210,628 
   Cboe Global Markets Inc.   2,127,539    208,137 
   Lincoln National Corp.   4,051,149    207,865 
*  SVB Financial Group   1,009,726    191,767 
   Raymond James Financial Inc.   2,441,987    181,708 
   Nasdaq Inc.   2,173,545    177,296 
   Everest Re Group Ltd.   770,747    167,838 
   Franklin Resources Inc.   5,635,744    167,156 
   Zions Bancorp NA   3,639,463    148,272 
   Torchmark Corp.   1,943,232    144,829 
   Invesco Ltd.   7,789,213    130,391 
   Unum Group   4,142,041    121,693 
   People’s United Financial Inc.   7,146,950    103,131 
   Affiliated Managers Group Inc.   997,564    97,203 
   Jefferies Financial Group Inc.   5,322,804    92,404 
   Assurant Inc.   987,217    88,297 
*  Brighthouse Financial Inc.   2,246,095    68,461 
            53,246,124 

 

 10 

 

 

500 Index Fund

          Market 
          Value 
      Shares   ($000) 
Health Care (15.5%)         
   Johnson & Johnson   50,821,665    6,558,536 
   Pfizer Inc.   109,536,080    4,781,250 
   UnitedHealth Group Inc.   18,229,528    4,541,340 
   Merck & Co. Inc.   49,275,377    3,765,132 
   AbbVie Inc.   28,503,743    2,627,760 
   Abbott Laboratories   33,280,869    2,407,205 
   Amgen Inc.   12,074,725    2,350,587 
   Medtronic plc   25,449,683    2,314,903 
   Eli Lilly & Co.   17,865,346    2,067,378 
   Thermo Fisher Scientific Inc.   7,628,314    1,707,140 
   Bristol-Myers Squibb Co.   30,929,173    1,607,698 
   CVS Health Corp.   24,504,922    1,605,563 
   Gilead Sciences Inc.   24,513,109    1,533,295 
*  Cigna Corp.   7,215,333    1,370,336 
   Anthem Inc.   4,901,034    1,287,159 
   Danaher Corp.   11,687,843    1,205,250 
*  Biogen Inc.   3,817,943    1,148,895 
   Becton Dickinson and Co.   5,083,179    1,145,342 
*  Intuitive Surgical Inc.   2,163,912    1,036,341 
*  Boston Scientific Corp.   26,221,568    926,670 
   Stryker Corp.   5,885,193    922,504 
*  Celgene Corp.   13,250,106    849,199 
*  Illumina Inc.   2,785,485    835,451 
   Allergan plc   6,007,860    803,011 
*  Vertex Pharmaceuticals Inc.   4,842,540    802,457 
   Zoetis Inc.   9,104,263    778,779 
   Humana Inc.   2,599,549    744,719 
   HCA Healthcare Inc.   5,086,636    633,032 
   Baxter International Inc.   9,376,999    617,194 
*  Edwards Lifesciences Corp.   3,960,971    606,702 
*  Regeneron Pharmaceuticals Inc.   1,470,635    549,282 
*  Centene Corp.   3,890,524    448,577 
*  Alexion Pharmaceuticals Inc.   4,227,397    411,579 
   McKesson Corp.   3,702,524    409,018 
   Agilent Technologies Inc.   6,040,189    407,471 
   Zimmer Biomet Holdings Inc.   3,865,297    400,909 
*  IQVIA Holdings Inc.   3,003,029    348,862 
*  Cerner Corp.   6,244,996    327,488 
   ResMed Inc.   2,701,120    307,577 
*  IDEXX Laboratories Inc.   1,634,335    304,019 
*  Align Technology Inc.   1,379,864    288,985 
*  ABIOMED Inc.   853,164    277,312 
*  Waters Corp.   1,435,813    270,866 
*  Mettler-Toledo International Inc.   474,782    268,527 
*  Mylan NV   9,774,432    267,819 
   Cardinal Health Inc.   5,677,589    253,220 
*  Laboratory Corp. of America Holdings   1,912,714    241,691 
   Cooper Cos. Inc.   930,756    236,877 
*  Henry Schein Inc.   2,888,455    226,802 
*  WellCare Health Plans Inc.   947,736    223,751 
   AmerisourceBergen Corp. Class A   2,973,622    221,237 
   Quest Diagnostics Inc.   2,578,393    214,703 
*  Incyte Corp.   3,349,492    212,994 
*  Hologic Inc.   5,108,414    209,956 
*  Varian Medical Systems Inc.   1,727,880    195,786 
   Universal Health Services Inc. Class B   1,614,389    188,173 
   PerkinElmer Inc.   2,106,588    165,473 
   Dentsply Sirona Inc.   4,213,865    156,798 
*  DaVita Inc.   2,390,362    123,008 
*  Nektar Therapeutics Class A   3,277,605    107,735 
   Perrigo Co. plc   2,366,820    91,714 
            61,939,037 
Industrials (9.1%)          
   Boeing Co.   10,007,835    3,227,527 
   3M Co.   11,034,372    2,102,489 
   Union Pacific Corp.   13,961,870    1,929,949 
   Honeywell International Inc.   14,029,386    1,853,562 
   United Technologies Corp.   15,379,543    1,637,614 
   Caterpillar Inc.   11,182,475    1,420,957 
   United Parcel Service Inc. Class B   13,174,028    1,284,863 
   General Electric Co.   164,825,076    1,247,726 
   Lockheed Martin Corp.   4,689,184    1,227,816 
   CSX Corp.   15,201,433    944,465 
   Deere & Co.   6,095,837    909,316 
   General Dynamics Corp.   5,275,452    829,354 
   Raytheon Co.   5,392,938    827,007 
   Northrop Grumman Corp.   3,290,114    805,749 
*  Norfolk Southern Corp.   5,160,816    771,748 
   FedEx Corp.   4,593,930    741,139 
   Illinois Tool Works Inc.   5,784,654    732,858 
   Emerson Electric Co.   11,865,621    708,971 
   Waste Management Inc.   7,432,697    661,436 
   Delta Air Lines Inc.   11,820,974    589,867 
   Eaton Corp. plc   8,212,033    563,838 
   Roper Technologies Inc.   1,959,866    522,343 
   Johnson Controls International plc   17,508,466    519,126 

 11 

 

 

500 Index Fund

 

          Market 
          Value 
      Shares   ($000) 
   Southwest Airlines Co.   9,589,879    445,738 
   Ingersoll-Rand plc   4,655,268    424,700 
   PACCAR Inc.   6,622,700    378,421 
   Fortive Corp.   5,569,982    376,865 
   Cummins Inc.   2,799,683    374,150 
   Parker-Hannifin Corp.   2,508,279    374,085 
*  United Continental Holdings Inc.   4,337,723    363,197 
   Rockwell Automation Inc.   2,287,291    344,191 
   Stanley Black & Decker Inc.   2,863,251    342,846 
*  Verisk Analytics Inc. Class A   3,120,120    340,218 
*  IHS Markit Ltd.   6,799,803    326,187 
*  TransDigm Group Inc.   919,951    312,838 
   Harris Corp.   2,230,372    300,320 
   AMETEK Inc.   4,400,303    297,900 
   Republic Services Inc. Class A   4,122,571    297,196 
   Fastenal Co.   5,441,724    284,548 
   Cintas Corp.   1,641,194    275,704 
   L3 Technologies Inc.   1,490,454    258,832 
   American Airlines Group Inc.   7,771,217    249,534 
   WW Grainger Inc.   864,058    243,975 
   Xylem Inc.   3,403,098    227,055 
   Expeditors International of Washington Inc.   3,268,322    222,540 
   CH Robinson Worldwide Inc.   2,607,146    219,235 
   Equifax Inc.   2,283,180    212,633 
   Textron Inc.   4,600,891    211,595 
   Dover Corp.   2,770,941    196,598 
*  Copart Inc.   3,899,580    186,322 
   Kansas City Southern   1,927,991    184,027 
   Masco Corp.   5,794,433    169,429 
*  United Rentals Inc.   1,535,743    157,460 
   Nielsen Holdings plc   6,730,531    157,023 
   Huntington Ingalls Industries Inc.   813,229    154,766 
   JB Hunt Transport Services Inc.   1,653,872    153,876 
   Snap-on Inc.   1,054,445    153,200 
   Allegion plc   1,799,903    143,470 
   Alaska Air Group Inc.   2,334,344    142,045 
   Arconic Inc.   8,144,268    137,312 
   Jacobs Engineering Group Inc.   2,263,670    132,334 
   Robert Half International Inc.   2,300,450    131,586 
   AO Smith Corp.   2,724,690    116,344 
   Pentair plc   3,024,175    114,253 
   Fortune Brands Home & Security Inc.   2,679,909    101,810 
   Rollins Inc.   2,789,287    100,693 
   Flowserve Corp.   2,477,712    94,203 
   Fluor Corp.   2,663,869    85,777 
   Quanta Services Inc.   2,765,158    83,231 
            36,659,982 
Information Technology (20.0%)          
   Microsoft Corp.   146,457,745    14,875,713 
   Apple Inc.   85,426,039    13,475,103 
   Visa Inc. Class A   33,298,615    4,393,419 
   Intel Corp.   86,484,577    4,058,721 
   Cisco Systems Inc.   85,196,774    3,691,576 
   Mastercard Inc. Class A   17,217,931    3,248,163 
   Oracle Corp.   48,295,933    2,180,561 
*  Adobe Inc.   9,249,785    2,092,671 
   Broadcom Inc.   7,834,481    1,992,152 
*  salesforce.com Inc.   14,496,209    1,985,546 
   International Business Machines Corp.   17,221,251    1,957,540 
*  PayPal Holdings Inc.   22,329,121    1,877,656 
   Texas Instruments Inc.   18,201,450    1,720,037 
   Accenture plc Class A   12,079,529    1,703,334 
   NVIDIA Corp.   11,558,944    1,543,119 
   QUALCOMM Inc.   22,969,654    1,307,203 
   Automatic Data Processing Inc.   8,295,138    1,087,659 
   Intuit Inc.   4,918,157    968,139 
   Cognizant Technology Solutions Corp. Class A   10,972,201    696,515 
*  Micron Technology Inc.   21,224,841    673,464 
   Fidelity National Information Services Inc.   6,205,227    636,346 
   HP Inc.   29,986,763    613,529 
   Applied Materials Inc.   18,626,443    609,830 
   Analog Devices Inc.   7,013,798    601,994 
*  Red Hat Inc.   3,349,145    588,244 
*  Fiserv Inc.   7,549,671    554,825 
*  Autodesk Inc.   4,149,645    533,686 
   TE Connectivity Ltd.   6,499,545    491,561 
   Amphenol Corp. Class A   5,709,714    462,601 
   Corning Inc.   15,163,861    458,100 
   Xilinx Inc.   4,794,978    408,388 
   Lam Research Corp.   2,941,010    400,477 
   Paychex Inc.   6,056,502    394,581 
   Motorola Solutions Inc.   3,099,001    356,509 
   Hewlett Packard Enterprise Co.   26,970,197    356,276 
^  Microchip Technology Inc.   4,482,459    322,378 
*  FleetCor Technologies Inc.   1,680,859    312,169 
   Global Payments Inc.   2,999,038    309,291 

 

 12 

 

 

500 Index Fund

 

          Market 
          Value 
      Shares   ($000) 
*  Advanced Micro Devices Inc.   16,670,013    307,728 
*  VeriSign Inc.   2,016,603    299,042 
   NetApp Inc.   4,774,759    284,910 
   DXC Technology Co.   5,310,304    282,349 
   Maxim Integrated Products Inc.   5,252,079    267,068 
   KLA-Tencor Corp.   2,901,944    259,695 
   Total System Services Inc.   3,182,092    258,672 
   Citrix Systems Inc.   2,424,338    248,398 
*  Synopsys Inc.   2,829,838    238,386 
*  Cadence Design Systems Inc.   5,342,623    232,297 
   Symantec Corp.   12,113,840    228,891 
*  ANSYS Inc.   1,584,294    226,459 
   Skyworks Solutions Inc.   3,361,865    225,312 
*  Keysight Technologies Inc.   3,554,085    220,638 
*  Gartner Inc.   1,721,042    220,018 
   Broadridge Financial Solutions Inc.   2,210,669    212,777 
*  Arista Networks Inc.   985,571    207,660 
   Western Digital Corp.   5,480,405    202,611 
*  Fortinet Inc.   2,741,908    193,113 
   Seagate Technology plc   4,931,844    190,320 
*  Akamai Technologies Inc.   3,084,398    188,395 
*  F5 Networks Inc.   1,149,705    186,287 
   Jack Henry & Associates Inc.   1,463,743    185,193 
   Juniper Networks Inc.   6,535,701    175,876 
*  Qorvo Inc.   2,367,308    143,767 
   Western Union Co.   8,385,006    143,048 
   Alliance Data Systems Corp.   887,010    133,123 
   FLIR Systems Inc.   2,619,317    114,045 
   Xerox Corp.   3,924,937    77,557 
*  IPG Photonics Corp.   678,622    76,881 
            80,169,592 
Materials (2.7%)          
   DowDuPont Inc.   43,477,540    2,325,179 
   Linde plc   10,442,646    1,629,471 
   Ecolab Inc.   4,816,379    709,693 
   Air Products & Chemicals Inc.   4,159,378    665,708 
   Sherwin-Williams Co.   1,561,239    614,285 
   LyondellBasell Industries NV Class A   5,961,019    495,718 
   PPG Industries Inc.   4,545,880    464,725 
   Newmont Mining Corp.   10,095,418    349,806 
   International Paper Co.   7,677,192    309,851 
   Nucor Corp.   5,950,270    308,284 
   Ball Corp.   6,429,896    295,647 
   Freeport-McMoRan Inc.   27,445,469    282,963 
   International Flavors & Fragrances Inc.   1,920,170    257,821 
   Vulcan Materials Co.   2,500,645    247,064 
   Celanese Corp. Class A   2,533,833    227,969 
   Martin Marietta Materials Inc.   1,188,887    204,334 
   Mosaic Co.   6,725,352    196,448 
   Eastman Chemical Co.   2,651,826    193,875 
   CF Industries Holdings Inc.   4,370,049    190,141 
   FMC Corp.   2,549,777    188,582 
   Westrock Co.   4,808,191    181,557 
^  Albemarle Corp.   2,011,100    154,995 
   Packaging Corp. of America   1,789,333    149,338 
   Avery Dennison Corp.   1,641,842    147,487 
   Sealed Air Corp.   2,971,537    103,528 
            10,894,469 
Real Estate (2.9%)          
   American Tower Corp.   8,346,720    1,320,368 
   Simon Property Group Inc.   5,860,830    984,561 
   Crown Castle International Corp.   7,860,938    853,934 
   Prologis Inc.   11,928,876    700,464 
   Public Storage   2,841,332    575,114 
   Equinix Inc.   1,523,189    537,015 
   Welltower Inc.   7,117,481    494,024 
   Equity Residential   6,981,353    460,839 
   AvalonBay Communities Inc.   2,619,136    455,861 
   Digital Realty Trust Inc.   3,909,234    416,529 
   Ventas Inc.   6,755,246    395,790 
   Realty Income Corp.   5,593,015    352,584 
*  SBA Communications Corp. Class A   2,147,687    347,689 
   Boston Properties Inc.   2,927,318    329,470 
   Weyerhaeuser Co.   14,201,202    310,438 
   Essex Property Trust Inc.   1,252,251    307,064 
   HCP Inc.   9,052,416    252,834 
*  CBRE Group Inc. Class A   6,010,257    240,651 
   Alexandria Real Estate Equities Inc.   2,038,952    234,969 
   Host Hotels & Resorts Inc.   14,069,715    234,542 
   Extra Space Storage Inc.   2,398,782    217,042 
   UDR Inc.   5,225,309    207,027 
   Mid-America Apartment Communities Inc.   2,155,657    206,296 
   Vornado Realty Trust   3,284,004    203,707 
   Regency Centers Corp.   3,208,714    188,287 

  

 13 

 

 

500 Index Fund

          Market 
          Value 
      Shares   ($000) 
   Duke Realty Corp.   6,784,916    175,729 
   Iron Mountain Inc.   5,419,867    175,658 
   Federal Realty Investment Trust   1,398,701    165,103 
   Apartment Investment & Management Co.   2,947,391    129,331 
   SL Green Realty Corp.   1,614,840    127,701 
   Kimco Realty Corp.   7,979,347    116,897 
   Macerich Co.   2,003,046    86,692 
            11,804,210 
Utilities (3.3%)          
   NextEra Energy Inc.   9,055,989    1,574,112 
   Duke Energy Corp.   13,507,473    1,165,695 
   Dominion Energy Inc.   12,436,218    888,692 
   Southern Co.   19,495,839    856,257 
   Exelon Corp.   18,322,197    826,331 
   American Electric Power Co. Inc.   9,342,694    698,273 
   Sempra Energy   5,185,085    560,974 
   Public Service Enterprise Group Inc.   9,577,021    498,484 
   Xcel Energy Inc.   9,738,524    479,817 
   Consolidated Edison Inc.    5,901,631    451,239 
   WEC Energy Group Inc.   5,979,680    414,153 
   Eversource Energy   6,005,874    390,622 
   PPL Corp.   13,646,719    386,612 
   DTE Energy Co.   3,447,503    380,260 
   Edison International   6,174,898    350,549 
   FirstEnergy Corp.   9,208,603    345,783 
   American Water Works Co. Inc.   3,423,377    310,740 
   Ameren Corp.   4,630,479    302,046 
   Entergy Corp.   3,433,879    295,554 
   Evergy Inc.   4,994,125    283,516 
   CenterPoint Energy Inc.   9,500,860    268,209 
   CMS Energy Corp.   5,371,303    266,685 
*  PG&E Corp.   9,833,830    233,553 
   NRG Energy Inc.   5,490,331    217,417 
*  Alliant Energy Corp.   4,474,811    189,061 
   AES Corp.   12,540,941    181,342 
   Pinnacle West Capital Corp.   2,125,498    181,092 
   NiSource Inc.   6,879,203    174,388 
   SCANA Corp.   2,706,750    129,329 
            13,300,785 

Total Common Stocks

(Cost $290,571,598)

        398,664,480 
Temporary Cash Investments (0.5%)1          
Money Market Fund (0.5%)          
2,3  Vanguard Market Liquidity Fund, 2.530%   21,319,887    2,131,989 

   

      Face   Market 
      Amount   Value 
      ($000)   ($000) 
U.S. Government and Agency Obligations (0.0%)          
   United States Treasury Bill, 2.280%, 2/7/19   10,000    9,976 
4  United States Treasury Bill, 2.314%, 2/28/19   32,000    31,880 
4  United States Treasury Bill, 2.365%, 3/21/19   20,000    19,900 
4  United States Treasury Bill, 2.474%, 5/9/19   28,000    27,762 
4  United States Treasury Bill, 2.497%, 5/23/19   8,000    7,924 
            97,442 

Total Temporary Cash Investments

(Cost $2,229,269)

        2,229,431 

Total Investments (100.0%)

(Cost $292,800,867)

        400,893,911 

 

   Amount 
   ($000) 
Other Assets and Liabilities (0.0%)     
Other Assets     
Investment in Vanguard   23,100 
Receivables for Investment Securities Sold   297,942 
Receivables for Accrued Income   467,536 
Receivables for Capital Shares Issued   796,468 
Variation Margin Receivable—Futures Contracts   14,508 
Other Assets   986 
Total Other Assets   1,600,540 
Liabilities     
Payables for Investment Securities Purchased   (444,886)
Collateral for Securities on Loan   (540,005)
Payables for Capital Shares Redeemed   (688,890)
Payables to Vanguard   (113,321)
Total Liabilities   (1,787,102)
Net Assets (100%)   400,707,349 

 

 14 

 

 

500 Index Fund

 

At December 31, 2018, net assets consisted of:

 

   Amount 
   ($000) 
Paid-in Capital   293,056,767 
Total Distributable Earnings (Loss)   107,650,582 
Net Assets   400,707,349 
      
Investor Shares—Net Assets     
Applicable to 100,077,825 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   23,161,935 
Net Asset Value Per Share—Investor Shares  $231.44 
      
ETF Shares—Net Assets     
Applicable to 394,632,889 outstanding  $.001 par value shares of beneficial interest (unlimited authorization)   90,639,290 
Net Asset Value Per Share—ETF Shares  $229.68 
     
Admiral Shares—Net Assets     
Applicable to 995,408,131 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   230,375,373 
Net Asset Value Per Share—Admiral Shares  $231.44 
      
Institutional Select Shares—Net Assets     
Applicable to 460,963,079 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   56,530,751 
Net Asset Value Per Share—Institutional Select Shares  $122.64 

·See Note A in Notes to Financial Statements.
*Non-income-producing security.
^Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $519,980,000.
1The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 0.0%, respectively, of net assets.
2Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
3Includes $540,005,000 of collateral received for securities on loan.
4Securities with a value of $87,366,000 have been segregated as initial margin for open futures contracts.

 

Derivative Financial Instruments Outstanding as of Period End

 

Futures Contracts               
              ($000) 
              Value and 
      Number of       Unrealized 
      Long (Short)   Notional   Appreciation 
   Expiration  Contracts   Amount   (Depreciation) 
Long Futures Contracts                  
E-mini S&P 500 Index  March 2019   16,570    2,075,558    (64,847)

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 15 

 

 

500 Index Fund

 

Statement of Operations

 

   Year Ended 
   December 31, 2018 
   ($000) 
Investment Income     
Income     
Dividends   8,795,154 
Interest1   31,767 
Securities Lending—Net   3,598 
Total Income   8,830,519 
Expenses     
The Vanguard Group—Note B     
Investment Advisory Services   15,468 
Management and Administrative—Investor Shares   32,487 
Management and Administrative—ETF Shares   19,222 
Management and Administrative—Admiral Shares   73,345 
Management and Administrative—Institutional Select Shares   3,138 
Marketing and Distribution—Investor Shares   4,019 
Marketing and Distribution—ETF Shares   4,647 
Marketing and Distribution—Admiral Shares   13,909 
Marketing and Distribution—Institutional Select Shares   2 
Custodian Fees   2,346 
Auditing Fees   48 
Shareholders’ Reports—Investor Shares   373 
Shareholders’ Reports—ETF Shares   782 
Shareholders’ Reports—Admiral Shares   1,220 
Shareholders’ Reports—Institutional Select Shares   14 
Trustees’ Fees and Expenses   275 
Total Expenses   171,295 
Net Investment Income   8,659,224 
Realized Net Gain (Loss)     
Investment Securities Sold1,2   14,389,018 
Futures Contracts   (85,932)
Realized Net Gain (Loss)   14,303,086 
Change in Unrealized Appreciation (Depreciation)     
Investment Securities1   (43,303,022)
Futures Contracts   (75,009)
Change in Unrealized Appreciation (Depreciation)   (43,378,031)
Net Increase (Decrease) in Net Assets Resulting from Operations   (20,415,721)

1Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $30,057,000, ($358,000), and $33,000, respectively. Purchases and sales are for temporary cash investment purposes.
2Includes $14,063,188,000 of net gain (loss) resulting from in-kind redemptions; such gain (loss) is not taxable to the fund.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 16 

 

 

500 Index Fund

 

Statement of Changes in Net Assets

 

   Year Ended December 31, 
   2018   2017 
   ($000)   ($000) 
Increase (Decrease) in Net Assets          
Operations          
Net Investment Income   8,659,224    6,543,479 
Realized Net Gain (Loss)   14,303,086    6,306,381 
Change in Unrealized Appreciation (Depreciation)   (43,378,031)   52,957,229 
Net Increase (Decrease) in Net Assets Resulting from Operations   (20,415,721)   65,807,089 
Distributions          
Net Investment Income          
Investor Shares   (474,872)   (502,714)
ETF Shares   (1,812,323)   (1,392,614)
Admiral Shares   (4,653,557)   (4,061,760)
Institutional Select Shares   (1,066,831)   (593,341)
Realized Capital Gain          
Investor Shares        
ETF Shares        
Admiral Shares        
Institutional Select Shares        
Total Distributions   (8,007,583)   (6,550,429)
Capital Share Transactions          
Investor Shares   (3,019,824)   (3,875,867)
ETF Shares   14,094,239    14,595,756 
Admiral Shares   10,715,967    16,802,846 
Institutional Select Shares   15,905,665    22,089,206 
Net Increase (Decrease) from Capital Share Transactions   37,696,047    49,611,941 
Total Increase (Decrease)   9,272,743    108,868,601 
Net Assets          
Beginning of Period   391,434,606    282,566,005 
End of Period   400,707,349    391,434,606 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 17 

 

 

500 Index Fund

 

Financial Highlights

 

Investor Shares

 

For a Share Outstanding  Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $246.82   $206.57   $188.48   $189.89   $170.36 
Investment Operations                         
Net Investment Income   4.8961   4.2211   3.997    3.775    3.326 
Net Realized and Unrealized Gain (Loss) on Investments   (15.776)   40.205    18.069    (1.438)   19.507 
Total from Investment Operations   (10.880)   44.426    22.066    2.337    22.833 
Distributions                         
Dividends from Net Investment Income   (4.500)   (4.176)   (3.976)   (3.747)   (3.303)
Distributions from Realized Capital Gains                    
Total Distributions   (4.500)   (4.176)   (3.976)   (3.747)   (3.303)
Net Asset Value, End of Period  $231.44   $246.82   $206.57   $188.48   $189.89 
                          
Total Return2   -4.52%   21.67%   11.82%   1.25%   13.51%
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $23,162   $27,656   $26,652   $26,092   $28,040 
Ratio of Total Expenses to Average Net Assets   0.14%   0.14%   0.14%   0.16%   0.17%
Ratio of Net Investment Income to Average Net Assets   1.95%   1.87%   2.05%   2.00%   1.88%
Portfolio Turnover Rate3   4%   3%   4%   3%   3%

1Calculated based on average shares outstanding.
2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 18 

 

 

500 Index Fund

 

Financial Highlights

 

ETF Shares

 

For a Share Outstanding  Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $244.94   $205.00   $187.05   $188.45   $169.07 
Investment Operations                         
Net Investment Income   5.1961   4.4341   4.155    3.958    3.518 
Net Realized and Unrealized Gain (Loss) on Investments   (15.719)   39.874    17.933    (1.427)   19.352 
Total from Investment Operations   (10.523)   44.308    22.088    2.531    22.870 
Distributions                         
Dividends from Net Investment Income   (4.737)   (4.368)   (4.138)   (3.931)   (3.490)
Distributions from Realized Capital Gains                    
Total Distributions   (4.737)   (4.368)   (4.138)   (3.931)   (3.490)
Net Asset Value, End of Period  $229.68   $244.94   $205.00   $187.05   $188.45 
                          
Total Return   -4.42%   21.78%   11.93%   1.35%   13.63%
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $90,639   $83,640   $56,648   $40,440   $27,630 
Ratio of Total Expenses to Average Net Assets   0.03%   0.04%   0.04%   0.05%   0.05%
Ratio of Net Investment Income to Average Net Assets   2.06%   1.97%   2.15%   2.11%   2.00%
Portfolio Turnover Rate2   4%   3%   4%   3%   3%

1Calculated based on average shares outstanding.
2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 19 

 

 

500 Index Fund

 

Financial Highlights

 

Admiral Shares

 

For a Share Outstanding  Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $246.82   $206.57   $188.48   $189.89   $170.36 
Investment Operations                         
Net Investment Income   5.1811   4.4581   4.185    3.990    3.544 
Net Realized and Unrealized Gain (Loss) on Investments   (15.808)   40.193    18.074    (1.439)   19.503 
Total from Investment Operations   (10.627)   44.651    22.259    2.551    23.047 
Distributions                         
Dividends from Net Investment Income   (4.753)   (4.401)   (4.169)   (3.961)   (3.517)
Distributions from Realized Capital Gains                    
Total Distributions   (4.753)   (4.401)   (4.169)   (3.961)   (3.517)
Net Asset Value, End of Period  $231.44   $246.82   $206.57   $188.48   $189.89 
                          
Total Return2   -4.43%   21.79%   11.93%   1.36%   13.64%
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $230,375   $235,232   $181,513   $152,740   $143,043 
Ratio of Total Expenses to Average Net Assets   0.04%   0.04%   0.04%   0.05%   0.05%
Ratio of Net Investment Income to Average Net Assets   2.05%   1.97%   2.15%   2.11%   2.00%
Portfolio Turnover Rate3   4%   3%   4%   3%   3%

1Calculated based on average shares outstanding.
2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 

 20 

 

 

500 Index Fund

 

Financial Highlights

 

Institutional Select Shares

 

           June 24, 
   Year Ended   20161 to 
   Dec. 31,   Dec. 31, 
For a Share Outstanding Throughout Each Period  2018   2017   2016 
Net Asset Value, Beginning of Period  $130.79   $109.45   $99.57 
Investment Operations               
Net Investment Income   2.8082   2.4232   1.200 
Net Realized and Unrealized Gain (Loss) on Investments   (8.400)   21.283    9.859 
Total from Investment Operations   (5.592)   23.706    11.059 
Distributions               
Dividends from Net Investment Income   (2.558)   (2.366)   (1.179)
Distributions from Realized Capital Gains            
Total Distributions   (2.558)   (2.366)   (1.179)
Net Asset Value, End of Period  $122.64   $130.79   $109.45 
                
Total Return   -4.40%   21.83%   11.12%
                
Ratios/Supplemental Data               
Net Assets, End of Period (Millions)  $56,531   $44,907   $17,753 
Ratio of Total Expenses to Average Net Assets   0.01%   0.01%   0.01%3
Ratio of Net Investment Income to Average Net Assets   2.08%   2.00%   2.26%3
Portfolio Turnover Rate4   4%   3%   4%5

1Inception.
2Calculated based on average shares outstanding.
3Annualized.
4Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.
5Reflects the fund’s portfolio turnover for the fiscal year ended December 31, 2016.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 21 

 

 

500 Index Fund

 

Notes to Financial Statements

 

Vanguard 500 Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers four classes of shares: Investor Shares, ETF Shares, Admiral Shares, and Institutional Select Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker.

 

On November 19, 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. It is anticipated that all of the outstanding Investor Shares will be automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors.

 

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.

 

1. 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 materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. 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.

 

2. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. 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 assets pledged as initial margin for open contracts are noted in the Statement of Net Assets.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

 

 22 

 

 

500 Index Fund

 

During the year ended December 31, 2018, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

 

3. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (December 31, 2015–2018), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

4. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes.

 

5. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

 

6. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

 

The fund had no borrowings outstanding at December 31, 2018, or at any time during the period then ended.

 

7. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income

 

 23 

 

 

500 Index Fund

 

over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

 

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

 

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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets. All other costs of operations payable to Vanguard are generally settled twice a month.

 

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At December 31, 2018, the fund had contributed to Vanguard capital in the amount of $23,100,000, representing 0.01% of the fund’s net assets and 9.24% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

 

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.

 

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 valued with significant unobservable inputs are noted on the Statement of Net Assets.

 

The following table summarizes the market value of the fund’s investments as of December 31, 2018, based on the inputs used to value them:

 

   Level 1   Level 2   Level 3 
Investments  ($000)   ($000)   ($000) 
Common Stocks   398,664,480         
Temporary Cash Investments   2,131,989    97,442     
Futures Contracts—Assets1   14,508         
Total   400,810,977    97,442     

1Represents variation margin on the last day of the reporting period.

 

 24 

 

 

500 Index Fund

 

D. Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period end, permanent differences primarily attributable to the accounting for in-kind redemptions were reclassified between the following accounts:

 

   Amount 
   ($000) 
Paid-in Capital   14,063,188 
Total Distributable Earnings (Loss)   (14,063,188)

 

Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the tax deferral of losses on wash sales and the realization of unrealized gains or losses on certain futures contracts. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:

 

   Amount 
   ($000) 
Undistributed Ordinary Income   660,893 
Undistributed Long-Term Gains    
Capital Loss Carryforwards (Non-expiring)*   (996,573)
Net Unrealized Gains (Losses)   108,093,044 

* The fund used capital loss carryforwards of $164,889,000 to offset taxable capital gains realized during the year ended December 31, 2018, reducing the amount of capital gains that would otherwise be available to distribute to shareholders.

 

As of December 31, 2018, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:

 

   Amount 
   ($000) 
Tax Cost   292,800,867 
Gross Unrealized Appreciation   134,554,192 
Gross Unrealized Depreciation   (26,461,148)
Net Unrealized Appreciation (Depreciation)   108,093,044 

 

E. During the year ended December 31, 2018, the fund purchased $74,314,407,000 of investment securities and sold $36,727,631,000 of investment securities, other than temporary cash investments. Purchases and sales include $47,248,097,000 and $21,334,284,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

 

 25 

 

 

500 Index Fund

 

F. Capital share transactions for each class of shares were:

 

           Year Ended December 31, 
       2018       2017 
   Amount   Shares   Amount   Shares 
   ($000)   (000)   ($000)   (000) 
Investor Shares                    
Issued   3,739,073    14,707    4,064,839    18,044 
Issued in Lieu of Cash Distributions   444,813    1,788    473,688    2,063 
Redeemed   (7,203,710)   (28,466)   (8,414,394)   (37,077)
Net Increase (Decrease)—Investor Shares   (3,019,824)   (11,971)   (3,875,867)   (16,970)
ETF Shares                    
Issued   33,022,329    130,065    23,401,120    104,080 
Issued in Lieu of Cash Distributions                
Redeemed   (18,928,090)   (76,900)   (8,805,364)   (38,950)
Net Increase (Decrease)—ETF Shares   14,094,239    53,165    14,595,756    65,130 
Admiral Shares                    
Issued   40,632,052    160,485    38,394,575    170,114 
Issued in Lieu of Cash Distributions   4,116,552    16,541    3,598,566    15,616 
Redeemed   (34,032,637)   (134,667)   (25,190,295)   (111,384)
Net Increase (Decrease)—Admiral Shares   10,715,967    42,359    16,802,846    74,346 
Institutional Select Shares                    
Issued   19,415,700    143,348    22,971,601    188,566 
Issued in Lieu of Cash Distributions   1,066,831    8,093    593,340    4,807 
Redeemed   (4,576,866)   (33,838)   (1,475,735)   (12,216)
Net Increase (Decrease)—Institutional Select Shares   15,905,665    117,603    22,089,206    181,157 

 

G. Management has determined that no events or transactions occurred subsequent to December 31, 2018, that would require recognition or disclosure in these financial statements.

 

 26 

 

 

Report of Independent Registered Public Accounting Firm

 

To the Board of Trustees of Vanguard Index Funds and Shareholders of Vanguard 500 Index Fund

 

Opinion on the Financial Statements 

We have audited the accompanying statement of net assets of Vanguard 500 Index Fund (one of the funds constituting Vanguard Index Funds, referred to hereafter as the “Fund”) as of December 31, 2018, the related statement of operations for the year ended December 31, 2018, the statement of changes in net assets for each of the two years in the period ended December 31, 2018, including the related notes, and the financial highlights for each of the periods indicated therein (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of the Fund as of December 31, 2018, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period ended December 31, 2018 and the financial highlights for each of the periods indicated therein in conformity with accounting principles generally accepted in the United States of America.

 

Basis for Opinion 

These financial statements are the responsibility of the Fund’s management. Our responsibility is to express an opinion on the Fund’s financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Fund in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

 

We conducted our audits of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of December 31, 2018 by correspondence with the custodians and brokers and by agreement to the underlying ownership records of the transfer agent; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinion.

 

/s/PricewaterhouseCoopers LLP

Philadelphia, Pennsylvania

February 13, 2019

 

We have served as the auditor of one or more investment companies in The Vanguard Group of Funds since 1975.

 

 27 

 

 

 

 

Special 2018 tax information (unaudited) for Vanguard 500 Index Fund

 

This information for the fiscal year ended December 31, 2018, is included pursuant to provisions of the Internal Revenue Code.

 

The fund distributed $8,007,583,000 of qualified dividend income to shareholders during the fiscal year.

 

For corporate shareholders, 94.5% of investment income (dividend income plus short-term gains, if any) qualifies for the dividends-received deduction.

 

 28 

 

 

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The People Who Govern Your Fund

 

The trustees of your mutual fund are there to see that the fund is operated and managed in your best interests since, as a shareholder, you are a part owner of the fund. Your fund’s trustees also serve on the board of directors of The Vanguard Group, Inc., which is owned by the Vanguard funds and provides services to them.

 

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 212 Vanguard funds.

 

Information for each trustee and executive officer of the fund appears below. The mailing address of the trustees and officers is P.O. Box 876, Valley Forge, PA 19482. More information about the trustees is in the Statement of Additional Information, which can be obtained, without charge, by contacting Vanguard at 800-662-7447, or online at vanguard.com.

 

Interested Trustees1

 

F. William McNabb III

Born in 1957. Trustee since July 2009. Principal occupation(s) during the past five years and other experience: chairman of the board (January 2010–present) of Vanguard and of each of the investment companies served by Vanguard, trustee (2009–present) of each of the investment companies served by Vanguard, and director (2008–present) of Vanguard. Chief executive officer and president (2008–2017) of Vanguard and each of the investment companies served by Vanguard, managing director (1995–2008) of Vanguard, and director (1997–2018) of Vanguard Marketing Corporation. Director (2018–present) of UnitedHealth Group.

 

Mortimer J. Buckley

Born in 1969. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: chief executive officer (January 2018–present) of Vanguard; chief executive officer, president, and trustee (January 2018–present) of each of the investment companies served by Vanguard; president and director (2017–present) of Vanguard; and president (February 2018–present) of Vanguard Marketing Corporation. Chief investment officer (2013–2017), managing director (2002–2017), head of the Retail Investor Group (2006–2012), and chief information officer (2001–2006) of Vanguard. Chairman of the board (2011–2017) of the Children’s Hospital of Philadelphia.

 

Independent Trustees

 

Emerson U. Fullwood

Born in 1948. Trustee since January 2008. Principal occupation(s) during the past five years and other experience: executive chief staff and marketing officer for North America and corporate vice president (retired 2008) of Xerox Corporation (document management products and services). Former president of the Worldwide Channels Group, Latin America, and Worldwide Customer Service and executive chief staff officer of Developing Markets of Xerox. Executive in residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology. Lead director of SPX FLOW, Inc. (multi-industry manufacturing). Director of the University of Rochester Medical Center, the Monroe Community College Foundation, the United Way of Rochester, North Carolina A&T University, and Roberts Wesleyan College. Trustee of the University of Rochester.

 

Amy Gutmann

Born in 1949. Trustee since June 2006. Principal occupation(s) during the past five years and other experience: president (2004–present) of the University of Pennsylvania. Christopher H. Browne Distinguished Professor of Political Science, School of Arts and Sciences, and professor of communication, Annenberg School for Communication, with secondary faculty appointments in the Department of Philosophy, School of Arts and Sciences, and at the Graduate School of Education, University of Pennsylvania. Trustee of the National Constitution Center.

 

1Mr. McNabb and Mr. Buckley are considered “interested persons,” as defined in the Investment Company Act of 1940, because they are officers of the Vanguard funds.

 

  

 

 

JoAnn Heffernan Heisen

Born in 1950. Trustee since July 1998. Principal occupation(s) during the past five years and other experience: corporate vice president of Johnson & Johnson (pharmaceuticals/medical devices/consumer products) and member of its executive committee (1997–2008). Chief global diversity officer (retired 2008), vice president and chief information officer (1997–2006), controller (1995–1997), treasurer (1991–1995), and assistant treasurer (1989–1991) of Johnson & Johnson. Director of Skytop Lodge Corporation (hotels) and the Robert Wood Johnson Foundation. Member of the advisory board of the Institute for Women’s Leadership at Rutgers University.

 

F. Joseph Loughrey

Born in 1949. Trustee since October 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2009) and vice chairman of the board (2008–2009) of Cummins Inc. (industrial machinery). Chairman of the board of Hillenbrand, Inc. (specialized consumer services), Oxfam America, and the Lumina Foundation for Education. Director of the V Foundation for Cancer Research. Member of the advisory council for the College of Arts and Letters and chair of the advisory board to the Kellogg Institute for International Studies, both at the University of Notre Dame.

 

Mark Loughridge

Born in 1953. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: senior vice president and chief financial officer (retired 2013) of IBM (information technology services). Fiduciary member of IBM’s Retirement Plan Committee (2004–2013), senior vice president and general manager (2002–2004) of IBM Global Financing, vice president and controller (1998–2002) of IBM, and a variety of other prior management roles at IBM. Member of the Council on Chicago Booth.

 

Scott C. Malpass

Born in 1962. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: chief investment officer (1989–present) and vice president (1996–present) of the University of Notre Dame. Assistant professor of finance at the Mendoza College of Business, University of Notre Dame, and member of the Notre Dame 403(b) Investment Committee. Chairman of the board of TIFF Advisory Services, Inc. Member of the board of Catholic Investment Services, Inc. (investment advisors), the board of advisors for Spruceview Capital Partners, and the board of superintendence of the Institute for the Works of Religion.

 

Deanna Mulligan

Born in 1963. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: president (2010–present) and chief executive officer (2011–present) of The Guardian Life Insurance Company of America. Chief operating officer (2010–2011) and executive vice president (2008–2010) of Individual Life and Disability of The Guardian Life Insurance Company of America. Member of the board of The Guardian Life Insurance Company of America, the American Council of Life Insurers, the Partnership for New York City (business leadership), and the Committee Encouraging Corporate Philanthropy. Trustee of the Economic Club of New York and the Bruce Museum (arts and science). Member of the Advisory Council for the Stanford Graduate School of Business.

 

André F. Perold

Born in 1952. Trustee since December 2004. Principal occupation(s) during the past five years and other experience: George Gund Professor of Finance and Banking, Emeritus at the Harvard Business School (retired 2011). Chief investment officer and co-managing partner of HighVista Strategies LLC (private investment firm). Overseer of the Museum of Fine Arts Boston.

 

Sarah Bloom Raskin

Born in 1961. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: deputy secretary (2014–2017) of the United States Department of the Treasury. Governor (2010–2014) of the Federal Reserve Board. Commissioner (2007–2010) of financial regulation for the State of Maryland. Member of the board of directors (2012–2014) of Neighborhood Reinvestment Corporation. Director of i(x) Investments, LLC.

 

Peter F. Volanakis

Born in 1955. Trustee since July 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2010) of Corning Incorporated (communications equipment) and director of Corning Incorporated (2000–2010) and Dow Corning (2001–2010). Director (2012) of SPX Corporation (multi-industry manufacturing). Overseer of the Amos Tuck School of Business Administration, Dartmouth College (2001–2013). Chairman of the board of trustees of Colby-Sawyer College. Member of the Board of Hypertherm Inc. (industrial cutting systems, software, and consumables).

 

  

 

 

Executive Officers

 

Glenn Booraem 

Born in 1967. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Investment stewardship officer (2017–present), treasurer (2015–2017), controller (2010–2015), and assistant controller (2001–2010) of each of the investment companies served by Vanguard.

 

Christine M. Buchanan

Born in 1970. Principal occupation(s) during the past five years and other experience: principal of Vanguard and global head of Fund Administration at Vanguard. Treasurer (2017–present) of each of the investment companies served by Vanguard. Partner (2005–2017) at KPMG LLP (audit, tax, and advisory services).

 

Brian Dvorak

Born in 1973. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief compliance officer (2017–present) of Vanguard and each of the investment companies served by Vanguard. Assistant vice president (2017–present) of Vanguard Marketing Corporation. Vice president and director of Enterprise Risk Management (2011–2013) at Oppenheimer Funds, Inc.

 

Thomas J. Higgins

Born in 1957. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief financial officer (2008–present) and treasurer (1998–2008) of each of the investment companies served by Vanguard.

 

Peter Mahoney

Born in 1974. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Controller (2015–present) of each of the investment companies served by Vanguard. Head of International Fund Services (2008–2014) at Vanguard.

 

Anne E. Robinson

Born in 1970. Principal occupation(s) during the past five years and other experience: general counsel (2016–present) of Vanguard. Secretary (2016–present) of Vanguard and of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Director and senior vice president (2016–2018) of Vanguard Marketing Corporation. Managing director and general counsel of Global Cards and Consumer Services (2014–2016) at Citigroup. Counsel (2003–2014) at American Express.

 

Michael Rollings

Born in 1963. Principal occupation(s) during the past five years and other experience: finance director (2017–present) and treasurer (2017) of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Chief financial officer (2016–present) of Vanguard. Director (2016–present) of Vanguard Marketing Corporation. Executive vice president and chief financial officer (2006–2016) of MassMutual Financial Group.

 

Vanguard Senior Management Team

 

Joseph Brennan Chris D. McIsaac
Mortimer J. Buckley James M. Norris
Gregory Davis Thomas M. Rampulla
John James Karin A. Risi
Martha G. King Anne E. Robinson
John T. Marcante Michael Rollings

 

Chairman Emeritus and Senior Advisor

 

John J. Brennan

Chairman, 1996–2009

Chief Executive Officer and President, 1996–2008

 

Founder

 

John C. Bogle

Chairman and Chief Executive Officer, 1974–1996

 

  

 

 

   
   
  P.O. Box 2600
  Valley Forge, PA 19482-2600

 

Connect with Vanguard® > vanguard.com 

 

Fund Information > 800-662-7447

 

Direct Investor Account Services > 800-662-2739

 

Institutional Investor Services > 800-523-1036

 

Text Telephone for People

Who Are Deaf or Hard of Hearing > 800-749-7273

 

This material may be used in conjunction with the offering of shares of any Vanguard fund only if preceded or accompanied by the fund’s current prospectus.

 

All comparative mutual fund data are from Lipper, a Thomson Reuters Company, or Morningstar, Inc., unless otherwise noted.

 

You can obtain a free copy of Vanguard’s proxy voting guidelines by visiting vanguard.com/proxyreporting or by calling Vanguard at 800-662-2739. The guidelines are also available from the SEC’s website, sec.gov. In addition, you may obtain a free report on how your fund voted the proxies for securities it owned during the 12 months ended June 30. To get the report, visit either vanguard.com/proxyreporting or sec.gov.

 

You can review information about your fund on the SEC’s website, and you can receive copies of this information, for a fee, by sending a request via email addressed to publicinfo@sec.gov.

 

The index is a product of S&P Dow Jones Indices LLC (“SPDJI”), and has been licensed for use by Vanguard. Standard & Poor’s® and S&P® are registered trademarks of Standard & Poor’s Financial Services LLC (“S&P”); Dow Jones® is a registered trademark of Dow Jones Trademark Holdings LLC (“Dow Jones”); S&P® and S&P 500® are trademarks of S&P; and these trademarks have been licensed for use by SPDJI and sublicensed for certain purposes by Vanguard. Vanguard product(s) are not sponsored, endorsed, sold or promoted by SPDJI, Dow Jones, S&P, or their respective affiliates and none of such parties make any representation regarding the advisability of investing in such product(s) nor do they have any liability for any errors, omissions, or interruptions of the index.

 

Source for Bloomberg Barclays indexes: Bloomberg Index Services Limited. Copyright 2019, Bloomberg. All rights reserved.

 

 

© 2019 The Vanguard Group, Inc.

All rights reserved.

U.S. Patent Nos. 6,879,964; 7,337,138;

7,720,749; 7,925,573; 8,090,646; 8,417,623; and 8,626,636.

Vanguard Marketing Corporation, Distributor.

 

Q400 022019

 

  

 

 

 

 

 

Annual Report | December 31, 2018

 

Vanguard U.S. Stock Index Funds

Small-Capitalization Portfolios

 

 

 

 

 

 

 

 

Vanguard Small-Cap Index Fund

 

Vanguard Small-Cap Growth Index Fund

 

Vanguard Small-Cap Value Index Fund

 

 

 

 

 

 

 

 

 

 

See the inside front cover for important information about access to your fund’s annual and semiannual shareholder reports.

 

 

 

 

 

Important information about access to shareholder reports

 

Beginning on January 1, 2021, as permitted by regulations adopted by the Securities and Exchange Commission, paper copies of your fund’s annual and semiannual shareholder reports will no longer be sent to you by mail, unless you specifically request them. Instead, you will be notified by mail each time a report is posted on the website and will be provided with a link to access the report.

 

If you have already elected to receive shareholder reports electronically, you will not be affected by this change and do not need to take any action. You may elect to receive shareholder reports and other communications from the fund electronically by contacting your financial intermediary (such as a broker-dealer or bank) or, if you invest directly with the fund, by calling Vanguard at one of the phone numbers on the back cover of this report or by logging on to vanguard.com.

 

You may elect to receive paper copies of all future shareholder reports free of charge. If you invest through a financial intermediary, you can contact the intermediary to request that you continue to receive paper copies. If you invest directly with the fund, you can call Vanguard at one of the phone numbers on the back cover of this report or log on to vanguard.com. Your election to receive paper copies will apply to all the funds you hold through an intermediary or directly with Vanguard.

 

Contents

 

A Note From Our CEO 1
   
Your Fund’s Performance at a Glance 2
   
About Your Fund’s Expenses 3
   
Small-Cap Index Fund 6
   
Small-Cap Growth Index Fund 27
   
Small-Cap Value Index Fund 47

 

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises or advice. Also, please keep in mind that the information and opinions cover the period through the date on the front of this report. Of course, the risks of investing in your fund are spelled out in the prospectus.

 

 

 

 

A Note From Our CEO

 

 

 

Tim Buckley

Chairman and Chief Executive Officer

 

Dear Shareholder,

 

Over the years, I’ve found that prudent investors exhibit a common trait: discipline. No matter how the markets move or what new investing fad hits the headlines, those who stay focused on their goals and tune out the noise are set up for long-term success.

 

The prime gateway to investing is saving, and you don’t usually become a saver without a healthy dose of discipline. Savers make the decision to sock away part of their income, which means spending less and delaying gratification, no matter how difficult that may be.

 

Of course, disciplined investing extends beyond diligent saving. The financial markets, in the short term especially, are unpredictable; I have yet to meet the investor who can time them perfectly. It takes discipline to resist the urge to go all-in when markets are frothy or to retreat when things look bleak.

 

Staying put with your investments is one strategy for handling volatility. Another, rebalancing, requires even more discipline because it means steering your money away from strong performers and toward poorer performers.

 

Patience—a form of discipline—is also the friend of long-term investors. Higher returns are the potential reward for weathering the market’s turbulence and uncertainty.

 

It’s important to be prepared for that turbulence, whenever it appears. Don’t panic. Don’t chase returns or look for answers outside the asset classes you trust. And be sure to rebalance periodically, even when there’s turmoil.

 

Whether you’re a master of self-control, get a boost from technology, or work with a professional advisor, know that discipline is necessary to get the most out of your investment portfolio. And know that Vanguard is with you for the entire ride.

 

Thank you for your continued loyalty.

 

Sincerely,

 

 

 

Mortimer J. Buckley

Chairman and Chief Executive Officer

January 17, 2019

 

1

 

 

Your Fund’s Performance at a Glance

 

·   For the 12 months ended December 31, 2018, returns for Vanguard’s three small-capitalization U.S. stock index funds ranged from about –6% for Vanguard Small-Cap Growth Index Fund to about –12% for Vanguard Small-Cap Value Index Fund. Vanguard Small-Cap Index Fund, which contains both growth and value stocks, returned about –9%. Each fund closely tracked its target index.

 

·   Growth stocks held up notably better than value stocks, while large-capitalization stocks led mid- and small-caps.

 

·   Financial and industrial stocks detracted most from the Small-Cap Index and Value Index Funds’ results. Oil and gas stocks and financial stocks detracted most from the Growth Index Fund’s returns. Technology was the top-performing sector for the Small-Cap Index and Growth Index Funds, while utilities contributed most to the Value Index Fund.

 

·   Please note that in November, Vanguard lowered the investment minimum for the funds’ Admiral Shares from $10,000 to $3,000.

 

Market Barometer

 

   Average Annual Total Returns
Periods Ended December 31, 2018
   One Year  Three Years  Five Years
Stocks               
Russell 1000 Index (Large-caps)   -4.78%   9.09%   8.21%
Russell 2000 Index (Small-caps)   -11.01    7.36    4.41 
Russell 3000 Index (Broad U.S. market)   -5.24    8.97    7.91 
FTSE All-World ex US Index (International)   -14.13    4.58    1.05 
                
Bonds               
Bloomberg Barclays U.S. Aggregate Bond Index               
(Broad taxable market)   0.01%   2.06%   2.52%
Bloomberg Barclays Municipal Bond Index               
(Broad tax-exempt market)   1.28    2.30    3.82 
FTSE Three-Month U.S. Treasury Bill Index   1.86    0.98    0.59 
                
CPI               
Consumer Price Index   1.91%   2.03%   1.51%

 

2

 

 

About Your Fund’s Expenses

 

As a shareholder of the fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund.

 

A fund’s expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing costs (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period.

 

The accompanying table illustrates your fund’s costs in two ways:

 

·   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.

 

To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund under the heading “Expenses Paid During 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.

 

Note that the expenses shown in the table are meant to highlight and help you compare ongoing costs only and do not reflect transaction costs incurred by the fund for buying and selling securities. Further, the expenses do not include any purchase, redemption, or account service fees described in the fund prospectus. If such fees were applied to your account, your costs would be higher. Your fund does not carry a “sales load.”

 

The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions.

 

You can find more information about the fund’s expenses, including annual expense ratios, in the Financial Statements section of this report. For additional information on operating expenses and other shareholder costs, please refer to your fund’s current prospectus.

 

3

 

 

Six Months Ended December 31, 2018

 

   Beginning   Ending   Expenses 
   Account Value   Account Value   Paid During 
   6/30/2018   12/31/2018   Period 
Based on Actual Fund Return            
Small-Cap Index Fund            
Investor Shares   $1,000.00   $855.08   $0.79 
ETF Shares   1,000.00    855.64    0.23 
Admiral™ Shares   1,000.00    855.66    0.23 
Institutional Shares   1,000.00    855.58    0.19 
Institutional Plus Shares   1,000.00    855.67    0.14 
Small-Cap Growth Index Fund               
Investor Shares  $1,000.00   $860.11   $0.89 
ETF Shares   1,000.00    860.61    0.33 
Admiral Shares   1,000.00    860.68    0.33 
Institutional Shares   1,000.00    860.49    0.28 
Small-Cap Value Index Fund               
Investor Shares  $1,000.00   $850.91   $0.89 
ETF Shares   1,000.00    851.45    0.33 
Admiral Shares   1,000.00    851.34    0.33 
Institutional Shares   1,000.00    851.21    0.28 

 

4

 

 

Six Months Ended December 31, 2018

 

   Beginning   Ending   Expenses 
   Account Value   Account Value   Paid During 
   6/30/2018   12/31/2018   Period 
Based on Hypothetical 5% Yearly Return               
Small-Cap Index Fund               
Investor Shares  $1,000.00   $1,024.35   $0.87 
ETF Shares   1,000.00    1,024.95    0.26 
Admiral Shares   1,000.00    1,024.95    0.26 
Institutional Shares   1,000.00    1,025.00    0.20 
Institutional Plus Shares   1,000.00    1,025.05    0.15 
Small-Cap Growth Index Fund               
Investor Shares  $1,000.00   $1,024.25   $0.97 
ETF Shares   1,000.00    1,024.85    0.36 
Admiral Shares   1,000.00    1,024.85    0.36 
Institutional Shares   1,000.00    1,024.90    0.31 
Small-Cap Value Index Fund               
Investor Shares  $1,000.00   $1,024.25   $0.97 
ETF Shares   1,000.00    1,024.85    0.36 
Admiral Shares   1,000.00    1,024.85    0.36 
Institutional Shares   1,000.00    1,024.90    0.31 

 

The calculations are based on expenses incurred in the most recent six-month period. The funds’ annualized six-month expense ratios for that period are: for the Small-Cap Index Fund, 0.17% for Investor Shares, 0.05% for ETF Shares, 0.05% for Admiral Shares, 0.04% for Institutional Shares, and 0.03% for Institutional Plus Shares; for the Small-Cap Growth Index Fund, 0.19% for Investor Shares, 0.07% for ETF Shares, 0.07% for Admiral Shares, and 0.06% for Institutional Shares; and for the Small-Cap Value Index Fund, 0.19% for Investor Shares, 0.07% for ETF Shares, 0.07% for Admiral Shares, and 0.06% for Institutional Shares. The dollar amounts shown as “Expenses Paid” are equal to the annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent six-month period, then divided by the number of days in the most recent 12-month period (184/365).

 

5

 

 

Small-Cap Index Fund

 

Performance Summary

 

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

 

Cumulative Performance: December 31, 2008, Through December 31, 2018

Initial Investment of $10,000

 

 

 

     Average Annual Total Returns   
     Periods Ended December 31, 2018   
              Final Value
     One  Five  Ten  of a $10,000
     Year  Years  Years  Investment
Small-Cap Index Fund Investor Shares   -9.43%   5.12%   13.42%   $35,240
Spliced Small-Cap Index   -9.33    5.24    13.53    35,580
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.22    34,625

Spliced Small-Cap Index: Russell 2000 Index through May 16, 2003; MSCI US Small Cap 1750 Index through January 30, 2013; CRSP US Small Cap Index thereafter.

 

            Final Value
   One  Five  Ten  of a $10,000
   Year  Years  Years  Investment
Small-Cap Index Fund                   
ETF Shares Net Asset Value   -9.30%   5.26%   13.57%   $35,713
Spliced Small-Cap Index   -9.33    5.24    13.53    35,580
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.22    34,625

 

See Financial Highlights for dividend and capital gains information.

 

6

 

 

Small-Cap Index Fund

 

   Average Annual Total Returns   
   Periods Ended December 31, 2018   
            Final Value
   One  Five  Ten  of a $10,000
   Year  Years  Years  Investment
Small-Cap Index Fund Admiral Shares   -9.31%   5.25%   13.57%   $35,713
Spliced Small-Cap Index   -9.33    5.24    13.53    35,580
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.22    34,625

 

            Final Value
   One  Five  Ten  of a $5,000,000
   Year  Years  Years  Investment
Small-Cap Index Fund Institutional Shares   -9.32%   5.26%   13.60%   $17,892,408
Spliced Small-Cap Index   -9.33    5.24    13.53    17,789,871
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.22    17,312,429

 

         Since  Final Value
   One  Five  Inception  of a $100,000,000
   Year  Years  (12/17/2010)  Investment
Small-Cap Index Fund Institutional Plus Shares   -9.30%   5.28%   9.47%   $206,996,900
Spliced Small-Cap Index   -9.33    5.24    9.42    206,122,720
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    11.03    231,848,690

“Since Inception” performance is calculated from the Institutional Plus Shares’ inception date for both the fund and its comparative standards.

 

Cumulative Returns of ETF Shares: December 31, 2008, Through December 31, 2018

 

   One  Five  Ten
   Year  Years  Years
Small-Cap Index Fund ETF Shares Market Price   -9.38%   29.12%   258.40%
Small-Cap Index Fund ETF Shares Net Asset Value   -9.30    29.20    257.13 
Spliced Small-Cap Index   -9.33    29.11    255.80 

For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about how the ETF Shares’ market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares’ market price was above or below the NAV.

 

7

 

 

Small-Cap Index Fund

 

Sector Diversification

As of December 31, 2018

 

Basic Materials   3.8%
Consumer Goods   6.7 
Consumer Services   12.5 
Financials   26.3 
Health Care   11.2 
Industrials   19.7 
Oil & Gas   3.5 
Other   0.0 
Technology   12.1 
Telecommunications   0.5 
Utilities   3.7 

The table reflects the fund’s equity exposure, based on its investments in stocks and stock index futures. Any holdings in short-term reserves are excluded. Sector categories are based on the Industry Classification Benchmark (“ICB”), except for the “Other” category (if applicable), which includes securities that have not been provided an ICB classification as of the effective reporting period.

 

8

 

 

Small-Cap Index Fund

 

Financial Statements

 

Statement of Net Assets—Investments Summary

As of December 31, 2018

 

This Statement summarizes the fund’s holdings by asset type. Details are reported for each of the fund’s 50 largest individual holdings and for investments that, in total for any issuer, represent more than 1% of the fund’s net assets. The total value of smaller holdings is reported as a single amount within each category.

 

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the complete listing of the fund’s holdings is available electronically on vanguard.com and on the Securities and Exchange Commission’s website (sec.gov), or you can have it mailed to you without charge by calling 800-662-7447. For the first and third fiscal quarters, the fund files the lists with the SEC on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website.

 

       Market   Percentage 
       Value   of Net 
   Shares   ($000)  Assets 
Common Stocks               
Basic Materials               
   RPM International Inc.   3,417,008    200,852    0.3% 
   Basic Materials—Other †        2,743,440    3.5% 
            2,944,292    3.8% 
Consumer Goods               
*  US Foods Holding Corp.   5,594,238    177,002    0.2% 
   Consumer Goods—Other †        4,963,121    6.4% 
            5,140,123    6.6% 
Consumer Services               
*  Burlington Stores Inc.   1,735,309    282,283    0.4% 
   Service Corp. International   4,424,881    178,146    0.2% 
*  Bright Horizons Family Solutions Inc.   1,494,401    166,551    0.2% 
   KAR Auction Services Inc.   3,464,303    165,317    0.2% 
   Foot Locker Inc.   2,957,774    157,354    0.2% 
   Consumer Services—Other †        8,689,427    11.2% 
            9,639,078    12.4% 
Financials               
   WP Carey Inc.   4,147,085    270,971    0.3% 
   Sun Communities Inc.   2,112,094    214,821    0.3% 
   Equity LifeStyle Properties Inc.   2,079,514    201,983    0.3% 
   National Retail Properties Inc.   4,097,141    198,752    0.3% 
   MarketAxess Holdings Inc.   919,471    194,293    0.3% 
   Omega Healthcare Investors Inc.   5,166,731    181,611    0.2% 
   Apartment Investment & Management Co.   4,008,945    175,912    0.2% 
   Gaming and Leisure Properties Inc.   5,236,743    169,199    0.2% 
   Brown & Brown Inc.   6,110,079    168,394    0.2% 
   Kilroy Realty Corp.   2,593,976    163,109    0.2% 
   East West Bancorp Inc.   3,732,254    162,465    0.2% 
   Liberty Property Trust   3,805,606    159,379    0.2% 
   Financials—Other †        18,113,107    23.2% 
            20,373,996    26.1% 

 

9

 

 

Small-Cap Index Fund

 

          Market   Percentage 
          Value   of Net 
      Shares   ($000)  Assets 
Health Care               
   STERIS plc   2,175,639    232,467    0.3% 
*  Exact Sciences Corp.   3,164,090    199,654    0.3% 
*  Sarepta Therapeutics Inc.   1,727,734    188,548    0.3% 
   West Pharmaceutical Services Inc.   1,907,306    186,973    0.2% 
*  Molina Healthcare Inc.   1,525,900    177,340    0.2% 
*  Ionis Pharmaceuticals Inc.   3,180,326    171,928    0.2% 
*  Neurocrine Biosciences Inc.   2,334,629    166,716    0.2% 
   Health Care—Other †        7,339,429    9.4% 
            8,663,055    11.1% 
Industrials               
   IDEX Corp.   1,974,958    249,358    0.3% 
   PerkinElmer Inc.   2,863,867    224,957    0.3% 
*  Zebra Technologies Corp.   1,385,293    220,580    0.3% 
   Lennox International Inc.   985,277    215,638    0.3% 
   Spirit AeroSystems Holdings Inc. Class A   2,741,999    197,671    0.3% 
   Allegion plc   2,447,328    195,077    0.2% 
*  Teledyne Technologies Inc.   882,468    182,733    0.2% 
   Graco Inc.   4,285,124    179,332    0.2% 
*  HD Supply Holdings Inc.   4,493,445    168,594    0.2% 
*  Berry Global Group Inc.   3,378,514    160,581    0.2% 
   Booz Allen Hamilton Holding Corp. Class A   3,481,584    156,915    0.2% 
   Industrials—Other †        13,061,763    16.8% 
            15,213,199    19.5% 
                   
Oil & Gas †        2,691,913    3.5% 
                   
§,1Other †        3,766    0.0% 
                   
Technology               
*  PTC Inc.   2,749,843    227,962    0.3% 
*  Tableau Software Inc. Class A   1,842,057    221,047    0.3% 
   Leidos Holdings Inc.   3,855,779    203,277    0.3% 
*  Ultimate Software Group Inc.   764,780    187,272    0.2% 
*  ON Semiconductor Corp.   10,837,107    178,921    0.2% 
*  Tyler Technologies Inc.   949,513    176,438    0.2% 
*,^  Twilio Inc. Class A   1,936,853    172,961    0.2% 
*  Guidewire Software Inc.   2,081,266    166,980    0.2% 
*  Integrated Device Technology Inc.   3,321,390    160,855    0.2% 
*  Paycom Software Inc.   1,282,752    157,073    0.2% 
§  Technology—Other †        7,525,263    9.7% 
            9,378,049    12.0% 
                   
Telecommunications †        403,403    0.5% 
                   
Utilities               
   NRG Energy Inc.   7,092,100    280,847    0.4% 
   Atmos Energy Corp.   2,877,890    266,838    0.3% 
   UGI Corp.   4,488,985    239,487    0.3% 
   Utilities—Other †        2,086,855    2.7% 
            2,874,027    3.7% 
Total Common Stocks (Cost $70,472,989)        77,324,901    99.2%2 

 

10

 

 

Small-Cap Index Fund

 

           Market   Percentage 
           Value   of Net 
   Coupon   Shares   ($000  Assets 
Temporary Cash Investments                    
Money Market Fund                    
3,4  Vanguard Market Liquidity Fund   2.530%    17,173,921    1,717,392    2.2% 
                     
5U.S. Government and Agency Obligations †             74,815    0.1% 
Total Temporary Cash Investments (Cost $1,792,097)         1,792,207    2.3%2 
Total Investments (Cost $72,265,086)             79,117,108    101.5% 

 

   Amount     
   ($000)     
Other Assets and Liabilities          
Other Assets          
Investment in Vanguard   4,571      
Receivables for Investment Securities Sold   168,443      
Receivables for Accrued Income   136,179      
Receivables for Capital Shares Issued   190,648      
Variation Margin Receivable—Futures Contracts   5,975      
Other Assets6   13,187      
Total Other Assets   519,003    0.7% 
Liabilities          
Payables for Investment Securities Purchased   (333,503)     
Collateral for Securities on Loan   (1,062,476)     
Payables for Capital Shares Redeemed   (263,767)     
Payables to Vanguard   (26,397)     
Unrealized Depreciation—Swap Contracts   (2,506)     
Total Liabilities   (1,688,649)   (2.2%)
Net Assets   77,947,462    100.0% 

 

At December 31, 2018, net assets consisted of:

 

   Amount 
   ($000) 
Paid-in Capital   72,234,857 
Total Distributable Earnings (Loss)   5,712,605 
Net Assets   77,947,462 
      
Investor Shares—Net Assets     
Applicable to 52,714,277 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
   3,332,031 
Net Asset Value Per Share—Investor Shares   $63.21 
      
ETF Shares—Net Assets     
Applicable to 158,508,751 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
   20,914,209 
Net Asset Value Per Share—ETF Shares   $131.94 

 

11

 

 

Small-Cap Index Fund

 

   Amount 
   ($000
Admiral Shares—Net Assets     
Applicable to 496,340,144 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
   31,381,943 
Net Asset Value Per Share—Admiral Shares   $63.23 
      
Institutional Shares—Net Assets     
Applicable to 228,607,980 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
   14,453,676 
Net Asset Value Per Share—Institutional Shares   $63.22 
      
Institutional Plus Shares—Net Assets     
Applicable to 43,101,797 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
   7,865,603 
Net Asset Value Per Share—Institutional Plus Shares   $182.49 

See Note A in Notes to Financial Statements.
*Non-income-producing security.
^Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $992,396,000.  
§Certain of the fund’s securities are valued using significant unobservable inputs.
Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

1“Other” represents securities that are not classified by the fund’s benchmark index.

2The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts and swap contracts. After giving effect to futures and swap investments, the fund’s effective common stock and temporary cash investment positions represent 100.1% and 1.4%, respectively, of net assets.
3Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.

4Includes $1,062,476,000 of collateral received for securities on loan.

5Securities with a value of $32,375,000 have been segregated as initial margin for open futures contracts.

6Cash of $3,180,000 has been segregated as collateral for open over-the-counter swap contracts.

 

12

 

 

Small-Cap Index Fund

 

Derivative Financial Instruments Outstanding as of Period End

 

Futures Contracts

              ($000
              Value and 
      Number of       Unrealized 
      Long (Short)   Notional   Appreciation 
   Expiration  Contracts   Amount   (Depreciation
Long Futures Contracts               
E-mini Russell 2000 Index  March 2019   4,850    327,133    (14,423)
E-mini S&P Mid-Cap 400 Index  March 2019   1,755    291,716    (12,925)
                 (27,348)

 

Total Return Swaps

             Floating   Value and 
             Interest   Unrealized 
         Notional   Rate   Appreciation 
   Termination     Amount   Received   (Depreciation
Reference Entity  Date  Counterparty  ($000)   (Paid)  ($000
SLM Corp.  2/4/19  GSI   34,255    (2.870%)    (798)
VICI Properties Inc.  2/4/19  GSI   48,580    (3.270%)    (1,708)
                    (2,506)

GSI—Goldman Sachs International.

1 Payment received/paid monthly.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

13

 

 

Small-Cap Index Fund

 

Statement of Operations

 

   Year Ended 
   December 31, 2018 
   ($000
Investment Income     
Income     
Dividends   1,291,616 
Interest1   14,264 
Securities Lending—Net   34,385 
Total Income   1,340,265 
Expenses     
The Vanguard Group—Note B     
Investment Advisory Services   5,204 
Management and Administrative—Investor Shares   6,008 
Management and Administrative—ETF Shares   8,101 
Management and Administrative—Admiral Shares   12,361 
Management and Administrative—Institutional Shares   4,789 
Management and Administrative—Institutional Plus Shares   2,028 
Marketing and Distribution—Investor Shares   658 
Marketing and Distribution—ETF Shares   1,097 
Marketing and Distribution—Admiral Shares   2,403 
Marketing and Distribution—Institutional Shares   378 
Marketing and Distribution—Institutional Plus Shares   89 
Custodian Fees   1,059 
Auditing Fees   43 
Shareholders’ Reports—Investor Shares   84 
Shareholders’ Reports—ETF Shares   662 
Shareholders’ Reports—Admiral Shares   411 
Shareholders’ Reports—Institutional Shares   200 
Shareholders’ Reports—Institutional Plus Shares   72 
Trustees’ Fees and Expenses   58 
Total Expenses   45,705 
Net Investment Income   1,294,560 
Realized Net Gain (Loss)     
Investment Securities Sold1,2   6,118,540 
Futures Contracts   (61,713)
Swap Contracts   (16,271)
Realized Net Gain (Loss)   6,040,556 
Change in Unrealized Appreciation (Depreciation)     
Investment Securities1   (15,387,185)
Futures Contracts   (30,035)
Swap Contracts   (2,145)
Change in Unrealized Appreciation (Depreciation)   (15,419,365)
Net Increase (Decrease) in Net Assets Resulting from Operations   (8,084,249)

1Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $13,422,000, ($218,000), and $22,000, respectively. Purchases and sales are for temporary cash investment purposes.
2Includes $5,931,294,000 of net gain (loss) resulting from in-kind redemptions; such gain (loss) is not taxable to the fund.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

14

 

 

Small-Cap Index Fund

 

Statement of Changes in Net Assets

 

   Year Ended December 31, 
   2018   2017 
   ($000  ($000
Increase (Decrease) in Net Assets          
Operations          
Net Investment Income   1,294,560    1,136,430 
Realized Net Gain (Loss)   6,040,556    4,116,255 
Change in Unrealized Appreciation (Depreciation)   (15,419,365)   6,445,844 
Net Increase (Decrease) in Net Assets Resulting from Operations   (8,084,249)   11,698,529 
Distributions          
Net Investment Income          
Investor Shares   (53,605)   (57,529)
ETF Shares   (338,290)   (280,715)
Admiral Shares   (513,969)   (451,429)
Institutional Shares   (239,319)   (208,650)
Institutional Plus Shares   (138,982)   (129,060)
Realized Capital Gain          
Investor Shares        
ETF Shares        
Admiral Shares        
Institutional Shares        
Institutional Plus Shares        
Total Distributions   (1,284,165)   (1,127,383)
Capital Share Transactions          
Investor Shares   (629,069)   (653,015)
ETF Shares   1,850,347    2,848,082 
Admiral Shares   1,357,792    1,795,522 
Institutional Shares   895,441    370,934 
Institutional Plus Shares   (793,473)   260,540 
Net Increase (Decrease) from Capital Share Transactions   2,681,038    4,622,063 
Total Increase (Decrease)   (6,687,376)   15,193,209 
Net Assets          
Beginning of Period   84,634,838    69,441,629 
End of Period   77,947,462    84,634,838 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

15

 

 

Small-Cap Index Fund

 

Financial Highlights

 

Investor Shares

 

For a Share Outstanding     Year Ended December 31,
Throughout Each Period 2018 2017 2016 2015 2014
Net Asset Value, Beginning of Period $70.76 $61.75 $53.03 $55.86 $52.69
Investment Operations          
Net Investment Income .9671 .8761 .843 .727 .730
Net Realized and Unrealized Gain (Loss)          
on Investments (7.552) 9.011 8.734 (2.840) 3.148
Total from Investment Operations (6.585) 9.887 9.577 (2.113) 3.878
Distributions          
Dividends from Net Investment Income (.965) (.877) (.857) (.717) (.708)
Distributions from Realized Capital Gains
Total Distributions (.965) (.877) (.857) (.717) (.708)
Net Asset Value, End of Period $63.21 $70.76 $61.75 $53.03 $55.86
           
Total Return2 -9.43% 16.10% 18.17% -3.78% 7.37%
           
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $3,332 $4,345 $4,401 $4,058 $4,606
Ratio of Total Expenses to Average Net Assets 0.17% 0.17% 0.18% 0.20% 0.23%
Ratio of Net Investment Income to          
Average Net Assets 1.34% 1.36% 1.55% 1.33% 1.40%
Portfolio Turnover Rate3 15% 15% 14% 11% 10%

1Calculated based on average shares outstanding.
2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

16

 

 

Small-Cap Index Fund

 

Financial Highlights

 

ETF Shares

 

For a Share Outstanding Year Ended December 31,
Throughout Each Period 2018 2017 2016 2015 2014
Net Asset Value, Beginning of Period $147.71 $128.90 $110.71 $116.61 $110.02
Investment Operations          
Net Investment Income 2.2391 2.0371 1.899 1.668 1.707
Net Realized and Unrealized Gain (Loss)
on Investments
(15.808) 18.768 18.221 (5.931) 6.556
Total from Investment Operations (13.569) 20.805 20.120 (4.263) 8.263
Distributions          
Dividends from Net Investment Income (2.201) (1.995) (1.930) (1.637) (1.673)
Distributions from Realized Capital Gains
Total Distributions (2.201) (1.995) (1.930) (1.637) (1.673)
Net Asset Value, End of Period $131.94 $147.71 $128.90 $110.71 $116.61
           
Total Return -9.30% 16.24% 18.31% -3.65% 7.51%
           
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $20,914 $21,605 $16,153 $11,478 $9,833
Ratio of Total Expenses to Average Net Assets 0.05% 0.05% 0.06% 0.08% 0.09%
Ratio of Net Investment Income to          
Average Net Assets 1.46% 1.48% 1.67% 1.45% 1.54%
Portfolio Turnover Rate2 15% 15% 14% 11% 10%

1Calculated based on average shares outstanding.
2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

17

 

 

Small-Cap Index Fund

 

Financial Highlights

 

Admiral Shares

 

For a Share Outstanding Year Ended December 31,
Throughout Each Period 2018 2017 2016 2015 2014
Net Asset Value, Beginning of Period $70.78 $61.77 $53.05 $55.87 $52.72
Investment Operations          
Net Investment Income 1.0671 .9701 .910 .797 .817
Net Realized and Unrealized Gain (Loss)
on Investments
(7.563) 8.997 8.733 (2.833) 3.133
Total from Investment Operations (6.496) 9.967 9.643 (2.036) 3.950
Distributions          
Dividends from Net Investment Income (1.054) (.957) (.923) (.784) (.800)
Distributions from Realized Capital Gains
Total Distributions (1.054) (.957) (.923) (.784) (.800)
Net Asset Value, End of Period $63.23 $70.78 $61.77 $53.05 $55.87
           
Total Return2 -9.31% 16.24% 18.30% -3.64% 7.50%
           
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $31,382 $33,801 $27,778 $21,441 $20,034
Ratio of Total Expenses to Average Net Assets 0.05% 0.05% 0.06% 0.08% 0.09%
Ratio of Net Investment Income to          
Average Net Assets 1.46% 1.48% 1.67% 1.45% 1.54%
Portfolio Turnover Rate3 15% 15% 14% 11% 10%

1Calculated based on average shares outstanding.
2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

18

 

 

Small-Cap Index Fund

 

Financial Highlights

 

Institutional Shares

 

For a Share Outstanding Year Ended December 31,
Throughout Each Period 2018 2017 2016 2015 2014
Net Asset Value, Beginning of Period $70.78 $61.77 $53.05 $55.87 $52.71
Investment Operations          
Net Investment Income 1.0761 .9751 .915 .803 .821
Net Realized and Unrealized Gain (Loss)          
on Investments (7.575) 8.998 8.734 (2.834) 3.144
Total from Investment Operations (6.499) 9.973 9.649 (2.031) 3.965
Distributions          
Dividends from Net Investment Income (1.061) (.963) (.929) (.789) (.805)
Distributions from Realized Capital Gains
Total Distributions (1.061) (.963) (.929) (.789) (.805)
Net Asset Value, End of Period $63.22 $70.78 $61.77 $53.05 $55.87
           
Total Return -9.32% 16.25% 18.32% -3.63% 7.53%
           
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $14,454 $15,352 $13,030 $10,036 $9,975
Ratio of Total Expenses to Average Net Assets 0.04% 0.04% 0.05% 0.07% 0.08%
Ratio of Net Investment Income to          
Average Net Assets 1.47% 1.49% 1.68% 1.46% 1.55%
Portfolio Turnover Rate2 15% 15% 14% 11% 10%

1Calculated based on average shares outstanding.
2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

19

 

 

Small-Cap Index Fund

 

Financial Highlights

 

Institutional Plus Shares

 

For a Share Outstanding Year Ended December 31,
Throughout Each Period 2018 2017 2016 2015 2014
Net Asset Value, Beginning of Period $204.30 $178.28 $153.11 $161.27 $152.16
Investment Operations          
Net Investment Income 3.1021 2.8351 2.660 2.353 2.405
Net Realized and Unrealized Gain (Loss)          
on Investments (21.825) 25.980 25.213 (8.203) 9.062
Total from Investment Operations (18.723) 28.815 27.873 (5.850) 11.467
Distributions          
Dividends from Net Investment Income (3.087) (2.795) (2.703) (2.310) (2.357)
Distributions from Realized Capital Gains
Total Distributions (3.087) (2.795) (2.703) (2.310) (2.357)
Net Asset Value, End of Period $182.49 $204.30 $178.28 $153.11 $161.27
           
Total Return -9.30% 16.27% 18.33% -3.62% 7.55%
           
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $7,866 $9,531 $8,080 $6,925 $6,024
Ratio of Total Expenses to Average Net Assets 0.03% 0.03% 0.04% 0.05% 0.06%
Ratio of Net Investment Income to          
Average Net Assets 1.48% 1.50% 1.69% 1.48% 1.57%
Portfolio Turnover Rate2 15% 15% 14% 11% 10%

1Calculated based on average shares outstanding.
2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

20

 

 

Small-Cap Index Fund

 

Notes to Financial Statements

 

Vanguard Small-Cap Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers five classes of shares: Investor Shares, ETF Shares, Admiral Shares, Institutional Shares, and Institutional Plus Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker.

 

On November 19, 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. It is anticipated that all of the outstanding Investor Shares will be automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors.

 

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.

 

1.  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 materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. 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.

 

2.  Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. 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 assets pledged as initial margin for open contracts are noted in the Statement of Net Assets.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

 

21

 

 

Small-Cap Index Fund

 

During the year ended December 31, 2018, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

 

3. Swap Contracts: The fund has entered into equity swap contracts to earn the total return on selected reference stocks in the fund’s target index. Under the terms of the swaps, the fund receives the total return on the referenced stock (i.e., receiving the increase or paying the decrease in value of the selected reference stock and receiving the equivalent of any dividends in respect of the selected referenced stock) over a specified period of time, applied to a notional amount that represents the value of a designated number of shares of the selected reference stock at the beginning of the equity swap contract. The fund also pays a floating rate that is based on short-term interest rates, applied to the notional amount. At the same time, the fund generally invests an amount approximating the notional amount of the swap in high-quality temporary cash investments.

 

The notional amounts of swap contracts are not recorded in the Statement of Net Assets. Swaps are valued daily based on market quotations received from independent pricing services or recognized dealers and the change in value is recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until termination of the swap, at which time realized gain (loss) is recorded.

 

A risk associated with all types of swaps is the possibility that a counterparty may default on its obligation to pay net amounts due to the fund. The fund’s maximum amount subject to counterparty risk is the unrealized appreciation on the swap contract. The fund mitigates its counterparty risk by entering into swaps only with a diverse group of prequalified counterparties, monitoring their financial strength, entering into master netting arrangements with its counterparties, and requiring its counterparties to transfer collateral as security for their performance. In the absence of a default, the collateral pledged or received by the fund cannot be repledged, resold, or rehypothecated. In the event of a counterparty’s default (including bankruptcy), the fund may terminate any swap contracts with that counterparty, determine the net amount owed by either party in accordance with its master netting arrangements, and sell or retain any collateral held up to the net amount owed to the fund under the master netting arrangements. The swap contracts contain provisions whereby a counterparty may terminate open contracts if the fund net assets decline below a certain level, triggering a payment by the fund if the fund is in a net liability position at the time of the termination. The payment amount would be reduced by any collateral the fund has pledged. Any securities pledged as collateral for open contracts are noted in the Statement of Net Assets. The value of collateral received or pledged is compared daily to the value of the swap contracts exposure with each counterparty, and any difference, if in excess of a specified minimum transfer amount, is adjusted and settled within two business days.

 

During the year ended December 31, 2018, the fund’s average amounts of investments in total return swaps represented less than 1% of net assets, based on the average of notional amounts at each quarter-end during the period.

 

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (December 31, 2015–2018), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

22

 

 

Small-Cap Index Fund

 

5. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes.

 

6. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

 

7. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

 

The fund had no borrowings outstanding at December 31, 2018, or at any time during the period then ended.

 

8. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

 

23

 

 

Small-Cap Index Fund

 

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses), and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

 

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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets. All other costs of operations payable to Vanguard are generally settled twice a month.

 

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At December 31, 2018, the fund had contributed to Vanguard capital in the amount of $4,571,000, representing 0.01% of the fund’s net assets and 1.83% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

 

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.

 

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 valued with significant unobservable inputs are noted on the Statement of Net Assets.

 

The following table summarizes the market value of the fund’s investments as of December 31, 2018, based on the inputs used to value them:

 

   Level 1   Level 2   Level 3 
Investments  ($000)  ($000)  ($000)
Common Stocks   77,321,135        3,766 
Temporary Cash Investments   1,717,392    74,815     
Futures Contracts—Assets1   5,975         
Swap Contracts—Liabilities       (2,506)    
Total   79,044,502    72,309    3,766 

1 Represents variation margin on the last day of the reporting period.

 

D. Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period

 

24

 

 

Small-Cap Index Fund

 

end, permanent differences primarily attributable to the accounting for in-kind redemptions, the expiration of capital loss carryforwards, passive foreign investment companies, and swap agreements were reclassified between the following accounts:

 

   Amount 
   ($000)
Paid-in Capital   5,327,097 
Total Distributable Earnings (Loss)   (5,327,097)

 

Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the tax deferral of losses on wash sales and the realization of unrealized gains or losses on certain futures contracts, swap agreements, and unrealized gains on passive foreign investment companies. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:

 

   Amount 
   ($000)
Undistributed Ordinary Income   18,123 
Undistributed Long-Term Gains    
Capital Loss Carryforwards (Non-expiring)*   (1,114,310)
Net Unrealized Gains (Losses)   6,847,729 

 

*The fund used capital loss carryforwards of $52,083,000 to offset taxable capital gains realized during the year ended December 31, 2018, reducing the amount of capital gains that would otherwise be available to distribute to shareholders.

 

As of December 31, 2018, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:

 

   Amount 
   ($000)
Tax Cost   72,269,379 
Gross Unrealized Appreciation   16,376,020 
Gross Unrealized Depreciation   (9,528,291)
Net Unrealized Appreciation (Depreciation)   6,847,729 

 

E. During the year ended December 31, 2018, the fund purchased $27,138,158,000 of investment securities and sold $24,357,534,000 of investment securities, other than temporary cash investments. Purchases and sales include $12,198,655,000 and $11,453,341,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

 

The fund purchased securities from and sold securities to other Vanguard funds or accounts managed by Vanguard or its affiliates, in accordance with procedures adopted by the board of trustees in compliance with Rule 17a-7 of the Investment Company Act of 1940. For the year ended December 31, 2018, such purchases and sales were $2,239,765,000 and $2,560,703,000, respectively; these amounts are included in the purchases and sales of investment securities noted above.

 

25

 

 

Small-Cap Index Fund

 

F. Capital share transactions for each class of shares were:

 

   Year Ended December 31, 
   2018   2017 
   Amount   Shares   Amount   Shares 
   ($000)  (000)  ($000)  (000)
Investor Shares                    
Issued   587,503    8,034    691,920    10,613 
Issued in Lieu of Cash Distributions   50,656    725    54,687    821 
Redeemed   (1,267,228)   (17,455)   (1,399,622)   (21,293)
Net Increase (Decrease)—Investor Shares   (629,069)   (8,696)   (653,015)   (9,859)
ETF Shares                    
Issued   13,439,385    86,521    9,320,075    67,574 
Issued in Lieu of Cash Distributions                
Redeemed   (11,589,038)   (74,275)   (6,471,993)   (46,625)
Net Increase (Decrease)—ETF Shares   1,850,347    12,246    2,848,082    20,949 
Admiral Shares                    
Issued   7,056,077    97,331    6,792,440    103,995 
Issued in Lieu of Cash Distributions   460,730    6,590    406,244    6,084 
Redeemed   (6,159,015)   (85,107)   (5,403,162)   (82,274)
Net Increase (Decrease)—Admiral Shares   1,357,792    18,814    1,795,522    27,805 
Institutional Shares                    
Issued   3,820,210    52,425    3,318,653    50,778 
Issued in Lieu of Cash Distributions   227,800    3,259    199,657    2,992 
Redeemed   (3,152,569)   (43,975)   (3,147,376)   (47,830)
Net Increase (Decrease)—Institutional Shares   895,441    11,709    370,934    5,940 
Institutional Plus Shares                    
Issued   1,060,207    5,115    1,569,273    8,268 
Issued in Lieu of Cash Distributions   138,407    682    126,704    658 
Redeemed   (1,992,087)   (9,346)   (1,435,437)   (7,598)
Net Increase (Decrease)—Institutional Plus Shares   (793,473)   (3,549)   260,540    1,328 

 

G. Management has determined that no events or transactions occurred subsequent to December 31, 2018, that would require recognition or disclosure in these financial statements.

 

26

 

 

Small-Cap Growth Index Fund

 

Performance Summary

 

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

 

Cumulative Performance: December 31, 2008, Through December 31, 2018

Initial Investment of $10,000

 

 

 

     Average Annual Total Returns   
     Periods Ended December 31, 2018   
              Final Value
     One  Five  Ten  of a $10,000
     Year  Years  Years  Investment
Small-Cap Growth Index Fund Investor Shares   -5.80%   5.11%   14.27%   $37,967
Spliced Small-Cap Growth Index   -5.68    5.19    14.33    38,167
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.22    34,625

Spliced Small-Cap Growth Index: S&P SmallCap 600 Growth Index (formerly known as the S&P SmallCap 600/Barra Growth Index) through May 16, 2003; MSCI US Small Cap Growth Index through April 16, 2013; CRSP US Small Cap Growth Index thereafter.

 

            Final Value
   One  Five  Ten  of a $10,000
   Year  Years  Years  Investment
Small-Cap Growth Index Fund ETF Shares Net Asset Value   -5.68%   5.25%   14.42%   $38,467
Spliced Small-Cap Growth Index   -5.68    5.19    14.33    38,167
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.22    34,625

 

See Financial Highlights for dividend and capital gains information.

 

27

 

 

Small-Cap Growth Index Fund

 

   Average Annual Total Returns   
   Periods Ended December 31, 2018   
         Since  Final Value
   One  Five  Inception  of a $10,000
   Year  Years  (9/27/2011 Investment
Small-Cap Growth Index Fund Admiral Shares   -5.68%   5.24%   11.93%   $22,671
Spliced Small-Cap Growth Index   -5.68    5.19    11.85    22,545
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.07    24,403

“Since Inception” performance is calculated from the Admiral Shares’ inception date for both the fund and its comparative standards.

 

            Final Value
   One  Five  Ten  of a $5,000,000
   Year  Years  Years  Investment
Small-Cap Growth Index Fund Institutional Shares   -5.69%   5.25%   14.45%   $19,275,636
Spliced Small-Cap Growth Index   -5.68    5.19    14.33    19,083,624
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.22    17,312,429

 

Cumulative Returns of ETF Shares: December 31, 2008, Through December 31, 2018

 

   One  Five  Ten
   Year  Years  Years
Small-Cap Growth Index Fund ETF Shares Market Price   -5.78%   29.03%   285.51%
Small-Cap Growth Index Fund ETF Shares Net Asset Value   -5.68    29.13    284.67 
Spliced Small-Cap Growth Index   -5.68    28.81    281.67 

For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about how the ETF Shares’ market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares’ market price was above or below the NAV.

 

28

 

 

Small-Cap Growth Index Fund

 

Sector Diversification

As of December 31, 2018

 

Basic Materials   1.8%
Consumer Goods   5.9 
Consumer Services   13.2 
Financials   17.3 
Health Care   19.2 
Industrials   19.3 
Oil & Gas   3.5 
Other   0.0 
Technology   18.6 
Telecommunications   0.3 
Utilities   0.9 
The table reflects the fund’s equity exposure, based on its investments in stocks and stock index futures. Any holdings in short-term reserves are excluded. Sector categories are based on the Industry Classification Benchmark (“ICB”), except for the “Other” category (if applicable), which includes securities that have not been provided an ICB classification as of the effective reporting period.

  

29

 

 

Small-Cap Growth Index Fund

 

Financial Statements

 

Statement of Net Assets—Investments Summary

As of December 31, 2018

 

This Statement summarizes the fund’s holdings by asset type. Details are reported for each of the fund’s 50 largest individual holdings and for investments that, in total for any issuer, represent more than 1% of the fund’s net assets. The total value of smaller holdings is reported as a single amount within each category.

 

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the complete listing of the fund’s holdings is available electronically on vanguard.com and on the Securities and Exchange Commission’s website (sec.gov), or you can have it mailed to you without charge by calling 800-662-7447. For the first and third fiscal quarters, the fund files the lists with the SEC on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website.

 

          Market   Percentage 
          Value   of Net 
      Shares   ($000)  Assets 
Common Stocks               
Basic Materials               
   Royal Gold Inc.   951,473    81,494    0.4% 
   Basic Materials—Other †        272,132    1.4% 
            353,626    1.8% 
Consumer Goods               
*  Middleby Corp.   811,113    83,326    0.4% 
   Pool Corp.   555,563    82,584    0.4% 
*  Post Holdings Inc.   918,596    81,874    0.4% 
   Consumer Goods—Other †        944,092    4.7% 
            1,191,876    5.9% 
Consumer Services               
*  Burlington Stores Inc.   979,054    159,263    0.8% 
*  Bright Horizons Family Solutions Inc   843,391    93,996    0.5% 
*  Liberty Media Corp-Liberty Formula One   2,798,393    85,911    0.4% 
*  Five Below Inc.   809,388    82,817    0.4% 
*  Etsy Inc.   1,661,926    79,058    0.4% 
   Consumer Services—Other †        2,150,208    10.6% 
            2,651,253    13.1% 
Financials               
   Sun Communities Inc.   1,191,551    121,193    0.6% 
   Equity LifeStyle Properties Inc.   1,173,126    113,946    0.6% 
   MarketAxess Holdings Inc.   518,698    109,606    0.5% 
   VICI Properties Inc.   5,301,957    99,571    0.5% 
   Kilroy Realty Corp.   1,463,407    92,019    0.5% 
   Lamar Advertising Co. Class A   1,235,795    85,492    0.4% 
   Medical Properties Trust Inc.   5,300,350    85,230    0.4% 
   American Campus Communities Inc.   1,990,292    82,378    0.4% 
   CyrusOne Inc.   1,537,136    81,284    0.4% 
   Douglas Emmett Inc.   2,344,895    80,031    0.4% 
   Financials—Other †        2,532,253    12.6% 
            3,483,003    17.3% 

 

30

 

 

Small-Cap Growth Index Fund

 

          Market   Percentage 
          Value   of Net 
      Shares   ($000)  Assets 
Health Care               
*  Exact Sciences Corp.   1,785,007    112,634    0.6% 
*  Sarepta Therapeutics Inc.   974,682    106,367    0.5% 
   West Pharmaceutical Services Inc.   1,075,938    105,474    0.5% 
*  Ionis Pharmaceuticals Inc.   1,798,282    97,215    0.5% 
*  Neurocrine Biosciences Inc.   1,317,060    94,051    0.5% 
*  Exelixis Inc.   4,342,442    85,416    0.4% 
   Bio-Techne Corp.   548,511    79,380    0.4% 
   Health Care—Other †        3,194,806    15.8% 
            3,875,343    19.2% 
Industrials               
*  Zebra Technologies Corp.   781,459    124,432    0.6% 
   Lennox International Inc.   555,818    121,646    0.6% 
*  Teledyne Technologies Inc.   497,819    103,083    0.5% 
   Graco Inc.   2,417,337    101,166    0.5% 
*  HD Supply Holdings Inc.   2,534,876    95,109    0.5% 
*  Berry Global Group Inc.   1,905,535    90,570    0.5% 
*  WEX Inc.   626,037    87,683    0.4% 
   Nordson Corp.   717,935    85,686    0.4% 
   National Instruments Corp.   1,827,301    82,923    0.4% 
   Toro Co.   1,456,075    81,365    0.4% 
   Industrials—Other †        2,921,765    14.5% 
            3,895,428    19.3% 
                   
Oil & Gas †        713,418    3.5% 
                   
§,1Other †        137    0.0% 
                
Technology               
*  PTC Inc.   1,551,275    128,601    0.6% 
*  Tableau Software Inc. Class A   1,039,186    124,702    0.6% 
*  Ultimate Software Group Inc.   431,450    105,649    0.5% 
*  Tyler Technologies Inc.   535,683    99,541    0.5% 
*  Twilio Inc. Class A   1,092,609    97,570    0.5% 
*  Guidewire Software Inc.   1,176,558    94,395    0.5% 
*  Integrated Device Technology Inc.   1,873,868    90,751    0.5% 
*  Paycom Software Inc.   723,616    88,607    0.5% 
*  EPAM Systems Inc.   745,220    86,453    0.4% 
*  Zendesk Inc.   1,476,926    86,208    0.4% 
*  Okta Inc.   1,339,170    85,439    0.4% 
*  Aspen Technology Inc.   1,027,886    84,472    0.4% 
*  Nutanix Inc.   1,945,841    80,927    0.4% 
   Technology—Other †        2,491,374    12.4% 
            3,744,689    18.6% 
                   
Telecommunications †        66,984    0.3% 
                
Utilities               
   NRG Energy Inc.   1,996,809    79,074    0.4% 
   Utilities—Other †        95,888    0.5% 
            174,962    0.9% 
Total Common Stocks (Cost $18,037,211)        20,150,719    99.9%2 

 

31

 

 

Small-Cap Growth Index Fund

 

           Market   Percentage 
           Value   of Net 
   Coupon   Shares   ($000)  Assets 
Temporary Cash Investments                    
Money Market Fund                    
3,4  Vanguard Market Liquidity Fund   2.530%    3,103,237    310,324    1.6% 
                     
5U.S. Government and Agency Obligations †             2,974    0.0% 
Total Temporary Cash Investments (Cost $313,273)             313,298    1.6%2 
6Total Investments (Cost $18,350,484)             20,464,017    101.5% 

 

   Amount     
   ($000    
Other Assets and Liabilities          
Other Assets          
Investment in Vanguard   1,187      
Receivables for Investment Securities Sold   22,207      
Receivables for Accrued Income   22,139      
Receivables for Capital Shares Issued   19,494      
Variation Margin Receivable—Futures Contracts   150      
Other Assets7   3,208      
Total Other Assets   68,385    0.3% 
Liabilities          
Payables for Investment Securities Purchased   (218)     
Collateral for Securities on Loan   (298,687)     
Payables for Capital Shares Redeemed   (60,454)     
Payables to Vanguard   (7,916)     
Unrealized Depreciation—Swap Contracts   (347)     
Other Liabilities   (195)     
Total Liabilities   (367,817)   (1.8%)
Net Assets   20,164,585    100.0% 

 

At December 31, 2018, net assets consisted of:

 

   Amount 
   ($000
Paid-in Capital   19,340,969 
Total Distributable Earnings (Loss)   823,616 
Net Assets   20,164,585 
      
Investor Shares—Net Assets     
Applicable to 34,491,955 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
   1,461,005 
Net Asset Value Per Share—Investor Shares   $42.36 
      
ETF Shares—Net Assets     

Applicable to 48,387,076 outstanding $.001 par value shares of

beneficial interest (unlimited authorization)

   7,285,619 
Net Asset Value Per Share—ETF Shares   $150.57 

 

32

 

 

Small-Cap Growth Index Fund

 

   Amount 
   ($000)
Admiral Shares—Net Assets     
Applicable to 161,677,186 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
   8,560,309 
Net Asset Value Per Share—Admiral Shares   $52.95 
      
Institutional Shares—Net Assets     
Applicable to 67,393,350 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
   2,857,652 
Net Asset Value Per Share—Institutional Shares   $42.40 

See Note A in Notes to Financial Statements.
*Non-income-producing security.
§Certain of the fund’s securities are valued using significant unobservable inputs.
Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.
1“Other” represents securities that are not classified by the fund’s benchmark index.
2The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts and swap contracts. After giving effect to futures and swap investments, the fund’s effective common stock and temporary cash investment positions represent 100.1% and 1.4%, respectively, of net assets.
3Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
4Includes $298,687,000 of collateral received for securities on loan.
5Securities with a value of $1,239,000 have been segregated as initial margin for open futures contracts.
6The total value of securities on loan is $285,856,000.
7Cash of $870,000 has been segregated as collateral for open over-the-counter swap contracts.

 

33

 

 

Small-Cap Growth Index Fund

 

Derivative Financial Instruments Outstanding as of Period End

 

Futures Contracts               
              ($000
              Value and 
      Number of       Unrealized 
      Long (Short)  Notional   Appreciation 
   Expiration  Contracts   Amount   (Depreciation)
Long Futures Contracts                  
E-mini Russell 2000 Index  March 2019   210    14,165    220 
E-mini S&P Mid-Cap 400 Index  March 2019   40    6,649    (295)
                 (75)

 

Total Return Swaps                  
             Floating   Value and 
             Interest   Unrealized 
         Notional   Rate   Appreciation 
   Termination     Amount   Received   (Depreciation
Reference Entity  Date  Counterparty  ($000  (Paid)  ($000
VICI Properties Inc.  2/4/19  GSCM   9,870    (3.270%)   (347)

GSCM—Goldman Sachs Capital Management.

1 Payment received/paid monthly.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

34

 

 

Small-Cap Growth Index Fund

 

Statement of Operations

 

   Year Ended 
   December 31, 2018 
   ($000)
Investment Income     
Income     
Dividends   164,844 
Interest1   1,140 
Securities Lending—Net   10,213 
Total Income   176,197 
Expenses     
The Vanguard Group—Note B     
Investment Advisory Services   3,168 
Management and Administrative—Investor Shares   2,804 
Management and Administrative—ETF Shares   3,617 
Management and Administrative—Admiral Shares   4,488 
Management and Administrative—Institutional Shares   1,424 
Marketing and Distribution—Investor Shares   281 
Marketing and Distribution—ETF Shares   377 
Marketing and Distribution—Admiral Shares   620 
Marketing and Distribution—Institutional Shares   82 
Custodian Fees   252 
Auditing Fees   42 
Shareholders’ Reports—Investor Shares   43 
Shareholders’ Reports—ETF Shares   403 
Shareholders’ Reports—Admiral Shares   113 
Shareholders’ Reports—Institutional Shares   71 
Trustees’ Fees and Expenses   16 
Total Expenses   17,801 
Net Investment Income   158,396 
Realized Net Gain (Loss)     
Investment Securities Sold1,2   2,303,444 
Futures Contracts   (6,400)
Swap Contracts   (1,224)
Realized Net Gain (Loss)   2,295,820 
Change in Unrealized Appreciation (Depreciation)     
Investment Securities1   (3,710,699)
Futures Contracts   (588)
Swap Contracts   (347)
Change in Unrealized Appreciation (Depreciation)   (3,711,634)
Net Increase (Decrease) in Net Assets Resulting from Operations   (1,257,418)

1Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $1,014,000, ($35,000), and $1,000, respectively. Purchases and sales are for temporary cash investment purposes.
2Includes $2,400,478,000 of net gain (loss) resulting from in-kind redemptions; such gain (loss) is not taxable to the fund.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

35

 

 

Small-Cap Growth Index Fund

 

Statement of Changes in Net Assets

 

   Year Ended December 31, 
   2018   2017 
   ($000)  ($000)
Increase (Decrease) in Net Assets          
Operations          
Net Investment Income   158,396    170,629 
Realized Net Gain (Loss)   2,295,820    1,104,653 
Change in Unrealized Appreciation (Depreciation)   (3,711,634)   2,519,238 
Net Increase (Decrease) in Net Assets Resulting from Operations   (1,257,418)   3,794,520 
Distributions          
Net Investment Income          
Investor Shares   (9,967)   (13,772)
ETF Shares   (56,509)   (56,419)
Admiral Shares   (66,784)   (69,320)
Institutional Shares   (23,981)   (30,608)
Realized Capital Gain          
Investor Shares        
ETF Shares        
Admiral Shares        
Institutional Shares        
Total Distributions   (157,241)   (170,119)
Capital Share Transactions          
Investor Shares   (266,009)   (378,549)
ETF Shares   846,790    471,885 
Admiral Shares   470,431    625,740 
Institutional Shares   (687,407)   77,858 
Net Increase (Decrease) from Capital Share Transactions   363,805    796,934 
Total Increase (Decrease)   (1,050,854)   4,421,335 
Net Assets          
Beginning of Period   21,215,439    16,794,104 
End of Period   20,164,585    21,215,439 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

36

 

 

Small-Cap Growth Index Fund

 

Financial Highlights

 

Investor Shares

 

For a Share Outstanding Year Ended December 31,
Throughout Each Period 2018 2017 2016 2015 2014
Net Asset Value, Beginning of Period $45.24 $37.43 $34.18 $35.40 $34.37
Investment Operations          
Net Investment Income .2741 .3151 .355 .292 .303
Net Realized and Unrealized Gain (Loss)          
on Investments (2.879) 7.814 3.257 (1.225) 1.029
Total from Investment Operations (2.605) 8.129 3.612 (.933) 1.332
Distributions          
Dividends from Net Investment Income (.275) (.319) (.362) (.287) (.302)
Distributions from Realized Capital Gains
Total Distributions (.275) (.319) (.362) (.287) (.302)
Net Asset Value, End of Period $42.36 $45.24 $37.43 $34.18 $35.40
           
Total Return2 -5.80% 21.78% 10.61% -2.64% 3.88%
           
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $1,461 $1,816 $1,850 $1,986 $2,326
Ratio of Total Expenses to Average Net Assets 0.19% 0.19% 0.19% 0.20% 0.23%
Ratio of Net Investment Income to Average Net Assets 0.58% 0.78% 1.03% 0.82% 0.87%
Portfolio Turnover Rate3 22% 19% 27% 23% 26%

1Calculated based on average shares outstanding.
2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

37

 

 

Small-Cap Growth Index Fund

 

Financial Highlights

 

ETF Shares

 

For a Share Outstanding Year Ended December 31,
Throughout Each Period 2018 2017 2016 2015 2014
Net Asset Value, Beginning of Period $160.81 $133.07 $121.53 $125.88 $122.23
Investment Operations          
Net Investment Income 1.2141 1.3201 1.416 1.202 1.277
Net Realized and Unrealized Gain (Loss)          
on Investments (10.263) 27.731 11.563 (4.362) 3.643
Total from Investment Operations (9.049) 29.051 12.979 (3.160) 4.920
Distributions          
Dividends from Net Investment Income (1.191) (1.311) (1.439) (1.190) (1.270)
Distributions from Realized Capital Gains
Total Distributions (1.191) (1.311) (1.439) (1.190) (1.270)
Net Asset Value, End of Period $150.57 $160.81 $133.07 $121.53 $125.88
           
Total Return -5.68% 21.90% 10.74% -2.51% 4.02%
           
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $7,286 $6,981 $5,328 $4,422 $3,900
Ratio of Total Expenses to Average Net Assets 0.07% 0.07% 0.07% 0.08% 0.09%
Ratio of Net Investment Income to Average Net Assets 0.70% 0.90% 1.15% 0.94% 1.01%
Portfolio Turnover Rate2 22% 19% 27% 23% 26%

1Calculated based on average shares outstanding.
2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Small-Cap Growth Index Fund

 

Financial Highlights

 

Admiral Shares

 

For a Share Outstanding Year Ended December 31,
Throughout Each Period 2018  2017  2016  2015  2014 
Net Asset Value, Beginning of Period $56.55 $46.79 $42.73 $44.26 $42.98
Investment Operations          
Net Investment Income .4231 .4651 .496 .421 .449
Net Realized and Unrealized Gain (Loss)          
on Investments (3.605) 9.755 4.069 (1.534) 1.277
Total from Investment Operations (3.182) 10.220 4.565 (1.113) 1.726
Distributions          
Dividends from Net Investment Income (.418) (.460) (.505) (.417) (.446)
Distributions from Realized Capital Gains
Total Distributions (.418) (.460) (.505) (.417) (.446)
Net Asset Value, End of Period $52.95 $56.55 $46.79 $42.73 $44.26
           
Total Return2 -5.68% 21.92% 10.73% -2.52% 4.02%
           
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $8,560 $8,729 $6,648 $5,933 $5,434
Ratio of Total Expenses to Average Net Assets 0.07% 0.07% 0.07% 0.08% 0.09%
Ratio of Net Investment Income to Average Net Assets 0.70% 0.90% 1.15% 0.94% 1.01%
Portfolio Turnover Rate3 22% 19% 27% 23% 26%
1Calculated based on average shares outstanding.
2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Small-Cap Growth Index Fund

 

Financial Highlights

 

Institutional Shares

 

For a Share Outstanding Year Ended December 31,
Throughout Each Period 2018 2017 2016 2015 2014
Net Asset Value, Beginning of Period $45.29 $37.47 $34.22 $35.45 $34.42
Investment Operations          
Net Investment Income .3351 .3751 .401 .341 .362
Net Realized and Unrealized Gain (Loss)          
on Investments (2.886) 7.818 3.257 (1.234) 1.028
Total from Investment Operations (2.551) 8.193 3.658 (.893) 1.390
Distributions          
Dividends from Net Investment Income (.339) (.373) (.408) (.337) (.360)
Distributions from Realized Capital Gains
Total Distributions (.339) (.373) (.408) (.337) (.360)
Net Asset Value, End of Period $42.40 $45.29 $37.47 $34.22 $35.45
           
Total Return -5.69% 21.94% 10.74% -2.52% 4.04%
           
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $2,858 $3,690 $2,969 $2,793 $3,685
Ratio of Total Expenses to Average Net Assets 0.06% 0.06% 0.06% 0.07% 0.08%
Ratio of Net Investment Income to Average Net Assets 0.71% 0.91% 1.16% 0.95% 1.02%
Portfolio Turnover Rate2 22% 19% 27% 23% 26%
1Calculated based on average shares outstanding.
2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Small-Cap Growth Index Fund

 

Notes to Financial Statements

 

Vanguard Small-Cap Growth Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers four classes of shares: Investor Shares, ETF Shares, Admiral Shares, and Institutional Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker.

 

On November 19, 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. It is anticipated that all of the outstanding Investor Shares will be automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors.

 

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.

 

1. 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 materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. 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.

 

2. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. 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 assets pledged as initial margin for open contracts are noted in the Statement of Net Assets.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Assets and Liabilities as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

 

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Small-Cap Growth Index Fund

 

During the year ended December 31, 2018, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

 

3. Swap Contracts: The fund has entered into equity swap contracts to earn the total return on selected reference stocks in the fund’s target index. Under the terms of the swaps, the fund receives the total return on the referenced stock (i.e., receiving the increase or paying the decrease in value of the selected reference stock and receiving the equivalent of any dividends in respect of the selected referenced stock) over a specified period of time, applied to a notional amount that represents the value of a designated number of shares of the selected reference stock at the beginning of the equity swap contract. The fund also pays a floating rate that is based on short-term interest rates, applied to the notional amount. At the same time, the fund generally invests an amount approximating the notional amount of the swap in high-quality temporary cash investments.

 

The notional amounts of swap contracts are not recorded in the Statement of Net Assets. Swaps are valued daily based on market quotations received from independent pricing services or recognized dealers and the change in value is recorded in the Statement of Assets and Liabilities as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until termination of the swap, at which time realized gain (loss) is recorded.

 

A risk associated with all types of swaps is the possibility that a counterparty may default on its obligation to pay net amounts due to the fund. The fund’s maximum amount subject to counterparty risk is the unrealized appreciation on the swap contract. The fund mitigates its counterparty risk by entering into swaps only with a diverse group of prequalified counterparties, monitoring their financial strength, entering into master netting arrangements with its counterparties, and requiring its counterparties to transfer collateral as security for their performance. In the absence of a default, the collateral pledged or received by the fund cannot be repledged, resold, or rehypothecated. In the event of a counterparty’s default (including bankruptcy), the fund may terminate any swap contracts with that counterparty, determine the net amount owed by either party in accordance with its master netting arrangements, and sell or retain any collateral held up to the net amount owed to the fund under the master netting arrangements. The swap contracts contain provisions whereby a counterparty may terminate open contracts if the fund net assets decline below a certain level, triggering a payment by the fund if the fund is in a net liability position at the time of the termination. The payment amount would be reduced by any collateral the fund has pledged. Any securities pledged as collateral for open contracts are noted in the Statement of Net Assets. The value of collateral received or pledged is compared daily to the value of the swap contracts exposure with each counterparty, and any difference, if in excess of a specified minimum transfer amount, is adjusted and settled within two business days.

 

During the year ended December 31, 2018, the fund’s average amounts of investments in total return swaps represented less than 1% of net assets, based on the average of notional amounts at each quarter-end during the period.

 

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (December 31, 2015–2018), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

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Small-Cap Growth Index Fund

 

5. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes.

 

6. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Assets and Liabilities for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

 

7. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

 

The fund had no borrowings outstanding at December 31, 2018, or at any time during the period then ended.

 

8. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

 

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses), and shareholder reporting. Marketing and distribution

 

43

 

 

Small-Cap Growth Index Fund

 

expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

 

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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets. All other costs of operations payable to Vanguard are generally settled twice a month.

 

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At December 31, 2018, the fund had contributed to Vanguard capital in the amount of $1,187,000, representing 0.01% of the fund’s net assets and 0.47% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

 

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.

 

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 valued with significant unobservable inputs are noted on the Statement of Net Assets.

 

The following table summarizes the market value of the fund’s investments as of December 31, 2018, based on the inputs used to value them:

 

   Level 1   Level 2   Level 3 
Investments  ($000)  ($000)  ($000)
Common Stocks   20,150,582        137 
Temporary Cash Investments   310,324    2,974     
Futures Contracts—Assets1   150         
Swap Contracts—Liabilities       (347)    
Total   20,461,056    2,627    137 

1 Represents variation margin on the last day of the reporting period.

 

D. Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period

 

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Small-Cap Growth Index Fund

 

end, permanent differences primarily attributable to the accounting for in-kind redemptions, the expiration of capital loss carryforwards, and swap agreements were reclassified between the following accounts:

 

   Amount 
   ($000)
Paid-in Capital   2,139,360 
Total Distributable Earnings (Loss)   (2,139,360)

 

Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the tax deferral of losses on wash sales, the realization of unrealized gains or losses on certain futures contracts, swap agreements, and unrealized gains on passive foreign investment companies. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:

 

   Amount 
   ($000)
Undistributed Ordinary Income   1,029 
Undistributed Long-Term Gains    
Capital Loss Carryforwards (Non-expiring)   (1,282,222)
Net Unrealized Gains (Losses)   2,113,532 

 

At December 31, 2018, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:

 

   Amount 
   ($000)
Tax Cost   18,350,485 
Gross Unrealized Appreciation   4,496,299 
Gross Unrealized Depreciation   (2,382,767)
Net Unrealized Appreciation (Depreciation)   2,113,532 

 

E. During the year ended December 31, 2018, the fund purchased $9,693,208,000 of investment securities and sold $9,248,760,000 of investment securities, other than temporary cash investments. Purchases and sales include $4,556,864,000 and $4,247,783,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

 

The fund purchased securities from and sold securities to other Vanguard funds or accounts managed by Vanguard or its affiliates, in accordance with procedures adopted by the board of trustees in compliance with Rule 17a-7 of the Investment Company Act of 1940. For the year ended December 31, 2018, such purchases and sales were $1,056,093,000 and $1,955,712,000, respectively; these amounts are included in the purchases and sales of investment securities noted above.

 

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Small-Cap Growth Index Fund

 

F. Capital share transactions for each class of shares were:

 

   Year Ended December 31, 
   2018   2017 
   Amount   Shares   Amount   Shares 
   ($000)  (000)  ($000)  (000)
Investor Shares                    
Issued   326,985    6,728    313,705    7,684 
Issued in Lieu of Cash Distributions   9,311    203    12,952    308 
Redeemed   (602,305)   (12,592)   (705,206)   (17,256)
Net Increase (Decrease)—Investor Shares   (266,009)   (5,661)   (378,549)   (9,264)
ETF Shares                    
Issued   5,125,778    29,178    3,009,564    20,447 
Issued in Lieu of Cash Distributions                
Redeemed   (4,278,988)   (24,200)   (2,537,679)   (17,075)
Net Increase (Decrease)—ETF Shares   846,790    4,978    471,885    3,372 
Admiral Shares                    
Issued   2,387,365    39,460    1,842,542    35,856 
Issued in Lieu of Cash Distributions   61,293    1,064    64,088    1,215 
Redeemed   (1,978,227)   (33,209)   (1,280,890)   (24,789)
Net Increase (Decrease)—Admiral Shares   470,431    7,315    625,740    12,282 
Institutional Shares                    
Issued   764,172    15,779    741,019    17,987 
Issued in Lieu of Cash Distributions   22,675    490    29,031    688 
Redeemed   (1,474,254)   (30,348)   (692,192)   (16,427)
Net Increase (Decrease)—Institutional Shares   (687,407)   (14,079)   77,858    2,248 

 

G. Management has determined that no events or transactions occurred subsequent to December 31, 2018, that would require recognition or disclosure in these financial statements.

 

46

 

 

Small-Cap Value Index Fund

 

Performance Summary

 

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

 

Cumulative Performance: December 31, 2008, Through December 31, 2018

Initial Investment of $10,000

 

 

 

     Average Annual Total Returns   
     Periods Ended December 31, 2018   
              Final Value
     One  Five  Ten  of a $10,000
     Year  Years  Years  Investment
Small-Cap Value Index Fund Investor Shares   -12.34%   5.10%   12.45%   $32,343
Spliced Small-Cap Value Index   -12.27    5.26    12.61    32,783
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.22    34,625

 

Spliced Small-Cap Value Index: S&P SmallCap 600 Value Index (formerly known as the S&P SmallCap 600/Barra Value Index) through May 16, 2003; MSCI US Small Cap Value Index through April 16, 2013; CRSP US Small Cap Value Index thereafter.

 

            Final Value
   One  Five  Ten  of a $10,000
   Year  Years  Years  Investment
Small-Cap Value Index Fund ETF Shares Net Asset Value   -12.22%   5.24%   12.60%   $32,769
Spliced Small-Cap Value Index   -12.27    5.26    12.61    32,783
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.22    34,625

 

See Financial Highlights for dividend and capital gains information.

 

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Small-Cap Value Index Fund

 

   Average Annual Total Returns   
   Periods Ended December 31, 2018   
         Since  Final Value
   One  Five  Inception  of a $10,000
   Year  Years  (9/27/2011)  Investment
Small-Cap Value Index Fund Admiral Shares   -12.23%   5.23%   12.18%   $23,039
Spliced Small-Cap Value Index   -12.27    5.26    12.21    23,086
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.07    24,403

 

“Since Inception” performance is calculated from the Admiral Shares’ inception date for both the fund and its comparative standards.

 

            Final Value
   One  Five  Ten  of a $5,000,000
   Year  Years  Years  Investment
Small-Cap Value Index Fund Institutional Shares   -12.23%   5.24%   12.63%   $16,425,931
Spliced Small-Cap Value Index   -12.27    5.26    12.61    16,391,667
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.22    17,312,429

 

Cumulative Returns of ETF Shares: December 31, 2008, Through December 31, 2018

 

   One  Five  Ten
   Year  Years  Years
Small-Cap Value Index Fund ETF Shares Market Price   -12.28%   29.03%   229.21%
Small-Cap Value Index Fund ETF Shares Net Asset Value   -12.22    29.07    227.69 
Spliced Small-Cap Value Index   -12.27    29.20    227.83 

 

For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about how the ETF Shares’ market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares’ market price was above or below the NAV.

 

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Small-Cap Value Index Fund

 

Sector Diversification

As of December 31, 2018

 

Basic Materials   5.6%
Consumer Goods   7.3 
Consumer Services   11.9 
Financials   34.2 
Health Care   4.3 
Industrials   19.9 
Oil & Gas   3.4 
Other   0.0 
Technology   6.6 
Telecommunications   0.7 
Utilities   6.1 

The table reflects the fund’s equity exposure, based on its investments in stocks and stock index futures. Any holdings in short-term reserves are excluded. Sector categories are based on the Industry Classification Benchmark (“ICB”), except for the “Other” category (if applicable), which includes securities that have not been provided an ICB classification as of the effective reporting period.

 

49

 

 

Small-Cap Value Index Fund

 

Financial Statements

 

Statement of Net Assets — Investments Summary

As of December 31, 2018

 

This Statement summarizes the fund’s holdings by asset type. Details are reported for each of the fund’s 50 largest individual holdings and for investments that, in total for any issuer, represent more than 1% of the fund’s net assets. The total value of smaller holdings is reported as a single amount within each category.

 

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the complete listing of the fund’s holdings is available electronically on vanguard.com and on the Securities and Exchange Commission’s website (sec.gov), or you can have it mailed to you without charge by calling 800-662-7447. For the first and third fiscal quarters, the fund files the lists with the SEC on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website.

 

          Market   Percentage 
          Value   of Net 
      Shares   ($000  Assets 
Common Stocks               
Basic Materials               
   RPM International Inc.   2,152,204    126,507    0.5% 
   Chemours Co.   2,773,316    78,263    0.3% 
   Basic Materials—Other †        1,255,275    4.7% 
            1,460,045    5.5% 
Consumer Goods               
*  US Foods Holding Corp.   3,521,623    111,424    0.4% 
*  Herbalife Nutrition Ltd.   1,645,970    97,030    0.4% 
   Consumer Goods—Other †        1,699,261    6.5% 
            1,907,715    7.3% 
Consumer Services               
   Service Corp. International   2,785,564    112,147    0.4% 
   KAR Auction Services Inc.   2,180,279    104,043    0.4% 
   Foot Locker Inc.   1,862,371    99,078    0.4% 
   Dun & Bradstreet Corp.   602,508    86,002    0.3% 
   H&R Block Inc.   3,331,525    84,521    0.3% 
*  JetBlue Airways Corp.   4,942,101    79,370    0.3% 
   Consumer Services—Other †        2,546,443    9.7% 
            3,111,604    11.8% 
Financials               
   WP Carey Inc.   2,613,827    170,787    0.7% 
   National Retail Properties Inc.   2,582,676    125,286    0.5% 
   Apartment Investment & Management Co.   2,527,686    110,915    0.4% 
   Gaming and Leisure Properties Inc.   3,299,774    106,616    0.4% 
   Brown & Brown Inc.   3,854,827    106,239    0.4% 
   East West Bancorp Inc.   2,351,965    102,381    0.4% 
   Liberty Property Trust   2,397,534    100,409    0.4% 
   American Financial Group Inc.   1,086,869    98,394    0.4% 
   Old Republic International Corp.   4,663,752    95,933    0.4% 
   Commerce Bancshares Inc.   1,631,759    91,982    0.4% 
   RenaissanceRe Holdings Ltd.   652,978    87,303    0.3% 

 

50

 

 

Small-Cap Value Index Fund

 

          Market   Percentage 
          Value   of Net 
      Shares   ($000  Assets 
   Park Hotels & Resorts Inc.   3,262,558    84,761    0.3% 
   New Residential Investment Corp.   5,927,513    84,230    0.3% 
   Starwood Property Trust Inc.   4,245,099    83,671    0.3% 
   Cullen/Frost Bankers Inc.   934,325    82,165    0.3% 
   Synovus Financial Corp.   2,553,220    81,677    0.3% 
   LPL Financial Holdings Inc.   1,334,574    81,516    0.3% 
   Hanover Insurance Group Inc.   686,620    80,177    0.3% 
   Financials—Other †        7,188,223    27.3% 
            8,962,665    34.1% 
Health Care               
   Hill-Rom Holdings Inc.   1,090,684    96,580    0.4% 
   Encompass Health Corp.   1,523,563    94,004    0.4% 
*  Charles River Laboratories International Inc.   779,841    88,262    0.3% 
   Health Care—Other †        852,273    3.2% 
            1,131,119    4.3% 
Industrials               
   IDEX Corp.   1,243,013    156,943    0.6% 
   PerkinElmer Inc.   1,802,013    141,548    0.5% 
   Spirit AeroSystems Holdings Inc. Class A   1,726,145    124,438    0.5% 
   Allegion plc   1,541,747    122,893    0.5% 
   Booz Allen Hamilton Holding Corp. Class A   2,193,237    98,849    0.4% 
   Carlisle Cos. Inc.   964,559    96,957    0.4% 
   AptarGroup Inc.   1,018,318    95,793    0.4% 
   Donaldson Co. Inc.   2,076,410    90,095    0.3% 
   Sonoco Products Co.   1,617,769    85,952    0.3% 
   Lincoln Electric Holdings Inc.   991,498    78,180    0.3% 
   Industrials—Other †        4,140,032    15.7% 
            5,231,680    19.9% 
                   
Oil & Gas †        898,762    3.4% 
                   
§,1Other †        2,233    0.0% 
                   
Technology               
   Leidos Holdings Inc.   2,428,295    128,020    0.5% 
*  ON Semiconductor Corp.   6,824,504    112,673    0.4% 
   Teradyne Inc.   2,906,118    91,194    0.4% 
*  ARRIS International plc   2,677,486    81,851    0.3% 
   Technology—Other †        1,313,130    5.0% 
            1,726,868    6.6% 
                   
Telecommunications †        179,056    0.7% 
                   
Utilities               
   Atmos Energy Corp.   1,809,845    167,809    0.6% 
   UGI Corp.   2,824,315    150,677    0.6% 
   Aqua America Inc.   2,884,073    98,607    0.4% 
   Vectren Corp.   1,349,070    97,106    0.4% 
   NRG Energy Inc.   2,232,733    88,416    0.3% 
   Utilities—Other †        1,012,301    3.8% 
            1,614,916    6.1% 
Total Common Stocks (Cost $25,819,893)        26,226,663    99.7%2 

 

51

 

 

Small-Cap Value Index Fund

 

           Market   Percentage 
           Value   of Net 
   Coupon   Shares   ($000)   Assets 
Temporary Cash Investments                    
Money Market Fund                    
3,4 Vanguard Market Liquidity Fund   2.530%    2,057,210    205,721    0.8% 
                     
5U.S. Government and Agency Obligations †             4,462    0.0% 
Total Temporary Cash Investments (Cost $210,161)             210,183    0.8%2 
6Total Investments (Cost $26,030,054)             26,436,846    100.5% 

 

   Amount     
   ($000    
Other Assets and Liabilities          
Other Assets          
Investment in Vanguard   1,546      
Receivables for Investment Securities Sold   105,417      
Receivables for Accrued Income   60,782      
Receivables for Capital Shares Issued   40,758      
Variation Margin Receivable—Futures Contracts   410      
Other Assets7   852      
Total Other Assets   209,765    0.8% 
Liabilities          
Payables for Investment Securities Purchased   (157,498)     
Collateral for Securities on Loan   (136,133)     
Payables for Capital Shares Redeemed   (38,168)     
Payables to Vanguard   (9,569)     
Unrealized Depreciation—Swap Contracts   (483)     
Other Liabilities   (34)     
Total Liabilities   (341,885)   (1.3%)
Net Assets   26,304,726    100.0% 

 

At December 31, 2018, net assets consisted of:

 

   Amount 
   ($000
Paid-in Capital   26,072,276 
Total Distributable Earnings (Loss)   232,450 
Net Assets   26,304,726 
      
Investor Shares—Net Assets     
Applicable to 54,887,491 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   1,501,035 
Net Asset Value Per Share—Investor Shares   $27.35 
      
ETF Shares—Net Assets     
Applicable to 101,351,289 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   11,559,518 
Net Asset Value Per Share—ETF Shares   $114.05 

 

52

 

 

Small-Cap Value Index Fund

 

   Amount 
   ($000
Admiral Shares—Net Assets     
Applicable to 207,466,462 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   10,167,373 
Net Asset Value Per Share—Admiral Shares   $49.01 
      
Institutional Shares—Net Assets     
Applicable to 112,320,910 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   3,076,800 
Net Asset Value Per Share—Institutional Shares   $27.39 
See Note A in Notes to Financial Statements.
*Non-income-producing security.
§Certain of the fund’s securities are valued using significant unobservable inputs.
Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.
1“Other” represents securities that are not classified by the fund’s benchmark index.
2The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts and swap contracts. After giving effect to futures and swap investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 0.5%, respectively, of net assets.
3Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
4Includes $136,133,000 of collateral received for securities on loan.
5Securities with a value of $3,617,000 have been segregated as initial margin for open futures contracts.
6The total value of securities on loan is $119,085,000.
7Cash of $190,000 has been segregated as collateral for open over-the-counter swap contracts.

 

53

 

 

Small-Cap Value Index Fund

 

Derivative Financial Instruments Outstanding as of Period End

 

Futures Contracts

              ($000
              Value and 
      Number of       Unrealized 
      Long (Short  Notional   Appreciation 
   Expiration  Contracts   Amount   (Depreciation
Long Futures Contracts                  
E-mini Russell 2000 Index  March 2019   812    54,769    (2,727)
E-mini S&P Mid-Cap 400 Index  March 2019   50    8,311    (368)
                 (3,095)

 

Total Return Swaps                  
             Floating   Value and 
             Interest   Unrealized 
         Notional   Rate   Appreciation 
   Termination     Amount   Received   (Depreciation)
Reference Entity  Date  Counterparty  ($000)  (Paid)1  ($000)
SLM Corp.  2/4/19  GSCM   20,723    (2.870)   (483)

GSCM—Goldman Sachs Capital Management.

1 Payment received/paid monthly.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

54

 

 

Small-Cap Value Index Fund

 

Statement of Operations

 

   Year Ended 
   December 31, 2018 
   ($000)
Investment Income     
Income     
Dividends   625,808 
Interest1   1,882 
Securities Lending—Net   9,422 
Total Income   637,112 
Expenses     
The Vanguard Group—Note B     
Investment Advisory Services   3,404 
Management and Administrative—Investor Shares   2,978 
Management and Administrative—ETF Shares   6,287 
Management and Administrative—Admiral Shares   5,625 
Management and Administrative—Institutional Shares   1,541 
Marketing and Distribution—Investor Shares   340 
Marketing and Distribution—ETF Shares   641 
Marketing and Distribution—Admiral Shares   838 
Marketing and Distribution—Institutional Shares   92 
Custodian Fees   377 
Auditing Fees   43 
Shareholders’ Reports—Investor Shares   49 
Shareholders’ Reports—ETF Shares   656 
Shareholders’ Reports—Admiral Shares   143 
Shareholders’ Reports—Institutional Shares   77 
Trustees’ Fees and Expenses   21 
Total Expenses   23,112 
Net Investment Income   614,000 
Realized Net Gain (Loss)     
Investment Securities Sold1,2   1,671,408 
Futures Contracts   (18,605)
Swap Contracts   (6,137)
Realized Net Gain (Loss)   1,646,666 
Change in Unrealized Appreciation (Depreciation)     
Investment Securities1   (5,943,017)
Futures Contracts   (3,150)
Swap Contracts   (262)
Change in Unrealized Appreciation (Depreciation)   (5,946,429)
Net Increase (Decrease) in Net Assets Resulting from Operations   (3,685,763)
1Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $1,759,000, ($33,000), and $4,000, respectively. Purchases and sales are for temporary cash investment purposes.
2Includes $1,442,978,000 of net gain (loss) resulting from in-kind redemptions; such gain (loss) is not taxable to the fund.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

55

 

 

Small-Cap Value Index Fund

 

Statement of Changes in Net Assets

 

   Year Ended December 31, 
   2018   2017 
   ($000)  ($000)
Increase (Decrease) in Net Assets          
Operations          
Net Investment Income   614,000    524,278 
Realized Net Gain (Loss)   1,646,666    1,187,494 
Change in Unrealized Appreciation (Depreciation)   (5,946,429)   1,377,080 
Net Increase (Decrease) in Net Assets Resulting from Operations   (3,685,763)   3,088,852 
Distributions          
Net Investment Income          
Investor Shares   (34,953)   (36,929)
ETF Shares   (268,490)   (220,339)
Admiral Shares   (232,657)   (198,391)
Institutional Shares   (72,499)   (63,321)
Realized Capital Gain          
Investor Shares        
ETF Shares        
Admiral Shares        
Institutional Shares        
Total Distributions   (608,599)   (518,980)
Capital Share Transactions          
Investor Shares   (313,616)   (489,544)
ETF Shares   829,466    1,519,428 
Admiral Shares   526,756    830,846 
Institutional Shares   (79,422)   454,986 
Net Increase (Decrease) from Capital Share Transactions   963,184    2,315,716 
Total Increase (Decrease)   (3,331,178)   4,885,588 
Net Assets          
Beginning of Period   29,635,904    24,750,316 
End of Period   26,304,726    29,635,904 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

56

 

 

Small-Cap Value Index Fund

 

Financial Highlights

 

Investor Shares

 

For a Share Outstanding Year Ended December 31,
Throughout Each Period 2018 2017 2016 2015 2014
Net Asset Value, Beginning of Period $31.82 $29.00 $23.69 $25.34 $23.33
Investment Operations          
Net Investment Income .6031 .5341 .477 .431 .425
Net Realized and Unrealized Gain (Loss)          
on Investments (4.471) 2.820 5.315 (1.643) 1.995
Total from Investment Operations (3.868) 3.354 5.792 (1.212) 2.420
Distributions          
Dividends from Net Investment Income (.602) (.534) (.482) (.438) (.410)
Distributions from Realized Capital Gains
Total Distributions (.602) (.534) (.482) (.438) (.410)
Net Asset Value, End of Period $27.35 $31.82 $29.00 $23.69 $25.34
           
Total Return2 -12.34% 11.67% 24.65% -4.78% 10.39%
           
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $1,501 $2,060 $2,357 $1,972 $2,293
Ratio of Total Expenses to Average Net Assets 0.19% 0.19% 0.19% 0.20% 0.23%
Ratio of Net Investment Income to          
Average Net Assets 1.92% 1.82% 1.96% 1.78% 1.84%
Portfolio Turnover Rate3 18% 19% 18% 16% 12%
1Calculated based on average shares outstanding.
2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

57

 

 

Small-Cap Value Index Fund

 

Financial Highlights

 

ETF Shares

 

For a Share Outstanding Year Ended December 31,
Throughout Each Period 2018 2017 2016 2015 2014
Net Asset Value, Beginning of Period $132.71 $120.95 $98.81 $105.71 $97.32
Investment Operations          
Net Investment Income 2.7201 2.4271 2.119 1.933 1.933
Net Realized and Unrealized Gain (Loss) on Investments (18.702) 11.709 22.159 (6.870) 8.326
Total from Investment Operations (15.982) 14.136 24.278 (4.937) 10.259
Distributions          
Dividends from Net Investment Income (2.678) (2.376) (2.138) (1.963) (1.869)
Distributions from Realized Capital Gains
Total Distributions (2.678) (2.376) (2.138) (1.963) (1.869)
Net Asset Value, End of Period $114.05 $132.71 $120.95 $98.81 $105.71
           
Total Return -12.22% 11.79% 24.80% -4.67% 10.55%
           
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $11,560 $12,650 $10,042 $5,679 $4,874
Ratio of Total Expenses to Average Net Assets 0.07% 0.07% 0.07% 0.08% 0.09%
Ratio of Net Investment Income to Average Net Assets 2.04% 1.94% 2.08% 1.90% 1.98%
Portfolio Turnover Rate2 18% 19% 18% 16% 12%
1Calculated based on average shares outstanding.
2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

58

 

 

Small-Cap Value Index Fund

 

Financial Highlights

 

Admiral Shares

 

For a Share Outstanding Year Ended December 31,
Throughout Each Period 2018 2017 2016 2015 2014
Net Asset Value, Beginning of Period $57.02 $51.97 $42.46 $45.42 $41.82
Investment Operations          
Net Investment Income 1.1651 1.0391 .911 .830 .831
Net Realized and Unrealized Gain (Loss) on Investments (8.024) 5.032 9.518 (2.947) 3.573
Total from Investment Operations (6.859) 6.071 10.429 (2.117) 4.404
Distributions          
Dividends from Net Investment Income (1.151) (1.021) (.919) (.843) (.804)
Distributions from Realized Capital Gains
Total Distributions (1.151) (1.021) (.919) (.843) (.804)
Net Asset Value, End of Period $49.01 $57.02 $51.97 $42.46 $45.42
           
Total Return2 -12.23% 11.80% 24.78% -4.65% 10.55%
           
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $10,167 $11,278 $9,469 $6,467 $5,775
Ratio of Total Expenses to Average Net Assets 0.07% 0.07% 0.07% 0.08% 0.09%
Ratio of Net Investment Income to Average Net Assets 2.04% 1.94% 2.08% 1.90% 1.98%
Portfolio Turnover Rate3 18% 19% 18% 16% 12%
1Calculated based on average shares outstanding.
2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

59

 

 

Small-Cap Value Index Fund

 

Financial Highlights

 

Institutional Shares

 

For a Share Outstanding Year Ended December 31,
Throughout Each Period 2018 2017 2016 2015 2014
Net Asset Value, Beginning of Period $31.87 $29.05 $23.73 $25.39 $23.37
Investment Operations          
Net Investment Income .6511 .5871 .510 .465 .467
Net Realized and Unrealized Gain (Loss) on Investments (4.485) 2.808 5.324 (1.652) 2.004
Total from Investment Operations (3.834) 3.395 5.834 (1.187) 2.471
Distributions          
Dividends from Net Investment Income (.646) (.575) (.514) (.473) (.451)
Distributions from Realized Capital Gains
Total Distributions (.646) (.575) (.514) (.473) (.451)
Net Asset Value, End of Period $27.39 $31.87 $29.05 $23.73 $25.39
           
Total Return -12.23% 11.80% 24.80% -4.67% 10.59%
           
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $3,077 $3,649 $2,882 $2,334 $1,927
Ratio of Total Expenses to Average Net Assets 0.06% 0.06% 0.06% 0.07% 0.08%
Ratio of Net Investment Income to Average Net Assets 2.05% 1.95% 2.09% 1.91% 1.99%
Portfolio Turnover Rate2 18% 19% 18% 16% 12%
1Calculated based on average shares outstanding.
2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

60

 

 

Small-Cap Value Index Fund

 

Notes to Financial Statements

 

Vanguard Small-Cap Value Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers four classes of shares: Investor Shares, ETF Shares, Admiral Shares, and Institutional Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker.

 

On November 19, 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. It is anticipated that all of the outstanding Investor Shares will be automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors.

 

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.

 

1. 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 materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. 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.

 

2. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. 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 assets pledged as initial margin for open contracts are noted in the Statement of Net Assets.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

 

61

 

 

Small-Cap Value Index Fund

 

During the year ended December 31, 2018, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

 

3. Swap Contracts: The fund has entered into equity swap contracts to earn the total return on selected reference stocks in the fund’s target index. Under the terms of the swaps, the fund receives the total return on the referenced stock (i.e., receiving the increase or paying the decrease in value of the selected reference stock and receiving the equivalent of any dividends in respect of the selected referenced stock) over a specified period of time, applied to a notional amount that represents the value of a designated number of shares of the selected reference stock at the beginning of the equity swap contract. The fund also pays a floating rate that is based on short-term interest rates, applied to the notional amount. At the same time, the fund generally invests an amount approximating the notional amount of the swap in high-quality temporary cash investments.

 

The notional amounts of swap contracts are not recorded in the Statement of Net Assets. Swaps are valued daily based on market quotations received from independent pricing services or recognized dealers and the change in value is recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until termination of the swap, at which time realized gain (loss) is recorded.

 

A risk associated with all types of swaps is the possibility that a counterparty may default on its obligation to pay net amounts due to the fund. The fund’s maximum amount subject to counterparty risk is the unrealized appreciation on the swap contract. The fund mitigates its counterparty risk by entering into swaps only with a diverse group of prequalified counterparties, monitoring their financial strength, entering into master netting arrangements with its counterparties, and requiring its counterparties to transfer collateral as security for their performance. In the absence of a default, the collateral pledged or received by the fund cannot be repledged, resold, or rehypothecated. In the event of a counterparty’s default (including bankruptcy), the fund may terminate any swap contracts with that counterparty, determine the net amount owed by either party in accordance with its master netting arrangements, and sell or retain any collateral held up to the net amount owed to the fund under the master netting arrangements. The swap contracts contain provisions whereby a counterparty may terminate open contracts if the fund net assets decline below a certain level, triggering a payment by the fund if the fund is in a net liability position at the time of the termination. The payment amount would be reduced by any collateral the fund has pledged. Any securities pledged as collateral for open contracts are noted in the Statement of Net Assets. The value of collateral received or pledged is compared daily to the value of the swap contracts exposure with each counterparty, and any difference, if in excess of a specified minimum transfer amount, is adjusted and settled within two business days.

 

During the year ended December 31, 2018, the fund’s average amounts of investments in total return swaps represented less than 1% of net assets, based on the average of notional amounts at each quarter-end during the period.

 

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (December 31, 2015–2018), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

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5. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes.

 

6. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

 

7. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

 

The fund had no borrowings outstanding at December 31, 2018, or at any time during the period then ended.

 

8. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

 

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses), and shareholder reporting. Marketing and distribution

 

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Small-Cap Value Index Fund

 

expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

 

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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets. All other costs of operations payable to Vanguard are generally settled twice a month.

 

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At December 31, 2018, the fund had contributed to Vanguard capital in the amount of $1,546,000, representing 0.01% of the fund’s net assets and 0.62% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

 

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.

 

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 valued with significant unobservable inputs are noted on the Statement of Net Assets.

 

The following table summarizes the market value of the fund’s investments as of December 31, 2018, based on the inputs used to value them:

 

   Level 1   Level 2   Level 3 
Investments  ($000)  ($000)  ($000)
Common Stocks   26,224,430        2,233 
Temporary Cash Investments   205,721    4,462     
Futures Contracts—Assets1   410         
Swap Contracts—Liabilities       (483)    
Total   26,430,561    3,979    2,233 

1 Represents variation margin on the last day of the reporting period.

 

D. Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period

 

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Small-Cap Value Index Fund

 

end, permanent differences primarily attributable to the accounting for in-kind redemptions, the expiration of capital loss carryforwards, passive foreign investment companies, and swap agreements were reclassified between the following accounts:

 

   Amount 
   ($000)
Paid-in Capital   1,054,206 
Total Distributable Earnings (Loss)   (1,054,206)

 

Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the tax deferral of losses on wash sales, the realization of unrealized gains or losses on certain futures contracts, swap agreements, and unrealized gains on passive foreign investment companies. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:

 

   Amount 
   ($000)
Undistributed Ordinary Income   9,847 
Undistributed Long-Term Gains    
Capital Loss Carryforwards (Non-expiring)*   (168,054)
Net Unrealized Gains (Losses)   403,757 
*The fund used capital loss carryforwards of $206,345,000 to offset taxable capital gains realized during the year ended December 31, 2018, reducing the amount of capital gains that would otherwise be available to distribute to shareholders.

 

As of December 31, 2018, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:

 

   Amount 
   ($000)
Tax Cost   26,033,089 
Gross Unrealized Appreciation   3,946,839 
Gross Unrealized Depreciation   (3,543,082)
Net Unrealized Appreciation (Depreciation)   403,757 

 

E. During the year ended December 31, 2018, the fund purchased $9,567,384,000 of investment securities and sold $8,539,365,000 of investment securities, other than temporary cash investments. Purchases and sales include $3,561,809,000 and $3,282,222,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

 

The fund purchased securities from and sold securities to other Vanguard funds or accounts managed by Vanguard or its affiliates, in accordance with procedures adopted by the board of trustees in compliance with Rule 17a-7 of the Investment Company Act of 1940. For the year ended December 31, 2018, such purchases and sales were $2,168,411,000 and $1,327,943,000, respectively; these amounts are included in the purchases and sales of investment securities noted above.

 

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Small-Cap Value Index Fund

 

F. Capital share transactions for each class of shares were:

 

   Year Ended December 31, 
       2018       2017 
   Amount   Shares   Amount   Shares 
   ($000)  (000)  ($000)  (000)
Investor Shares                    
Issued   270,333    8,448    419,463    14,099 
Issued in Lieu of Cash Distributions   32,995    1,078    34,876    1,153 
Redeemed   (616,944)   (19,370)   (943,883)   (31,805)
Net Increase (Decrease)—Investor Shares   (313,616)   (9,844)   (489,544)   (16,553)
ETF Shares                    
Issued   4,136,630    30,836    3,904,605    31,333 
Issued in Lieu of Cash Distributions                
Redeemed   (3,307,164)   (24,800)   (2,385,177)   (19,050)
Net Increase (Decrease)—ETF Shares   829,466    6,036    1,519,428    12,283 
Admiral Shares                    
Issued   2,473,497    43,932    2,845,311    53,286 
Issued in Lieu of Cash Distributions   206,324    3,770    177,442    3,269 
Redeemed   (2,153,065)   (38,003)   (2,191,907)   (40,993)
Net Increase (Decrease)—Admiral Shares   526,756    9,699    830,846    15,562 
Institutional Shares                    
Issued   781,491    24,577    1,059,655    35,577 
Issued in Lieu of Cash Distributions   65,697    2,147    58,204    1,917 
Redeemed   (926,610)   (28,887)   (662,873)   (22,210)
Net Increase (Decrease)—Institutional Shares   (79,422)   (2,163)   454,986    15,284 

 

G. Management has determined that no events or transactions occurred subsequent to December 31, 2018, that would require recognition or disclosure in these financial statements.

 

66

 

 

Report of Independent Registered Public Accounting Firm

 

To the Board of Trustees of Vanguard Index Funds and Shareholders of Vanguard Small-Cap Index Fund, Vanguard Small-Cap Growth Index Fund and Vanguard Small-Cap Value Index Fund

 

Opinions on the Financial Statements

We have audited the accompanying statements of net assets—investments summary of Vanguard Small-Cap Index Fund, Vanguard Small-Cap Growth Index Fund and Vanguard Small-Cap Value Index Fund (three of the funds constituting Vanguard Index Funds, hereafter collectively referred to as the “Funds”) as of December 31, 2018, the related statements of operations for the year ended December 31, 2018, the statements of changes in net assets for each of the two years in the period ended December 31, 2018, including the related notes, and the financial highlights for each of the five years in the period ended December 31, 2018 (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of each of the Funds as of December 31, 2018, the results of each of their operations for the year then ended, the changes in each of their net assets for each of the two years in the period ended December 31, 2018 and each of the financial highlights for each of the five years in the period ended December 31, 2018 in conformity with accounting principles generally accepted in the United States of America.

 

Basis for Opinions

These financial statements are the responsibility of the Funds’ management. Our responsibility is to express an opinion on the Funds’ financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Funds in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

 

We conducted our audits of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of December 31, 2018 by correspondence with the custodians and brokers and by agreement to the underlying ownership records of the transfer agent; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinions.

 

/s/PricewaterhouseCoopers LLP

Philadelphia, Pennsylvania

February 14, 2019

 

We have served as the auditor of one or more investment companies in The Vanguard Group of Funds since 1975.

 

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Special 2018 tax information (unaudited) for Vanguard U.S. Stock Index Funds (Small-Capitalization Portfolios)

 

This information for the fiscal year ended December 31, 2018, is included pursuant to provisions of the Internal Revenue Code.

 

The funds distributed qualified dividend income to shareholders during the fiscal year as follows:

 

Fund  ($000)
Small-Cap Index Fund   887,743 
Small-Cap Growth Index Fund   106,027 
Small-Cap Value Index Fund   442,512 

 

For corporate shareholders, the percentage of investment income (dividend income plus short-term gains, if any) that qualifies for the dividends-received deduction is as follows:

 

Fund  Percentage 
Small-Cap Index Fund   66.4%
Small-Cap Growth Index Fund   65.1 
Small-Cap Value Index Fund   69.6 

 

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The People Who Govern Your Fund

 

The trustees of your mutual fund are there to see that the fund is operated and managed in your best interests since, as a shareholder, you are a part owner of the fund. Your fund’s trustees also serve on the board of directors of The Vanguard Group, Inc., which is owned by the Vanguard funds and provides services to them.

 

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 212 Vanguard funds.

 

Information for each trustee and executive officer of the fund appears below. The mailing address of the trustees and officers is P.O. Box 876, Valley Forge, PA 19482. More information about the trustees is in the Statement of Additional Information, which can be obtained, without charge, by contacting Vanguard at 800-662-7447, or online at vanguard.com.

 

Interested Trustees1

 

F. William McNabb III

Born in 1957. Trustee since July 2009. Principal occupation(s) during the past five years and other experience: chairman of the board (January 2010–present) of Vanguard and of each of the investment companies served by Vanguard, trustee (2009–present) of each of the investment companies served by Vanguard, and director (2008–present) of Vanguard. Chief executive officer and president (2008–2017) of Vanguard and each of the investment companies served by Vanguard, managing director (1995–2008) of Vanguard, and director (1997–2018) of Vanguard Marketing Corporation. Director (2018–present) of UnitedHealth Group.

 

Mortimer J. Buckley

Born in 1969. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: chief executive officer (January 2018–present) of Vanguard; chief executive officer, president, and trustee (January 2018–present) of each of the investment companies served by Vanguard; president and director (2017–present) of Vanguard; and president (February 2018–present) of Vanguard Marketing Corporation. Chief investment officer (2013–2017), managing director (2002–2017), head of the Retail Investor Group (2006–2012), and chief information officer (2001–2006) of Vanguard. Chairman of the board (2011–2017) of the Children’s Hospital of Philadelphia.

 

Independent Trustees

 

Emerson U. Fullwood

Born in 1948. Trustee since January 2008. Principal occupation(s) during the past five years and other experience: executive chief staff and marketing officer for North America and corporate vice president (retired 2008) of Xerox Corporation (document management products and services). Former president of the Worldwide Channels Group, Latin America, and Worldwide Customer Service and executive chief staff officer of Developing Markets of Xerox. Executive in residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology. Lead director of SPX FLOW, Inc. (multi-industry manufacturing). Director of the University of Rochester Medical Center, the Monroe Community College Foundation, the United Way of Rochester, North Carolina A&T University, and Roberts Wesleyan College. Trustee of the University of Rochester.

 

Amy Gutmann

Born in 1949. Trustee since June 2006. Principal occupation(s) during the past five years and other experience: president (2004–present) of the University of Pennsylvania. Christopher H. Browne Distinguished Professor of Political Science, School of Arts and Sciences, and professor of communication, Annenberg School for Communication, with secondary faculty appointments in the Department of Philosophy, School of Arts and Sciences, and at the Graduate School of Education, University of Pennsylvania. Trustee of the National Constitution Center.

 

1Mr. McNabb and Mr. Buckley are considered “interested persons,” as defined in the Investment Company Act of 1940, because they are officers of the Vanguard funds.

 

 

 

 

JoAnn Heffernan Heisen

Born in 1950. Trustee since July 1998. Principal occupation(s) during the past five years and other experience: corporate vice president of Johnson & Johnson (pharmaceuticals/medical devices/consumer products) and member of its executive committee (1997–2008). Chief global diversity officer (retired 2008), vice president and chief information officer (1997–2006), controller (1995–1997), treasurer (1991–1995), and assistant treasurer (1989–1991) of Johnson & Johnson. Director of Skytop Lodge Corporation (hotels) and the Robert Wood Johnson Foundation. Member of the advisory board of the Institute for Women’s Leadership at Rutgers University.

 

F. Joseph Loughrey

Born in 1949. Trustee since October 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2009) and vice chairman of the board (2008–2009) of Cummins Inc. (industrial machinery). Chairman of the board of Hillenbrand, Inc. (specialized consumer services), Oxfam America, and the Lumina Foundation for Education. Director of the V Foundation for Cancer Research. Member of the advisory council for the College of Arts and Letters and chair of the advisory board to the Kellogg Institute for International Studies, both at the University of Notre Dame.

 

Mark Loughridge

Born in 1953. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: senior vice president and chief financial officer (retired 2013) of IBM (information technology services). Fiduciary member of IBM’s Retirement Plan Committee (2004–2013), senior vice president and general manager (2002–2004) of IBM Global Financing, vice president and controller (1998–2002) of IBM, and a variety of other prior management roles at IBM. Member of the Council on Chicago Booth.

 

Scott C. Malpass

Born in 1962. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: chief investment officer (1989–present) and vice president (1996–present) of the University of Notre Dame. Assistant professor of finance at the Mendoza College of Business, University of Notre Dame, and member of the Notre Dame 403(b) Investment Committee. Chairman of the board of TIFF Advisory Services, Inc. Member of the board of Catholic Investment Services, Inc. (investment advisors), the board of advisors for Spruceview Capital Partners, and the board of superintendence of the Institute for the Works of Religion.

 

Deanna Mulligan

Born in 1963. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: president (2010–present) and chief executive officer (2011–present) of The Guardian Life Insurance Company of America. Chief operating officer (2010–2011) and executive vice president (2008–2010) of Individual Life and Disability of The Guardian Life Insurance Company of America. Member of the board of The Guardian Life Insurance Company of America, the American Council of Life Insurers, the Partnership for New York City (business leadership), and the Committee Encouraging Corporate Philanthropy. Trustee of the Economic Club of New York and the Bruce Museum (arts and science). Member of the Advisory Council for the Stanford Graduate School of Business.

 

André F. Perold

Born in 1952. Trustee since December 2004. Principal occupation(s) during the past five years and other experience: George Gund Professor of Finance and Banking, Emeritus at the Harvard Business School (retired 2011). Chief investment officer and co-managing partner of HighVista Strategies LLC (private investment firm). Overseer of the Museum of Fine Arts Boston.

 

Sarah Bloom Raskin

Born in 1961. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: deputy secretary (2014–2017) of the United States Department of the Treasury. Governor (2010–2014) of the Federal Reserve Board. Commissioner (2007–2010) of financial regulation for the State of Maryland. Member of the board of directors (2012–2014) of Neighborhood Reinvestment Corporation. Director of i(x) Investments, LLC.

 

Peter F. Volanakis

Born in 1955. Trustee since July 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2010) of Corning Incorporated (communications equipment) and director of Corning Incorporated (2000–2010) and Dow Corning (2001–2010). Director (2012) of SPX Corporation (multi-industry manufacturing). Overseer of the Amos Tuck School of Business Administration, Dartmouth College (2001–2013). Chairman of the board of trustees of Colby-Sawyer College. Member of the Board of Hypertherm Inc. (industrial cutting systems, software, and consumables).

 

 

 

 

Executive Officers

 

Glenn Booraem

Born in 1967. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Investment stewardship officer (2017–present), treasurer (2015–2017), controller (2010–2015), and assistant controller (2001–2010) of each of the investment companies served by Vanguard.

 

Christine M. Buchanan

Born in 1970. Principal occupation(s) during the past five years and other experience: principal of Vanguard and global head of Fund Administration at Vanguard. Treasurer (2017–present) of each of the investment companies served by Vanguard. Partner (2005–2017) at KPMG LLP (audit, tax, and advisory services).

 

Brian Dvorak

Born in 1973. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief compliance officer (2017–present) of Vanguard and each of the investment companies served by Vanguard. Assistant vice president (2017–present) of Vanguard Marketing Corporation. Vice president and director of Enterprise Risk Management (2011–2013) at Oppenheimer Funds, Inc.

 

Thomas J. Higgins

Born in 1957. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief financial officer (2008–present) and treasurer (1998–2008) of each of the investment companies served by Vanguard.

 

Peter Mahoney

Born in 1974. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Controller (2015–present) of each of the investment companies served by Vanguard. Head of International Fund Services (2008–2014) at Vanguard.

 

Anne E. Robinson

Born in 1970. Principal occupation(s) during the past five years and other experience: general counsel (2016–present) of Vanguard. Secretary (2016–present) of Vanguard and of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Director and senior vice president (2016–2018) of Vanguard Marketing Corporation. Managing director and general counsel of Global Cards and Consumer Services (2014–2016) at Citigroup. Counsel (2003–2014) at American Express.

 

Michael Rollings

Born in 1963. Principal occupation(s) during the past five years and other experience: finance director (2017–present) and treasurer (2017) of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Chief financial officer (2016–present) of Vanguard. Director (2016–present) of Vanguard Marketing Corporation. Executive vice president and chief financial officer (2006–2016) of MassMutual Financial Group.

 

Vanguard Senior Management Team

 

Joseph Brennan Chris D. McIsaac
Mortimer J. Buckley James M. Norris
Gregory Davis Thomas M. Rampulla
John James Karin A. Risi
Martha G. King Anne E. Robinson
John T. Marcante Michael Rollings

 

Chairman Emeritus and Senior Advisor

 

John J. Brennan

Chairman, 1996–2009

Chief Executive Officer and President, 1996–2008

 

Founder

 

John C. Bogle

Chairman and Chief Executive Officer, 1974–1996

 

 

 

 

 
   
  P.O. Box  2600
  Valley Forge, PA 19482-2600

 

Connect with Vanguard® > vanguard.com

 

Fund Information > 800-662-7447

 

Direct Investor Account Services > 800-662-2739

 

Institutional Investor Services > 800-523-1036

 

Text Telephone for People

Who Are Deaf or Hard of Hearing > 800-749-7273

 

This material may be used in conjunction with the offering of shares of any Vanguard fund only if preceded or accompanied by the fund’s current prospectus.

 

All comparative mutual fund data are from Lipper, a Thomson Reuters Company, or Morningstar, Inc., unless otherwise noted.

 

You can obtain a free copy of Vanguard’s proxy voting guidelines by visiting vanguard.com/proxyreporting or by calling Vanguard at 800-662-2739. The guidelines are also available from the SEC’s website, sec.gov. In addition, you may obtain a free report on how your fund voted the proxies for securities it owned during the 12 months ended June 30. To get the report, visit either vanguard.com/proxyreporting or sec.gov.

 

You can review information about your fund on the SEC’s website, and you can receive copies of this information, for a fee, by sending a request via email addressed to publicinfo@sec.gov.

 

Source for Bloomberg Barclays indexes: Bloomberg Index Services Limited. Copyright 2019, Bloomberg. All rights reserved.

 

  © 2019 The Vanguard Group, Inc.
  All rights reserved.
  U.S. Patent Nos. 6,879,964; 7,337,138;
  7,720,749; 7,925,573; 8,090,646; 8,417,623; and 8,626,636.
  Vanguard Marketing Corporation, Distributor.
   
  Q480 022019

 

 

 

  

 

 

 

 

 

Annual Report | December 31, 2018

 
Vanguard U.S. Stock Index Funds

Mid-Capitalization Portfolios

 

 

 

 

 

  

 

Vanguard Extended Market Index Fund

 
Vanguard Mid-Cap Index Fund
 
Vanguard Mid-Cap Growth Index Fund
 
Vanguard Mid-Cap Value Index Fund
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
See the inside front cover for important information about access to your fund’s annual and semiannual shareholder reports.
 

 

 

 

 

Important information about access to shareholder reports

 

Beginning on January 1, 2021, as permitted by regulations adopted by the Securities and Exchange Commission, paper copies of your fund’s annual and semiannual shareholder reports will no longer be sent to you by mail, unless you specifically request them. Instead, you will be notified by mail each time a report is posted on the website and will be provided with a link to access the report.

 

If you have already elected to receive shareholder reports electronically, you will not be affected by this change and do not need to take any action. You may elect to receive shareholder reports and other communications from the fund electronically by contacting your financial intermediary (such as a broker-dealer or bank) or, if you invest directly with the fund, by calling Vanguard at one of the phone numbers on the back cover of this report or by logging on to vanguard.com.

 

You may elect to receive paper copies of all future shareholder reports free of charge. If you invest through a financial intermediary, you can contact the intermediary to request that you continue to receive paper copies. If you invest directly with the fund, you can call Vanguard at one of the phone numbers on the back cover of this report or log on to vanguard.com. Your election to receive paper copies will apply to all the funds you hold through an intermediary or directly with Vanguard.

 

Contents  
   
A Note From Our CEO 1
   
Your Fund’s Performance at a Glance 2
   
About Your Fund’s Expenses 3
   
Extended Market Index Fund 6
   
Mid-Cap Index Fund 31
   
Mid-Cap Growth Index Fund 53
   
Mid-Cap Value Index Fund 70

 

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises or advice. Also, please keep in mind that the information and opinions cover the period through the date on the front of this report. Of course, the risks of investing in your fund are spelled out in the prospectus.

  

 

 

 

A Note From Our CEO

 

 

Tim Buckley

Chairman and Chief Executive Officer

 

Dear Shareholder,

 

Over the years, I’ve found that prudent investors exhibit a common trait: discipline. No matter how the markets move or what new investing fad hits the headlines, those who stay focused on their goals and tune out the noise are set up for long-term success.

 

The prime gateway to investing is saving, and you don’t usually become a saver without a healthy dose of discipline. Savers make the decision to sock away part of their income, which means spending less and delaying gratification, no matter how difficult that may be.

 

Of course, disciplined investing extends beyond diligent saving. The financial markets, in the short term especially, are unpredictable; I have yet to meet the investor who can time them perfectly. It takes discipline to resist the urge to go all-in when markets are frothy or to retreat when things look bleak.

 

Staying put with your investments is one strategy for handling volatility. Another, rebalancing, requires even more discipline because it means steering your money away from strong performers and toward poorer performers.

 

Patience—a form of discipline—is also the friend of long-term investors. Higher returns are the potential reward for weathering the market’s turbulence and uncertainty.

 

It’s important to be prepared for that turbulence, whenever it appears. Don’t panic. Don’t chase returns or look for answers outside the asset classes you trust. And be sure to rebalance periodically, even when there’s turmoil.

 

Whether you’re a master of self-control, get a boost from technology, or work with a professional advisor, know that discipline is necessary to get the most out of your investment portfolio. And know that Vanguard is with you for the entire ride.

 

Thank you for your continued loyalty.

 

Sincerely,

 

 

Mortimer J. Buckley

Chairman and Chief Executive Officer

January 17, 2019

 

1

 

 

Your Fund’s Performance at a Glance

 

·     Returns for the 12 months ended December 31, 2018, ranged from nearly –6% for Vanguard Mid-Cap Growth Index Fund to about –13% for Vanguard Mid-Cap Value Index Fund. Vanguard Mid-Cap Index Fund, which contains both growth and value stocks, returned about –9%. Vanguard Extended Market Index Fund, which includes both small- and mid-capitalization holdings, posted a result of about –9%. All returns are for Investor Shares.

 

·     Each fund closely tracked its target index. Only the Growth Index Fund trailed the average return of its peers.

 

·     Financials detracted the most from the Mid-Cap Index and Value Index Funds’ results, oil and gas from the Growth Index Fund, and industrials from the Extended Market Index Fund. Please be aware that the Extended Market Index Fund uses the Global Industry Classification Standard (GICS) methodology, while the other three funds use Industry Classification Benchmark (ICB) methodology. Technology contributed the most to the Mid-Cap Index, Growth Index, and Extended Market Index Funds’ returns, while utilities led the Value Index Fund.

 

·     Please note that in November, Vanguard lowered the investment minimum for the funds’ Admiral Shares from $10,000 to $3,000.

Market Barometer

  Average Annual Total Returns  
  Periods Ended December 31, 2018  
  One Year Three Years Five Years  
Stocks        
Russell 1000 Index (Large-caps) -4.78% 9.09% 8.21%  
Russell 2000 Index (Small-caps) -11.01 7.36 4.41  
Russell 3000 Index (Broad U.S. market) -5.24 8.97 7.91  
FTSE All-World ex US Index (International) -14.13 4.58 1.05  
         
Bonds        
Bloomberg Barclays U.S. Aggregate Bond Index (Broad taxable market) 0.01% 2.06% 2.52%  
Bloomberg Barclays Municipal Bond Index (Broad tax-exempt market) 1.28 2.30 3.82  
FTSE Three-Month U.S. Treasury Bill Index 1.86 0.98 0.59  
         
CPI        
Consumer Price Index 1.91% 2.03% 1.51%  

 

2

 

 

About Your Fund’s Expenses

 

As a shareholder of the fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund.

 

A fund’s expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing costs (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period.

 

The accompanying table illustrates your fund’s costs in two ways:

 

·     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.

 

To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund under the heading “Expenses Paid During 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.

Note that the expenses shown in the table are meant to highlight and help you compare ongoing costs only and do not reflect transaction costs incurred by the fund for buying and selling securities. Further, the expenses do not include any purchase, redemption, or account service fees described in the fund prospectus. If such fees were applied to your account, your costs would be higher. Your fund does not carry a “sales load.”

 

The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions.

 

You can find more information about the fund’s expenses, including annual expense ratios, in the Financial Statements section of this report. For additional information on operating expenses and other shareholder costs, please refer to your fund’s current prospectus.

 

3

 

  

Six Months Ended December 31, 2018

 

  Beginning Ending Expenses
  Account Value Account Value Paid During
  6/30/2018 12/31/2018 Period
Based on Actual Fund Return      
Extended Market Index Fund      
Investor Shares $1,000.00 $853.40 $0.84
ETF Shares 1,000.00 853.97 0.28
Admiral™ Shares 1,000.00 853.92 0.28
Institutional Shares 1,000.00 853.93 0.28
Institutional Plus Shares 1,000.00 853.97 0.23
Institutional Select Shares 1,000.00 854.08 0.09
Mid-Cap Index Fund      
Investor Shares $1,000.00 $884.29 $0.81
ETF Shares 1,000.00 885.01 0.14
Admiral Shares 1,000.00 884.87 0.24
Institutional Shares 1,000.00 884.91 0.19
Institutional Plus Shares 1,000.00 884.96 0.14
Mid-Cap Growth Index Fund      
Investor Shares $1,000.00 $893.36 $0.91
ETF Shares 1,000.00 894.04 0.33
Admiral Shares 1,000.00 894.12 0.33
Mid-Cap Value Index Fund      
Investor Shares $1,000.00 $875.49 $0.90
ETF Shares 1,000.00 875.94 0.33
Admiral Shares 1,000.00 875.82 0.33

4

 

  

Six Months Ended December 31, 2018

 

  Beginning Ending Expenses
  Account Value Account Value Paid During
  6/30/2018 12/31/2018 Period
Based on Hypothetical 5% Yearly Return      
Extended Market Index Fund      
Investor Shares $1,000.00 $1,024.30 $0.92
ETF Shares 1,000.00 1,024.90 0.31
Admiral Shares 1,000.00 1,024.90 0.31
Institutional Shares 1,000.00 1,024.90 0.31
Institutional Plus Shares 1,000.00 1,024.95 0.26
Institutional Select Shares 1,000.00 1,025.10 0.10
Mid-Cap Index Fund      
Investor Shares $1,000.00 $1,024.35 $0.87
ETF Shares 1,000.00 1,025.05 0.15
Admiral Shares 1,000.00 1,024.95 0.26
Institutional Shares 1,000.00 1,025.00 0.20
Institutional Plus Shares 1,000.00 1,025.05 0.15
Mid-Cap Growth Index Fund      
Investor Shares $1,000.00 $1,024.25 $0.97
ETF Shares 1,000.00 1,024.85 0.36
Admiral Shares 1,000.00 1,024.85 0.36
Mid-Cap Value Index Fund      
Investor Shares $1,000.00 $1,024.25 $0.97
ETF Shares 1,000.00 1,024.85 0.36
Admiral Shares 1,000.00 1,024.85 0.36

The calculations are based on expenses incurred in the most recent six-month period. The funds’ annualized six-month expense ratios for that period are: for the Extended Market Index Fund, 0.18% for Investor Shares, 0.06% for ETF Shares, 0.06% for Admiral Shares, 0.06% for Institutional Shares, 0.05% for Institutional Plus Shares, and 0.02% for Institutional Select Shares; for the Mid-Cap Index Fund, 0.17% for Investor Shares, 0.03% for ETF Shares, 0.05% for Admiral Shares, 0.04% for Institutional Shares, and 0.03% for Institutional Plus Shares; for the Mid-Cap Growth Index Fund, 0.19% for Investor Shares, 0.07% for ETF Shares, and 0.07% for Admiral Shares; and for the Mid-Cap Value Index Fund, 0.19% for Investor Shares, 0.07% for ETF Shares, and 0.07% for Admiral Shares. The dollar amounts shown as “Expenses Paid” are equal to the annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent six-month period, then divided by the number of days in the most recent 12-month period (184/365).

 

5

 

 

Extended Market Index Fund

 

Performance Summary

 

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

 

Cumulative Performance: December 31, 2008, Through December 31, 2018

Initial Investment of $10,000

 

 

    Average Annual Total Returns  
    Periods Ended December 31, 2018  
          Final Value
    One Five Ten of a $10,000
    Year Years Years Investment
Extended Market Index FundInvestor Shares -9.47% 5.14% 13.48% $35,405
S&P Completion Index -9.57 5.17 13.54 35,599
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 13.22 34,625

 

        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Extended Market Index Fund ETF Shares Net Asset Value -9.37% 5.28% 13.63% $35,882
S&P Completion Index -9.57 5.17 13.54 35,599
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 13.22 34,625

 

See Financial Highlights for dividend and capital gains information.

 

6

 

  

Extended Market Index Fund

 

  Average Annual Total Returns  
  Periods Ended December 31, 2018  
        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Extended Market Index Fund Admiral Shares -9.36% 5.28% 13.63% $35,896
S&P Completion Index -9.57 5.17 13.54 35,599
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 13.22 34,625
         
        Final Value
  One Five Ten of a $5,000,000
  Year Years Years Investment
Extended Market Index Fund Institutional Shares -9.35% 5.30% 13.66% $17,983,736
S&P Completion Index -9.57 5.17 13.54 17,799,724
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 13.22 17,312,429
         
      Since Final Value
  One Five Inception of a $100,000,000
  Year Years (1/14/2011) Investment
Extended Market Index Fund Institutional Plus Shares -9.35% 5.31% 9.00% $198,635,040
S&P Completion Index -9.57 5.17 8.86 196,546,327
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 10.57 222,589,244

 

“Since Inception” performance is calculated from the Institutional Plus Shares’ inception date for both the fund and its comparative standards.

 

    Since Final Value
of a
  One Inception $3,000,000,000
  Year (6/27/2016) Investment
Extended Market Index Fund Institutional Select Shares -9.32% 10.46% $3,851,646,934
S&P Completion Index -9.57 10.27 3,834,495,238
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 11.40 3,934,307,477

“Since Inception” performance is calculated from the Institutional Select Shares’ inception date for both the fund and its comparative standards.

  

7

 

 

Extended Market Index Fund

 

Cumulative Returns of ETF Shares: December 31, 2008, Through December 31, 2018

 

  One Five Ten
  Year Years Years
Extended Market Index Fund ETF Shares Market Price -9.35% 29.35% 260.13%
Extended Market Index Fund ETF Shares Net Asset Value -9.37 29.35 258.82
S&P Completion Index -9.57 28.68 255.99

For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market price was above or below the NAV.

 

8

 

 

Extended Market Index Fund

 

Sector Diversification

As of December 31, 2018

 

Communication Services 5.0%
Consumer Discretionary 12.0
Consumer Staples 2.8
Energy 3.4
Financials 16.7
Health Care 12.4
Industrials 13.5
Information Technology 17.9
Materials 4.4
Real Estate 8.7
Utilities 3.2

The table reflects the fund’s equity exposure, based on its investments in stocks and stock index futures. Any holdings in short-term reserves are excluded. Sector categories are based on the Global Industry Classification Standard (“GICS”), except for the “Other” category (if applicable), which includes securities that have not been provided a GICS classification as of the effective reporting period.

 

The Global Industry Classification Standard (“GICS”) was developed by and is the exclusive property and a service mark of MSCI Inc. (“MSCI”) and Standard and Poor’s, a division of McGraw-Hill Companies, Inc. (“S&P”), and is licensed for use by Vanguard. Neither MSCI, S&P nor any third party involved in making or compiling the GICS or any GICS classification makes any express or implied warranties or representations with respect to such standard or classification (or the results to be obtained by the use thereof), and all such parties hereby expressly disclaim all warranties of originality, accuracy, completeness, merchantability or fitness for a particular purpose with respect to any such standard or classification. Without limiting any of the foregoing, in no event shall MSCI, S&P, any of its affiliates or any third party involved in making or compiling the GICS or any GICS classification have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages.

 

9

 

 

Extended Market Index Fund

 

Financial Statements

 

Statement of Net Assets—Investments Summary

As of December 31, 2018

 

This Statement summarizes the fund’s holdings by asset type. Details are reported for each of the fund’s 50 largest individual holdings and for investments that, in total for any issuer, represent more than 1% of the fund’s net assets. The total value of smaller holdings is reported as a single amount within each category.

 

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the complete listing of the fund’s holdings is available electronically on vanguard.com and on the Securities and Exchange Commission’s website (sec.gov), or you can have it mailed to you without charge by calling 800-662-7447. For the first and third fiscal quarters, the fund files the lists with the SEC on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website.

 

          Market   Percentage 
          Value   of Net 
      Shares   ($000  Assets 
Common Stocks               
Communication Services               
*  T-Mobile US Inc.   4,306,485    273,936    0.5% 
*  IAC/InterActiveCorp   1,067,330    195,364    0.3% 
*  Liberty Global plc   8,381,998    173,004    0.3% 
*  Liberty Broadband Corp.   2,056,014    148,095    0.2% 
   Communication Services—Other †        2,083,709    3.6% 
            2,874,108    4.9% 
Consumer Discretionary               
*,^  Tesla Inc.   1,858,936    618,654    1.1% 
   Las Vegas Sands Corp.   5,056,260    263,178    0.5% 
*  Lululemon Athletica Inc.   1,447,182    175,992    0.3% 
*  Burlington Stores Inc.   924,714    150,423    0.3% 
   Domino’s Pizza Inc.   570,934    141,586    0.2% 
   Vail Resorts Inc.   553,456    116,680    0.2% 
   Consumer Discretionary—Other †        5,445,641    9.3% 
            6,912,154    11.9% 
                   
Consumer Staples †        1,601,796    2.7% 
                
Energy               
*  Cheniere Energy Inc.   3,025,832    179,099    0.3% 
§  Energy—Other †        1,759,969    3.0% 
            1,939,068    3.3% 
Financials               
*  Markel Corp.   190,498    197,746    0.3% 
   TD Ameritrade Holding Corp.   3,693,535    180,835    0.3% 
   Annaly Capital Management Inc.   17,867,352    175,457    0.3% 
*  Arch Capital Group Ltd.   5,542,015    148,083    0.3% 
   KKR & Co. Inc. Class A   7,262,667    142,566    0.3% 

 

10

 

 

Extended Market Index Fund

 

          Market   Percentage 
          Value   of Net 
      Shares   ($000  Assets 
   Ally Financial Inc.   5,644,491    127,904    0.2% 
   Alleghany Corp.   203,406    126,787    0.2% 
   AGNC Investment Corp.   7,157,850    125,549    0.2% 
   Reinsurance Group of America Inc. Class A   857,688    120,274    0.2% 
   Fidelity National Financial Inc.   3,765,518    118,388    0.2% 
   Financials—Other †        8,182,342    14.1% 
            9,645,931    16.6% 
Health Care               
*  BioMarin Pharmaceutical Inc.   2,444,960    208,188    0.4% 
   Teleflex Inc.   631,311    163,181    0.3% 
*  Veeva Systems Inc. Class A   1,672,131    149,355    0.3% 
*  DexCom Inc.   1,219,973    146,153    0.2% 
   STERIS plc   1,158,593    123,796    0.2% 
   Health Care—Other †        6,370,674    10.9% 
            7,161,347    12.3% 
Industrials               
*  CoStar Group Inc.   498,344    168,111    0.3% 
   TransUnion   2,541,059    144,332    0.3% 
   IDEX Corp.   1,051,665    132,783    0.2% 
   Industrials—Other †        7,348,996    12.6% 
            7,794,222    13.4% 
Information Technology               
*  ServiceNow Inc.   2,461,296    438,234    0.8% 
*  Workday Inc. Class A   2,000,932    319,509    0.6% 
*  Worldpay Inc. Class A   4,141,739    316,553    0.5% 
*  Palo Alto Networks Inc.   1,295,015    243,916    0.4% 
*  Square Inc.   4,232,818    237,419    0.4% 
*  Splunk Inc.   2,013,268    211,091    0.4% 
   CDW Corp.   2,058,434    166,836    0.3% 
*  GoDaddy Inc. Class A   2,287,256    150,090    0.3% 
   VMware Inc. Class A   1,037,246    142,238    0.2% 
   SS&C Technologies Holdings Inc.   2,956,138    133,351    0.2% 
   Marvell Technology Group Ltd.   8,131,106    131,643    0.2% 
*  First Data Corp. Class A   7,777,463    131,517    0.2% 
*  PTC Inc.   1,464,999    121,448    0.2% 
*  Zebra Technologies Corp.   738,547    117,599    0.2% 
*  Tableau Software Inc. Class A   978,855    117,463    0.2% 
   Information Technology—Other †        7,357,907    12.6% 
            10,336,814    17.7% 
                   
§Materials †        2,532,921    4.3% 
                
§,1Other †        1,433    0.0% 
                
Real Estate               
   WP Carey Inc.   2,194,140    143,365    0.3% 
   Sun Communities Inc.   1,181,095    120,129    0.2% 
   Equity LifeStyle Properties Inc.   1,227,667    119,243    0.2% 
   Real Estate—Other †        4,657,233    8.0% 
            5,039,970    8.7% 

 

11

 

 

Extended Market Index Fund

 

              Market   Percentage 
              Value   of Net 
          Shares   ($000)  Assets 
Utilities                    
   Atmos Energy Corp.        1,604,204    148,742    0.3% 
   UGI Corp.        2,379,016    126,920    0.2% 
*  Vistra Energy Corp.        5,398,884    123,580    0.2% 
   Utilities—Other †             1,451,697    2.5% 
                 1,850,939    3.2% 
Total Common Stocks (Cost $51,742,781)         57,690,703    99.0%2 
                 
       Coupon                
Temporary Cash Investments                    
Money Market Fund                    
3,4  Vanguard Market Liquidity Fund   2.530%    18,977,993    1,897,799    3.2% 
                        
5U.S. Government and Agency Obligations †         34,805    0.1% 
Total Temporary Cash Investments (Cost $1,932,449)         1,932,604    3.3%2 
Total Investments (Cost $53,675,230)         59,623,307    102.3% 
                     
                 Amount      
                ($000)     
Other Assets and Liabilities                    
Other Assets                    
Investment in Vanguard             3,378      
Receivables for Investment Securities Sold         8,370      
Receivables for Accrued Income             90,019      
Receivables for Capital Shares Issued             128,860      
Variation Margin Receivable—Futures Contracts         4,340      
Other Assets6             16,149      
Total Other Assets             251,116    0.4% 
Liabilities                    
Payables for Investment Securities Purchased         (116,917)     
Collateral for Securities on Loan             (1,243,719)     
Payables for Capital Shares Redeemed         (221,520)     
Payables to Vanguard             (21,148)     
Unrealized Depreciation—Swap Contracts         (428)     
Total Liabilities             (1,603,732)   (2.7%)
Net Assets             58,270,691    100.0% 

 

12

 

 

Extended Market Index Fund

 

At December 31, 2018, net assets consisted of:

 

   Amount 
   ($000)
Paid-in Capital   53,151,097 
Total Distributable Earnings (Loss)   5,119,594 
Net Assets   58,270,691 
      
Investor Shares—Net Assets     
Applicable to 15,036,637 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   1,138,901 
Net Asset Value Per Share—Investor Shares  $75.74 
      
ETF Shares—Net Assets     
Applicable to 61,090,902 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   6,095,251 
Net Asset Value Per Share—ETF Shares  $99.77 
      
Admiral Shares—Net Assets     
Applicable to 233,090,625 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   17,644,113 
Net Asset Value Per Share—Admiral Shares  $75.70 
      
Institutional Shares—Net Assets     
Applicable to 164,391,652 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   12,443,225 
Net Asset Value Per Share—Institutional Shares  $75.69 
      
Institutional Plus Shares—Net Assets     
Applicable to 40,465,910 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   7,558,973 
Net Asset Value Per Share—Institutional Plus Shares  $186.80 

 

13

 

 

Extended Market Index Fund

  

   Amount 
   ($000)
Institutional Select Shares—Net Assets     
Applicable to 110,087,809 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   13,390,228 
Net Asset Value Per Share—Institutional Select Shares  $121.63 

See Note A in Notes to Financial Statements.

*Non-income-producing security.

^Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $1,140,213,000.

§Certain of the fund’s securities are valued using significant unobservable inputs.

Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

1“Other” represents securities that are not classified by the fund’s benchmark index.

2The fund invests a portion of its cash reserves in equity markets through the use of index futures and swap contracts. After giving effect to futures and swap investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 2.3%, respectively, of net assets.

3Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.

4Includes $1,243,719,000 of collateral received for securities on loan.

5Securities with a value of $30,865,000 have been segregated as initial margin for open futures contracts.

6Cash of $170,000 has been segregated as collateral for open over-the-counter swap contracts.

 

 

Derivative Financial Instruments Outstanding as of Period End

 

 

Futures Contracts

        ($000 )
        Value and  
    Number of   Unrealized  
    Long (Short) Notional Appreciation  
  Expiration Contracts Amount (Depreciation )
Long Futures Contracts          
E-mini Russell 2000 Index March 2019 4,696 316,745 (15,749 )
E-mini S&P Mid-Cap 400 Index March 2019 973 161,732 (7,152 )
E-mini S&P 500 Index March 2019 621 77,786 1,698  
        (21,203 )

 

14

 

 

Extended Market Index Fund

 

Total Return Swaps

                 Value and 
             Floating   Unrealized 
         Notional   Interest Rate   Appreciation 
   Termination     Amount   Received   (Depreciation)
Reference Entity  Date  Counterparty  ($000)   (Paid)1  ($000)
SLM Corp.  2/4/19  GSCM   18,360    (2.870%)   (428)

GSCM—Goldman Sachs Capital Management.

1 Payment received/paid monthly.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

15

 

 

Extended Market Index Fund

 

Statement of Operations

  

   Year Ended 
   December 31, 2018 
   ($000)
Investment Income     
Income     
Dividends   949,996 
Interest1   13,279 
Securities Lending—Net   65,044 
Total Income   1,028,319 
Expenses     
The Vanguard Group—Note B     
Investment Advisory Services   4,497 
Management and Administrative—Investor Shares   2,415 
Management and Administrative—ETF Shares   3,368 
Management and Administrative—Admiral Shares   11,189 
Management and Administrative—Institutional Shares   6,903 
Management and Administrative—Institutional Plus Shares   3,675 
Management and Administrative—Institutional Select Shares   1,700 
Marketing and Distribution—Investor Shares   237 
Marketing and Distribution—ETF Shares   353 
Marketing and Distribution—Admiral Shares   1,208 
Marketing and Distribution—Institutional Shares   338 
Marketing and Distribution—Institutional Plus Shares   111 
Marketing and Distribution—Institutional Select Shares    
Custodian Fees   687 
Auditing Fees   54 
Shareholders’ Reports—Investor Shares   23 
Shareholders’ Reports—ETF Shares   174 
Shareholders’ Reports—Admiral Shares   151 
Shareholders’ Reports—Institutional Shares   155 
Shareholders’ Reports—Institutional Plus Shares   102 
Shareholders’ Reports—Institutional Select Shares   2 
Trustees’ Fees and Expenses   42 
Total Expenses   37,384 
Net Investment Income   990,935 
Realized Net Gain (Loss)     
Investment Securities Sold1,2   4,363,838 
Futures Contracts   (64,249)
Swap Contracts   (5,011)
Realized Net Gain (Loss)   4,294,578 

 

16

 

 

Extended Market Index Fund

 

Statement of Operations (continued)

   Year Ended 
   December 31, 2018 
   ($000)
Change in Unrealized Appreciation (Depreciation)     
Investment Securities1   (11,254,867)
Futures Contracts   (24,537)
Swap Contracts   (776)
Change in Unrealized Appreciation (Depreciation)   (11,280,180)
Net Increase (Decrease) in Net Assets Resulting from Operations   (5,994,667)

1Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $12,636,000, ($119,000), and $95,000, respectively. Purchases and sales are for temporary cash investment purposes.
2Includes $3,977,094,000 of net gain (loss) resulting from in-kind redemptions; such gain (loss) is not taxable to the fund.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

17

 

 

Extended Market Index Fund

 

Statement of Changes in Net Assets

  

   Year Ended December 31, 
   2018   2017 
   ($000)  ($000)
Increase (Decrease) in Net Assets          
Operations          
Net Investment Income   990,935    789,984 
Realized Net Gain (Loss)   4,294,578    1,935,143 
Change in Unrealized Appreciation (Depreciation)   (11,280,180)   6,862,244 
Net Increase (Decrease) in Net Assets Resulting from Operations   (5,994,667)   9,587,371 
Distributions          
Net Investment Income          
Investor Shares   (18,718)   (20,133)
ETF Shares   (91,752)   (68,707)
Admiral Shares   (290,795)   (241,820)
Institutional Shares   (206,007)   (165,181)
Institutional Plus Shares   (130,677)   (172,181)
Institutional Select Shares   (216,956)   (117,295)
Realized Capital Gain          
Investor Shares        
ETF Shares        
Admiral Shares        
Institutional Shares        
Institutional Plus Shares        
Institutional Select Shares        
Total Distributions   (954,905)   (785,317)
Capital Share Transactions          
Investor Shares   (277,722)   (743,389)
ETF Shares   1,100,016    538,053 
Admiral Shares   39,131    1,150,151 
Institutional Shares   624,848    979,352 
Institutional Plus Shares   (2,181,914)   (4,994,531)
Institutional Select Shares   2,770,352    5,864,391 
Net Increase (Decrease) from Capital Share Transactions   2,074,711    2,794,027 
Total Increase (Decrease)   (4,874,861)   11,596,081 
Net Assets          
Beginning of Period   63,145,552    51,549,471 
End of Period   58,270,691    63,145,552 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

18

 

 

Extended Market Index Fund

 

Financial Highlights

 

Investor Shares

 

For a Share Outstanding          Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $84.80   $72.76   $63.61   $66.63   $62.76 
Investment Operations                         
Net Investment Income   1.1931   .9161   .919    .795    .795 
Net Realized and Unrealized Gain (Loss) on Investments   (9.104)   12.074    9.182    (3.050)   3.857 
Total from Investment Operations   (7.911)   12.990    10.101    (2.255)   4.652 
Distributions                         
Dividends from Net Investment Income   (1.149)   (.950)   (.951)   (.765)   (.782)
Distributions from Realized Capital Gains                    
Total Distributions   (1.149)   (.950)   (.951)   (.765)   (.782)
Net Asset Value, End of Period  $75.74   $84.80   $72.76   $63.61   $66.63 
                          
Total Return2   -9.47%    17.94%    15.99%    -3.39%    7.42% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $1,139   $1,548   $2,021   $2,040   $2,341 
Ratio of Total Expenses to Average Net Assets   0.19%    0.21%    0.21%    0.22%    0.23% 
Ratio of Net Investment Income to Average Net Assets   1.38%    1.24%    1.48%    1.20%    1.27% 
Portfolio Turnover Rate3   10%    11%    12%    6%    9% 

1Calculated based on average shares outstanding.

2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.

3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

19

 

 

Extended Market Index Fund

 

Financial Highlights

 

ETF Shares

 

For a Share Outstanding          Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $111.72   $95.86   $83.80   $87.79   $82.71 
Investment Operations                         
Net Investment Income   1.7421   1.4201   1.324    1.171    1.178 
Net Realized and Unrealized Gain (Loss) on Investments   (12.036)   15.835    12.107    (4.033)   5.061 
Total from Investment Operations   (10.294)   17.255    13.431    (2.862)   6.239 
Distributions                         
Dividends from Net Investment Income   (1.656)   (1.395)   (1.371)   (1.128)   (1.159)
Distributions from Realized Capital Gains                    
Total Distributions   (1.656)   (1.395)   (1.371)   (1.128)   (1.159)
Net Asset Value, End of Period  $99.77   $111.72   $95.86   $83.80   $87.79 
                          
Total Return   -9.37%    18.10%    16.16%    -3.26%    7.55% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $6,095   $5,711   $4,387   $4,272   $3,659 
Ratio of Total Expenses to Average Net Assets   0.07%    0.08%    0.08%    0.09%    0.10% 
Ratio of Net Investment Income to Average Net Assets   1.50%    1.37%    1.61%    1.33%    1.40% 
Portfolio Turnover Rate2   10%    11%    12%    6%    9% 

1Calculated based on average shares outstanding.

2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

20

 

 

Extended Market Index Fund

 

Financial Highlights

 

Admiral Shares

 

For a Share Outstanding          Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $84.76   $72.72   $63.58   $66.61   $62.75 
Investment Operations                         
Net Investment Income   1.3071   1.0711   1.005    .887    .895 
Net Realized and Unrealized Gain (Loss) on Investments   (9.111)   12.026    9.175    (3.061)   3.845 
Total from Investment Operations   (7.804)   13.097    10.180    (2.174)   4.740 
Distributions                         
Dividends from Net Investment Income   (1.256)   (1.057)   (1.040)   (.856)   (.880)
Distributions from Realized Capital Gains                    
Total Distributions   (1.256)   (1.057)   (1.040)   (.856)   (.880)
Net Asset Value, End of Period  $75.70  $84.76   $72.72   $63.58   $66.61 
                          
Total Return2   -9.36%    18.11%    16.13%    -3.27%    7.56% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $17,644   $19,712   $15,830   $13,143   $12,852 
Ratio of Total Expenses to Average Net Assets   0.07%    0.08%    0.08%    0.09%    0.10% 
Ratio of Net Investment Income to Average Net Assets   1.50%    1.37%    1.61%    1.33%    1.40% 
Portfolio Turnover Rate3   10%    11%    12%    6%    9% 

1Calculated based on average shares outstanding.

2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.

3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

21

 

 

Extended Market Index Fund

 

Financial Highlights

 

Institutional Shares

 

For a Share Outstanding          Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $84.75   $72.72   $63.58   $66.60   $62.75 
Investment Operations                         
Net Investment Income   1.3191   1.0851   1.018    .899    .908 
Net Realized and Unrealized Gain (Loss) on Investments   (9.113)   12.018    9.175    (3.050)   3.833 
Total from Investment Operations   (7.794)   13.103    10.193    (2.151)   4.741 
Distributions                         
Dividends from Net Investment Income   (1.266)   (1.073)   (1.053)   (.869)   (.891)
Distributions from Realized Capital Gains                    
Total Distributions   (1.266)   (1.073)   (1.053)   (.869)   (.891)
Net Asset Value, End of Period  $75.69   $84.75   $72.72   $63.58   $66.60 
                          
Total Return   -9.35%    18.12%    16.15%    -3.24%    7.56% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $12,443   $13,359   $10,554   $8,621   $8,567 
Ratio of Total Expenses to Average Net Assets   0.06%    0.06%    0.06%    0.07%    0.08% 
Ratio of Net Investment Income to Average Net Assets   1.51%    1.39%    1.63%    1.35%    1.42% 
Portfolio Turnover Rate2   10%    11%    12%    6%    9% 

1Calculated based on average shares outstanding.

2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

22

 

 

Extended Market Index Fund

 

Financial Highlights

 

Institutional Plus Shares

 

For a Share Outstanding          Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $209.16   $179.47   $156.89   $164.36   $154.84 
Investment Operations                         
Net Investment Income   3.2081   2.6111   2.525    2.254    2.273 
Net Realized and Unrealized Gain (Loss) on Investments   (22.426)   29.741    22.668    (7.549)   9.481 
Total from Investment Operations   (19.218)   32.352    25.193    (5.295)   11.754 
Distributions                         
Dividends from Net Investment Income   (3.142)   (2.662)   (2.613)   (2.175)   (2.234)
Distributions from Realized Capital Gains                    
Total Distributions   (3.142)   (2.662)   (2.613)   (2.175)   (2.234)
Net Asset Value, End of Period  $186.80   $209.16   $179.47   $156.89   $164.36 
                          
Total Return   -9.35%    18.13%    16.18%    -3.23%    7.60% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $7,559   $10,565   $13,530   $14,526   $13,634 
Ratio of Total Expenses to Average Net Assets   0.05%    0.05%    0.05%    0.05%    0.06% 
Ratio of Net Investment Income to Average Net Assets   1.52%    1.40%    1.64%    1.37%    1.44% 
Portfolio Turnover Rate2   10%    11%    12%    6%    9% 

1Calculated based on average shares outstanding.

2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

23

 

 

Extended Market Index Fund

 

Financial Highlights

 

Institutional Select Shares

 

           June 27, 
   Year Ended   20161 to 
   December 31,   Dec. 31, 
For a Share Outstanding Throughout Each Period  2018   2017   2016 
Net Asset Value, Beginning of Period  $136.19   $116.85   $98.43 
Investment Operations               
Net Investment Income   2.1842   1.8912   1.050 
Net Realized and Unrealized Gain (Loss) on Investments   (14.655)   19.221    18.428 
Total from Investment Operations   (12.471)   21.112    19.478 
Distributions               
Dividends from Net Investment Income   (2.089)   (1.772)   (1.058)
Distributions from Realized Capital Gains            
Total Distributions   (2.089)   (1.772)   (1.058)
Net Asset Value, End of Period  $121.63   $136.19   $116.85 
                
Total Return   -9.32%    18.17%    19.81% 
                
Ratios/Supplemental Data               
Net Assets, End of Period (Millions)  $13,390   $12,250   $5,227 
Ratio of Total Expenses to Average Net Assets   0.02%    0.02%    0.02%3
Ratio of Net Investment Income to Average Net Assets   1.55%    1.43%    1.88%3
Portfolio Turnover Rate4   10%    11%    12%5

1Inception.

2Calculated based on average shares outstanding.

3Annualized.

4Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

5Reflects the fund’s portfolio turnover for the fiscal year ended December 31, 2016.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

24

 

 

Extended Market Index Fund

 

Notes to Financial Statements

 

Vanguard Extended Market Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers six classes of shares: Investor Shares, ETF Shares, Admiral Shares, Institutional Shares, Institutional Plus Shares, and Institutional Select Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker.

 

On November 19, 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. It is anticipated that all of the outstanding Investor Shares will be automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors.

 

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.

 

1. 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 materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. 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.

 

2. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. 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 assets pledged as initial margin for open contracts are noted in the Statement of Net Assets.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

 

During the year ended December 31, 2018, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

 

25

 

 

Extended Market Index Fund

 

3. Swap Contracts: The fund has entered into equity swap contracts to earn the total return on selected reference stocks in the fund’s target index. Under the terms of the swaps, the fund receives the total return on the referenced stock (i.e., receiving the increase or paying the decrease in value of the selected reference stock and receiving the equivalent of any dividends in respect of the selected referenced stock) over a specified period of time, applied to a notional amount that represents the value of a designated number of shares of the selected reference stock at the beginning of the equity swap contract. The fund also pays a floating rate that is based on short-term interest rates, applied to the notional amount. At the same time, the fund generally invests an amount approximating the notional amount of the swap in high-quality temporary cash investments.

 

The notional amounts of swap contracts are not recorded in the Statement of Net Assets. Swaps are valued daily based on market quotations received from independent pricing services or recognized dealers and the change in value is recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until termination of the swap, at which time realized gain (loss) is recorded.

 

A risk associated with all types of swaps is the possibility that a counterparty may default on its obligation to pay net amounts due to the fund. The fund’s maximum amount subject to counterparty risk is the unrealized appreciation on the swap contract. The fund mitigates its counterparty risk by entering into swaps only with a diverse group of prequalified counterparties, monitoring their financial strength, entering into master netting arrangements with its counterparties, and requiring its counterparties to transfer collateral as security for their performance. In the absence of a default, the collateral pledged or received by the fund cannot be repledged, resold, or rehypothecated. In the event of a counterparty’s default (including bankruptcy), the fund may terminate any swap contracts with that counterparty, determine the net amount owed by either party in accordance with its master netting arrangements, and sell or retain any collateral held up to the net amount owed to the fund under the master netting arrangements. The swap contracts contain provisions whereby a counterparty may terminate open contracts if the fund net assets decline below a certain level, triggering a payment by the fund if the fund is in a net liability position at the time of the termination. The payment amount would be reduced by any collateral the fund has pledged. Any securities pledged as collateral for open contracts are noted in the Statement of Net Assets. The value of collateral received or pledged is compared daily to the value of the swap contracts exposure with each counterparty, and any difference, if in excess of a specified minimum transfer amount, is adjusted and settled within two business days.

 

During the year ended December 31, 2018, the fund’s average amounts of investments in total return swaps represented less than 1% of net assets, based on the average of notional amounts at each quarter-end during the period.

 

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (December 31, 2015–2018), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

5. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes. 

 

26

 

 

Extended Market Index Fund

 

6. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

 

7. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

 

The fund had no borrowings outstanding at December 31, 2018, or at any time during the period then ended.

 

8. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

 

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

 

27

 

 

Extended Market Index Fund

 

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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets. All other costs of operations payable to Vanguard are generally settled twice a month.

 

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At December 31, 2018, the fund had contributed to Vanguard capital in the amount of $3,378,000, representing 0.01% of the fund’s net assets and 1.35% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

 

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.

 

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 valued with significant unobservable inputs are noted on the Statement of Net Assets.

 

The following table summarizes the market value of the fund’s investments as of December 31, 2018, based on the inputs used to value them:

 

   Level 1   Level 2   Level 3 
Investments  ($000)  ($000)  ($000)
Common Stocks   57,688,521    67    2,115 
Temporary Cash Investments   1,897,799    34,805     
Futures Contracts—Assets1   4,340         
Swap Contracts—Liabilities       (428)    
Total   59,590,660    34,444    2,115 

1Represents variation margin on the last day of the reporting period.

 

28

 

 

Extended Market Index Fund

 

D. Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period end, permanent differences primarily attributable to the accounting for in-kind redemptions, the expiration of capital loss carryforwards, passive foreign investment companies, and swap agreements were reclassified between the following accounts:

 

   Amount 
   ($000)
Paid-in Capital   3,952,510 
Total Distributable Earnings (Loss)   (3,952,510)

 

Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the tax deferral of losses on wash sales; the realization of unrealized gains or losses on certain futures contracts and swap agreements; and unrealized gains on passive foreign investment companies. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:

 

   Amount 
   ($000)
Undistributed Ordinary Income   39,383 
Undistributed Long-Term Gains    
Capital Loss Carryforwards (Non-expiring)*   (841,285)
Net Unrealized Gains (Losses)   5,945,114 

*The fund used capital loss carryforwards of $297,571,000 to offset taxable capital gains realized during the year ended December 31, 2018 reducing the amount of capital gains that would otherwise be available to distribute to shareholders.

 

As of December 31, 2018, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:

 

   Amount 
   ($000)
Tax Cost   53,678,193 
Gross Unrealized Appreciation   12,823,487 
Gross Unrealized Depreciation   (6,878,373)
Net Unrealized Appreciation (Depreciation)   5,945,114 

 

E. During the year ended December 31, 2018, the fund purchased $16,357,641,000 of investment securities and sold $14,052,754,000 of investment securities, other than temporary cash investments. Purchases and sales include $7,397,062,000 and $7,278,539,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

 

29

 

 

Extended Market Index Fund

 

F. Capital share transactions for each class of shares were:

 

   Year Ended December 31, 
   2018   2017 
   Amount   Shares   Amount   Shares 
   ($000)   (000)  ($000)   (000)
Investor Shares                    
Issued   199,854    2,271    266,370    3,456 
Issued in Lieu of Cash Distributions   17,999    211    19,488    246 
Redeemed   (495,575)   (5,703)   (1,029,247)   (13,226)
Net Increase (Decrease)—Investor Shares   (277,722)   (3,221)   (743,389)   (9,524)
ETF Shares                    
Issued   7,647,925    66,519    5,995,825    58,557 
Issued in Lieu of Cash Distributions                
Redeemed   (6,547,909)   (56,550)   (5,457,772)   (53,200)
Net Increase (Decrease)—ETF Shares   1,100,016    9,969    538,053    5,357 
Admiral Shares                    
Issued   3,351,183    38,683    3,704,285    47,499 
Issued in Lieu of Cash Distributions   249,801    2,937    210,320    2,638 
Redeemed   (3,561,853)   (41,092)   (2,764,454)   (35,246)
Net Increase (Decrease)—Admiral Shares   39,131    528    1,150,151    14,891 
Institutional Shares                    
Issued   3,478,254    39,801    3,498,857    44,798 
Issued in Lieu of Cash Distributions   196,518    2,311    156,685    1,966 
Redeemed   (3,049,924)   (35,344)   (2,676,190)   (34,267)
Net Increase (Decrease)—Institutional Shares   624,848    6,768    979,352    12,497 
Institutional Plus Shares                    
Issued   4,078,076    19,134    4,070,964    21,239 
Issued in Lieu of Cash Distributions   124,757    595    167,460    859 
Redeemed   (6,384,747)   (29,774)   (9,232,955)   (46,977)
Net Increase (Decrease)—Institutional Plus Shares   (2,181,914)   (10,045)   (4,994,531)   (24,879)
Institutional Select Shares                    
Issued   3,470,354    25,181    6,309,970    48,778 
Issued in Lieu of Cash Distributions   216,956    1,590    117,295    904 
Redeemed   (916,958)   (6,630)   (562,874)   (4,468)
Net Increase (Decrease)—Institutional Select Shares   2,770,352    20,141    5,864,391    45,214 

 

G. Management has determined that no events or transactions occurred subsequent to December 31, 2018, that would require recognition or disclosure in these financial statements.

 

30

 

 

Mid-Cap Index Fund

 

Performance Summary

 

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

 

Cumulative Performance: December 31, 2008, Through December 31, 2018

Initial Investment of $10,000

 

 

 

    Average Annual Total Returns  
    Periods Ended December 31, 2018  
          Final Value
    One Five Ten of a $10,000
    Year Years Years Investment
Mid-Cap Index Fund Investor Shares -9.34% 6.07% 13.71% $36,150
Spliced Mid-Cap Index -9.22 6.24 13.91 36,789
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 13.22 34,625

Spliced Mid-Cap Index: S&P MidCap 400 Index through May 16, 2003; MSCI US Mid Cap 450 Index through January 30, 2013; CRSP US Mid Cap Index thereafter.

 

        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Mid-Cap Index Fund        
ETF Shares Net Asset Value -9.21% 6.21% 13.87% $36,640
Spliced Mid-Cap Index -9.22 6.24 13.91 36,789
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 13.22 34,625

 

See Financial Highlights for dividend and capital gains information.

 

31

 

 

Mid-Cap Index Fund

 

  Average Annual Total Returns  
  Periods Ended December 31, 2018  
        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Mid-Cap Index Fund Admiral Shares -9.23% 6.21% 13.87% $36,640
Spliced Mid-Cap Index -9.22 6.24 13.91 36,789
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 13.22 34,625
         
        Final Value
  One Five Ten of a $5,000,000
  Year Years Years Investment
Mid-Cap Index Fund Institutional Shares -9.24% 6.22% 13.89% $18,350,815
Spliced Mid-Cap Index -9.22 6.24 13.91 18,394,652
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 13.22 17,312,429
         
      Since Final Value
  One Five Inception of a $100,000,000
  Year Years (12/15/2010) Investment
Mid-Cap Index Fund Institutional Plus Shares -9.21% 6.23% 9.84% $212,674,371
Spliced Mid-Cap Index -9.22 6.24 9.85 212,871,936
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 11.14 233,841,477

"Since Inception" performance is calculated from the Institutional Plus Shares’ inception date for both the fund and its comparative standards.

 

Cumulative Returns of ETF Shares: December 31, 2008, Through December 31, 2018

 

  One Five Ten
  Year Years Years
Mid-Cap Index Fund ETF Shares Market Price -9.27% 35.08% 266.52%
Mid-Cap Index Fund ETF Shares Net Asset Value -9.21 35.16 266.40
Spliced Mid-Cap Index -9.22 35.37 267.89

For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market price was above or below the NAV.

 

32

 

 

Mid-Cap Index Fund

 

Sector Diversification

As of December 31, 2018

 

Basic Materials 3.7%
Consumer Goods 9.7
Consumer Services 10.9
Financials 20.5
Health Care 9.1
Industrials 18.8
Oil & Gas 5.2
Technology 15.3
Telecommunications 0.5
Utilities 6.3

The table reflects the fund’s equity exposure, based on its investments in stocks and stock index futures. Any holdings in short-term reserves are excluded. Sector categories are based on the Industry Classification Benchmark (“ICB”), except for the “Other” category (if applicable), which includes securities that have not been provided an ICB classification as of the effective reporting period. 

 

33

 

 

Mid-Cap Index Fund

 

Financial Statements

 

Statement of Net Assets

As of December 31, 2018

 

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the lists appear in the fund’s semiannual and annual reports to shareholders. For the first and third fiscal quarters, the fund files the lists with the Securities and Exchange Commission on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website at sec.gov.

 

          Market 
          Value 
      Shares   ($000)
Common Stocks (99.8%)1
Basic Materials (3.6%)
   Newmont Mining Corp.   12,744,982    441,614 
   International Flavors & Fragrances Inc.   2,550,992    342,522 
   Freeport-McMoRan Inc.   32,938,560    339,597 
   Celanese Corp. Class A   3,199,583    287,866 
   Mosaic Co.   8,305,179    242,594 
   CF Industries Holdings Inc.   5,525,520    240,415 
   FMC Corp.   3,220,982    238,224 
   Eastman Chemical Co.   3,018,029    220,648 
   Albemarle Corp.   2,540,447    195,792 
   Avery Dennison Corp.   2,074,098    186,316 
*  Axalta Coating Systems Ltd.   5,141,661    120,418 
   Reliance Steel & Aluminum Co.   1,600,898    113,936 
   Steel Dynamics Inc.   2,603,877    78,220 
   Westlake Chemical Corp.   926,795    61,326 
*  Alcoa Corp.   2,229,822    59,269 
            3,168,757 
Consumer Goods (9.7%)
   Clorox Co.   3,054,361    470,799 
   McCormick & Co. Inc.   2,913,513    405,678 
   Church & Dwight Co. Inc.   5,891,938    387,454 
   Genuine Parts Co.   3,335,270    320,253 
*  Lululemon Athletica Inc.   2,493,353    303,217 
   DR Horton Inc.   8,557,195    296,592 
*  Take-Two Interactive Software Inc.   2,724,911    280,502 
   Lennar Corp. Class A   7,117,566    278,653 
   Hormel Foods Corp.   6,376,389    272,144 
   Lamb Weston Holdings Inc.   3,503,354    257,707 
   Conagra Brands Inc.   11,624,778    248,305 
   JM Smucker Co.   2,587,109    241,869 
   Molson Coors Brewing Co. Class B   4,211,997    236,546 
   Tapestry Inc.   6,937,982    234,157 
   Hasbro Inc.   2,722,392    221,194 
*  NVR Inc.   82,115    200,113 
   Aptiv plc   3,151,883    194,061 
   Lear Corp.   1,534,714    188,555 
   Tyson Foods Inc. Class A   3,529,263    188,463 
   Newell Brands Inc.   10,050,222    186,834 
   Garmin Ltd.   2,936,119    185,915 
   BorgWarner Inc.   4,983,203    173,116 
*  LKQ Corp.   7,230,936    171,590 
   Bunge Ltd.   3,206,105    171,334 
   PVH Corp.   1,834,467    170,514 
*  Mohawk Industries Inc.   1,420,049    166,089 
   Whirlpool Corp.   1,526,507    163,138 
   PulteGroup Inc.   6,047,585    157,177 
*,^  Campbell Soup Co.   4,674,652    154,217 
   Ralph Lauren Corp. Class A   1,305,136    135,029 
*  WABCO Holdings Inc.   1,248,084    133,969 
   Harley-Davidson Inc.   3,895,574    132,917 
*  Michael Kors Holdings Ltd.   3,414,829    129,490 
   Fortune Brands Home & Security Inc.   3,384,084    128,561 
   Jefferies Financial Group Inc.   6,572,918    114,106 
   Hanesbrands Inc.   8,635,841    108,207 
   Polaris Industries Inc.   1,405,093    107,742 
*,^  Under Armour Inc. Class A   4,498,401    79,487 
   Ingredion Inc.   844,355    77,174 
*,^  Under Armour Inc.   4,595,418    74,308 
   Coty Inc. Class A   10,767,028    70,632 
   Keurig Dr Pepper Inc.   2,493,848    63,942 
*,^  Wayfair Inc.   701,873    63,225 
   Goodyear Tire & Rubber Co.   2,787,246    56,888 
*  Elanco Animal Health Inc.   1,749,996    55,177 
   Lennar Corp. Class B   212,981    6,673 
            8,463,713 

 

34

 

 

Mid-Cap Index Fund

 

          Market 
          Value 
      Shares   ($000)
Consumer Services (10.9%)
*  Dollar Tree Inc.   5,691,777    514,081 
   Royal Caribbean Cruises Ltd.   4,000,498    391,209 
*  Ulta Beauty Inc.   1,358,689    332,661 
   Expedia Group Inc.   2,769,995    312,040 
   Darden Restaurants Inc.   2,969,876    296,572 
   Best Buy Co. Inc.   5,521,792    292,434 
*  Chipotle Mexican Grill Inc. Class A   664,722    287,020 
   MGM Resorts International   11,355,561    275,486 
   Kohl’s Corp.   3,990,237    264,712 
*  CarMax Inc.   4,179,536    262,182 
   Advance Auto Parts Inc.   1,656,575    260,844 
*  AutoZone Inc.   305,718    256,296 
   Domino’s Pizza Inc.   995,047    246,762 
   Tractor Supply Co.   2,920,089    243,652 
*  Copart Inc.   5,042,207    240,917 
*  United Continental Holdings Inc.   2,771,677    232,072 
*  Norwegian Cruise Line Holdings Ltd.   5,262,520    223,078 
   Tiffany & Co.   2,770,083    223,019 
   Macy’s Inc.   7,348,137    218,828 
   Wynn Resorts Ltd.   2,210,999    218,690 
   Viacom Inc. Class B   8,452,758    217,236 
   Nielsen Holdings plc   8,496,740    198,229 
   Omnicom Group Inc.   2,679,831    196,271 
*  Qurate Retail Group Inc. QVC Group Class A   10,051,847    196,212 
   Interpublic Group of Cos. Inc.   9,193,044    189,652 
*  Discovery Communications Inc.   8,190,972    189,048 
*  Liberty Broadband Corp.   2,543,013    183,173 
   FactSet Research Systems Inc.   909,832    182,085 
   Alaska Air Group Inc.   2,949,625    179,485 
   Gap Inc.   6,901,744    177,789 
   Aramark   5,901,920    170,979 
   L Brands Inc.   5,592,920    143,570 
*  Liberty Media Corp- Liberty SiriusXM Class C   3,857,996    142,669 
   AmerisourceBergen Corp. Class A   1,901,264    141,454 
   Altice USA Inc. Class A   8,416,875    139,047 
   News Corp. Class A   11,767,567    133,562 
   Nordstrom Inc.   2,828,882    131,854 
*  DISH Network Corp. Class A   5,210,226    130,099 
   Rollins Inc.   3,524,722    127,242 
   Vail Resorts Inc.   484,283    102,097 
*,^  Discovery Communications Inc. Class A   3,562,600    88,139 
*  GrubHub Inc.   1,083,411    83,217 
*  Live Nation Entertainment Inc.   1,632,024    80,377 
*  Liberty Media Corp-Liberty SiriusXM Class A   1,965,457    72,329 
*  TripAdvisor Inc.   1,267,553    68,372 
   Hyatt Hotels Corp. Class A   971,192    65,653 
   Wyndham Hotels & Resorts Inc.   1,189,757    53,979 
*  Liberty Broadband Corp. Class A   609,163    43,744 
*,^  Carvana Co. Class A   414,954    13,573 
   Viacom Inc. Class A   246,165    6,846 
   News Corp. Class B   356,118    4,113 
            9,444,650 
Financials (20.5%)
   Moody’s Corp.   3,896,358    545,646 
   Digital Realty Trust Inc.   4,932,378    525,545 
   Realty Income Corp.   7,061,260    445,142 
*  SBA Communications Corp. Class A   2,711,420    438,952 
   M&T Bank Corp.   3,022,485    432,608 
*  IHS Markit Ltd.   8,488,325    407,185 
   Essex Property Trust Inc.   1,580,799    387,628 
   Hartford Financial Services Group Inc.   8,582,825    381,507 
   KeyCorp   24,752,127    365,836 
*  First Republic Bank   3,939,779    342,367 
   Citizens Financial Group Inc.   11,194,877    332,824 
   Regions Financial Corp.   24,735,101    330,956 
*  Markel Corp.   315,626    327,636 
   Arthur J Gallagher & Co.   4,394,514    323,876 
   HCP Inc.   11,243,974    314,044 
*  CBRE Group Inc. Class A   7,748,696    310,258 
   Annaly Capital Management Inc.   31,432,638    308,668 
   Huntington Bancshares Inc.   25,390,835    302,659 
   Principal Financial Group Inc.   6,772,423    299,138 
   Alexandria Real Estate Equities Inc.   2,572,273    296,429 
   Host Hotels & Resorts Inc.   17,756,006    295,993 
   MSCI Inc. Class A   2,000,487    294,932 
   AvalonBay Communities Inc.   1,653,803    287,844 

 

35

 

 

Mid-Cap Index Fund

 

          Market 
          Value 
      Shares   ($000)
   Cincinnati Financial Corp.   3,699,510    286,416 
   Loews Corp.   6,011,549    273,646 
   Equifax Inc.   2,885,782    268,753 
   E*TRADE Financial Corp.   6,085,149    267,016 
   Comerica Inc.   3,867,558    265,663 
   Cboe Global Markets Inc.   2,684,018    262,577 
   Lincoln National Corp.   5,112,527    262,324 
   UDR Inc.   6,591,479    261,154 
   Mid-America Apartment Communities Inc.   2,723,298    260,620 
   Extra Space Storage Inc.   2,876,863    260,299 
   Vornado Realty Trust   4,096,525    254,107 
*  Arch Capital Group Ltd.   9,204,929    245,956 
*  SVB Financial Group   1,273,821    241,924 
   KKR & Co. Inc. Class A   12,025,159    236,054 
   Raymond James Financial Inc.   3,087,922    229,772 
   Regency Centers Corp.   3,850,710    225,960 
   Nasdaq Inc.   2,745,190    223,925 
   Ally Financial Inc.   9,880,101    223,883 
   Iron Mountain Inc.   6,854,121    222,142 
   Duke Realty Corp.   8,571,441    222,000 
   AGNC Investment Corp.   12,627,603    221,488 
   Everest Re Group Ltd.   972,338    211,736 
   Reinsurance Group of America Inc. Class A   1,501,421    210,544 
   Alleghany Corp.   337,149    210,152 
   Federal Realty Investment Trust   1,766,924    208,568 
   Fidelity National Financial Inc.   6,254,208    196,632 
   Camden Property Trust   2,227,891    196,166 
   Zions Bancorp NA   4,596,304    187,253 
   Western Union Co.   10,592,584    180,709 
   Torchmark Corp.   2,400,857    178,936 
   VEREIT Inc.   23,142,848    165,471 
   Invesco Ltd.   9,837,454    164,679 
   WR Berkley Corp.   2,190,873    161,927 
   SL Green Realty Corp.   2,039,433    161,278 
   SEI Investments Co.   3,348,372    154,695 
   Unum Group   5,231,906    153,713 
*  Black Knight Inc.   3,395,368    152,995 
   Voya Financial Inc.   3,720,175    149,328 
*  Athene Holding Ltd. Class A   3,745,923    149,200 
   Macerich Co.   3,373,818    146,019 
   Kimco Realty Corp.   9,576,210    140,291 
   Jones Lang LaSalle Inc.   1,089,936    137,986 
   Invitation Homes Inc.   6,849,322    137,534 
   People’s United Financial Inc.   9,031,151    130,320 
   Affiliated Managers Group Inc.   1,260,495    122,823 
   Franklin Resources Inc.   3,378,782    100,215 
   AXA Equitable Holdings Inc.   5,048,840    83,962 
   Lazard Ltd. Class A   1,555,976    57,431 
   CIT Group Inc.   1,265,844    48,444 
   New York Community Bancorp Inc.   8,110    76 
*  Brighthouse Financial Inc.   2,102    64 
            17,812,499 
Health Care (9.0%)
*  Edwards Lifesciences Corp.   5,001,620    766,098 
*  Centene Corp.   4,667,693    538,185 
*  IQVIA Holdings Inc.   4,073,683    473,240 
   ResMed Inc.   3,409,651    388,257 
*  IDEXX Laboratories Inc.   2,063,325    383,820 
*  Align Technology Inc.   1,818,099    380,765 
*  BioMarin Pharmaceutical Inc.   4,260,530    362,784 
*  ABIOMED Inc.   1,023,589    332,707 
*  Laboratory Corp. of America Holdings   2,414,343    305,076 
   Cooper Cos. Inc.   1,175,855    299,255 
*  Henry Schein Inc.   3,647,723    286,419 
   Teleflex Inc.   1,100,362    284,422 
*  Hologic Inc.   6,918,468    284,349 
*  WellCare Health Plans Inc.   1,196,249    282,422 
*  Incyte Corp.   4,327,043    275,157 
   Quest Diagnostics Inc.   3,254,885    271,034 
*  Varian Medical Systems Inc.   2,179,608    246,971 
   Universal Health Services Inc. Class B   2,039,382    237,710 
   Dentsply Sirona Inc.   5,323,599    198,091 
*  Jazz Pharmaceuticals plc   1,370,778    169,922 
   Cardinal Health Inc.   3,570,200    159,231 
*  Alnylam Pharmaceuticals Inc.   2,175,072    158,585 
*  DaVita Inc.   2,977,969    153,246 
*  Seattle Genetics Inc.   2,490,223    141,096 
*  Nektar Therapeutics Class A   4,140,589    136,101 
*  DexCom Inc.   1,062,953    127,342 
   Perrigo Co. plc   2,926,356    113,396 
*  Alkermes plc   3,719,953    109,776 
            7,865,457 
Industrials (18.8%)
*  Fiserv Inc.   9,533,830    700,641 
   Roper Technologies Inc.   2,474,630    659,538 
   Amphenol Corp. Class A   7,209,832    584,141 
*  Worldpay Inc. Class A   7,222,105    551,985 
   Willis Towers Watson plc   3,108,941    472,124 
   Waste Connections Inc.   6,305,171    468,159 

 

36

 

 

Mid-Cap Index Fund

 

          Market 
          Value 
      Shares   ($000)
*  Verisk Analytics Inc. Class A   3,741,911    408,018 
*  FleetCor Technologies Inc.   2,121,756    394,053 
   Global Payments Inc.   3,785,513    390,400 
*  TransDigm Group Inc.   1,135,929    386,284 
   AMETEK Inc.   5,553,282    375,957 
   Ball Corp.   8,116,085    373,178 
   Fastenal Co.   6,868,821    359,171 
   Cintas Corp.   2,046,154    343,733 
*  Mettler-Toledo International Inc.   599,119    338,850 
   L3 Technologies Inc.   1,883,052    327,011 
*  Waters Corp.   1,721,814    324,820 
   WW Grainger Inc.   1,145,526    323,451 
   Total System Services Inc.   3,928,965    319,386 
   Vulcan Materials Co.   3,159,785    312,187 
*  CoStar Group Inc.   871,261    293,911 
   Xylem Inc.   4,300,489    286,929 
   Expeditors International of Washington Inc.   4,128,567    281,114 
   CH Robinson Worldwide Inc.   3,289,194    276,588 
   Broadridge Financial Solutions Inc.   2,792,896    268,816 
   Martin Marietta Materials Inc.   1,500,224    257,843 
   TransUnion   4,432,677    251,776 
   Dover Corp.   3,500,464    248,358 
   Textron Inc.   5,230,728    240,561 
   Kansas City Southern   2,435,033    232,424 
   Westrock Co.   6,139,692    231,835 
   Old Dominion Freight Line Inc.   1,759,962    217,338 
*  First Data Corp. Class A   12,819,941    216,785 
   Masco Corp.   7,304,929    213,596 
   Jacobs Engineering Group Inc.   3,402,426    198,906 
*  United Rentals Inc.   1,939,527    198,860 
*  Trimble Inc.   6,007,929    197,721 
*  Square Inc.   3,504,267    196,554 
   Huntington Ingalls Industries Inc.   1,027,536    195,550 
   Snap-on Inc.   1,343,775    195,237 
   JB Hunt Transport Services Inc.   2,089,177    194,377 
   Packaging Corp. of America   2,260,403    188,653 
*  Sensata Technologies Holding plc   3,926,435    176,061 
   Arconic Inc.   10,403,346    175,400 
*  XPO Logistics Inc.   3,036,729    173,215 
   Alliance Data Systems Corp.   1,107,570    166,224 
   Robert Half International Inc.   2,760,396    157,895 
   Pentair plc   4,152,322    156,875 
   Wabtec Corp.   2,080,086    146,126 
*  Arrow Electronics Inc.   2,085,216    143,776 
*  Keysight Technologies Inc.   2,232,109    138,569 
   Allison Transmission Holdings Inc.   3,101,533    136,188 
*  Crown Holdings Inc.   3,234,541    134,460 
   Sealed Air Corp.   3,754,930    130,822 
   Hubbell Inc. Class B   1,308,830    130,019 
   Jack Henry & Associates Inc.   925,172    117,053 
   Owens Corning   2,616,364    115,068 
   Fluor Corp.   3,367,543    108,435 
   Xerox Corp.   4,850,947    95,855 
*  IPG Photonics Corp.   831,234    94,170 
   Cognex Corp.   1,953,305    75,534 
   AO Smith Corp.   1,718,399    73,376 
   FLIR Systems Inc.   1,652,144    71,934 
   Flowserve Corp.   1,564,742    59,491 
   ManpowerGroup Inc.   742,502    48,114 
^  ADT Inc.   2,700,260    16,229 
   Acuity Brands Inc.   683    79 
            16,337,787 
Oil & Gas (5.2%)
   ONEOK Inc.   9,840,559    530,898 
*  Concho Resources Inc.   4,790,781    492,444 
   Diamondback Energy Inc.   3,925,794    363,921 
*  Cheniere Energy Inc.   5,531,555    327,413 
   Marathon Oil Corp.   19,892,137    285,253 
   Hess Corp.   6,735,212    272,776 
   Devon Energy Corp.   10,637,312    239,765 
   Apache Corp.   9,086,469    238,520 
   National Oilwell Varco Inc.   9,177,810    235,870 
   Cabot Oil & Gas Corp.   10,313,517    230,507 
   Noble Energy Inc.   11,475,028    215,272 
   HollyFrontier Corp.   4,144,427    211,863 
   Targa Resources Corp.   5,482,840    197,492 
   OGE Energy Corp.   4,778,279    187,261 
   Cimarex Energy Co.   2,287,506    141,025 
   Baker Hughes a GE Co. Class A   6,141,406    132,040 
*  Continental Resources Inc.   2,252,257    90,518 
   Helmerich & Payne Inc.   1,238,213    59,360 
*  Equitrans Midstream Corp.   2,439,252    48,834 
   EQT Corp.   4,441    84 
*  Antero Resources Corp.   4,392    41 
            4,501,157 

 

37

 

 

Mid-Cap Index Fund

 

          Market 
          Value 
      Shares   ($000)
Other (0.0%)2
*,§,  American International Group Inc. Warrants Exp. 01/19/2021   8,771     
              
Technology (15.3%)
*  Red Hat Inc.   4,223,939    741,893 
*  Autodesk Inc.   5,230,503    672,695 
   Xilinx Inc.   6,054,443    515,657 
*  Twitter Inc.   16,392,764    471,128 
   Motorola Solutions Inc.   3,912,668    450,113 
*  Advanced Micro Devices Inc.   22,717,411    419,363 
   Microchip Technology Inc.   5,658,972    406,993 
*  Palo Alto Networks Inc.   2,143,849    403,794 
*  Cerner Corp.   7,489,611    392,755 
*  VeriSign Inc.   2,603,249    386,036 
*  ServiceNow Inc.   2,145,203    381,953 
   Harris Corp.   2,815,291    379,079 
*  Splunk Inc.   3,508,466    367,863 
   NetApp Inc.   6,026,377    359,594 
*  IAC/InterActiveCorp   1,859,861    340,429 
   Maxim Integrated Products Inc.   6,627,986    337,033 
   KLA-Tencor Corp.   3,662,842    327,788 
   Citrix Systems Inc.   3,062,907    313,825 
*  Synopsys Inc.   3,555,931    299,552 
*  Cadence Design Systems Inc.   6,749,947    293,488 
   CDW Corp.   3,589,160    290,901 
*  ANSYS Inc.   1,999,644    285,829 
   Skyworks Solutions Inc.   4,246,937    284,630 
*  Workday Inc. Class A   1,782,313    284,600 
   Symantec Corp.   14,525,637    274,462 
*  Arista Networks Inc.   1,263,717    266,265 
*  Gartner Inc.   2,063,927    263,852 
*  Veeva Systems Inc. Class A   2,914,334    260,308 
*  GoDaddy Inc. Class A   3,800,355    249,379 
*  Fortinet Inc.   3,464,583    244,011 
   Western Digital Corp.   6,582,436    243,353 
   SS&C Technologies Holdings Inc.   5,391,007    243,188 
   Marvell Technology Group Ltd.   14,962,273    242,239 
   Seagate Technology plc   6,161,246    237,763 
*  F5 Networks Inc.   1,450,274    234,988 
*  Akamai Technologies Inc.   3,701,144    226,066 
   Juniper Networks Inc.   8,256,006    222,169 
*  Qorvo Inc.   2,988,047    181,464 
*  Dell Technologies Inc.   3,264,357    159,529 
   CDK Global Inc.   3,080,706    147,504 
*,^  Snap Inc.   14,039,971    77,360 
*,^  Dropbox Inc. Class A   3,608,743    73,727 
^  Match Group Inc.   1,223,870    52,345 
   LogMeIn Inc.   915    75 
            13,307,038 
Telecommunications (0.5%)
   CenturyLink Inc.   23,269,889    352,539 
*  Zayo Group Holdings Inc.   4,813,838    109,948 
            462,487 
Utilities (6.3%)
   WEC Energy Group Inc.   7,550,142    522,923 
   Eversource Energy   7,581,878    493,125 
   DTE Energy Co.   4,353,003    480,136 
   FirstEnergy Corp.   12,237,198    459,507 
   American Water Works Co. Inc.   4,321,108    392,227 
   Ameren Corp.   5,839,916    380,938 
   Entergy Corp.   4,334,309    373,054 
   Evergy Inc.   6,304,549    357,909 
   CenterPoint Energy Inc.   11,989,183    338,455 
   CMS Energy Corp.   6,779,851    336,619 
*  Alliant Energy Corp.   5,646,101    238,548 
   AES Corp.   15,842,651    229,085 
   Pinnacle West Capital Corp.   2,681,210    228,439 
   NiSource Inc.   8,844,631    224,211 
*  Vistra Energy Corp.   9,653,471    220,968 
*  PG&E Corp.   6,203,356    147,330 
   Avangrid Inc.   1,476,419    73,954 
            5,497,428 
Total Common Stocks          
(Cost $72,139,154)        86,860,973 
Temporary Cash Investments (0.5%)1          
Money Market Fund (0.5%)          
3,4  Vanguard Market Liquidity Fund, 2.530%   4,002,922    400,292 

 

      Face     
      Amount     
      ($000)    
U.S. Government and Agency Obligations (0.0%)
5  United States Treasury Bill, 2.194%, 1/24/19   5,000    4,993 
5  United States Treasury Bill, 2.282%, 2/7/19   11,000    10,974 
            15,967 
Total Temporary Cash Investments          
(Cost $416,221)        416,259 
Total Investments (100.3%)          
(Cost $72,555,375)        87,277,232 

 

38

 

 

Mid-Cap Index Fund

 

   Amount 
   ($000)
Other Assets and Liabilities (-0.3%)     
Other Assets     
Investment in Vanguard   5,056 
Receivables for Investment Securities Sold   395 
Receivables for Accrued Income   113,039 
Receivables for Capital Shares Issued   307,849 
Variation Margin Receivable—Futures Contracts   1,898 
Other Assets   262 
Total Other Assets   428,499 
Liabilities     
Payables for Investment Securities Purchased   (229,702)
Collateral for Securities on Loan   (187,969)
Payables for Capital Shares Redeemed   (251,652)
Payables to Vanguard   (27,961)
Total Liabilities   (697,284)
Net Assets (100%)   87,008,447 

 

At December 31, 2018, net assets consisted of:

   Amount 
   ($000)
Paid-in Capital   75,535,652 
Total Distributable Earnings (Loss)   11,472,795 
Net Assets   87,008,447 
      
Investor Shares—Net Assets     
Applicable to 80,694,903 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   3,042,778 
Net Asset Value Per Share—Investor Shares   $37.71 

 

ETF Shares—Net Assets     
Applicable to 153,973,370 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   21,261,050 
Net Asset Value Per Share—ETF Shares   $138.08 

 

Admiral Shares—Net Assets     
Applicable to 203,191,217 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   34,753,810 
Net Asset Value Per Share—Admiral Shares   $171.04 

 

Institutional Shares—Net Assets     
Applicable to 437,339,961 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   16,524,396 
Net Asset Value Per Share—Institutional Shares   $37.78 
      
Institutional Plus Shares—Net Assets     
Applicable to 61,319,743 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   11,426,413 
Net Asset Value Per Share—Institutional Plus Shares   $186.34 

See Note A in Notes to Financial Statements.

*Non-income-producing security.

^Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $176,595,000.

§Security value determined using significant unobservable inputs.

1The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures investments, the fund’s effective common stock and temporary cash investment positions represent 100.1% and 0.2%, respectively, of net assets.

2“Other” represents securities that are not classified by the fund’s benchmark index.

3Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.

4Includes $187,969,000 of collateral received for securities on loan.

5Securities with a value of $10,776,000 have been segregated as initial margin for open futures contracts.

 

39

 

 

Mid-Cap Index Fund

 

Derivative Financial Instruments Outstanding as of Period End

 

Futures Contracts

                   ($000)
                   Value and 
         Number of         Unrealized 
         Long (Short)   Notional    Appreciation 
    Expiration    Contracts    Amount    (Depreciation)
Long Futures Contracts                    
E-mini S&P Mid-Cap 400 Index   March 2019    815    135,469    (6,002)
E-mini S&P 500 Index   March 2019    593    74,279    (3,443)
                   (9,445)

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

40

 

 

Mid-Cap Index Fund

 

Statement of Operations

 

   Year Ended 
   December 31, 2018 
   ($000)
Investment Income     
Income     
Dividends   1,609,597 
Interest1   5,335 
Securities Lending—Net   3,416 
Total Income   1,618,348 
Expenses     
The Vanguard Group—Note B     
Investment Advisory Services   5,482 
Management and Administrative—Investor Shares   5,562 
Management and Administrative—ETF Shares   6,304 
Management and Administrative—Admiral Shares   14,141 
Management and Administrative—Institutional Shares   5,746 
Management and Administrative—Institutional Plus Shares   2,904 
Marketing and Distribution—Investor Shares   595 
Marketing and Distribution—ETF Shares   998 
Marketing and Distribution—Admiral Shares   2,563 
Marketing and Distribution—Institutional Shares   415 
Marketing and Distribution—Institutional Plus Shares   100 
Custodian Fees   210 
Auditing Fees   40 
Shareholders’ Reports—Investor Shares   69 
Shareholders’ Reports—ETF Shares   639 
Shareholders’ Reports—Admiral Shares   386 
Shareholders’ Reports—Institutional Shares   183 
Shareholders’ Reports—Institutional Plus Shares   78 
Trustees’ Fees and Expenses   63 
Total Expenses   46,478 
Net Investment Income   1,571,870 
Realized Net Gain (Loss)     
Investment Securities Sold1,2   2,621,223 
Futures Contracts   (19,265)
Realized Net Gain (Loss)   2,601,958 
Change in Unrealized Appreciation (Depreciation)     
Investment Securities1   (13,052,883)
Futures Contracts   (10,791)
Change in Unrealized Appreciation (Depreciation)   (13,063,674)
Net Increase (Decrease) in Net Assets Resulting from Operations   (8,889,846)
1Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $4,996,000, ($26,000), and $19,000, respectively. Purchases and sales are for temporary cash investment purposes.
2Includes $2,586,637,000 of net gain (loss) resulting from in-kind redemptions; such gain (loss) is not taxable to the fund.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Mid-Cap Index Fund

 

Statement of Changes in Net Assets

 

   Year Ended December 31, 
   2018   2017 
   ($000)  ($000)
Increase (Decrease) in Net Assets          
Operations          
Net Investment Income   1,571,870    1,266,266 
Realized Net Gain (Loss)   2,601,958    2,275,996 
Change in Unrealized Appreciation (Depreciation)   (13,063,674)   11,581,925 
Net Increase (Decrease) in Net Assets Resulting from Operations   (8,889,846)   15,124,187 
Distributions          
Net Investment Income          
Investor Shares   (54,870)   (54,622)
ETF Shares   (379,651)   (288,923)
Admiral Shares   (622,912)   (499,540)
Institutional Shares   (299,399)   (242,458)
Institutional Plus Shares   (207,758)   (178,715)
Realized Capital Gain          
Investor Shares        
ETF Shares        
Admiral Shares        
Institutional Shares        
Institutional Plus Shares        
Total Distributions   (1,564,590)   (1,264,258)
Capital Share Transactions          
Investor Shares   (637,108)   (763,377)
ETF Shares   1,893,336    2,280,229 
Admiral Shares   1,163,012    2,452,659 
Institutional Shares   281,374    1,040,948 
Institutional Plus Shares   29,603    (627,501)
Net Increase (Decrease) from Capital Share Transactions   2,730,217    4,382,958 
Total Increase (Decrease)   (7,724,219)   18,242,887 
Net Assets          
Beginning of Period   94,732,666    76,489,779 
End of Period   87,008,447    94,732,666 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Mid-Cap Index Fund

 

Financial Highlights

 

Investor Shares

 

For a Share Outstanding          Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period   $42.23    $35.92    $32.79    $33.72    $30.02 
Investment Operations                         
Net Investment Income   .6401   .5201   .472    .444    .387 
Net Realized and Unrealized Gain (Loss)                         
on Investments   (4.528)   6.313    3.138    (.939)   3.697 
Total from Investment Operations   (3.888)   6.833    3.610    (.495)   4.084 
Distributions                         
Dividends from Net Investment Income   (.632)   (.523)   (.480)   (.435)   (.384)
Distributions from Realized Capital Gains                    
Total Distributions   (.632)   (.523)   (.480)   (.435)   (.384)
Net Asset Value, End of Period   $37.71    $42.23    $35.92    $32.79    $33.72 
                          
Total Return2   -9.34%    19.12%    11.07%    -1.46%    13.60% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)   $3,043    $4,047    $4,138    $4,140    $4,607 
Ratio of Total Expenses to Average Net Assets   0.17%    0.17%    0.18%    0.20%    0.23% 
Ratio of Net Investment Income to Average Net Assets   1.49%    1.34%    1.42%    1.35%    1.30% 
Portfolio Turnover Rate3   16%    14%    15%    15%    11% 
1Calculated based on average shares outstanding.
2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Mid-Cap Index Fund

 

Financial Highlights

 

ETF Shares

 

For a Share Outstanding          Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period   $154.65    $131.55    $120.07    $123.50    $109.96 
Investment Operations                         
Net Investment Income   2.5351   2.1121   1.877    1.793    1.609 
Net Realized and Unrealized Gain (Loss) on Investments   (16.584)   23.076    11.510    (3.457)   13.524 
Total from Investment Operations   (14.049)   25.188    13.387    (1.664)   15.133 
Distributions                         
Dividends from Net Investment Income   (2.521)   (2.088)   (1.907)   (1.766)   (1.593)
Distributions from Realized Capital Gains                    
Total Distributions   (2.521)   (2.088)   (1.907)   (1.766)   (1.593)
Net Asset Value, End of Period   $138.08    $154.65    $131.55    $120.07    $123.50 
                          
Total Return   -9.21%    19.25%    11.23%    -1.34%    13.76% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)   $21,261    $21,937    $16,544    $12,984    $9,879 
Ratio of Total Expenses to Average Net Assets   0.04%    0.05%    0.06%    0.08%    0.09% 
Ratio of Net Investment Income to Average Net Assets   1.62%    1.46%    1.54%    1.47%    1.44% 
Portfolio Turnover Rate2   16%    14%    15%    15%    11% 
1Calculated based on average shares outstanding.
2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Mid-Cap Index Fund

 

Financial Highlights

 

Admiral Shares

 

For a Share Outstanding          Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $191.55    $162.94    $148.72    $152.97    $136.19 
Investment Operations                         
Net Investment Income   3.1351   2.6061   2.325    2.214    1.987 
Net Realized and Unrealized Gain (Loss) on Investments   (20.539)   28.591    14.257    (4.284)   16.759 
Total from Investment Operations   (17.404)   31.197    16.582    (2.070)   18.746 
Distributions                         
Dividends from Net Investment Income   (3.106)   (2.587)   (2.362)   (2.180)   (1.966)
Distributions from Realized Capital Gains                    
Total Distributions   (3.106)   (2.587)   (2.362)   (2.180)   (1.966)
Net Asset Value, End of Period   $171.04    $191.55    $162.94    $148.72    $152.97 
                          
Total Return2   -9.23%    19.25%    11.22%    -1.34%    13.76% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)   $34,754    $37,778    $29,854    $25,061    $22,125 
Ratio of Total Expenses to Average Net Assets   0.05%    0.05%    0.06%    0.08%    0.09% 
Ratio of Net Investment Income to Average Net Assets   1.61%    1.46%    1.54%    1.47%    1.44% 
Portfolio Turnover Rate3   16%    14%    15%    15%    11% 
1Calculated based on average shares outstanding.
2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Mid-Cap Index Fund

 

Financial Highlights

 

Institutional Shares

 

For a Share Outstanding          Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period   $42.32    $35.99    $32.85    $33.79    $30.08 
Investment Operations                         
Net Investment Income   .6971   .5801   .516    .492    .442 
Net Realized and Unrealized Gain (Loss) on Investments   (4.547)   6.325    3.148    (.947)   3.704 
Total from Investment Operations   (3.850)   6.905    3.664    (.455)   4.146 
Distributions                         
Dividends from Net Investment Income   (.690)   (.575)   (.524)   (.485)   (.436)
Distributions from Realized Capital Gains                    
Total Distributions   (.690)   (.575)   (.524)   (.485)   (.436)
Net Asset Value, End of Period   $37.78    $42.32    $35.99    $32.85    $33.79 
                          
Total Return   -9.24%    19.29%    11.23%    -1.33%    13.78% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)   $16,524    $18,222    $14,540    $12,278    $11,172 
Ratio of Total Expenses to Average Net Assets   0.04%    0.04%    0.05%    0.07%    0.08% 
Ratio of Net Investment Income to Average Net Assets   1.62%    1.47%    1.55%    1.48%    1.45% 
Portfolio Turnover Rate2   16%    14%    15%    15%    11% 
1Calculated based on average shares outstanding.
2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Mid-Cap Index Fund

 

Financial Highlights

 

Institutional Plus Shares

 

For a Share Outstanding          Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period   $208.69    $177.51    $162.03    $166.65    $148.37 
Investment Operations                         
Net Investment Income   3.4641   2.8561   2.564    2.461    2.210 
Net Realized and Unrealized Gain (Loss) on Investments   (22.388)   31.179    15.524    (4.657)   18.256 
Total from Investment Operations   (18.924)   34.035    18.088    (2.196)   20.466 
Distributions                         
Dividends from Net Investment Income   (3.426)   (2.855)   (2.608)   (2.424)   (2.186)
Distributions from Realized Capital Gains                    
Total Distributions   (3.426)   (2.855)   (2.608)   (2.424)   (2.186)
Net Asset Value, End of Period   $186.34    $208.69    $177.51    $162.03    $166.65 
                          
Total Return   -9.21%    19.28%    11.24%    -1.30%    13.79% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)   $11,426    $12,749    $11,415    $11,260    $11,144 
Ratio of Total Expenses to Average Net Assets   0.03%    0.03%    0.04%    0.05%    0.06% 
Ratio of Net Investment Income to Average Net Assets   1.63%    1.48%    1.56%    1.50%    1.47% 
Portfolio Turnover Rate2   16%    14%    15%    15%    11% 
1Calculated based on average shares outstanding.
2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Mid-Cap Index Fund

 

Notes to Financial Statements

 

Vanguard Mid-Cap Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers five classes of shares: Investor Shares, ETF Shares, Admiral Shares, Institutional Shares, and Institutional Plus Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker.

 

On November 19, 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. It is anticipated that all of the outstanding Investor Shares will be automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors.

 

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.

 

1. 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 materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. 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.

 

2. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. 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 assets pledged as initial margin for open contracts are noted in the Statement of Net Assets.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

 

During the year ended December 31, 2018, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

 

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Mid-Cap Index Fund

 

3. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (December 31, 2015–2018), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

4. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes.

 

5. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

 

6. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

 

The fund had no borrowings outstanding at December 31, 2018, or at any time during the period then ended.

 

7. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

 

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Mid-Cap Index Fund

 

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

 

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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets. All other costs of operations payable to Vanguard are generally settled twice a month.

 

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At December 31, 2018, the fund had contributed to Vanguard capital in the amount of $5,056,000, representing 0.01% of the fund’s net assets and 2.02% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

 

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.

 

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 valued with significant unobservable inputs are noted on the Statement of Net Assets.

 

The following table summarizes the market value of the fund’s investments as of December 31, 2018, based on the inputs used to value them:

 

   Level 1   Level 2   Level 3 
Investments  ($000)  ($000)  ($000)
Common Stocks   86,860,973         
Temporary Cash Investments   400,292    15,967     
Futures Contracts—Assets1   1,898         
Total   87,263,163    15,967     
1Represents variation margin on the last day of the reporting period.

 

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Mid-Cap Index Fund

 

D. Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period end, permanent differences primarily attributable to the accounting for in-kind redemptions and the expiration of capital loss carryforwards were reclassified between the following accounts:

 

   Amount 
   ($000)
Paid-in Capital   2,291,669 
Total Distributable Earnings (Loss)   (2,291,669)

 

Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the tax deferral of losses on wash sales and the realization of unrealized gains or losses on certain futures contracts. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:

 

   Amount 
   ($000)
Undistributed Ordinary Income   8,897 
Undistributed Long-Term Gains    
Capital Loss Carryforwards (Non-expiring)   (3,231,710)
Net Unrealized Gains (Losses)   14,721,857 

 

As of December 31, 2018, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:

 

   Amount 
   ($000)
Tax Cost   72,555,375 
Gross Unrealized Appreciation   20,869,398 
Gross Unrealized Depreciation   (6,147,541)
Net Unrealized Appreciation (Depreciation)   14,721,857 

 

E. During the year ended December 31, 2018, the fund purchased $23,363,113,000 of investment securities and sold $20,143,163,000 of investment securities, other than temporary cash investments. Purchases and sales include $6,020,917,000 and $5,045,369,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

 

The fund purchased securities from and sold securities to other Vanguard funds or accounts managed by Vanguard or its affiliates, in accordance with procedures adopted by the board of trustees in compliance with Rule 17a-7 of the Investment Company Act of 1940. For the year ended December 31, 2018, such purchases and sales were $2,028,698,000 and $2,740,362,000, respectively; these amounts are included in the purchases and sales of investment securities noted above.

 

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Mid-Cap Index Fund

 

F. Capital share transactions for each class of shares were:

 

           Year Ended December 31, 
       2018       2017 
   Amount   Shares   Amount   Shares 
   ($000)  (000)  ($000)  (000)
Investor Shares                    
Issued   460,927    10,697    591,922    15,227 
Issued in Lieu of Cash Distributions   51,976    1,246    52,012    1,309 
Redeemed   (1,150,011)   (27,085)   (1,407,311)   (35,892)
Net Increase (Decrease)—Investor Shares   (637,108)   (15,142)   (763,377)   (19,356)
ETF Shares                    
Issued   7,020,300    44,451    7,088,373    49,186 
Issued in Lieu of Cash Distributions                
Redeemed   (5,126,964)   (32,325)   (4,808,144)   (33,100)
Net Increase (Decrease)—ETF Shares   1,893,336    12,126    2,280,229    16,086 
Admiral Shares                    
Issued   6,872,425    35,591    7,466,229    42,217 
Issued in Lieu of Cash Distributions   554,067    2,934    445,641    2,467 
Redeemed   (6,263,480)   (32,554)   (5,459,211)   (30,687)
Net Increase (Decrease)—Admiral Shares   1,163,012    5,971    2,452,659    13,997 
Institutional Shares                    
Issued   3,474,371    81,423    3,757,479    96,177 
Issued in Lieu of Cash Distributions   279,478    6,699    225,430    5,650 
Redeemed   (3,472,475)   (81,398)   (2,941,961)   (75,169)
Net Increase (Decrease)—Institutional Shares   281,374    6,724    1,040,948    26,658 
Institutional Plus Shares                    
Issued   1,225,456    5,922    1,279,307    6,695 
Issued in Lieu of Cash Distributions   204,431    993    173,883    885 
Redeemed   (1,400,284)   (6,687)   (2,080,691)   (10,791)
Net Increase (Decrease)—Institutional Plus Shares   29,603    228    (627,501)   (3,211)

 

G. Management has determined that no events or transactions occurred subsequent to December 31, 2018, that would require recognition or disclosure in these financial statements.

 

52

 

 

Mid-Cap Growth Index Fund

 

Performance Summary

 

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

 

Cumulative Performance: December 31, 2008, Through December 31, 2018

Initial Investment of $10,000

 

 

     Average Annual Total Returns
Periods Ended December 31, 2018
    
     One
Year
  Five
Years
  Ten
Years
  Final Value
of a $10,000
Investment
Mid-Cap Growth Index Fund Investor Shares   -5.74%   6.51%   13.99%   $37,038
Spliced Mid-Cap Growth Index   -5.57    6.70    14.21    37,762
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.22    34,625

Spliced Mid-Cap Growth Index: MSCI US Mid Cap Growth Index through April 16, 2013; CRSP US Mid Cap Growth Index thereafter.

 

   One
Year
  Five
Years
  Ten
Years
  Final Value
of a $10,000
Investment
Mid-Cap Growth Index Fund ETF Shares Net Asset Value   -5.60%   6.65%   14.15%   $37,560
Spliced Mid-Cap Growth Index   -5.57    6.70    14.21    37,762
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.22    34,625

 

See Financial Highlights for dividend and capital gains information.

 

53

 

 

Mid-Cap Growth Index Fund

 

  Average Annual Total Returns  
  Periods Ended December 31, 2018  
      Since Final Value
  One Five Inception of a $10,000
  Year Years (9/27/2011) Investment
Mid-Cap Growth Index Fund Admiral Shares -5.60% 6.65% 11.33% $21,796
Spliced Mid-Cap Growth Index -5.57 6.70 11.37 21,854
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 13.07 24,403

"Since Inception" performance is calculated from the Admiral Shares’ inception date for both the fund and its comparative standards.

 

Cumulative Returns of ETF Shares: December 31, 2008, Through December 31, 2018

 

  One Five Ten
  Year Years Years
Mid-Cap Growth Index Fund ETF Shares Market Price -5.64% 37.88% 276.07%
Mid-Cap Growth Index Fund ETF Shares Net Asset Value -5.60 37.95 275.60
Spliced Mid-Cap Growth Index -5.57 38.32 277.62

For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market price was above or below the NAV.

 

54

 

 

Mid-Cap Growth Index Fund

 

Sector Diversification

As of December 31, 2018

 

Basic Materials 1.1%
Consumer Goods 6.3
Consumer Services 8.4
Financials 17.3
Health Care 13.1
Industrials 25.3
Oil & Gas 6.2
Technology 22.0
Telecommunications 0.3

The table reflects the fund’s equity exposure, based on its investments in stocks and stock index futures. Any holdings in short-term reserves are excluded. Sector categories are based on the Industry Classification Benchmark (“ICB”), except for the “Other” category (if applicable), which includes securities that have not been provided an ICB classification as of the effective reporting period.

  

55

 

 

Mid-Cap Growth Index Fund

 

Financial Statements

 

Statement of Net Assets

As of December 31, 2018

 

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the lists appear in the fund’s semiannual and annual reports to shareholders. For the first and third fiscal quarters, the fund files the lists with the Securities and Exchange Commission on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website at sec.gov.

 

          Market 
          Value 
      Shares   ($000
Common Stocks (99.8%)1          
Basic Materials (1.1%)          
   CF Industries Holdings Inc.   1,344,853    58,515 
   FMC Corp.   392,433    29,024 
   Steel Dynamics Inc.   636,519    19,121 
*  Axalta Coating Systems Ltd.   627,941    14,706 
            121,366 
Consumer Goods (6.3%)          
   McCormick & Co. Inc.   710,332    98,907 
   Church & Dwight Co. Inc.   1,435,780    94,417 
*  Lululemon Athletica Inc.   608,095    73,950 
*  Take-Two Interactive Software Inc.   663,549    68,306 
   Lamb Weston Holdings Inc.   853,743    62,801 
*  NVR Inc.   20,010    48,764 
*  LKQ Corp.   1,761,504    41,801 
   Hormel Foods Corp.   776,789    33,153 
*  WABCO Holdings Inc.   304,476    32,682 
   Fortune Brands Home & Security Inc.   826,365    31,394 
   Polaris Industries Inc.   342,006    26,225 
*  Mohawk Industries Inc.   173,365    20,277 
*,^  Under Armour Inc. Class A   1,092,996    19,313 
*  Under Armour Inc.   1,121,174    18,129 
*,^  Wayfair Inc.   171,069    15,410 
            685,529 
Consumer Services (8.4%)          
*  Dollar Tree Inc.   1,387,447    125,314 
*  Ulta Beauty Inc.   331,328    81,122 
   Expedia Group Inc.   675,423    76,086 
*  Chipotle Mexican Grill Inc. Class A   161,938    69,923 
*  CarMax Inc.   1,018,525    63,892 
   Domino’s Pizza Inc.   242,381    60,108 
   Tractor Supply Co.   711,302    59,351 
*  Copart Inc.   1,227,317    58,641 
*  Norwegian Cruise Line Holdings Ltd.   1,281,934    54,341 
   Wynn Resorts Ltd.   538,572    53,270 
   FactSet Research Systems Inc.   221,646    44,358 
   Rollins Inc.   858,471    30,991 
   Tiffany & Co.   338,102    27,221 
   Vail Resorts Inc.   117,847    24,845 
*  GrubHub Inc.   264,268    20,299 
*  Live Nation Entertainment Inc.   397,141    19,559 
*  TripAdvisor Inc.   309,396    16,689 
   Hyatt Hotels Corp. Class A   236,750    16,004 
   Wyndham Hotels & Resorts Inc.   145,528    6,603 
*,^  Carvana Co. Class A   101,775    3,329 
            911,946 
Financials (17.2%)          
   Moody’s Corp.   949,961    133,033 
   Digital Realty Trust Inc.   1,203,053    128,185 
   Realty Income Corp.   1,721,405    108,517 
*  SBA Communications Corp. Class A   660,994    107,008 
*  IHS Markit Ltd.   2,069,537    99,276 
   Essex Property Trust Inc.   385,416    94,508 
*  First Republic Bank   960,584    83,475 
*  Markel Corp.   76,926    79,853 
*  CBRE Group Inc. Class A   1,889,758    75,666 
   Alexandria Real Estate Equities Inc.   626,580    72,207 
   MSCI Inc. Class A   487,326    71,846 
   AvalonBay Communities Inc.   402,760    70,100 
   Equifax Inc.   702,615    65,435 
   E*TRADE Financial Corp.   1,481,466    65,007 
   Cboe Global Markets Inc.   653,821    63,963 
   Mid-America Apartment Communities Inc.   663,502    63,497 
   Extra Space Storage Inc.   700,355    63,368 
   Vornado Realty Trust   998,688    61,949 

 

56

 

 

Mid-Cap Growth Index Fund

 

          Market 
          Value 
      Shares   ($000
*  SVB Financial Group   310,731    59,014 
   Regency Centers Corp.   938,695    55,083 
   Iron Mountain Inc.   1,669,629    54,113 
   Federal Realty Investment Trust   430,892    50,862 
   Arthur J Gallagher & Co.   535,262    39,449 
   SEI Investments Co.   817,611    37,774 
*  Black Knight Inc.   827,214    37,274 
   Invitation Homes Inc.   1,671,561    33,565 
            1,874,027 
Health Care (13.1%)          
*  Edwards Lifesciences Corp.   1,219,005    186,715 
*  Centene Corp.   1,137,757    131,183 
*  IQVIA Holdings Inc.   993,113    115,370 
   ResMed Inc.   830,497    94,569 
*  IDEXX Laboratories Inc.   503,068    93,581 
*  Align Technology Inc.   443,294    92,839 
*  BioMarin Pharmaceutical Inc.   1,038,875    88,460 
*  ABIOMED Inc.   249,674    81,154 
   Cooper Cos. Inc.   286,774    72,984 
   Teleflex Inc.   267,944    69,258 
*  WellCare Health Plans Inc.    291,425    68,803 
*  Incyte Corp.   1,054,050    67,027 
*  Varian Medical Systems Inc.   531,891    60,269 
*  Jazz Pharmaceuticals plc   334,047    41,408 
*  Alnylam Pharmaceuticals Inc.   529,850    38,631 
*  Seattle Genetics Inc.   606,574    34,369 
*  Nektar Therapeutics Class A   1,008,590    33,152 
*  DexCom Inc.   258,848    31,010 
*  Alkermes plc   905,455    26,720 
            1,427,502 
Industrials (25.3%)          
*  Fiserv Inc.   2,323,601    170,761 
   Roper Technologies Inc.   603,145    160,750 
   Amphenol Corp. Class A   1,757,458    142,389 
*  Worldpay Inc. Class A   1,760,492    134,554 
   Waste Connections Inc.   1,536,966    114,120 
*  Verisk Analytics Inc. Class A   912,287    99,476 
*  FleetCor Technologies Inc.    517,315    96,076 
   Global Payments Inc.   922,976    95,187 
*  TransDigm Group Inc.   276,956    94,182 
   AMETEK Inc.   1,354,206    91,680 
   Fastenal Co.   1,674,795    87,575 
   Cintas Corp.   498,973    83,822 
*  Mettler-Toledo International Inc.   146,132    82,649 
*  Waters Corp.   419,878    79,210 
   Total System Services Inc.    958,135    77,887 
   Vulcan Materials Co.   770,440    76,119 
*  CoStar Group Inc.   212,221    71,591 
   Expeditors International of Washington Inc.   1,005,666    68,476 
   Broadridge Financial Solutions Inc.   680,320    65,481 
   Martin Marietta Materials Inc.   365,443    62,809 
   TransUnion   1,079,777    61,331 
   Kansas City Southern   592,573    56,561 
   Old Dominion Freight Line Inc.   428,706    52,941 
   Masco Corp.   1,780,192    52,053 
*  Trimble Inc.   1,463,452    48,162 
*  Square Inc.   853,631    47,880 
   Snap-on Inc.   327,734    47,616 
   JB Hunt Transport Services Inc.   509,958    47,447 
   Packaging Corp. of America   551,294    46,011 
*  Sensata Technologies Holding plc   956,489    42,889 
*  XPO Logistics Inc.   739,731    42,194 
   Robert Half International Inc.   672,459    38,465 
   Wabtec Corp.   506,691    35,595 
   Xylem Inc.   523,616    34,936 
   CH Robinson Worldwide Inc.   401,467    33,759 
   Jack Henry & Associates Inc.   225,204    28,493 
*  United Rentals Inc.   236,300    24,228 
*  IPG Photonics Corp.   202,262    22,914 
   Cognex Corp.   476,876    18,441 
   AO Smith Corp.   419,235    17,901 
^  ADT Inc.   659,627    3,964 
            2,758,575 
Oil & Gas (6.2%)          
   ONEOK Inc.   2,399,261    129,440 
*  Concho Resources Inc.   1,168,012    120,060 
   Diamondback Energy Inc.   957,314    88,743 
*  Cheniere Energy Inc.   1,349,087    79,852 
   Apache Corp.   2,211,613    58,055 
   Cabot Oil & Gas Corp.   2,512,474    56,154 
   Targa Resources Corp.   1,336,033    48,124 
   Cimarex Energy Co.   557,173    34,350 
   Noble Energy Inc.   1,397,864    26,224 
*  Continental Resources Inc.   548,209    22,033 
   Helmerich & Payne Inc.   302,698    14,511 
            677,546 
Technology (22.0%)          
*  Red Hat Inc.   1,029,463    180,815 
*  Autodesk Inc.   1,274,962    163,973 
   Xilinx Inc.   1,475,801    125,694 

 

57

 

  

Mid-Cap Growth Index Fund

 

          Market 
          Value 
      Shares   ($000
*  Twitter Inc.   3,996,138    114,849 
*  Advanced Micro Devices Inc.   5,538,896    102,248 
   Microchip Technology Inc.    1,379,690    99,227 
*  Palo Alto Networks Inc.   522,696    98,450 
*  Cerner Corp.   1,826,051    95,758 
*  VeriSign Inc.   634,718    94,122 
*  ServiceNow Inc.   523,009    93,122 
   Harris Corp.   686,437    92,429 
*  Splunk Inc.   855,471    89,696 
*  IAC/InterActiveCorp   453,502    83,009 
   Citrix Systems Inc.   746,000    76,435 
*  Cadence Design Systems Inc.   1,646,564    71,593 
*  ANSYS Inc.   487,666    69,707 
*  Workday Inc. Class A   434,495    69,380 
   Skyworks Solutions Inc.   1,034,501    69,332 
*  Arista Networks Inc.   307,675    64,827 
*  Gartner Inc.   502,744    64,271 
*  Veeva Systems Inc. Class A   710,169    63,432 
*  GoDaddy Inc. Class A   925,704    60,745 
*  Fortinet Inc.   844,174    59,455 
   SS&C Technologies Holdings Inc.   1,313,210    59,239 
*  F5 Networks Inc.   353,278    57,242 
*  Akamai Technologies Inc.   901,566    55,068 
   KLA-Tencor Corp.   445,995    39,912 
   CDK Global Inc.   750,378    35,928 
*,^  Snap Inc.   3,425,680    18,875 
*  Dropbox Inc. Class A   881,192    18,003 
^  Match Group Inc.   297,915    12,742 
            2,399,578 
Telecommunications (0.2%)          
*  Zayo Group Holdings Inc.   1,171,688    26,761 
Total Common Stocks          
(Cost $9,545,281)        10,882,830 
Temporary Cash Investments (0.4%)1          
Money Market Fund (0.4%)          
2,3  Vanguard Market Liquidity Fund, 2.530%   456,941    45,694 

 

      Face   Market 
      Amount   Value 
      ($000)   ($000) 
  U.S. Government and Agency Obligations (0.0%)        
   United States Treasury Bill, 2.280%, 2/21/19   500    498 
4  United States Treasury Bill, 2.480%, 5/9/19   1,700    1,686 
            2,184 
Total Temporary Cash Investments          
(Cost $47,874)        47,878 
Total Investments (100.2%)          
(Cost $9,593,155)       10,930,708 

 

   Amount 
   ($000)
Other Assets and Liabilities (-0.2%)     
Other Assets     
Investment in Vanguard   641 
Receivables for Investment Securities Sold   7,443 
Receivables for Accrued Income   7,809 
Receivables for Capital Shares Issued   15,621 
Variation Margin Receivable— Futures Contracts   234 
Total Other Assets   31,748 
Liabilities     
Payables for Investment Securities Purchased   (12,230)
Collateral for Securities on Loan   (29,817)
Payables for Capital Shares Redeemed   (12,584)
Payables to Vanguard   (2,678)
Other Liabilities   (488)
Total Liabilities   (57,797)
Net Assets (100%)   10,904,659 

 

58

 

 

Mid-Cap Growth Index Fund

 

At December 31, 2018, net assets consisted of:

 

   Amount 
   ($000)
Paid-in Capital   10,290,985 
Total Distributable Earnings (Loss)   613,674 
Net Assets   10,904,659 
      
Investor Shares—Net Assets     
Applicable to 8,602,406 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   404,525 
Net Asset Value Per Share— Investor Shares  $47.02 
      
ETF Shares—Net Assets     
Applicable to 41,447,700 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   4,956,326 
Net Asset Value Per Share— ETF Shares  $119.58 
      
Admiral Shares—Net Assets     
Applicable to 107,696,499 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   5,543,808 
Net Asset Value Per Share— Admiral Shares  $51.48 

See Note A in Notes to Financial Statements.

*Non-income-producing security.

^Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $27,967,000.

1The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 0.2%, respectively, of net assets.

2Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.

3Includes $29,817,000 of collateral received for securities on loan.

4Securities with a value of $1,249,000 have been segregated as initial margin for open futures contracts.

  

Derivative Financial Instruments Outstanding as of Period End

 

Futures Contracts

        ($000)
        Value and
    Number of   Unrealized
    Long (Short) Notional Appreciation
  Expiration Contracts Amount (Depreciation)
Long Futures Contracts        
E-mini S&P Mid-Cap 400 Index March 2019 120 19,946 (525)
E-mini S&P 500 Index March 2019 40 5,010 (235)
        (760)

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

59

 

 

Mid-Cap Growth Index Fund

 

Statement of Operations

 

   Year Ended 
   December 31, 2018 
   ($000)
Investment Income     
Income     
Dividends   99,855 
Interest1   722 
Securities Lending—Net   554 
Total Income   101,131 
Expenses     
The Vanguard Group—Note B     
Investment Advisory Services   1,839 
Management and Administrative—Investor Shares   754 
Management and Administrative—ETF Shares   2,258 
Management and Administrative—Admiral Shares   2,782 
Marketing and Distribution—Investor Shares   89 
Marketing and Distribution—ETF Shares   221 
Marketing and Distribution—Admiral Shares   463 
Custodian Fees   39 
Auditing Fees   37 
Shareholders’ Reports—Investor Shares   14 
Shareholders’ Reports—ETF Shares   512 
Shareholders’ Reports—Admiral Shares   83 
Trustees’ Fees and Expenses   8 
Total Expenses   9,099 
Net Investment Income   92,032 
Realized Net Gain (Loss)     
Investment Securities Sold1,2   393,773 
Futures Contracts   (2,313)
Realized Net Gain (Loss)   391,460 
Change in Unrealized Appreciation (Depreciation)     
Investment Securities1   (1,154,310)
Futures Contracts   (929)
Change in Unrealized Appreciation (Depreciation)   (1,155,239)
Net Increase (Decrease) in Net Assets Resulting from Operations   (671,747)

1Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $681,000, ($17,000), and $2,000, respectively. Purchases and sales are for temporary cash investment purposes.
2Includes $553,461,000 of net gain (loss) resulting from in-kind redemptions; such gain (loss) is not taxable to the fund.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

60

 

 

Mid-Cap Growth Index Fund

 

Statement of Changes in Net Assets

 

   Year Ended December 31, 
   2018   2017 
   ($000)  ($000)
Increase (Decrease) in Net Assets          
Operations          
Net Investment Income   92,032    76,920 
Realized Net Gain (Loss)   391,460    196,999 
Change in Unrealized Appreciation (Depreciation)   (1,155,239)   1,618,425 
Net Increase (Decrease) in Net Assets Resulting from Operations   (671,747)   1,892,344 
Distributions          
Net Investment Income          
Investor Shares   (3,034)   (3,236)
ETF Shares   (41,585)   (35,438)
Admiral Shares   (46,318)   (38,832)
Realized Capital Gain          
Investor Shares        
ETF Shares        
Admiral Shares        
Total Distributions   (90,937)   (77,506)
Capital Share Transactions          
Investor Shares   (65,592)   (58,359)
ETF Shares   175,603    734,241 
Admiral Shares   273,260    833,930 
Net Increase (Decrease) from Capital Share Transactions   383,271    1,509,812 
Total Increase (Decrease)   (379,413)   3,324,650 
Net Assets          
Beginning of Period   11,284,072    7,959,422 
End of Period   10,904,659    11,284,072 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

61

 

 

Mid-Cap Growth Index Fund

 

Financial Highlights

 

Investor Shares

 

For a Share Outstanding  Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $50.21   $41.52   $39.22   $39.94   $35.46 
Investment Operations                         
Net Investment Income   .3331   .3041   .290    .268    .258 
Net Realized and Unrealized Gain (Loss) on Investments   (3.193)   8.692    2.299    (.719)   4.476 
Total from Investment Operations   (2.860)   8.996    2.589    (.451)   4.734 
Distributions                         
Dividends from Net Investment Income   (.330)   (.306)   (.289)   (.269)   (.254
Distributions from Realized Capital Gains                    
Total Distributions   (.330)   (.306)   (.289)   (.269)   (.254)
Net Asset Value, End of Period  $47.02   $50.21   $41.52   $39.22   $39.94 
                          
Total Return2   -5.74%    21.72%    6.62%    -1.13%    13.35% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $405   $495   $460   $542   $562 
Ratio of Total Expenses to Average Net Assets   0.19%    0.19%    0.19%    0.20%    0.23% 
Ratio of Net Investment Income to Average Net Assets   0.64%    0.67%    0.74%    0.70%    0.79% 
Portfolio Turnover Rate3   25%    23%    21%    23%    17% 

1Calculated based on average shares outstanding.

2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.

3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Mid-Cap Growth Index Fund

 

Financial Highlights

 

ETF Shares

 

For a Share Outstanding  Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $127.67   $105.60   $99.75   $101.57   $90.20 
Investment Operations                         
Net Investment Income   1.0161   .9321   .863    .805    .816 
Net Realized and Unrealized Gain (Loss) on Investments   (8.101)   22.058    5.848    (1.815)   11.359 
Total from Investment Operations   (7.085)   22.990    6.711    (1.010)   12.175 
Distributions                         
Dividends from Net Investment Income   (1.005)   (.920)   (.861)   (.810)   (.805)
Distributions from Realized Capital Gains                    
Total Distributions   (1.005)   (.920)   (.861)   (.810)   (.805
Net Asset Value, End of Period  $119.58   $127.67   $105.60   $99.75   $101.57 
                          
Total Return   -5.60%    21.83%    6.75%    -1.00%    13.49% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $4,956   $5,130   $3,576   $3,302   $2,716 
Ratio of Total Expenses to Average Net Assets   0.07%    0.07%    0.07%    0.08%    0.09% 
Ratio of Net Investment Income to Average Net Assets   0.76%    0.79%    0.86%    0.82%    0.93% 
Portfolio Turnover Rate2   25%    23%    21%    23%    17% 

1Calculated based on average shares outstanding.

2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Mid-Cap Growth Index Fund

 

Financial Highlights

 

Admiral Shares

 

For a Share Outstanding  Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $54.96   $45.46   $42.94   $43.72   $38.83 
Investment Operations                         
Net Investment Income   .4371   .4001   .370    .349    .350 
Net Realized and Unrealized Gain (Loss) on Investments   (3.485)   9.496    2.519    (.777)   4.886 
Total from Investment Operations   (3.048)   9.896    2.889    (.428)   5.236 
Distributions                         
Dividends from Net Investment Income   (.432)   (.396)   (.369)   (.352)   (.346)
Distributions from Realized Capital Gains                    
Total Distributions   (.432)   (.396)   (.369)   (.352)   (.346
Net Asset Value, End of Period  $51.48   $54.96   $45.46   $42.94   $43.72 
                          
Total Return2   -5.60%    21.83%    6.75%    -0.98%    13.48% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $5,544   $5,659   $3,923   $3,319   $2,264 
Ratio of Total Expenses to Average Net Assets   0.07%    0.07%    0.07%    0.08%    0.09% 
Ratio of Net Investment Income to Average Net Assets   0.76%    0.79%    0.86%    0.82%    0.93% 
Portfolio Turnover Rate3   25%    23%    21%    23%    17% 

1Calculated based on average shares outstanding.

2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.

3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Mid-Cap Growth Index Fund

 

Notes to Financial Statements

 

Vanguard Mid-Cap Growth Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers three classes of shares: Investor Shares, ETF Shares, and Admiral Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker.

 

On November 19, 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. It is anticipated that all of the outstanding Investor Shares will be automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors.

 

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.

 

1. 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 materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. 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.

 

2. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. 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 isk 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 assets pledged as initial margin for open contracts are noted in the Statement of Net Assets.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

 

During the year ended December 31, 2018, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

 

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Mid-Cap Growth Index Fund

 

3. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (December 31, 2015–2018), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

4. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes.

 

5. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

 

6. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

 

The fund had no borrowings outstanding at December 31, 2018, or at any time during the period then ended.

 

7. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

 

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Mid-Cap Growth Index Fund

 

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

 

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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets. All other costs of operations payable to Vanguard are generally settled twice a month.

 

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At December 31, 2018, the fund had contributed to Vanguard capital in the amount of $641,000, representing 0.01% of the fund’s net assets and 0.26% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

 

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.

 

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 valued with significant unobservable inputs are noted on the Statement of Net Assets.

 

The following table summarizes the market value of the fund’s investments as of December 31, 2018, based on the inputs used to value them:

 

   Level 1   Level 2   Level 3 
Investments  ($000)  ($000)  ($000)
Common Stocks   10,882,830         
Temporary Cash Investments   45,694    2,184     
Futures Contracts—Assets1   234         
Total   10,928,758    2,184     

1Represents variation margin on the last day of the reporting period.

 

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Mid-Cap Growth Index Fund

 

D. Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period end, permanent differences primarily attributable to the accounting for in-kind redemptions and the expiration of capital loss carryforwards were reclassified between the following accounts:

 

   Amount 
   ($000)
Paid-in Capital   480,247 
Total Distributable Earnings (Loss)   (480,247)

 

Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the tax deferral of losses on wash sales and the realization of unrealized gains or losses on certain futures contracts. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:

 

   Amount 
   ($000)
Undistributed Ordinary Income   583 
Undistributed Long-Term Gains    
Capital Loss Carryforwards (Non-expiring)   (722,181)
Net Unrealized Gains (Losses)   1,337,553 

 

As of December 31, 2018, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:

 

   Amount 
   ($000)
Tax Cost   9,593,155 
Gross Unrealized Appreciation   2,217,326 
Gross Unrealized Depreciation   (879,773)
Net Unrealized Appreciation (Depreciation)   1,337,553 

 

E. During the year ended December 31, 2018, the fund purchased $4,704,917,000 of investment securities and sold $4,303,145,000 of investment securities, other than temporary cash investments. Purchases and sales include $1,242,988,000 and $1,268,517,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

 

The fund purchased securities from and sold securities to other Vanguard funds or accounts managed by Vanguard or its affiliates, in accordance with procedures adopted by the board of trustees in compliance with Rule 17a-7 of the Investment Company Act of 1940. For the year ended December 31, 2018, such purchases and sales were $661,641,000 and $950,704,000, respectively; these amounts are included in the purchases and sales of investment securities noted above.

 

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Mid-Cap Growth Index Fund

 

F. Capital share transactions for each class of shares were:

 

   Year Ended December 31, 
   2018   2017 
   Amount   Shares   Amount   Shares 
   ($000)   (000)  ($000)   (000)
Investor Shares                    
Issued   118,555    2,262    144,647    3,165 
Issued in Lieu of Cash Distributions   2,914    57    3,117    66 
Redeemed   (187,061)   (3,566)   (206,123)   (4,466)
Net Increase (Decrease)—Investor Shares   (65,592)   (1,247)   (58,359)   (1,235)
ETF Shares                    
Issued   1,459,320    10,767    1,524,417    12,818 
Issued in Lieu of Cash Distributions                
Redeemed   (1,283,717)   (9,500)   (790,176)   (6,500)
Net Increase (Decrease)—ETF Shares   175,603    1,267    734,241    6,318 
Admiral Shares                    
Issued   1,646,436    28,824    1,742,853    34,515 
Issued in Lieu of Cash Distributions   42,295    757    35,702    692 
Redeemed   (1,415,471)   (24,858)   (944,625)   (18,543)
Net Increase (Decrease)—Admiral Shares   273,260    4,723    833,930    16,664 

 

G. Management has determined that no events or transactions occurred subsequent to December 31, 2018, that would require recognition or disclosure in these financial statements.

  

69

 

 

Mid-Cap Value Index Fund

 

Performance Summary

 

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

 

Cumulative Performance: December 31, 2008, Through December 31, 2018

Initial Investment of $10,000

 

 

    Average Annual Total Returns  
    Periods Ended December 31, 2018  
      Final Value
    One Five Ten of a $10,000
    Year Years Years Investment
Mid-Cap Value Index Fund Investor Shares -12.53% 5.62% 13.31% $34,890
Spliced Mid-Cap Value Index -12.42 5.79 13.52 35,549
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 13.22 34,625

Spliced Mid-Cap Value Index: MSCI US Mid Cap Value Index through April 16, 2013; CRSP US Mid Cap Value Index thereafter.

 

        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Mid-Cap Value Index Fund        
ETF Shares Net Asset Value -12.41% 5.75% 13.46% $35,343
Spliced Mid-Cap Value Index -12.42 5.79 13.52 35,549
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 13.22 34,625

 

See Financial Highlights for dividend and capital gains information.

 

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Mid-Cap Value Index Fund

 

  Average Annual Total Returns  
  Periods Ended December 31, 2018  
      Since Final Value
  One Five Inception of a $10,000
  Year Years (9/27/2011) Investment
Mid-Cap Value Index Fund Admiral Shares -12.42% 5.75% 12.21% $23,083
Spliced Mid-Cap Value Index -12.42 5.79 12.27 23,169
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 13.07 24,403

"Since Inception" performance is calculated from the Admiral Shares’ inception date for both the fund and its comparative standards.

 

Cumulative Returns of ETF Shares: December 31, 2008, Through December 31, 2018

 

  One Five Ten
  Year Years Years
Mid-Cap Value Index Fund ETF Shares Market Price -12.46% 32.20% 253.66%
Mid-Cap Value Index Fund ETF Shares Net Asset Value -12.41 32.27 253.43
Spliced Mid-Cap Value Index -12.42 32.50 255.49

For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market price was above or below the NAV. 

 

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Mid-Cap Value Index Fund

 

Sector Diversification

As of December 31, 2018

 

Basic Materials 6.3%
Consumer Goods 13.4
Consumer Services 13.5
Financials 24.0
Health Care 4.8
Industrials 11.9
Oil & Gas 4.1
Technology 8.2
Telecommunications 0.8
Utilities 13.0

The table reflects the fund’s equity exposure, based on its investments in stocks and stock index futures. Any holdings in short-term reserves are excluded. Sector categories are based on the Industry Classification Benchmark (“ICB”), except for the “Other” category (if applicable), which includes securities that have not been provided an ICB classification as of the effective reporting period. 

 

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Mid-Cap Value Index Fund

 

Financial Statements

 

Statement of Net Assets

As of December 31, 2018

 

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the lists appear in the fund’s semiannual and annual reports to shareholders. For the first and third fiscal quarters, the fund files the lists with the Securities and Exchange Commission on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website at sec.gov.

 

          Market 
          Value 
      Shares   ($000
Common Stocks (99.6%)1          
Basic Materials (6.3%)          
   Newmont Mining Corp.   4,855,121    168,230 
   International Flavors & Fragrances Inc.   971,863    130,492 
   Freeport-McMoRan Inc.   12,547,634    129,366 
   Celanese Corp. Class A   1,219,105    109,683 
   Mosaic Co.   3,162,449    92,375 
   Eastman Chemical Co.   1,149,018    84,005 
   Albemarle Corp.   967,891    74,595 
   Avery Dennison Corp.   790,208    70,984 
   FMC Corp.   613,598    45,382 
   Reliance Steel & Aluminum Co.   609,835    43,402 
   Westlake Chemical Corp.   353,133    23,367 
*  Axalta Coating Systems Ltd.   979,009    22,928 
*  Alcoa Corp.   849,789    22,588 
            1,017,397 
Consumer Goods (13.3%)          
   Clorox Co.   1,163,575    179,353 
   Genuine Parts Co.   1,270,841    122,026 
   DR Horton Inc.   3,258,817    112,951 
   Lennar Corp. Class A   2,678,951    104,881 
   Conagra Brands Inc.   4,426,526    94,551 
   JM Smucker Co.   985,134    92,100 
   Molson Coors Brewing Co. Class B   1,605,083    90,141 
   Tapestry Inc.   2,641,780    89,160 
   Hasbro Inc.   1,037,903    84,330 
   Aptiv plc   1,200,940    73,942 
   Lear Corp.   584,899    71,861 
   Tyson Foods Inc. Class A   1,344,676    71,806 
   Newell Brands Inc.   3,828,707    71,176 
   Garmin Ltd.   1,118,374    70,815 
   BorgWarner Inc.   1,898,774    65,963 
   Bunge Ltd.   1,221,491    65,276 
   PVH Corp.   699,128    64,984 
   Whirlpool Corp.   581,503    62,145 
   PulteGroup Inc.   2,303,613    59,871 

*  Campbell Soup Co.   1,780,991    58,755 
   Hormel Foods Corp.   1,214,636    51,841 
   Ralph Lauren Corp. Class A   497,201    51,440 
   Harley-Davidson Inc.   1,483,956    50,632 
*  Michael Kors Holdings Ltd.   1,300,657    49,321 
   Jefferies Financial Group Inc.   2,502,629    43,446 
   Hanesbrands Inc.   3,287,480    41,192 
*  Mohawk Industries Inc.   270,484    31,636 
   Ingredion Inc.   322,171    29,446 
   Coty Inc. Class A   4,106,855    26,941 
   Keurig Dr Pepper Inc.   949,438    24,344 
   Goodyear Tire & Rubber Co.   1,061,683    21,669 
*  Elanco Animal Health Inc.   666,412    21,012 
   Lennar Corp. Class B   122,627    3,842 
            2,152,849 
Consumer Services (13.5%)          
   Royal Caribbean Cruises Ltd.   1,523,832    149,015 
   Darden Restaurants Inc.   1,131,259    112,967 
   Best Buy Co. Inc.   2,103,320    111,392 
   MGM Resorts International   4,324,969    104,924 
   Kohl’s Corp.   1,519,680    100,816 
   Advance Auto Parts Inc.   631,241    99,395 
*  AutoZone Inc.   116,491    97,659 
*  United Continental Holdings Inc.   1,056,124    88,429 
   Macy’s Inc.   2,800,412    83,396 
   Viacom Inc. Class B   3,209,421    82,482 
   Nielsen Holdings plc   3,238,142    75,546 
   Omnicom Group Inc.   1,021,530    74,817 
*  Qurate Retail Group Inc. QVC Group Class A   3,828,972    74,741 
   Interpublic Group of Cos. Inc.   3,502,790    72,263 

 

73

 

 

Mid-Cap Value Index Fund

 

          Market 
          Value 
      Shares   ($000) 
*  Discovery Communications Inc.   3,123,157    72,082 
*  Liberty Broadband Corp.   973,673    70,134 
   Alaska Air Group Inc.   1,123,662    68,375 
   Gap Inc.   2,629,466    67,735 
   Aramark   2,248,418    65,137 
   L Brands Inc.   2,130,727    54,696 
*  Liberty Media Corp- Liberty SiriusXM Class C   1,468,268    54,296 
   AmerisourceBergen Corp. Class A   724,281    53,886 
   Altice USA Inc. Class A   3,206,371    52,969 
   Nordstrom Inc.   1,077,468    50,221 
*  DISH Network Corp. Class A   1,984,741    49,559 
   News Corp. Class A   4,235,714    48,075 
   Tiffany & Co.   527,668    42,483 
*,^  Discovery Communications Inc. Class A   1,354,118    33,501 
*  Liberty Media Corp- Liberty SiriusXM Class A   750,835    27,631 
*  Liberty Broadband Corp. Class A   227,901    16,366 
   Wyndham Hotels & Resorts Inc.   227,175    10,307 
   News Corp. Class B   378,120    4,367 
   Viacom Inc. Class A   101,139    2,813 
            2,172,475 
Financials (23.9%)          
   M&T Bank Corp.   1,151,311    164,787 
   Hartford Financial Services Group Inc.   3,269,990    145,351 
   KeyCorp   9,430,178    139,378 
   Citizens Financial Group Inc.   4,265,291    126,807 
   Regions Financial Corp.   9,424,240    126,096 
   HCP Inc.   4,283,585    119,641 
   Annaly Capital Management Inc.   11,976,664    117,611 
   Huntington Bancshares Inc.   9,676,367    115,342 
   Principal Financial Group Inc.   2,580,110    113,963 
   Host Hotels & Resorts Inc.   6,764,330    112,761 
   Cincinnati Financial Corp.    1,409,078    109,091 
   Loews Corp.   2,291,237    104,297 
   Comerica Inc.   1,474,010    101,250 
   Lincoln National Corp.   1,947,162    99,909 
   UDR Inc.   2,511,990    99,525 
*  Arch Capital Group Ltd.   3,504,261    93,634 
   KKR & Co. Inc. Class A   4,582,688    89,958 
   Raymond James Financial Inc.   1,175,542    87,472 
   Nasdaq Inc.   1,046,246    85,342 
   Ally Financial Inc.   3,765,629    85,329 
   Duke Realty Corp.   3,265,463    84,575 
   AGNC Investment Corp.   4,811,236    84,389 
   Everest Re Group Ltd.   370,473    80,674 
   Reinsurance Group of America Inc. Class A   572,263    80,248 
   Alleghany Corp.   128,463    80,074 
   Fidelity National Financial Inc.   2,383,040    74,923 
   Camden Property Trust   848,765    74,734 
   Zions Bancorp NA   1,751,297    71,348 
   Western Union Co.   4,035,449    68,845 
   Torchmark Corp.   915,167    68,207 
   VEREIT Inc.   8,817,260    63,043 
   Invesco Ltd.   3,748,639    62,752 
   WR Berkley Corp.   834,810    61,701 
   Arthur J Gallagher & Co.   836,859    61,677 
   SL Green Realty Corp.   777,107    61,454 
   Unum Group   1,993,520    58,570 
   Voya Financial Inc.   1,417,380    56,894 
*  Athene Holding Ltd. Class A   1,427,205    56,846 
   Macerich Co.   1,285,425    55,633 
   Kimco Realty Corp.   3,648,261    53,447 
   Jones Lang LaSalle Inc.   415,256    52,571 
   People’s United Financial Inc.   3,438,948    49,624 
   Affiliated Managers Group Inc.   480,016    46,773 
   Franklin Resources Inc.   1,285,890    38,140 
   AXA Equitable Holdings Inc.   1,926,644    32,040 
   Lazard Ltd. Class A   591,276    21,824 
   CIT Group Inc.   481,109    18,412 
   New York Community Bancorp Inc.   415,838    3,913 
            3,860,875 
Health Care (4.7%)          
*  Laboratory Corp. of America Holdings   919,726    116,217 
*  Henry Schein Inc.   1,389,527    109,106 
*  Hologic Inc.   2,636,276    108,351 
   Quest Diagnostics Inc.   1,240,361    103,285 
   Universal Health Services Inc. Class B   777,161    90,586 
   Dentsply Sirona Inc.   2,028,769    75,490 
   Cardinal Health Inc.   1,360,594    60,682 
*  DaVita Inc.   1,134,614    58,387 
   Perrigo Co. plc   1,114,290    43,179 
            765,283 

 

74

 

 

 

Mid-Cap Value Index Fund

 

          Market 
          Value 
      Shares   ($000
Industrials (11.8%)          
   Willis Towers Watson plc   1,184,295    179,847 
   Ball Corp.   3,091,441    142,144 
   L3 Technologies Inc.   717,362    124,577 
   WW Grainger Inc.   436,365    123,212 
   Dover Corp.   1,333,998    94,647 
   Textron Inc.   1,993,310    91,672 
   Westrock Co.   2,339,953    88,357 
*  First Data Corp. Class A   4,885,345    82,611 
   Jacobs Engineering Group Inc.   1,296,499    75,793 
   Huntington Ingalls Industries Inc.   391,456    74,498 
   Arconic Inc.   3,963,544    66,825 
   Alliance Data Systems Corp.   421,967    63,329 
   Pentair plc   1,582,059    59,770 
*  Arrow Electronics Inc.   794,510    54,781 
   Xylem Inc.   818,900    54,637 
*  Keysight Technologies Inc.    850,290    52,786 
   CH Robinson Worldwide Inc.   626,561    52,688 
   Allison Transmission Holdings Inc.   1,181,441    51,877 
*  Crown Holdings Inc.   1,232,023    51,215 
   Sealed Air Corp.   1,430,097    49,825 
   Hubbell Inc. Class B   498,558    49,527 
   Owens Corning   996,248    43,815 
   Fluor Corp.   1,281,946    41,279 
*  United Rentals Inc.   369,557    37,891 
   Xerox Corp.   1,845,807    36,473 
   FLIR Systems Inc.   630,401    27,448 
   Flowserve Corp.   596,264    22,670 
   ManpowerGroup Inc.   281,726    18,256 
            1,912,450 
Oil & Gas (4.1%)          
   Marathon Oil Corp.   7,577,379    108,660 
   Hess Corp.   2,565,496    103,903 
   Devon Energy Corp.   4,054,549    91,390 
   National Oilwell Varco Inc.    3,494,628    89,812 
   HollyFrontier Corp.   1,579,562    80,747 
   OGE Energy Corp.   1,820,246    71,335 
   Baker Hughes a GE Co. Class A   2,339,359    50,296 
   Noble Energy Inc.   2,186,299    41,015 
*  Equitrans Midstream Corp.   926,888    18,556 
            655,714 

Technology (8.2%)        
   Motorola Solutions Inc.   1,490,516    171,469 
   NetApp Inc.   2,295,929    136,998 
   Maxim Integrated Products Inc.   2,525,454    128,419 
*  Synopsys Inc.   1,354,423    114,097 
   CDW Corp.   1,367,169    110,809 
   Symantec Corp.   5,532,570    104,538 
   Western Digital Corp.   2,506,385    92,661 
   Marvell Technology Group Ltd.   5,701,717    92,311 
   Seagate Technology plc   2,348,038    90,611 
   Juniper Networks Inc.   3,146,394    84,669 
*  Qorvo Inc.   1,138,324    69,130 
   KLA-Tencor Corp.   697,514    62,421 
*  Dell Technologies Inc.   1,228,994    60,061 
            1,318,194 
Telecommunications (0.8%)          
   CenturyLink Inc.   8,865,202    134,308 
              
Utilities (13.0%)          
   WEC Energy Group Inc.   2,875,878    199,183 
   Eversource Energy   2,888,388    187,861 
   DTE Energy Co.   1,658,177    182,897 
   FirstEnergy Corp.   4,661,652    175,045 
   American Water Works Co. Inc.   1,646,192    149,425 
   Ameren Corp.   2,224,389    145,097 
   Entergy Corp.   1,650,962    142,098 
   Evergy Inc.   2,401,391    136,327 
   CenterPoint Energy Inc.   4,568,356    128,965 
   CMS Energy Corp.   2,582,567    128,224 
*  Alliant Energy Corp.   2,151,272    90,891 
   AES Corp.   6,036,392    87,286 
   Pinnacle West Capital Corp.   1,021,695    87,048 
   NiSource Inc.   3,370,518    85,443 
*  Vistra Energy Corp.   3,677,840    84,186 
*  PG&E Corp.   2,363,526    56,134 
   Avangrid Inc.   563,183    28,210 
            2,094,320 
Total Common Stocks          
(Cost $15,907,668)        16,083,865 
Temporary Cash Investments (0.4%)1          
Money Market Fund (0.4%)          
2,3  Vanguard Market Liquidity Fund, 2.530%   608,663    60,866 

 

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Mid-Cap Value Index Fund

 

      Face   Market 
      Amount   Value 
      ($000)   ($000
U.S. Government and Agency Obligations (0.0%)
   United States Treasury Bill, 2.132%, 1/3/19   400    400 
4  United States Treasury Bill, 2.282%, 2/7/19   500    499 
4  United States Treasury Bill, 2.280%, 2/21/19   500    498 
4  United States Treasury Bill, 2.314%, 2/28/19   150    149 
4  United States Treasury Bill, 2.451%, 4/18/19   1,500    1,490 
4  United States Treasury Bill, 2.479%, 5/9/19   1,000    992 
            4,028 
Total Temporary Cash Investments          
(Cost $64,887)        64,894 
Total Investments (100.0%)          
(Cost $15,972,555)       16,148,759 

 

   Amount 
   ($000 
Other Assets and Liabilities (0.0%)     
Other Assets     
Investment in Vanguard   935 
Receivables for Investment Securities Sold   10,689 
Receivables for Accrued Income   30,626 
Receivables for Capital Shares Issued   215,432 
Variation Margin Receivable—Futures Contracts   643 
Other Assets4   1,134 
Total Other Assets   259,459 
Liabilities     
Payables for Investment Securities Purchased   (232,342)
Collateral for Securities on Loan   (6,958)
Payables for Capital Shares Redeemed   (22,553)
Payables to Vanguard   (3,195)
Variation Margin Payable—Futures Contracts   (40)
Total Liabilities   (265,088)
Net Assets (100%)   16,143,130 

 

At December 31, 2018, net assets consisted of:

 

   Amount 
   ($000 
Paid-in Capital   16,774,636 
Total Distributable Earnings (Loss)   (631,506)
Net Assets   16,143,130 
      
Investor Shares—Net Assets     
Applicable to 13,536,508 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   507,552 
Net Asset Value Per Share— Investor Shares  $37.50 
      
ETF Shares—Net Assets     
Applicable to 82,938,730 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   7,897,691 
Net Asset Value Per Share— ETF Shares  $95.22 
      
Admiral Shares—Net Assets     
Applicable to 156,859,800 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   7,737,887 
Net Asset Value Per Share— Admiral Shares  $49.33 

See Note A in Notes to Financial Statements.

*Non-income-producing security.

^Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $6,620,000.
1The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 0.0%, respectively, of net assets.

2Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.

3Includes $6,958,000 of collateral received for securities on loan.

4Securities with a value of $2,535,000 and cash of $1,033,000 have been segregated as initial margin for open futures contracts.

 

76

 

  

Mid-Cap Value Index Fund

 

 

Derivative Financial Instruments Outstanding as of Period End

 

 

Futures Contracts

        ($000)
        Value and
    Number of   Unrealized
    Long (Short) Notional Appreciation
  Expiration Contracts Amount (Depreciation)
Long Futures Contracts        
E-mini S&P 500 Index March 2019 359 44,968 (1,725)
E-mini S&P Mid-Cap 400 Index March 2019 115 19,115 (847)
        (2,572)

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

77

 

 

Mid-Cap Value Index Fund

 

Statement of Operations

  

   Year Ended 
   December 31, 2018 
   ($000)
Investment Income     
Income     
Dividends   443,193 
Interest1   805 
Securities Lending—Net   217 
Total Income   444,215 
Expenses     
The Vanguard Group—Note B     
Investment Advisory Services   2,706 
Management and Administrative—Investor Shares   956 
Management and Administrative—ETF Shares   4,020 
Management and Administrative—Admiral Shares   3,880 
Marketing and Distribution—Investor Shares   128 
Marketing and Distribution—ETF Shares   405 
Marketing and Distribution—Admiral Shares   642 
Custodian Fees   52 
Auditing Fees   38 
Shareholders’ Reports—Investor Shares   16 
Shareholders’ Reports—ETF Shares   350 
Shareholders’ Reports—Admiral Shares   115 
Trustees’ Fees and Expenses   12 
Total Expenses   13,320 
Expenses Paid Indirectly   (30)
Net Expenses   13,290 
Net Investment Income   430,925 
Realized Net Gain (Loss)     
Investment Securities Sold1,2   568,552 
Futures Contracts   (4,405)
Realized Net Gain (Loss)   564,147 
Change in Unrealized Appreciation (Depreciation)     
Investment Securities1   (3,288,001)
Futures Contracts   (2,726)
Change in Unrealized Appreciation (Depreciation)   (3,290,727)
Net Increase (Decrease) in Net Assets Resulting from Operations   (2,295,655)

1Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $754,000, $4,000, and $4,000, respectively. Purchases and sales are for temporary cash investment purposes.
2Includes $728,445,000 of net gain (loss) resulting from in-kind redemptions; such gain (loss) is not taxable to the fund.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

78

 

 

Mid-Cap Value Index Fund

 

Statement of Changes in Net Assets

  

   Year Ended December 31, 
   2018   2017 
   ($000)  ($000)
Increase (Decrease) in Net Assets          
Operations          
Net Investment Income   430,925    308,836 
Realized Net Gain (Loss)   564,147    336,923 
Change in Unrealized Appreciation (Depreciation)   (3,290,727)   1,761,535 
Net Increase (Decrease) in Net Assets Resulting from Operations   (2,295,655)   2,407,294 
Distributions          
Net Investment Income          
Investor Shares   (13,788)   (12,688)
ETF Shares   (213,583)   (151,423)
Admiral Shares   (203,207)   (143,932)
Realized Capital Gain          
Investor Shares        
ETF Shares        
Admiral Shares        
Total Distributions   (430,578)   (308,043)
Capital Share Transactions          
Investor Shares   (87,519)   (76,973)
ETF Shares   901,760    944,390 
Admiral Shares   884,275    1,206,333 
Net Increase (Decrease) from Capital Share Transactions   1,698,516    2,073,750 
Total Increase (Decrease)   (1,027,717)   4,173,001 
Net Assets          
Beginning of Period   17,170,847    12,997,846 
End of Period   16,143,130    17,170,847 

  

See accompanying Notes, which are an integral part of the Financial Statements.

 

79

 

 

Mid-Cap Value Index Fund

 

Financial Highlights

 

Investor Shares

 

For a Share Outstanding  Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $43.89   $38.24   $33.86   $35.19   $31.38 
Investment Operations                         
Net Investment Income   1.0011,2   .7711   .675    .658    .539 
Net Realized and Unrealized Gain (Loss) on Investments   (6.415)   5.646    4.396    (1.341)   3.804 
Total from Investment Operations   (5.414)   6.417    5.071    (.683)   4.343 
Distributions                         
Dividends from Net Investment Income   (.976)   (.767)   (.691)   (.647)   (.533
Distributions from Realized Capital Gains                    
Total Distributions   (.976)   (.767)   (.691)   (.647)   (.533)
Net Asset Value, End of Period  $37.50   $43.89   $38.24   $33.86   $35.19 
                          
Total Return3   -12.53%    16.91%    15.11%    -1.91%    13.84% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $508   $682   $666   $588   $628 
Ratio of Total Expenses to Average Net Assets   0.19%    0.19%    0.19%    0.20%    0.23% 
Ratio of Net Investment Income to Average Net Assets   2.29%2   1.92%    2.02%    2.01%    1.86% 
Portfolio Turnover Rate4   17%    17%    20%    20%    14% 

1Calculated based on average shares outstanding.

2Net investment income per share and the ratio of net investment income to average net assets include $.111 and 0.26%, respectively, resulting from a special dividend from Dr Pepper Snapple Group Inc. in July 2018.

3Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.

4Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

80

 

 

Mid-Cap Value Index Fund

 

Financial Highlights

 

ETF Shares

 

For a Share Outstanding  Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $111.47   $97.12   $85.99   $89.39   $79.73 
Investment Operations                         
Net Investment Income   2.6451,2   2.1161   1.822    1.785    1.504 
Net Realized and Unrealized Gain (Loss) on Investments   (16.278)   14.306    11.170    (3.427)   9.647 
Total from Investment Operations   (13.633)   16.422    12.992    (1.642)   11.151 
Distributions                         
Dividends from Net Investment Income   (2.617)   (2.072)   (1.862)   (1.758)   (1.491)
Distributions from Realized Capital Gains                    
Total Distributions   (2.617)   (2.072)   (1.862)   (1.758)   (1.491
Net Asset Value, End of Period  $95.22   $111.47   $97.12   $85.99   $89.39 
                          
Total Return   -12.41%    17.05%    15.26%    -1.80%    13.98% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $7,898   $8,355   $6,383   $4,351   $3,407 
Ratio of Total Expenses to Average Net Assets   0.07%    0.07%    0.07%    0.08%    0.09% 
Ratio of Net Investment Income to Average Net Assets   2.41%2   2.04%    2.14%    2.13%    2.00% 
Portfolio Turnover Rate3   17%    17%    20%    20%    14% 

1Calculated based on average shares outstanding.

2Net investment income per share and the ratio of net investment income to average net assets include $.282 and 0.26%, respectively, resulting from a special dividend from Dr Pepper Snapple Group Inc. in July 2018.

3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Financial Highlights

 

Admiral Shares

 

For a Share Outstanding  Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $57.74   $50.31   $44.54   $46.30   $41.30 
Investment Operations                         
Net Investment Income   1.3851,2   1.0961   .942    .924    .780 
Net Realized and Unrealized Gain (Loss) on Investments   (8.439)   7.407    5.791    (1.775)   4.994 
Total from Investment Operations   (7.054)   8.503    6.733    (.851)   5.774 
Distributions                         
Dividends from Net Investment Income   (1.356)   (1.073)   (.963)   (.909)   (.774)
Distributions from Realized Capital Gains                    
Total Distributions   (1.356)   (1.073)   (.963)   (.909)   (.774
Net Asset Value, End of Period  $49.33   $57.74   $50.31   $44.54   $46.30 
                          
Total Return3   -12.42%    17.04%    15.26%    -1.80%    13.98% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $7,738   $8,134   $5,949   $3,884   $2,896 
Ratio of Total Expenses to Average Net Assets   0.07%    0.07%    0.07%    0.08%    0.09% 
Ratio of Net Investment Income to Average Net Assets   2.41%2   2.04%    2.14%    2.13%    2.00% 
Portfolio Turnover Rate4   17%    17%    20%    20%    14% 

1Calculated based on average shares outstanding.

2Net investment income per share and the ratio of net investment income to average net assets include $.146 and 0.26%, respectively, resulting from a special dividend from Dr Pepper Snapple Group Inc. in July 2018.

3Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.

4Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Mid-Cap Value Index Fund

 

Notes to Financial Statements

 

Vanguard Mid-Cap Value Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers three classes of shares: Investor Shares, ETF Shares, and Admiral Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker.

 

On November 19, 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. It is anticipated that all of the outstanding Investor Shares will be automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors.

 

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.

 

1. 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 materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. 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.

 

2. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. 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 assets pledged as initial margin for open contracts are noted in the Statement of Net Assets.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

 

During the year ended December 31, 2018, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

 

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Mid-Cap Value Index Fund

 

3. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (December 31, 2015–2018), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

4. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes.

 

5. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

 

6. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

 

The fund had no borrowings outstanding at December 31, 2018, or at any time during the period then ended.

 

7. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

 

84

 

  

Mid-Cap Value Index Fund

 

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

 

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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets. All other costs of operations payable to Vanguard are generally settled twice a month.

 

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At December 31, 2018, the fund had contributed to Vanguard capital in the amount of $935,000, representing 0.01% of the fund’s net assets and 0.37% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

 

C. The fund’s custodian bank has agreed to reduce its fees when the fund maintains cash on deposit in the non-interest-bearing custody account. For the year ended December 31, 2018, custodian fee offset arrangements reduced the fund’s expenses by $30,000 (an annual rate of 0.00% of average net assets).

 

D. 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.

 

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 valued with significant unobservable inputs are noted on the Statement of Net Assets.

 

The following table summarizes the market value of the fund’s investments as of December 31, 2018, based on the inputs used to value them:

 

   Level 1   Level 2   Level 3 
Investments  ($000)  ($000)  ($000)
Common Stocks   16,083,865         
Temporary Cash Investments   60,866    4,028     
Futures Contracts—Assets1   643         
Futures Contracts—Liabilities1   (40)        
Total   16,145,334    4,028     

1Represents variation margin on the last day of the reporting period.

 

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Mid-Cap Value Index Fund

 

E. Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period end, permanent differences primarily attributable to the accounting for in-kind redemptions and the expiration of capital loss carryforwards were reclassified between the following accounts:

 

   Amount 
   ($000)
Paid-in Capital   724,408 
Total Distributable Earnings (Loss)   (724,408)

 

Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the tax deferral of losses on wash sales and the realization of unrealized gains or losses on certain futures contracts. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:

 

   Amount 
   ($000)
Undistributed Ordinary Income   2,268 
Undistributed Long-Term Gains    
Capital Loss Carryforwards (Non-expiring)   (807,369)
Net Unrealized Gains (Losses)   176,204 

 

As of December 31, 2018, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:

 

   Amount 
   ($000)
Tax Cost   15,972,555 
Gross Unrealized Appreciation   1,730,601 
Gross Unrealized Depreciation   (1,554,397)
Net Unrealized Appreciation (Depreciation)   176,204 

 

F. During the year ended December 31, 2018, the fund purchased $6,899,687,000 of investment securities and sold $5,097,299,000 of investment securities, other than temporary cash investments. Purchases and sales include $2,595,520,000 and $2,036,860,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

 

The fund purchased securities from and sold securities to other Vanguard funds or accounts managed by Vanguard or its affiliates, in accordance with procedures adopted by the board of trustees in compliance with Rule 17a-7 of the Investment Company Act of 1940. For the year ended December 31, 2018, such purchases and sales were $1,058,952,000 and $652,678,000, respectively; these amounts are included in the purchases and sales of investment securities noted above.

 

86

 

  

Mid-Cap Value Index Fund

 

G. Capital share transactions for each class of shares were:

 

   Year Ended December 31, 
   2018   2017 
   Amount   Shares   Amount   Shares 
   ($000)   (000)  ($000)   (000)
Investor Shares                    
Issued   129,028    2,954    221,539    5,483 
Issued in Lieu of Cash Distributions   13,124    316    12,172    294 
Redeemed   (229,671)   (5,279)   (310,684)   (7,643)
Net Increase (Decrease)—Investor Shares   (87,519)   (2,009)   (76,973)   (1,866)
ETF Shares                    
Issued   2,940,423    26,540    2,246,697    21,601 
Issued in Lieu of Cash Distributions                
Redeemed   (2,038,663)   (18,550)   (1,302,307)   (12,375)
Net Increase (Decrease)—ETF Shares   901,760    7,990    944,390    9,226 
Admiral Shares                    
Issued   2,549,096    45,288    2,653,657    49,594 
Issued in Lieu of Cash Distributions   182,037    3,336    129,099    2,365 
Redeemed   (1,846,858)   (32,623)   (1,576,423)   (29,360)
Net Increase (Decrease)—Admiral Shares   884,275    16,001    1,206,333    22,599 

 

H. Management has determined that no events or transactions occurred subsequent to December 31, 2018, that would require recognition or disclosure in these financial statements.

 

87

 

  

Report of Independent Registered Public Accounting Firm

 

To the Board of Trustees of Vanguard Index Funds and Shareholders of Vanguard Extended Market Index Fund, Vanguard Mid-Cap Index Fund, Vanguard Mid-Cap Growth Index Fund and Vanguard Mid-Cap Value Index Fund

 

Opinions on the Financial Statements

We have audited the accompanying statement of net assets—investments summary of Vanguard Extended Market Index Fund and the statements of net assets of Vanguard Mid-Cap Index Fund, Vanguard Mid-Cap Growth Index Fund and Vanguard Mid-Cap Value Index Fund (four of the funds constituting Vanguard Index Funds, hereafter collectively referred to as the “Funds”) as of December 31, 2018, the related statements of operations for the year ended December 31, 2018, the statements of changes in net assets for each of the two years in the period ended December 31, 2018, including the related notes, and the financial highlights for each of the periods indicated therein (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of each of the Funds as of December 31, 2018, the results of each of their operations for the year then ended, the changes in each of their net assets for each of the two years in the period ended December 31, 2018 and each of the financial highlights for each of the periods indicated therein in conformity with accounting principles generally accepted in the United States of America.

 

Basis for Opinions

These financial statements are the responsibility of the Funds’ management. Our responsibility is to express an opinion on the Funds’ financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Funds in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

 

We conducted our audits of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of December 31, 2018 by correspondence with the custodians and brokers and by agreement to the underlying ownership records of the transfer agent; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinions.

 

/s/PricewaterhouseCoopers LLP

Philadelphia, Pennsylvania

February 13, 2019

 

We have served as the auditor of one or more investment companies in The Vanguard Group of Funds since 1975.

 

88

 

 

 

 

Special 2018 tax information (unaudited) for Vanguard U.S. Stock Index Funds (Mid-Capitalization Portfolios)

 

This information for the fiscal year ended December 31, 2018, is included pursuant to provisions of the Internal Revenue Code.

 

The funds distributed qualified dividend income to shareholders during the fiscal year as follows:

 

Fund  ($000)
Extended Market Index Fund   679,033 
Mid-Cap Index Fund   1,384,349 
Mid-Cap Growth Index Fund   68,948 
Mid-Cap Value Index Fund   402,677 

 

For corporate shareholders, the percentage of investment income (dividend income plus short-term gains, if any) that qualifies for the dividends-received deduction is as follows:

 

Fund  Percentage 
Extended Market Index Fund   67.9% 
Mid-Cap Index Fund   81.9 
Mid-Cap Growth Index Fund   74.7 
Mid-Cap Value Index Fund   85.3 

 

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The People Who Govern Your Fund

 

The trustees of your mutual fund are there to see that the fund is operated and managed in your best interests since, as a shareholder, you are a part owner of the fund. Your fund’s trustees also serve on the board of directors of The Vanguard Group, Inc., which is owned by the Vanguard funds and provides services to them.

 

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 212 Vanguard funds.

 

Information for each trustee and executive officer of the fund appears below. The mailing address of the trustees and officers is P.O. Box 876, Valley Forge, PA 19482. More information about the trustees is in the Statement of Additional Information, which can be obtained, without charge, by contacting Vanguard at 800-662-7447, or online at vanguard.com.

 

Interested Trustees1

 

F. William McNabb III

Born in 1957. Trustee since July 2009. Principal occupation(s) during the past five years and other experience: chairman of the board (January 2010–present) of Vanguard and of each of the investment companies served by Vanguard, trustee (2009–present) of each of the investment companies served by Vanguard, and director (2008–present) of Vanguard. Chief executive officer and president (2008–2017) of Vanguard and each of the investment companies served by Vanguard, managing director (1995–2008) of Vanguard, and director (1997–2018) of Vanguard Marketing Corporation. Director (2018–present) of UnitedHealth Group.

 

Mortimer J. Buckley

Born in 1969. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: chief executive officer (January 2018–present) of Vanguard; chief executive officer, president, and trustee (January 2018–present) of each of the investment companies served by Vanguard; president and director (2017–present) of Vanguard; and president (February 2018–present) of Vanguard Marketing Corporation. Chief investment officer (2013–2017), managing director (2002–2017), head of the Retail Investor Group (2006–2012), and chief information officer (2001–2006) of Vanguard. Chairman of the board (2011–2017) of the Children’s Hospital of Philadelphia.

 

Independent Trustees

 

Emerson U. Fullwood

Born in 1948. Trustee since January 2008. Principal occupation(s) during the past five years and other experience: executive chief staff and marketing officer for North America and corporate vice president (retired 2008) of Xerox Corporation (document management products and services). Former president of the Worldwide Channels Group, Latin America, and Worldwide Customer Service and executive chief staff officer of Developing Markets of Xerox. Executive in residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology. Lead director of SPX FLOW, Inc. (multi-industry manufacturing). Director of the University of Rochester Medical Center, the Monroe Community College Foundation, the United Way of Rochester, North Carolina A&T University, and Roberts Wesleyan College. Trustee of the University of Rochester.

 

Amy Gutmann

Born in 1949. Trustee since June 2006. Principal occupation(s) during the past five years and other experience: president (2004–present) of the University of Pennsylvania. Christopher H. Browne Distinguished Professor of Political Science, School of Arts and Sciences, and professor of communication, Annenberg School for Communication, with secondary faculty appointments in the Department of Philosophy, School of Arts and Sciences, and at the Graduate School of Education, University of Pennsylvania. Trustee of the National Constitution Center.

 

1Mr. McNabb and Mr. Buckley are considered “interested persons,” as defined in the Investment Company Act of 1940, because they are officers of the Vanguard funds.

  

 

 

 

JoAnn Heffernan Heisen

Born in 1950. Trustee since July 1998. Principal occupation(s) during the past five years and other experience: corporate vice president of Johnson & Johnson (pharmaceuticals/medical devices/consumer products) and member of its executive committee (1997–2008). Chief global diversity officer (retired 2008), vice president and chief information officer (1997–2006), controller (1995–1997), treasurer (1991–1995), and assistant treasurer (1989–1991) of Johnson & Johnson. Director of Skytop Lodge Corporation (hotels) and the Robert Wood Johnson Foundation. Member of the advisory board of the Institute for Women’s Leadership at Rutgers University.

 

F. Joseph Loughrey

Born in 1949. Trustee since October 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2009) and vice chairman of the board (2008–2009) of Cummins Inc. (industrial machinery). Chairman of the board of Hillenbrand, Inc. (specialized consumer services), Oxfam America, and the Lumina Foundation for Education. Director of the V Foundation for Cancer Research. Member of the advisory council for the College of Arts and Letters and chair of the advisory board to the Kellogg Institute for International Studies, both at the University of Notre Dame.

 

Mark Loughridge

Born in 1953. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: senior vice president and chief financial officer (retired 2013) of IBM (information technology services). Fiduciary member of IBM’s Retirement Plan Committee (2004–2013), senior vice president and general manager (2002–2004) of IBM Global Financing, vice president and controller (1998–2002) of IBM, and a variety of other prior management roles at IBM. Member of the Council on Chicago Booth.

 

Scott C. Malpass

Born in 1962. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: chief investment officer (1989–present) and vice president (1996–present) of the University of Notre Dame. Assistant professor of finance at the Mendoza College of Business, University of Notre Dame, and member of the Notre Dame 403(b) Investment Committee. Chairman of the board of TIFF Advisory Services, Inc. Member of the board of Catholic Investment Services, Inc. (investment advisors), the board of advisors for Spruceview Capital Partners, and the board of superintendence of the Institute for the Works of Religion.

 

Deanna Mulligan

Born in 1963. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: president (2010–present) and chief executive officer (2011–present) of The Guardian Life Insurance Company of America. Chief operating officer (2010–2011) and executive vice president (2008–2010) of Individual Life and Disability of The Guardian Life Insurance Company of America. Member of the board of The Guardian Life Insurance Company of America, the American Council of Life Insurers, the Partnership for New York City (business leadership), and the Committee Encouraging Corporate Philanthropy. Trustee of the Economic Club of New York and the Bruce Museum (arts and science). Member of the Advisory Council for the Stanford Graduate School of Business.

 

André F. Perold

Born in 1952. Trustee since December 2004. Principal occupation(s) during the past five years and other experience: George Gund Professor of Finance and Banking, Emeritus at the Harvard Business School (retired 2011). Chief investment officer and co-managing partner of HighVista Strategies LLC (private investment firm). Overseer of the Museum of Fine Arts Boston.

 

Sarah Bloom Raskin

Born in 1961. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: deputy secretary (2014–2017) of the United States Department of the Treasury. Governor (2010–2014) of the Federal Reserve Board. Commissioner (2007–2010) of financial regulation for the State of Maryland. Member of the board of directors (2012–2014) of Neighborhood Reinvestment Corporation. Director of i(x) Investments, LLC.

 

Peter F. Volanakis

Born in 1955. Trustee since July 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2010) of Corning Incorporated (communications equipment) and director of Corning Incorporated (2000–2010) and Dow Corning (2001–2010). Director (2012) of SPX Corporation (multi-industry manufacturing). Overseer of the Amos Tuck School of Business Administration, Dartmouth College (2001–2013). Chairman of the board of trustees of Colby-Sawyer College. Member of the Board of Hypertherm Inc. (industrial cutting systems, software, and consumables).

 

 

 

 

Executive Officers

 

Glenn Booraem

Born in 1967. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Investment stewardship officer (2017–present), treasurer (2015–2017), controller (2010–2015), and assistant controller (2001–2010) of each of the investment companies served by Vanguard.

 

Christine M. Buchanan

Born in 1970. Principal occupation(s) during the past five years and other experience: principal of Vanguard and global head of Fund Administration at Vanguard. Treasurer (2017–present) of each of the investment companies served by Vanguard. Partner (2005–2017) at KPMG LLP (audit, tax, and advisory services).

 

Brian Dvorak

Born in 1973. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief compliance officer (2017–present) of Vanguard and each of the investment companies served by Vanguard. Assistant vice president (2017–present) of Vanguard Marketing Corporation. Vice president and director of Enterprise Risk Management (2011–2013) at Oppenheimer Funds, Inc.

 

Thomas J. Higgins

Born in 1957. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief financial officer (2008–present) and treasurer (1998–2008) of each of the investment companies served by Vanguard.

 

Peter Mahoney

Born in 1974. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Controller (2015–present) of each of the investment companies served by Vanguard. Head of International Fund Services (2008–2014) at Vanguard.

 

Anne E. Robinson

Born in 1970. Principal occupation(s) during the past five years and other experience: general counsel (2016–present) of Vanguard. Secretary (2016–present) of Vanguard and of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Director and senior vice president (2016–2018) of Vanguard Marketing Corporation. Managing director and general counsel of Global Cards and Consumer Services (2014–2016) at Citigroup. Counsel (2003–2014) at American Express.

 

Michael Rollings

Born in 1963. Principal occupation(s) during the past five years and other experience: finance director (2017–present) and treasurer (2017) of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Chief financial officer (2016–present) of Vanguard. Director (2016–present) of Vanguard Marketing Corporation. Executive vice president and chief financial officer (2006–2016) of MassMutual Financial Group.

 

Vanguard Senior Management Team

 

Joseph Brennan Chris D. McIsaac
Mortimer J. Buckley James M. Norris
Gregory Davis Thomas M. Rampulla
John James Karin A. Risi
Martha G. King Anne E. Robinson
John T. Marcante Michael Rollings

 

Chairman Emeritus and Senior Advisor

 

John J. Brennan

Chairman, 1996–2009

Chief Executive Officer and President, 1996–2008

 

Founder

 

John C. Bogle

Chairman and Chief Executive Officer, 1974–1996

 

 

 

 

   
   
  P.O. Box 2600
  Valley Forge, PA 19482-2600

 

Connect with Vanguard® > vanguard.com

 

Fund Information > 800-662-7447

 

Direct Investor Account Services > 800-662-2739

 

Institutional Investor Services > 800-523-1036

 

Text Telephone for People

Who Are Deaf or Hard of Hearing > 800-749-7273

 

This material may be used in conjunction with the offering of shares of any Vanguard fund only if preceded or accompanied by the fund’s current prospectus.

 

All comparative mutual fund data are from Lipper, a Thomson Reuters Company, or Morningstar, Inc., unless otherwise noted.

 

You can obtain a free copy of Vanguard’s proxy voting guidelines by visiting vanguard.com/proxyreporting or by calling Vanguard at 800-662-2739. The guidelines are also available from the SEC’s website, sec.gov. In addition, you may obtain a free report on how your fund voted the proxies for securities it owned during the 12 months ended June 30. To get the report, visit either vanguard.com/proxyreporting or sec.gov.

 

You can review information about your fund on the SEC’s website, and you can receive copies of this information, for a fee, by sending a request via email addressed to publicinfo@sec.gov.

 

The index is a product of S&P Dow Jones Indices LLC (“SPDJI”), and has been licensed for use by Vanguard. Standard & Poor’s® and S&P® are registered trademarks of Standard & Poor’s Financial Services LLC (“S&P”); Dow Jones® is a registered trademark of Dow Jones Trademark Holdings LLC (“Dow Jones”); S&P® and S&P 500® are trademarks of S&P; and these trademarks have been licensed for use by SPDJI and sublicensed for certain purposes by Vanguard. Vanguard product(s) are not sponsored, endorsed, sold or promoted by SPDJI, Dow Jones, S&P, or their respective affiliates and none of such parties make any representation regarding the advisability of investing in such product(s) nor do they have any liability for any errors, omissions, or interruptions of the index.

 

Source for Bloomberg Barclays indexes: Bloomberg Index Services Limited. Copyright 2019, Bloomberg. All rights reserved.

 

  © 2019 The Vanguard Group, Inc.
  All rights reserved.
  U.S. Patent Nos. 6,879,964; 7,337,138;
  7,720,749; 7,925,573; 8,090,646; 8,417,623; and 8,626,636.
  Vanguard Marketing Corporation, Distributor.
   
  Q980 022019

 

 

 

 

 

 

 

 

 

 

Annual Report | December 31, 2018

 
 
Vanguard U.S. Stock Index Funds

Large-Capitalization Portfolios

 

 

 

 

 

  

 

Vanguard Growth Index Fund

 
Vanguard Value Index Fund
 
Vanguard Large-Cap Index Fund
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
See the inside front cover for important information about access to your fund’s annual and semiannual shareholder reports.
 
 

 

 

 

 

Important information about access to shareholder reports

 

Beginning on January 1, 2021, as permitted by regulations adopted by the Securities and Exchange Commission, paper copies of your fund’s annual and semiannual shareholder reports will no longer be sent to you by mail, unless you specifically request them. Instead, you will be notified by mail each time a report is posted on the website and will be provided with a link to access the report.

 

If you have already elected to receive shareholder reports electronically, you will not be affected by this change and do not need to take any action. You may elect to receive shareholder reports and other communications from the fund electronically by contacting your financial intermediary (such as a broker-dealer or bank) or, if you invest directly with the fund, by calling Vanguard at one of the phone numbers on the back cover of this report or by logging on to vanguard.com.

 

You may elect to receive paper copies of all future shareholder reports free of charge. If you invest through a financial intermediary, you can contact the intermediary to request that you continue to receive paper copies. If you invest directly with the fund, you can call Vanguard at one of the phone numbers on the back cover of this report or log on to vanguard.com. Your election to receive paper copies will apply to all the funds you hold through an intermediary or directly with Vanguard.

 

Contents

 

A Note From Our CEO 1
   
Your Fund’s Performance at a Glance 2
   
About Your Fund’s Expenses 3
   
Growth Index Fund 5
   
Value Index Fund 25
   
Large-Cap Index Fund 46

 

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises or advice. Also, please keep in mind that the information and opinions cover the period through the date on the front of this report. Of course, the risks of investing in your fund are spelled out in the prospectus.

 

 

 

 

A Note From Our CEO

 

 

Tim Buckley

Chairman and Chief Executive Officer

 

Dear Shareholder,

 

Over the years, I’ve found that prudent investors exhibit a common trait: discipline. No matter how the markets move or what new investing fad hits the headlines, those who stay focused on their goals and tune out the noise are set up for long-term success.

 

The prime gateway to investing is saving, and you don’t usually become a saver without a healthy dose of discipline. Savers make the decision to sock away part of their income, which means spending less and delaying gratification, no matter how difficult that may be.

 

Of course, disciplined investing extends beyond diligent saving. The financial markets, in the short term especially, are unpredictable; I have yet to meet the investor who can time them perfectly. It takes discipline to resist the urge to go all-in when markets are frothy or to retreat when things look bleak. 

 

Staying put with your investments is one strategy for handling volatility. Another, rebalancing, requires even more discipline because it means steering your money away from strong performers and toward poorer performers.

 

Patience—a form of discipline—is also the friend of long-term investors. Higher returns are the potential reward for weathering the market’s turbulence and uncertainty.

 

It’s important to be prepared for that turbulence, whenever it appears. Don’t panic. Don’t chase returns or look for answers outside the asset classes you trust. And be sure to rebalance periodically, even when there’s turmoil.

 

Whether you’re a master of self-control, get a boost from technology, or work with a professional advisor, know that discipline is necessary to get the most out of your investment portfolio. And know that Vanguard is with you for the entire ride.

 

Thank you for your continued loyalty.

 

Sincerely,

 

 

Mortimer J. Buckley

Chairman and Chief Executive Officer

January 17, 2019

 

 1 

 

 

Your Fund’s Performance at a Glance

 

·    For the 12 months ended December 31, 2018, returns ranged from –3.46% for Vanguard Growth Index Fund to –5.55% for Vanguard Value Index Fund. Vanguard Large-Cap Index Fund, which contains both growth and value stocks, returned –4.59%. (All returns are for Investor Shares.) Each fund closely tracked its target index.

 

·    Growth stocks outperformed value stocks during the fiscal year, while large-capitalization stocks led mid- and small-caps.

 

·    Financial and industrial stocks detracted most from the Large-Cap Index and Value Index Funds’ results; consumer goods and technology were the Growth Index Fund’s main detractors. Health care was the top-performing sector for the Large-Cap Index and Value Index Funds, while consumer services contributed most to the Growth Index Fund’s returns.

 

·    Please note that in November, Vanguard lowered the investment minimum for the funds’ Admiral Shares from $10,000 to $3,000.

 

Market Barometer

 

  Average Annual Total Returns
  Periods Ended December 31, 2018
  One Year Three Years Five Years
Stocks      
Russell 1000 Index (Large-caps) -4.78% 9.09% 8.21%
Russell 2000 Index (Small-caps) -11.01    7.36    4.41   
Russell 3000 Index (Broad U.S. market) -5.24    8.97    7.91   
FTSE All-World ex US Index (International) -14.13    4.58    1.05   
       
Bonds      
Bloomberg Barclays U.S. Aggregate Bond Index      
(Broad taxable market) 0.01% 2.06% 2.52%
Bloomberg Barclays Municipal Bond Index      
(Broad tax-exempt market) 1.28    2.30    3.82   
FTSE Three-Month U.S. Treasury Bill Index 1.86    0.98    0.59   
       
CPI      
Consumer Price Index 1.91% 2.03% 1.51%

 

 2 

 

 

About Your Fund’s Expenses

 

As a shareholder of the fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund.

 

A fund’s expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing costs (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period.

 

The accompanying table illustrates your fund’s costs in two ways:

 

·     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.

 

To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund under the heading ”Expenses Paid During 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.

 

Note that the expenses shown in the table are meant to highlight and help you compare ongoing costs only and do not reflect transaction costs incurred by the fund for buying and selling securities. Further, the expenses do not include any purchase, redemption, or account service fees described in the fund prospectus. If such fees were applied to your account, your costs would be higher. Your fund does not carry a “sales load.”

 

The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions.

 

You can find more information about the fund’s expenses, including annual expense ratios, in the Financial Statements section of this report. For additional information on operating expenses and other shareholder costs, please refer to your fund’s current prospectus.

 

 3 

 

 

Six Months Ended December 31, 2018

 

  Beginning Ending Expenses
  Account Value Account Value Paid During
  6/30/2018 12/31/2018 Period
Based on Actual Fund Return      
Growth Index Fund      
Investor Shares $1,000.00 $901.52 $0.81
ETF Shares 1,000.00 902.20 0.14
Admiral™ Shares 1,000.00 902.10 0.24
Institutional Shares 1,000.00 902.14 0.19
Value Index Fund      
Investor Shares $1,000.00 $955.57 $0.84
ETF Shares 1,000.00 956.28 0.15
Admiral Shares 1,000.00 955.92 0.25
Institutional Shares 1,000.00 956.21 0.20
Large-Cap Index Fund      
Investor Shares $1,000.00 $929.36 $0.83
ETF Shares 1,000.00 930.23 0.15
Admiral Shares 1,000.00 929.93 0.24
Institutional Shares 1,000.00 930.07 0.19
Based on Hypothetical 5% Yearly Return      
Growth Index Fund      
Investor Shares $1,000.00 $1,024.35 $0.87
ETF Shares 1,000.00 1,025.05 0.15
Admiral Shares 1,000.00 1,024.95 0.26
Institutional Shares 1,000.00 1,025.00 0.20
Value Index Fund      
Investor Shares $1,000.00 $1,024.35 $0.87
ETF Shares 1,000.00 1,025.05 0.15
Admiral Shares 1,000.00 1,024.95 0.26
Institutional Shares 1,000.00 1,025.00 0.20
Large-Cap Index Fund      
Investor Shares $1,000.00 $1,024.35 $0.87
ETF Shares 1,000.00 1,025.05 0.15
Admiral Shares 1,000.00 1,024.95 0.26
Institutional Shares 1,000.00 1,025.00 0.20

The calculations are based on expenses incurred in the most recent six-month period. The funds’ annualized six-month expense ratios for that period are: for the Growth Index Fund, 0.17% for Investor Shares, 0.03% for ETF Shares, 0.05% for Admiral Shares, and 0.04% for Institutional Shares; for the Value Index Fund, 0.17% for Investor Shares, 0.03% for ETF Shares, 0.05% for Admiral Shares, and 0.04% for Institutional Shares; and for the Large-Cap Index Fund, 0.17% for Investor Shares, 0.03% for ETF Shares, 0.05% for Admiral Shares, and 0.04% for Institutional Shares. The dollar amounts shown as “Expenses Paid” are equal to the annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent six-month period, then divided by the number of days in the most recent 12-month period (184/365).

 

 4 

 

 

Growth Index Fund

 

Performance Summary

 

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

 

Cumulative Performance: December 31, 2008, Through December 31, 2018

Initial Investment of $10,000

 

 

    Average Annual Total Returns  
    Periods Ended December 31, 2018  
          Final Value
    One Five Ten of a $10,000
    Year Years Years Investment
Growth Index Fund Investor Shares -3.46% 8.86% 14.37% $38,294
Spliced Growth Index -3.34    9.05    14.59    39,042
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30    7.86    13.22    34,625

Spliced Growth Index: S&P 500 Growth Index (formerly known as the S&P 500/Barra Growth Index) through May 16, 2003; MSCI US Prime Market Growth Index through April 16, 2013; CRSP US Large Cap Growth Index thereafter.

 

        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Growth Index Fund ETF Shares Net Asset Value -3.32% 9.01% 14.53% $38,821
Spliced Growth Index -3.34    9.05    14.59    39,042
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30    7.86    13.22    34,625

 

See Financial Highlights for dividend and capital gains information.

 

 5 

 

 

Growth Index Fund

 

  Average Annual Total Returns  
  Periods Ended December 31, 2018  
        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Growth Index Fund Admiral Shares -3.34% 9.00% 14.52% $38,802
Spliced Growth Index -3.34    9.05    14.59    39,042
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30    7.86    13.22    34,625

 

        Final Value
  One Five Ten of a $5,000,000
  Year Years Years Investment
Growth Index Fund Institutional Shares -3.33% 9.01% 14.54% $19,439,716
Spliced Growth Index -3.34    9.05    14.59    19,521,111
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30    7.86    13.22    17,312,429

 

Cumulative Returns of ETF Shares: December 31, 2008, Through December 31, 2018

 

  One Five Ten
  Year Years Years
Growth Index Fund ETF Shares Market Price -3.35% 53.88% 287.60%
Growth Index Fund ETF Shares Net Asset Value -3.32    53.93    288.21   
Spliced Growth Index -3.34    54.21    290.42   

For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market price was above or below the NAV.

 

 6 

 

 

Growth Index Fund

 

Sector Diversification

As of December 31, 2018

 

Basic Materials 1.7%
Consumer Goods 6.2   
Consumer Services 20.6   
Financials 12.7   
Health Care 11.6   
Industrials 14.1   
Oil & Gas 2.9   
Technology 30.0   
Telecommunications 0.2   

The table reflects the fund’s equity exposure, based on its investments in stocks and stock index futures. Any holdings in short-term reserves are excluded. Sector categories are based on the Industry Classification Benchmark (“ICB”), except for the “Other” category (if applicable), which includes securities that have not been provided an ICB classification as of the effective reporting period.

 

 7 

 

 

Growth Index Fund

 

Financial Statements

 

Statement of Net Assets

As of December 31, 2018

 

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the lists appear in the fund’s semiannual and annual reports to shareholders. For the first and third fiscal quarters, the fund files the lists with the Securities and Exchange Commission on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website at sec.gov.

 

          Market 
          Value 
      Shares   ($000)
Common Stocks (99.8%)1          
Basic Materials (1.7%)          
   Linde plc   3,833,683    598,208 
   Ecolab Inc.   1,806,463    266,182 
   International Flavors & Fragrances Inc.   745,327    100,075 
   CF Industries Holdings Inc.   1,604,852    69,827 
   FMC Corp.   936,376    69,254 
   Albemarle Corp.   738,542    56,919 
*  Axalta Coating Systems Ltd.   1,494,048    34,991 
   Steel Dynamics Inc.   758,173    22,776 
            1,218,232 
Consumer Goods (6.2%)          
   Philip Morris International Inc.   10,814,049    721,946 
   NIKE Inc. Class B   8,856,444    656,617 
   Colgate-Palmolive Co.   6,027,830    358,776 
   Altria Group Inc.   6,529,155    322,475 
*,^  Tesla Inc.   895,022    297,863 
   Activision Blizzard Inc.   5,036,297    234,540 
   Estee Lauder Cos. Inc. Class A   1,527,487    198,726 
   Constellation Brands Inc. Class A   1,038,513    167,014 
*  Electronic Arts Inc.   2,098,280    165,575 
*  Monster Beverage Corp.   2,877,408    141,626 
   McCormick & Co. Inc.   845,271    117,696 
   Church & Dwight Co. Inc.   1,709,124    112,392 
   Hershey Co.   983,622    105,425 
   Brown-Forman Corp. Class B   2,057,443    97,893 
   Kraft Heinz Co.   2,119,250    91,213 
*  Lululemon Athletica Inc.   724,567    88,115 
*  Take-Two Interactive Software Inc.   791,807    81,509 
   Lamb Weston Holdings Inc.   1,018,555    74,925 
   Clorox Co.   443,774    68,403 
*  NVR Inc.   23,790    57,976 
*  LKQ Corp.   2,102,096    49,883 
   DR Horton Inc.   1,242,826    43,076 
   Lennar Corp. Class A   1,019,592    39,917 
   Hormel Foods Corp.   926,814    39,556 
*  WABCO Holdings Inc.   362,793    38,942 
   Fortune Brands Home & Security Inc.   983,269    37,354 
   Polaris Industries Inc.   408,148    31,297 
*  Mohawk Industries Inc.   206,278    24,126 
*,^  Under Armour Inc. Class A   1,305,986    23,077 
*  Under Armour Inc.   1,336,131    21,605 
*  Wayfair Inc.   204,121    18,387 
   Lennar Corp. Class B   49,494    1,551 
   Newell Brands Inc.   369    7 
            4,529,483 
Consumer Services (20.6%)          
*  Amazon.com Inc.   2,889,729    4,340,286 
   Home Depot Inc.   7,855,928    1,349,806 
   Walt Disney Co.   9,835,974    1,078,515 
   Comcast Corp. Class A   31,571,481    1,075,009 
   McDonald’s Corp.   5,361,187    951,986 
*  Netflix Inc.   2,881,127    771,162 
   Costco Wholesale Corp.   3,049,150    621,142 
*  Booking Holdings Inc.   322,312    555,157 
   Starbucks Corp.   8,200,154    528,090 
   Lowe’s Cos. Inc.   5,342,473    493,431 
   TJX Cos. Inc.   8,170,032    365,527 
*  Charter          
   Communications Inc. Class A   1,113,564    317,332 
   Ross Stores Inc.   2,593,627    215,790 
   Yum! Brands Inc.   2,169,388    199,410 
   Dollar General Corp.   1,844,423    199,345 
   Marriott International Inc. Class A   1,777,134    192,926 
*  O’Reilly Automotive Inc.   556,434    191,597 
   Southwest Airlines Co.   3,514,688    163,363 

 

 8 

 

 

Growth Index Fund

 

          Market 
          Value 
      Shares   ($000)
*  Dollar Tree Inc.   1,651,793    149,190 
*  AutoZone Inc.   177,474    148,784 
   Hilton Worldwide Holdings Inc.   2,059,241    147,854 
*  Ulta Beauty Inc.   394,825    96,669 
   Expedia Group Inc.   804,877    90,669 
*  Chipotle Mexican Grill Inc. Class A   193,242    83,440 
   Domino’s Pizza Inc.   289,215    71,722 
   Tractor Supply Co.   848,804    70,824 
*  Copart Inc.   1,464,508    69,974 
   Wynn Resorts Ltd.   642,686    63,568 
   Royal Caribbean Cruises Ltd.   581,179    56,834 
   FactSet Research Systems Inc.   264,481    52,931 
*,^  Sirius XM Holdings Inc.   7,721,374    44,089 
   MGM Resorts International   1,649,677    40,021 
*  CarMax Inc.   607,131    38,085 
   Rollins Inc.   1,024,173    36,973 
*  Norwegian Cruise Line Holdings Ltd.   764,644    32,413 
   Tiffany & Co.   402,587    32,412 
   Vail Resorts Inc.   140,591    29,639 
*  GrubHub Inc.   315,310    24,219 
*  Live Nation Entertainment Inc.   473,705    23,330 
*  TripAdvisor Inc.   369,005    19,904 
   Hyatt Hotels Corp. Class A   282,537    19,100 
*,^  Carvana Co. Class A   121,380    3,970 
            15,056,488 
Financials (12.7%)          
   Visa Inc. Class A   12,238,836    1,614,792 
   Mastercard Inc. Class A   6,389,888    1,205,452 
   American Tower Corp.   3,067,207    485,201 
   Simon Property Group Inc.   2,149,552    361,103 
   Charles Schwab Corp.   8,446,469    350,782 
   Crown Castle International Corp.   2,882,856    313,165 
   Intercontinental Exchange Inc.   3,958,002    298,156 
   S&P Global Inc.   1,743,442    296,280 
   Marsh & McLennan Cos. Inc.   3,500,102    279,133 
   Prologis Inc.   4,374,117    256,848 
   Aon plc   1,673,388    243,244 
   Public Storage   1,029,600    208,401 
   Equinix Inc.   558,462    196,891 
   AvalonBay Communities Inc.   960,017    167,091 
   Moody’s Corp.   1,131,057    158,393 
   Digital Realty Trust Inc.    1,432,556    152,639 
   BlackRock Inc.    383,756    150,747 
   T. Rowe Price Group Inc.   1,587,212    146,531 
   Realty Income Corp.    2,048,978    129,168 
*  SBA Communications Corp. Class A    792,104    128,234 
   Boston Properties Inc.    1,072,187    120,675 
*  IHS Markit Ltd.    2,462,472    118,125 
   Essex Property Trust Inc.   458,593    112,452 
*  First Republic Bank    1,142,459    99,280 
*  Markel Corp.    92,270    95,781 
   TD Ameritrade Holding Corp.    1,955,252    95,729 
   Arthur J Gallagher & Co.    1,277,039    94,118 
   Welltower Inc.    1,306,047    90,653 
*  CBRE Group Inc. Class A    2,251,792    90,162 
   Alexandria Real Estate Equities Inc.    747,683    86,163 
   MSCI Inc. Class A    581,544    85,737 
   Equifax Inc.    843,896    78,592 
   E*TRADE Financial Corp.   1,767,882    77,575 
   Cboe Global Markets Inc.   780,228    76,330 
   UDR Inc.    1,916,040    75,913 
   Mid-America Apartment Communities Inc.    791,556    75,752 
   Extra Space Storage Inc.   835,720    75,616 
   Vornado Realty Trust    1,190,887    73,871 
*  SVB Financial Group    370,288    70,325 
   Regency Centers Corp.    1,119,323    65,682 
   Iron Mountain Inc.    1,990,244    64,504 
   Federal Realty Investment Trust    513,646    60,631 
   SEI Investments Co.    973,467    44,974 
*  Black Knight Inc.    986,920    44,471 
   Invitation Homes Inc.    1,990,962    39,978 
   Comerica Inc.    562,191    38,617 
   Raymond James Financial Inc.    448,397    33,365 
   Camden Property Trust    323,830    28,513 
   Interactive Brokers Group Inc.    496,204    27,117 
            9,282,952 
Health Care (11.5%)          
   AbbVie Inc.   10,460,543    964,357 
   Medtronic plc    9,365,035    851,844 
   Thermo Fisher Scientific Inc.    2,801,041    626,845 
   Bristol-Myers Squibb Co.   11,355,330    590,250 
*  Biogen Inc.    1,402,060    421,908 
   Becton Dickinson and Co.    1,864,323    420,069 
*  Intuitive Surgical Inc.    793,561    380,052 

 

 9 

 

 

Growth Index Fund

 

             Market  
             Value  
      Shares    ($000 )
*  Boston Scientific Corp.   9,616,466    339,846 
   Stryker Corp.   2,080,318    326,090 
*  Celgene Corp.   4,859,100    311,420 
*  Illumina Inc.   1,034,768    310,358 
*  Vertex Pharmaceuticals Inc.   1,775,827    294,272 
   Zoetis Inc.   3,338,420    285,568 
*  Edwards Lifesciences Corp.   1,452,295    222,448 
*  Regeneron Pharmaceuticals Inc.   553,885    206,876 
*  Centene Corp.   1,355,439    156,282 
*  Alexion Pharmaceuticals Inc.   1,471,683    143,283 
*  IQVIA Holdings Inc.   1,182,073    137,321 
   Baxter International Inc.   1,766,804    116,291 
   ResMed Inc.   996,474    113,469 
*  IDEXX Laboratories Inc.   598,573    111,347 
*  Align Technology Inc.   527,357    110,444 
*  BioMarin Pharmaceutical Inc.   1,235,730    105,222 
*  ABIOMED Inc.   297,548    96,715 
   Cooper Cos. Inc.   341,720    86,968 
*  Henry Schein Inc.   1,060,015    83,232 
   Teleflex Inc.   319,765    82,653 
*  WellCare Health Plans Inc.   347,682    82,084 
*  Incyte Corp.   1,257,861    79,987 
*  Varian Medical Systems Inc.   633,595    71,793 
*  Jazz Pharmaceuticals plc   398,467    49,394 
*  Alnylam Pharmaceuticals Inc.   632,279    46,099 
*  Laboratory Corp. of America Holdings   350,693    44,314 
*  Seattle Genetics Inc.   723,837    41,013 
*  Nektar Therapeutics Class A   1,203,565    39,561 
*  DexCom Inc.   308,879    37,004 
   Universal Health Services Inc. Class B   296,439    34,553 
*  Alkermes plc   1,080,505    31,886 
            8,453,118 
Industrials (14.1%)          
   Boeing Co.   3,750,995    1,209,696 
   3M Co.   4,050,768    771,833 
   Union Pacific Corp.   5,124,833    708,406 
*  PayPal Holdings Inc.   7,784,079    654,563 
   Accenture plc Class A   4,441,078    626,236 
   United Parcel Service Inc. Class B   4,837,341    471,786 
   Lockheed Martin Corp.   1,682,372    440,512 
   Automatic Data Processing Inc.   2,890,096    378,949 
   Fidelity National Information Services Inc.   2,274,894    233,290 
   Sherwin-Williams Co.   585,429    230,343 
   Danaher Corp.   2,190,862    225,922 
*  Fiserv Inc.   2,767,945    203,416 
   Roper Technologies Inc.   718,463    191,485 
   Amphenol Corp. Class A   2,092,800    169,559 
*  Worldpay Inc. Class A   2,096,207    160,213 
   Agilent Technologies Inc.   2,208,097    148,958 
   Paychex Inc.   2,244,090    146,202 
   Fortive Corp.   2,087,029    141,208 
   Waste Connections Inc.   1,829,528    135,842 
   FedEx Corp.   823,318    132,826 
   Illinois Tool Works Inc.   1,036,694    131,339 
   Rockwell Automation Inc.   837,884    126,085 
*  Verisk Analytics Inc. Class A   1,087,447    118,575 
*  FleetCor Technologies Inc.   615,460    114,303 
*  Square Inc.   2,037,273    114,271 
   Global Payments Inc.   1,100,146    113,458 
*  TransDigm Group Inc.   330,114    112,259 
   AMETEK Inc.   1,614,015    109,269 
   Fastenal Co.   2,006,602    104,925 
   Cintas Corp.   594,613    99,889 
*  Mettler-Toledo International Inc.   173,788    98,291 
*  Waters Corp.   500,374    94,396 
   Total System Services Inc.   1,141,735    92,812 
   Vulcan Materials Co.   916,054    90,506 
*  CoStar Group Inc.   253,272    85,439 
   Xylem Inc.   1,249,635    83,376 
   Expeditors International of Washington Inc.   1,200,109    81,715 
   CH Robinson Worldwide Inc.   956,166    80,404 
   Broadridge Financial Solutions Inc.   811,814    78,137 
   Martin Marietta Materials Inc.   436,074    74,948 
   TransUnion   1,288,485    73,186 
   Kansas City Southern   707,146    67,497 
   Old Dominion Freight Line Inc.   511,577    63,175 
   Masco Corp.   2,117,309    61,910 
*  Trimble Inc.   1,746,374    57,473 
   Snap-on Inc.   390,641    56,756 
   JB Hunt Transport Services Inc.   607,347    56,508 

 

 10 

 

 

Growth Index Fund

 

             Market  
             Value  
      Shares    ($000 )
   Packaging Corp. of America   657,106    54,842 
*  Sensata Technologies Holding plc   1,141,379    51,179 
*  XPO Logistics Inc.   882,781    50,354 
   Robert Half International Inc.   802,447    45,900 
   Wabtec Corp.   604,659    42,477 
*  Keysight Technologies Inc.   648,775    40,276 
   Jack Henry & Associates Inc.   268,740    34,001 
*  United Rentals Inc.   281,992    28,913 
   Huntington Ingalls Industries Inc.   149,312    28,416 
*  IPG Photonics Corp.   241,366    27,344 
   Cognex Corp.   568,752    21,994 
   AO Smith Corp.   500,263    21,361 
   FLIR Systems Inc.   481,023    20,944 
   Hubbell Inc. Class B   190,164    18,891 
   Owens Corning   380,048    16,715 
            10,325,754 
Oil & Gas (2.8%)          
   EOG Resources Inc.   4,028,828    351,354 
   Occidental Petroleum Corp.   5,245,996    321,999 
   Schlumberger Ltd.   4,814,040    173,691 
   Pioneer Natural Resources Co.   1,183,698    155,680 
   ONEOK Inc.   2,856,690    154,118 
   Anadarko Petroleum Corp.   3,501,894    153,523 
*  Concho Resources Inc.   1,390,486    142,928 
   Diamondback Energy Inc.   1,146,586    106,289 
*  Cheniere Energy Inc.   1,607,688    95,159 
   Halliburton Co.   2,893,650    76,913 
   Apache Corp.   2,639,169    69,278 
   Cabot Oil & Gas Corp.   2,998,293    67,012 
   Noble Energy Inc.   3,336,313    62,589 
   Targa Resources Corp.   1,594,306    57,427 
   Cimarex Energy Co.   664,925    40,993 
*  Continental Resources Inc.   653,656    26,271 
   Helmerich & Payne Inc.   360,208    17,268 
            2,072,492 
Technology (30.0%)          
   Apple Inc.   29,694,420    4,683,998 
   Microsoft Corp.   26,868,648    2,729,049 
*  Facebook Inc. Class A   16,704,544    2,189,799 
*  Alphabet Inc. Class A   2,078,120    2,171,552 
*  Alphabet Inc. Class C   2,066,850    2,140,450 
*  Adobe Inc.   3,395,254    768,142 
   Broadcom Inc.   2,732,069    694,710 
*  salesforce.com Inc.   5,055,844    692,499 
   Texas Instruments Inc.   6,683,899    631,628 
   NVIDIA Corp.   4,031,798    538,245 
   Intuit Inc.   1,713,257    337,255 
   Cognizant Technology Solutions Corp. Class A   4,023,246    255,396 
*  Micron Technology Inc.   7,880,472    250,047 
   Applied Materials Inc.   6,828,748    223,573 
*  ServiceNow Inc.   1,245,333    221,732 
   Analog Devices Inc.   2,570,650    220,639 
*  Red Hat Inc.   1,226,431    215,410 
*  Autodesk Inc.   1,518,440    195,287 
*  Workday Inc. Class A   1,034,739    165,227 
   Xilinx Inc.   1,757,120    149,654 
   Lam Research Corp.   1,077,540    146,729 
*  Twitter Inc.   4,756,776    136,710 
*  Advanced Micro Devices Inc.   6,602,133    121,875 
^  Microchip Technology Inc.   1,641,627    118,066 
*  Palo Alto Networks Inc.   621,921    117,139 
*  Cerner Corp.   2,172,543    113,928 
*  VeriSign Inc.   755,156    111,982 
   Harris Corp.   818,178    110,168 
*  Splunk Inc.   1,019,622    106,907 
*  IAC/InterActiveCorp   540,465    98,927 
   Maxim Integrated Products Inc.   1,926,553    97,965 
   KLA-Tencor Corp.   1,064,422    95,255 
   Citrix Systems Inc.   890,274    91,217 
*  Cadence Design Systems Inc.   1,961,970    85,306 
*  ANSYS Inc.   581,097    83,062 
   Skyworks Solutions Inc.   1,234,535    82,738 
*  Arista Networks Inc.   367,160    77,361 
*  Gartner Inc.   599,960    76,699 
*  Veeva Systems Inc. Class A   847,248    75,676 
   VMware Inc. Class A   529,254    72,577 
*  GoDaddy Inc. Class A   1,104,694    72,490 
*  Fortinet Inc.   1,007,128    70,932 
   SS&C Technologies Holdings Inc.   1,567,032    70,689 
*  F5 Networks Inc.   421,549    68,304 
*  Akamai Technologies Inc.   1,075,854    65,713 
   CDK Global Inc.   895,483    42,876 
*,^  Snap Inc.   4,073,898    22,447 
*  Dropbox Inc. Class A   1,051,354    21,479 
^  Match Group Inc.   356,927    15,266 
            21,944,775 

 

 11 

 

 

Growth Index Fund

 

             Market  
             Value  
      Shares    ($000 )
Telecommunications (0.2%)          
*  T-Mobile US Inc.   2,061,527    131,134 
*  Zayo Group Holdings Inc.   1,398,261    31,936 
            163,070 
Total Common Stocks
(Cost $47,993,928)
        73,046,364 
Temporary Cash Investments (0.5%)1          
Money Market Fund (0.5%)          
2,3  Vanguard Market Liquidity Fund, 2.530%   3,382,475    338,248 

 

        Face       
      Amount       
      ($000      
U.S. Government and Agency Obligations (0.0%)
   United States Treasury Bill, 2.132%, 1/3/19   181    181 
   United States Treasury Bill, 2.122%, 1/10/19   1,000    999 
4  United States Treasury Bill, 2.280%, 2/7/19   9,000    8,979 
4  United States Treasury Bill, 2.313%, 2/28/19   200    199 
4  United States Treasury Bill, 2.398%, 4/4/19   6,000    5,963 
            16,321 
Total Temporary Cash Investments
(Cost $354,560)
        354,569 
Total Investments (100.3%)
(Cost $48,348,488)
        73,400,933 

 

   Amount  
   ($000 )
Other Assets and Liabilities (-0.3%)     
Other Assets     
Investment in Vanguard   4,182 
Receivables for Investment Securities Sold   11,593 
Receivables for Accrued Income   72,887 
Receivables for Capital Shares Issued   56,752 
Variation Margin Receivable—Futures Contracts   750 
Other Assets   16,705 
Total Other Assets   162,869 
Liabilities     
Payables for Investment Securities Purchased   (45,344)
Collateral for Securities on Loan   (262,074)
Payables for Capital Shares Redeemed   (80,398)
Payables to Vanguard   (23,770)
Other Liabilities   (287)
Total Liabilities   (411,873)
Net Assets (100%)   73,151,929 

 

At December 31, 2018, net assets consisted of:

 

   Amount  
   ($000)  
Paid-in Capital   50,197,822 
Total Distributable Earnings (Loss)   22,954,107 
Net Assets   73,151,929 
      
Investor Shares—Net Assets     
Applicable to 38,414,214 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   2,654,412 
Net Asset Value Per Share—Investor Shares   $69.10 

 

ETF Shares—Net Assets   
Applicable to 242,067,001 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   32,488,785 
Net Asset Value Per Share—ETF Shares   $134.21 

 

 12 

 

 

Growth Index Fund

 

   Amount  
   ($000 )
Admiral Shares—Net Assets     
Applicable to 370,686,784 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   25,609,076 
Net Asset Value Per Share—Admiral Shares   $69.09 
      
Institutional Shares—Net Assets     
Applicable to 179,473,662 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   12,399,656 
Net Asset Value Per Share—Institutional Shares   $69.09 

See Note A in Notes to Financial Statements.
*Non-income-producing security.
^Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $253,779,000.
1The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 0.3%, respectively, of net assets.
2Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
3Includes $262,074,000 of collateral received for securities on loan.
4Securities with a value of $5,275,000 have been segregated as initial margin for open futures contracts.

 

Derivative Financial Instruments Outstanding as of Period End

 

Futures Contracts         
                   ($000 )
              Value and  
        Number of         Unrealized  
        Long (Short)      Notional      Appreciation  
     Expiration      Contracts      Amount      (Depreciation)  
Long Futures Contracts                    
E-mini S&P 500 Index   March 2019    877    109,853    (3,554)

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 13 

 

 

Growth Index Fund

 

Statement of Operations

 

     Year Ended  
     December 31, 2018  
     ($000 )
Investment Income     
Income     
Dividends   987,742 
Interest1   3,056 
Securities Lending—Net   5,217 
Total Income   996,015 
Expenses     
The Vanguard Group—Note B     
Investment Advisory Services   4,919 
Management and Administrative—Investor Shares   4,642 
Management and Administrative—ETF Shares   9,492 
Management and Administrative—Admiral Shares   10,095 
Management and Administrative—Institutional Shares   4,133 
Marketing and Distribution—Investor Shares   501 
Marketing and Distribution—ETF Shares   1,393 
Marketing and Distribution—Admiral Shares   1,801 
Marketing and Distribution—Institutional Shares   288 
Custodian Fees   383 
Auditing Fees   36 
Shareholders’ Reports—Investor Shares   57 
Shareholders’ Reports—ETF Shares   792 
Shareholders’ Reports—Admiral Shares   218 
Shareholders’ Reports—Institutional Shares   86 
Trustees’ Fees and Expenses   52 
Total Expenses   38,888 
Net Investment Income   957,127 
Realized Net Gain (Loss)     
Investment Securities Sold1,2   1,242,657 
Futures Contracts   (25,768)
Realized Net Gain (Loss)   1,216,889 
Change in Unrealized Appreciation (Depreciation)     
Investment Securities1   (4,794,656)
Futures Contracts   (4,375)
Change in Unrealized Appreciation (Depreciation)   (4,799,031)
Net Increase (Decrease) in Net Assets Resulting from Operations   (2,625,015)

1Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $2,849,000, $17,000, and ($1,000), respectively. Purchases and sales are for temporary cash investment purposes.
2Includes $2,159,414,000 of net gain (loss) resulting from in-kind redemptions; such gain (loss) is not taxable to the fund.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 14 

 

 

Growth Index Fund

 

Statement of Changes in Net Assets

 

   Year Ended December 31,  
   2018      2017  
   ($000 )  ($000 )
Increase (Decrease) in Net Assets          
Operations          
Net Investment Income   957,127    817,270 
Realized Net Gain (Loss)   1,216,889    2,678,539 
Change in Unrealized Appreciation (Depreciation)   (4,799,031)   11,974,496 
Net Increase (Decrease) in Net Assets Resulting from Operations   (2,625,015)   15,470,305 
Distributions          
Net Investment Income          
Investor Shares   (32,936)   (36,010)
ETF Shares   (417,816)   (350,060)
Admiral Shares   (332,866)   (286,472)
Institutional Shares   (162,179)   (144,292)
Realized Capital Gain          
Investor Shares        
ETF Shares        
Admiral Shares        
Institutional Shares        
Total Distributions   (945,797)   (816,834)
Capital Share Transactions          
Investor Shares   (455,638)   (467,007)
ETF Shares   2,670,446    2,142,821 
Admiral Shares   859,859    2,282,546 
Institutional Shares   531,420    176,388 
Net Increase (Decrease) from Capital Share Transactions   3,606,087    4,134,748 
Total Increase (Decrease)   35,275    18,788,219 
Net Assets          
Beginning of Period   73,116,654    54,328,435 
End of Period   73,151,929    73,116,654 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 15 

 

 

Growth Index Fund

 

Financial Highlights

 

Investor Shares

 

For a Share Outstanding     Year Ended December 31,  
Throughout Each Period 2018 2017 2016 2015 2014  
Net Asset Value, Beginning of Period $72.36 $57.32 $54.78 $53.71 $47.87  
Investment Operations            
Net Investment Income .8231 .7501 .720 .652 .579  
Net Realized and Unrealized Gain (Loss) on Investments (3.271) 15.037 2.548 1.054 5.837  
Total from Investment Operations (2.448) 15.787 3.268 1.706 6.416  
Distributions            
Dividends from Net Investment Income (.812) (.747) (.728) (.636) (.576)  
Distributions from Realized Capital Gains  
Total Distributions (.812) (.747) (.728) (.636) (.576)  
Net Asset Value, End of Period $69.10 $72.36 $57.32 $54.78 $53.71  
             
Total Return2 -3.46% 27.65% 5.99% 3.17% 13.47%  
             
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $2,654 $3,210 $2,938 $3,038 $3,270  
Ratio of Total Expenses to Average Net Assets 0.17% 0.17% 0.18% 0.22% 0.23%  
Ratio of Net Investment Income to Average Net Assets 1.08% 1.15% 1.31% 1.20% 1.17%  
Portfolio Turnover Rate3 11% 8% 11% 9% 9%  

1Calculated based on average shares outstanding.

2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.

3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 16 

 

 

Growth Index Fund

 

Financial Highlights

 

ETF Shares

 

For a Share Outstanding Year Ended December 31,  
Throughout Each Period 2018 2017 2016 2015 2014  
Net Asset Value, Beginning of Period $140.55 $111.33 $106.40 $104.33 $92.99  
Investment Operations            
Net Investment Income 1.8071 1.6261 1.528 1.420 1.268  
Net Realized and Unrealized Gain (Loss) on Investments (6.373) 29.200 4.949 2.038 11.332  
Total from Investment Operations (4.566) 30.826 6.477 3.458 12.600  
Distributions            
Dividends from Net Investment Income (1.774) (1.606) (1.547) (1.388) (1.260)  
Distributions from Realized Capital Gains  
Total Distributions (1.774) (1.606) (1.547) (1.388) (1.260)  
Net Asset Value, End of Period $134.21 $140.55 $111.33 $106.40 $104.33  
             
Total Return -3.32% 27.80% 6.13% 3.32% 13.62%  
             
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $32,489 $31,399 $23,040 $20,706 $17,340  
Ratio of Total Expenses to Average Net Assets 0.04% 0.05% 0.06% 0.08% 0.09%  
Ratio of Net Investment Income to Average Net Assets 1.21% 1.27% 1.43% 1.34% 1.31%  
Portfolio Turnover Rate2 11% 8% 11% 9% 9%  

1Calculated based on average shares outstanding.

2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 17 

 

 

Growth Index Fund

 

Financial Highlights

 

Admiral Shares

 

For a Share Outstanding Year Ended December 31,  
Throughout Each Period 2018 2017 2016 2015 2014  
Net Asset Value, Beginning of Period $72.35 $57.31 $54.77 $53.71 $47.87  
Investment Operations            
Net Investment Income .9211 .8361 .786 .731 .653  
Net Realized and Unrealized Gain (Loss) on Investments (3.274) 15.032 2.550 1.044 5.836  
Total from Investment Operations (2.353) 15.868 3.336 1.775 6.489  
Distributions            
Dividends from Net Investment Income (.907) (.828) (.796) (.715) (.649)  
Distributions from Realized Capital Gains  
Total Distributions (.907) (.828) (.796) (.715) (.649)  
Net Asset Value, End of Period $69.09 $72.35 $57.31 $54.77 $53.71  
             
Total Return2 -3.34% 27.80% 6.12% 3.30% 13.63%  
             
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $25,609 $26,013 $18,617 $16,777 $14,907  
Ratio of Total Expenses to Average Net Assets 0.05% 0.05% 0.06% 0.08% 0.09%  
Ratio of Net Investment Income to Average Net Assets 1.20% 1.27% 1.43% 1.34% 1.31%  
Portfolio Turnover Rate3 11% 8% 11% 9% 9%  

1Calculated based on average shares outstanding.

2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.

3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 18 

 

 

Growth Index Fund

 

Financial Highlights

 

Institutional Shares

 

For a Share Outstanding Year Ended December 31,  
Throughout Each Period 2018 2017 2016 2015 2014  
Net Asset Value, Beginning of Period $72.35 $57.31 $54.77 $53.70 $47.87  
Investment Operations            
Net Investment Income .9281 .8411 .792 .737 .657  
Net Realized and Unrealized Gain (Loss) on Investments (3.274) 15.032 2.549 1.053 5.826  
Total from Investment Operations (2.346) 15.873 3.341 1.790 6.483  
Distributions            
Dividends from Net Investment Income (.914) (.833) (.801) (.720) (.653)  
Distributions from Realized Capital Gains  
Total Distributions (.914) (.833) (.801) (.720) (.653)  
Net Asset Value, End of Period $69.09 $72.35 $57.31 $54.77 $53.70  
             
Total Return -3.33% 27.81% 6.13% 3.33% 13.62%  
             
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $12,400 $12,495 $9,733 $9,380 $9,545  
Ratio of Total Expenses to Average Net Assets 0.04% 0.04% 0.05% 0.07% 0.08%  
Ratio of Net Investment Income to Average Net Assets 1.21% 1.28% 1.44% 1.35% 1.32%  
Portfolio Turnover Rate2 11% 8% 11% 9% 9%  

1Calculated based on average shares outstanding.

2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 19 

 

 

Growth Index Fund

 

Notes to Financial Statements

 

Vanguard Growth Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers four classes of shares: Investor Shares, ETF Shares, Admiral Shares, and Institutional Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker.

 

On November 19, 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. It is anticipated that all of the outstanding Investor Shares will be automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors.

 

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.

 

1. 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 materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. 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.

 

2. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. 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 assets pledged as initial margin for open contracts are noted in the Statement of Net Assets.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

 

 20 

 

 

Growth Index Fund

 

During the year ended December 31, 2018, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

 

3. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (December 31, 2015–2018), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

4. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes.

 

5. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

 

6. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

 

The fund had no borrowings outstanding at December 31, 2018, or at any time during the period then ended.

 

7. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest

 

 21 

 

 

Growth Index Fund

 

income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

 

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

 

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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets. All other costs of operations payable to Vanguard are generally settled twice a month.

 

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At December 31, 2018, the fund had contributed to Vanguard capital in the amount of $4,182,000, representing 0.01% of the fund’s net assets and 1.67% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

 

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.

 

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 valued with significant unobservable inputs are noted on the Statement of Net Assets.

 

The following table summarizes the market value of the fund’s investments as of December 31, 2018, based on the inputs used to value them:

 

     Level 1      Level 2      Level 3  
Investments    ($000     ($000     ($000
Common Stocks   73,046,364         
Temporary Cash Investments   338,248    16,321     
Futures Contracts—Assets1   750         
Total   73,385,362    16,321     

1 Represents variation margin on the last day of the reporting period.

 

 22 

 

 

Growth Index Fund

 

D. Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period end, permanent differences primarily attributable to the accounting for in-kind redemptions were reclassified between the following accounts:

 

     Amount  
     ($000
Paid-in Capital   2,159,414 
Total Distributable Earnings (Loss)   (2,159,414)

 

Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the tax deferral of losses on wash sales and the realization of unrealized gains or losses on certain futures contracts. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:

 

     Amount  
     ($000
Undistributed Ordinary Income   9,564 
Undistributed Long-Term Gains    
Capital Loss Carryforwards (Non-expiring)   (2,085,398)
Net Unrealized Gains (Losses)   25,052,445 

 

As of December 31, 2018, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:

 

   Amount  
   ($000 )
Tax Cost   48,348,488 
Gross Unrealized Appreciation   27,072,506 
Gross Unrealized Depreciation   (2,020,061)
Net Unrealized Appreciation (Depreciation)   25,052,445 

 

E. During the year ended December 31, 2018, the fund purchased $16,963,989,000 of investment securities and sold $13,301,145,000 of investment securities, other than temporary cash investments. Purchases and sales include $6,981,739,000 and $4,776,557,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

 

The fund purchased securities from and sold securities to other Vanguard funds or accounts managed by Vanguard or its affiliates, in accordance with procedures adopted by the board of trustees in compliance with Rule 17a-7 of the Investment Company Act of 1940. For the year ended December 31, 2018, such purchases and sales were $1,089,404,000 and $3,316,490,000, respectively; these amounts are included in the purchases and sales of investment securities noted above.

 

 23 

 

 

Growth Index Fund

 

F. Capital share transactions for each class of shares were:

 

         Year Ended December 31,  
             2018              2017  
     Amount      Shares      Amount      Shares  
     ($000 )    (000 )    ($000 )    (000 )
Investor Shares                    
Issued   510,573    6,648    574,900    8,773 
Issued in Lieu of Cash Distributions   30,493    408    33,555    500 
Redeemed   (996,704)   (12,998)   (1,075,462)   (16,179)
Net Increase (Decrease)—Investor Shares   (455,638)   (5,942)   (467,007)   (6,906)
ETF Shares                    
Issued   7,468,161    50,640    7,231,868    55,920 
Issued in Lieu of Cash Distributions                
Redeemed   (4,797,715)   (31,975)   (5,089,047)   (39,475)
Net Increase (Decrease)—ETF Shares   2,670,446    18,665    2,142,821    16,445 
Admiral Shares                    
Issued   5,564,506    72,793    5,551,319    84,396 
Issued in Lieu of Cash Distributions   296,361    3,965    254,602    3,779 
Redeemed   (5,001,008)   (65,632)   (3,523,375)   (53,477)
Net Increase (Decrease)—Admiral Shares   859,859    11,126    2,282,546    34,698 
Institutional Shares                    
Issued   2,470,757    32,349    2,399,897    36,639 
Issued in Lieu of Cash Distributions   150,845    2,018    135,176    2,010 
Redeemed   (2,090,182)   (27,597)   (2,358,685)   (35,775)
Net Increase (Decrease)—Institutional Shares   531,420    6,770    176,388    2,874 

 

G. Management has determined that no events or transactions occurred subsequent to December 31, 2018, that would require recognition or disclosure in these financial statements.

 

 24 

 

 

Value Index Fund

 

Performance Summary

 

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

 

Cumulative Performance: December 31, 2008, Through December 31, 2018

Initial Investment of $10,000

 

 

 

     Average Annual Total Returns     
     Periods Ended December 31, 2018     
                Final Value
     One  Five  Ten    of a $10,000
     Year  Years  Years    Investment
Value Index Fund Investor Shares   -5.55%   7.62%   11.77%  $30,435
Spliced Value Index   -5.40    7.80    11.96    30,954
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.22    34,625

 

Spliced Value Index: S&P 500 Value Index (formerly known as the S&P 500/Barra Value Index) through May 16, 2003; MSCI US Prime Market Value Index through April 16, 2013; CRSP US Large Cap Value Index thereafter.

 

              Final Value
   One  Five  Ten    of a $10,000
   Year  Years  Years    Investment
Value Index Fund ETF Shares Net Asset Value   -5.39%   7.76%   11.93%  $30,864
Spliced Value Index   -5.40    7.80    11.96    30,954
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.22    34,625

 

See Financial Highlights for dividend and capital gains information.

 

 25 

 

 

Value Index Fund

 

   Average Annual Total Returns     
   Periods Ended December 31, 2018     
              Final Value
   One  Five  Ten    of a $10,000
   Year  Years  Years    Investment
Value Index Fund Admiral Shares   -5.43%   7.75%   11.92%  $30,845
Spliced Value Index   -5.40    7.80    11.96    30,954
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.22    34,625

 

              Final Value
   One  Five  Ten    of a $5,000,000
   Year  Years  Years    Investment
Value Index Fund Institutional Shares   -5.42%   7.76%   11.95%  $15,453,618
Spliced Value Index   -5.40    7.80    11.96    15,477,195
Dow Jones U.S. Total Stock Market Float Adjusted Index   -5.30    7.86    13.22    17,312,429

 

Cumulative Returns of ETF Shares: December 31, 2008, Through December 31, 2018

 

   One  Five  Ten
   Year  Years  Years
Value Index Fund ETF Shares Market Price   -5.45%   45.24%   208.20%
Value Index Fund ETF Shares Net Asset Value   -5.39    45.30    208.64 
Spliced Value Index   -5.40    45.55    209.54 

For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market price was above or below the NAV.

 

 26 

 

 

Value Index Fund

 

Sector Diversification

As of December 31, 2018

 

Basic Materials   2.9%
Consumer Goods   10.0 
Consumer Services   7.4 
Financials   23.5 
Health Care   16.6 
Industrials   10.0 
Oil & Gas   7.5 
Technology   11.7 
Telecommunications   4.1 
Utilities   6.3 

The table reflects the fund’s equity exposure, based on its investments in stocks and stock index futures. Any holdings in short-term reserves are excluded. Sector categories are based on the Industry Classification Benchmark (“ICB”), except for the “Other” category (if applicable), which includes securities that have not been provided an ICB classification as of the effective reporting period.

 

 27 

 

  

Value Index Fund

 

Financial Statements

 

Statement of Net Assets

As of December 31, 2018

 

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the lists appear in the fund’s semiannual and annual reports to shareholders. For the first and third fiscal quarters, the fund files the lists with the Securities and Exchange Commission on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website at sec.gov.

 

              Market  
              Value  
        Shares     ($000
Common Stocks (99.8%)1                
Basic Materials (2.9%)                
    DowDuPont Inc.     14,171,553       757,895  
    Air Products & Chemicals Inc.     1,355,906       217,013  
    LyondellBasell Industries NV Class A     1,895,796       157,654  
    PPG Industries Inc.     1,481,597       151,464  
    Newmont Mining Corp.     3,290,295       114,009  
    International Paper Co.     2,502,539       101,002  
    Nucor Corp.     1,939,797       100,501  
    Freeport-McMoRan Inc.     8,511,899       87,758  
    Celanese Corp. Class A     826,704       74,378  
    Mosaic Co.     2,146,218       62,691  
    Eastman Chemical Co.     778,739       56,934  
    Avery Dennison Corp.     535,958       48,145  
    Reliance Steel & Aluminum Co.     412,190       29,335  
    Westlake Chemical Corp.     237,844       15,738  
*   Alcoa Corp.     573,057       15,232  
                  1,989,749  
Consumer Goods (9.9%)                
    Procter & Gamble Co.     15,389,910       1,414,640  
    Coca-Cola Co.     23,663,020       1,120,444  
    PepsiCo Inc.     8,719,309       963,309  
    Mondelez International Inc. Class A     8,980,491       359,489  
    Altria Group Inc.     5,803,573       286,638  
    General Motors Co.     7,845,304       262,425  
    Kimberly-Clark Corp.     2,139,218       243,742  
    Ford Motor Co.     24,128,155       184,580  
    General Mills Inc.     3,682,857       143,410  
    Archer-Daniels-Midland Co.     3,463,068       141,882  
    VF Corp.     1,961,042       139,901  
    Aptiv plc     1,628,425       100,262  
    Kellogg Co.     1,715,588       97,806  
    Tyson Foods Inc. Class A     1,822,926       97,344  
    Genuine Parts Co.     860,769       82,651  
    Kraft Heinz Co.     1,880,763       80,948  
    Conagra Brands Inc.     2,998,036       64,038  
    JM Smucker Co.     666,434       62,305  
    Molson Coors Brewing Co. Class B     1,088,185       61,112  
    Clorox Co.     393,797       60,700  
    Tapestry Inc.     1,792,442       60,495  
    Hasbro Inc.     704,092       57,207  
    Lear Corp.     396,710       48,740  
    Newell Brands Inc.     2,596,535       48,270  
    Garmin Ltd.     758,228       48,011  
    BorgWarner Inc.     1,285,841       44,670  
    Bunge Ltd.     828,942       44,299  
    PVH Corp.     474,049       44,063  
    Whirlpool Corp.     394,731       42,185  
    PulteGroup Inc.     1,564,012       40,649  
^,*   Campbell Soup Co.     1,207,546       39,837  
    DR Horton Inc.     1,103,569       38,250  
    Lennar Corp. Class A     926,202       36,261  
    Hormel Foods Corp.     824,858       35,205  
    Ralph Lauren Corp. Class A     337,761       34,945  
    Harley-Davidson Inc.     1,008,194       34,400  
  Michael Kors Holdings Ltd.     883,622       33,507  
    Keurig Dr Pepper Inc.     1,287,670       33,016  
    Jefferies Financial Group Inc.     1,698,083       29,479  
    Hanesbrands Inc.     2,228,317       27,921  
*   Mohawk Industries Inc.     183,750       21,491  
    Ingredion Inc.     218,139       19,938  
    Coty Inc. Class A     2,770,192       18,172  
    Goodyear Tire & Rubber Co.     717,704       14,648  
*   Elanco Animal Health Inc.     450,102       14,192  
    Lennar Corp. Class B     14,996       470  
    Lamb Weston Holdings Inc.     1,519       112  
                  6,878,059  

 

 28 

 

  

Value Index Fund

 

              Market  
              Value  
        Shares     ($000
Consumer Services (7.4%)                
    Walmart Inc.     9,045,546       842,593  
    CVS Health Corp.     7,987,816       523,362  
    Walgreens Boots Alliance Inc.     4,971,497       339,702  
    Twenty-First Century Fox Inc. Class A     6,515,246       313,514  
    Target Corp.     3,222,917       213,003  
    Sysco Corp.     3,050,273       191,130  
    Delta Air Lines Inc.     3,812,670       190,252  
*   eBay Inc.     5,649,788       158,590  
    Twenty-First Century Fox Inc.     2,972,658       142,034  
    Kroger Co.     4,925,636       135,455  
    McKesson Corp.     1,206,911       133,327  
    Las Vegas Sands Corp.     2,420,065       125,964  
    Carnival Corp.     2,440,785       120,331  
  United Continental Holdings Inc.     1,431,645       119,872  
    Omnicom Group Inc.     1,383,895       101,356  
    CBS Corp. Class B     2,093,772       91,540  
    American Airlines Group Inc.     2,557,667       82,127  
    Darden Restaurants Inc.     765,787       76,471  
    Best Buy Co. Inc.     1,423,847       75,407  
    AmerisourceBergen Corp. Class A     981,024       72,988  
    Kohl’s Corp.     1,029,527       68,299  
    Advance Auto Parts Inc.     427,363       67,293  
    Viacom Inc. Class B     2,247,287       57,755  
    Macy’s Inc.     1,894,626       56,422  
    Nielsen Holdings plc     2,196,616       51,247  
  Qurate Retail Group Inc. QVC Group Class A     2,596,312       50,680  
    Royal Caribbean Cruises Ltd.     517,083       50,566  
    Interpublic Group of Cos. Inc.     2,378,574       49,070  
  Discovery Communications Inc.     2,105,158       48,587  
*   Liberty Broadband Corp.     652,449       46,996  
    Alaska Air Group Inc.     760,393       46,270  
    Gap Inc.     1,783,470       45,942  
    Aramark     1,523,134       44,125  
    L Brands Inc.     1,446,667       37,136  
  Liberty Media Corp-Liberty SiriusXM Class C     995,326       36,807  
    Altice USA Inc. Class A     2,177,874       35,978  
    MGM Resorts International     1,468,667       35,630  
    News Corp. Class A     3,114,395       35,348  
    Nordstrom Inc.     731,956       34,116  
*   CarMax Inc.     540,403       33,899  
  DISH Network Corp. Class A     1,346,821       33,630  
  Norwegian Cruise Line Holdings Ltd.     679,742       28,814  
    Tiffany & Co.     356,475       28,700  
^,*    Discovery Communications Inc. Class A     925,139       22,888  
  Liberty Media Corp-Liberty SiriusXM Class A     508,634       18,718  
    Wyndham Hotels & Resorts Inc.     304,592       13,819  
  Liberty Broadband Corp. Class A     160,668       11,538  
    CBS Corp. Class A     33,581       1,472  
    News Corp. Class B     18,801       217  
    Viacom Inc. Class A     5,457       152  
                  5,141,132  
Financials (23.5%)                
  Berkshire Hathaway Inc. Class B     12,030,256       2,456,338  
    JPMorgan Chase & Co.     20,541,328       2,005,244  
    Bank of America Corp.     54,560,838       1,344,379  
    Wells Fargo & Co.     26,169,293       1,205,881  
    Citigroup Inc.     15,085,229       785,337  
    CME Group Inc.     2,209,764       415,701  
    US Bancorp     8,984,295       410,582  
    American Express Co.     4,221,176       402,362  
    Chubb Ltd.     2,704,151       349,322  
    Goldman Sachs Group Inc.     2,067,852       345,435  
    Morgan Stanley     7,968,618       315,956  
    PNC Financial Services Group Inc.     2,565,187       299,896  
    Bank of New York Mellon Corp.     5,496,631       258,726  
    Capital One Financial Corp.     2,925,542       221,142  
    Progressive Corp.     3,602,043       217,311  
    American International Group Inc.     5,464,388       215,352  
    Aflac Inc.     4,702,324       214,238  
    Prudential Financial Inc.     2,551,143       208,046  
    BB&T Corp.     4,759,782       206,194  
    Travelers Cos. Inc.     1,635,620       195,865  
    MetLife Inc.     4,571,776       187,717  
    Allstate Corp.     2,127,592       175,803  
    Equity Residential     2,276,002       150,239  
    State Street Corp.     2,227,007       140,457  
    SunTrust Banks Inc.     2,774,993       139,971  
    BlackRock Inc.     340,914       133,918  
    Ventas Inc.     2,201,893       129,009  

 

 29 

 

  

Value Index Fund

 

          Market 
          Value 
      Shares   ($000
   Discover Financial Services   2,074,646    122,363 
   M&T Bank Corp.   780,320    111,687 
   Northern Trust Corp.   1,298,855    108,571 
   Weyerhaeuser Co.   4,631,311    101,240 
   Hartford Financial Services Group Inc.   2,216,607    98,528 
   Fifth Third Bancorp   4,051,890    95,341 
   KeyCorp   6,394,447    94,510 
   Synchrony Financial   3,998,184    93,797 
   Ameriprise Financial Inc.   860,581    89,819 
   Citizens Financial Group Inc.   2,892,928    86,007 
   Regions Financial Corp.   6,378,987    85,351 
   HCP Inc.   2,902,336    81,062 
   Welltower Inc.   1,161,460    80,617 
   Annaly Capital Management Inc.   8,105,503    79,596 
   Huntington Bancshares Inc.   6,551,263    78,091 
   Principal Financial Group Inc.   1,746,451    77,141 
   Host Hotels & Resorts Inc.   4,579,076    76,333 
   Cincinnati Financial Corp.   954,873    73,926 
   Loews Corp.   1,552,624    70,675 
   Lincoln National Corp.   1,318,241    67,639 
*  Arch Capital Group Ltd.   2,374,979    63,459 
   KKR & Co. Inc. Class A   3,104,851    60,948 
   Nasdaq Inc.   709,038    57,836 
   Ally Financial Inc.   2,550,591    57,796 
   Duke Realty Corp.   2,213,316    57,325 
   AGNC Investment Corp.   3,261,362    57,204 
   Everest Re Group Ltd.   251,152    54,691 
   Reinsurance Group of America Inc. Class A   387,760    54,376 
   Alleghany Corp.   87,034    54,250 
   Franklin Resources Inc.   1,744,195    51,733 
   Fidelity National Financial Inc.   1,615,665    50,797 
   Zions Bancorp NA   1,188,005    48,399 
   Western Union Co.   2,738,316    46,716 
   Torchmark Corp.   620,179    46,222 
   VEREIT Inc.   5,980,541    42,761 
   Invesco Ltd.   2,543,141    42,572 
   WR Berkley Corp.   566,280    41,854 
   SL Green Realty Corp.   526,512    41,637 
   Unum Group   1,353,365    39,762 
   Voya Financial Inc.   960,076    38,537 
*  Athene Holding Ltd. Class A   965,286    38,447 
   Macerich Co.   871,361    37,712 
   Kimco Realty Corp.   2,472,535    36,223 
   Jones Lang LaSalle Inc.   281,649    35,657 
   Comerica Inc.   497,890    34,200 
   People’s United Financial Inc.   2,330,826    33,634 
   Affiliated Managers Group Inc.   326,135    31,779 
   Raymond James Financial Inc.   399,019    29,691 
   Camden Property Trust   286,699    25,244 
   AXA Equitable Holdings Inc.   1,307,282    21,740 
   Lazard Ltd. Class A   400,596    14,786 
   CIT Group Inc.   326,600    12,499 
*  Berkshire Hathaway Inc. Class A   14    4,284 
   Brookfield Property Partners LP   8,971    145 
   New York Community Bancorp Inc.   4,744    45 
*  Brighthouse Financial Inc.    1,261    38 
            16,267,714 
Health Care (16.6%)          
   Johnson & Johnson   16,566,708    2,137,934 
   Pfizer Inc.   35,706,201    1,558,576 
   UnitedHealth Group Inc.   5,942,628    1,480,427 
   Merck & Co. Inc.   16,062,518    1,227,337 
   Abbott Laboratories   10,849,127    784,717 
   Amgen Inc.   3,936,082    766,237 
   Eli Lilly & Co.   5,889,031    681,479 
   Gilead Sciences Inc.   7,990,710    499,819 
*  Cigna Corp.   2,352,102    446,711 
   Anthem Inc.   1,597,725    419,611 
   Allergan plc   2,083,442    278,473 
   Humana Inc.   847,434    242,773 
   HCA Healthcare Inc.   1,700,699    211,652 
   Zimmer Biomet Holdings Inc.   1,260,070    130,694 
   Baxter International Inc.   1,561,711    102,792 
*  Mylan NV   3,029,106    82,997 
   Cardinal Health Inc.   1,840,446    82,084 
*  Hologic Inc.   1,784,930    73,361 
   Quest Diagnostics Inc.   839,874    69,936 
   Dentsply Sirona Inc.   1,373,500    51,108 
*  DaVita Inc.   770,190    39,634 
*  Laboratory Corp. of America Holdings   311,112    39,312 
   Universal Health Services Inc. Class B   264,015    30,774 
   Perrigo Co. plc   757,786    29,364 
            11,467,802 

 

 30 

 

  

Value Index Fund

 

          Market 
          Value 
      Shares   ($000
Industrials (9.9%)          
   Honeywell International Inc.   4,572,838    604,163 
   United Technologies Corp.   5,062,245    539,028 
   Caterpillar Inc.   3,645,110    463,184 
   General Electric Co.   53,728,605    406,726 
   CSX Corp.   4,955,176    307,865 
   Deere & Co.   1,986,946    296,393 
   Raytheon Co.   1,757,810    269,560 
   Northrop Grumman Corp.   1,072,462    262,646 
*  Norfolk Southern Corp.   1,682,318    251,574 
   General Dynamics Corp.   1,554,935    244,451 
   Waste Management Inc.   2,633,623    234,366 
   Emerson Electric Co.   3,867,567    231,087 
   Danaher Corp.   1,948,129    200,891 
   Eaton Corp. plc   2,676,946    183,799 
   Johnson Controls International plc   5,707,673    169,233 
   TE Connectivity Ltd.   2,119,040    160,263 
   Ingersoll-Rand plc   1,517,366    138,429 
   Cummins Inc.   942,126    125,906 
   PACCAR Inc.   2,158,791    123,353 
   Parker-Hannifin Corp.   817,488    121,920 
   Willis Towers Watson plc   802,576    121,879 
   FedEx Corp.   732,566    118,185 
   Illinois Tool Works Inc.   922,291    116,845 
   Stanley Black & Decker Inc.   933,070    111,726 
   Ball Corp.   2,096,246    96,385 
   Republic Services Inc. Class A   1,303,142    93,944 
   L3 Technologies Inc.   485,490    84,310 
   WW Grainger Inc.   295,883    83,546 
   Dover Corp.   903,313    64,090 
   Textron Inc.   1,350,015    62,087 
   Westrock Co.   1,583,227    59,783 
*  First Data Corp. Class A   3,309,006    55,955 
   Jacobs Engineering Group Inc.   880,017    51,446 
   Arconic Inc.   2,689,013    45,337 
   Alliance Data Systems Corp.   286,260    42,962 
   Pentair plc   1,073,595    40,560 
*  Arrow Electronics Inc.   539,357    37,189 
   Allison Transmission Holdings Inc.   802,263    35,227 
*  Crown Holdings Inc.   834,120    34,674 
   Sealed Air Corp.   970,379    33,808 
   Fluor Corp.   867,904    27,947 
*  United Rentals Inc.   249,584    25,590 
   Huntington Ingalls Industries Inc.   132,967    25,305 
   Xerox Corp.   1,242,667    24,555 
   Hubbell Inc. Class B   169,965    16,884 
   Flowserve Corp.   403,301    15,334 
   Owens Corning   336,445    14,797 
   ManpowerGroup Inc.   191,116    12,384 
^  ADT Inc.   696,065    4,183 
            6,891,754 
Oil & Gas (7.5%)          
   Exxon Mobil Corp.   26,152,608    1,783,346 
   Chevron Corp.   11,803,049    1,284,054 
   ConocoPhillips   7,111,230    443,385 
   Marathon Petroleum Corp.   4,267,429    251,821 
   Phillips 66   2,705,985    233,121 
   Valero Energy Corp.   2,620,980    196,495 
   Kinder Morgan Inc.   11,587,632    178,218 
   Williams Cos. Inc.   7,477,562    164,880 
   Schlumberger Ltd.   4,278,952    154,385 
   Marathon Oil Corp.   5,130,490    73,571 
   Hess Corp.   1,739,627    70,455 
   Halliburton Co.   2,568,402    68,268 
   Baker Hughes a GE Co. Class A   3,168,515    68,123 
   Devon Energy Corp.   2,747,070    61,919 
   National Oilwell Varco Inc.   2,366,871    60,829 
   HollyFrontier Corp.   1,070,271    54,712 
   OGE Energy Corp.   1,233,507    48,341 
*  Equitrans Midstream Corp.   629,762    12,608 
   EQT Corp.   2,609    49 
   Helmerich & Payne Inc.   481    23 
            5,208,603 
Other (0.0%)2          
*,§  American International Group Inc. Warrants Exp. 01/19/2021   41,903     
              
Technology (11.7%)          
   Microsoft Corp.   23,871,177    2,424,595 
   Intel Corp.   28,192,577    1,323,078 
   Cisco Systems Inc.   27,771,260    1,203,329 
   Oracle Corp.   16,382,035    739,649 
   International Business Machines Corp.   5,613,696    638,109 
   QUALCOMM Inc.   7,487,754    426,128 
   HP Inc.   9,776,281    200,023 
   Corning Inc.   4,944,069    149,360 
   Hewlett Packard Enterprise Co.   9,089,298    120,070 
   Motorola Solutions Inc.   1,010,204    116,214 

 

 31 

 

  

Value Index Fund

 

          Market 
          Value 
      Shares   ($000
   NetApp Inc.   1,556,989    92,905 
   DXC Technology Co.   1,730,322    92,001 
*  Synopsys Inc.   916,767    77,228 
   CDW Corp.   925,528    75,014 
   Symantec Corp.   3,746,519    70,790 
   Western Digital Corp.   1,697,666    62,763 
   Marvell Technology Group Ltd.   3,862,893    62,540 
   Seagate Technology plc   1,589,345    61,333 
   Juniper Networks Inc.   2,134,105    57,429 
*  Qorvo Inc.   770,768    46,809 
*  Dell Technologies Inc.   841,472    41,123 
            8,080,490 
Telecommunications (4.1%)          
   Verizon          
   Communications Inc.   25,523,309    1,434,920 
   AT&T Inc.   44,956,129    1,283,048 
   CenturyLink Inc.   6,011,302    91,071 
*  Sprint Corp.   3,779,114    21,995 
            2,831,034 
Utilities (6.3%)          
   NextEra Energy Inc.   2,952,448    513,195 
   Duke Energy Corp.   4,404,362    380,096 
   Dominion Energy Inc.   4,055,192    289,784 
   Southern Co.   6,264,422    275,133 
   Exelon Corp.   5,966,784    269,102 
   American Electric Power Co. Inc.   3,046,121    227,667 
   Sempra Energy   1,605,917    173,744 
   Public Service Enterprise Group Inc.   3,122,271    162,514 
   Xcel Energy Inc.   3,175,002    156,432 
   Consolidated Edison Inc.   2,008,369    153,560 
   WEC Energy Group Inc.   1,949,180    135,000 
   Eversource Energy   1,957,518    127,317 
   PPL Corp.   4,445,508    125,941 
   DTE Energy Co.   1,123,849    123,961 
   FirstEnergy Corp.   3,159,851    118,652 
   Edison International   2,012,544    114,252 
   American Water Works Co. Inc.   1,115,560    101,259 
   Ameren Corp.   1,507,925    98,362 
   Entergy Corp.   1,117,840    96,213 
   Evergy Inc.   1,628,566    92,454 
   CenterPoint Energy Inc.   3,098,277    87,464 
   CMS Energy Corp.   1,748,124    86,794 
*  PG&E Corp.   3,200,288    76,007 
*  Alliant Energy Corp.   1,457,871    61,595 
   AES Corp.   4,094,568    59,208 
   Pinnacle West Capital Corp.   692,388    58,992 
   NiSource Inc.   2,284,120    57,903 
*  Vistra Energy Corp.   2,488,184    56,955 
   SCANA Corp.   874,888    41,802 
   Avangrid Inc.   382,349    19,152 
            4,340,510 
Total Common Stocks          
(Cost $61,812,321)       69,096,847 
Temporary Cash Investments (0.4%)1          
Money Market Fund (0.3%)          
3,4  Vanguard Market Liquidity Fund, 2.530%   2,252,842    225,284 

 

      Face     
      Amount     
      ($000)     
U.S. Government and Agency Obligations (0.1%)
   United States Treasury Bill, 2.122%, 1/10/19   1,000    1,000 
   United States Treasury Bill, 2.199%, 1/24/19   1,000    999 
   United States Treasury Bill, 2.280%, 2/7/19   5,000    4,988 
5  United States Treasury Bill, 2.313%, 2/28/19   600    598 
5  United States Treasury Bill, 2.435%, 4/11/19   100    99 
5  United States Treasury Bill, 2.427%, 4/18/19   1,500    1,489 
5  United States Treasury Bill, 2.474%, 5/9/19   3,000    2,975 
   United States Treasury Bill, 2.502%, 6/20/19   9,000    8,897 
            21,045 
Total Temporary Cash Investments          
(Cost $246,314)        246,329 
Total Investments (100.2%)          
(Cost $62,058,635)        69,343,176 

 

 32 

 

 

Value Index Fund

 

   Amount 
   ($000
Other Assets and Liabilities (-0.2%)     
Other Assets     
Investment in Vanguard   3,934 
Receivables for Investment Securities Sold   158 
Receivables for Accrued Income   89,362 
Receivables for Capital Shares Issued   58,956 
Variation Margin Receivable—Futures Contracts   750 
Total Other Assets   153,160 
Liabilities     
Payables for Investment Securities Purchased   (179,180)
Collateral for Securities on Loan   (47,425)
Payables for Capital Shares Redeemed   (50,497)
Payables to Vanguard   (17,143)
Other Liabilities   (229)
Total Liabilities   (294,474)
Net Assets (100%)   69,201,862 

 

At December 31, 2018, net assets consisted of:

 

   Amount 
   ($000
Paid-in Capital   62,398,268 
Total Distributable Earnings (Loss)   6,803,594 
Net Assets   69,201,862 
      
Investor Shares—Net Assets     
Applicable to 36,160,358 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   1,380,525 
Net Asset Value Per Share—Investor Shares  $38.18 
      
ETF Shares—Net Assets     
Applicable to 424,250,661 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   41,510,291 
Net Asset Value Per Share—ETF Shares  $97.84 
      
Admiral Shares—Net Assets     
Applicable to 432,881,108 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   16,522,468 
Net Asset Value Per Share—Admiral Shares  $38.17 
      
Institutional Shares—Net Assets     
Applicable to 256,465,389 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   9,788,578 
Net Asset Value Per Share—Institutional Shares  $38.17 

See Note A in Notes to Financial Statements.

*Non-income-producing security.

^Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $44,402,000.

§Certain of the fund’s security value determined using significant unobservable inputs.

1The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 0.2%, respectively, of net assets.

2“Other” represents securities that are not classified by the fund’s benchmark index.

3Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.

4Includes $47,425,000 of collateral received for securities on loan.

5Securities with a value of $5,161,000 have been segregated as initial margin for open futures contracts.

 

 33 

 

 

Value Index Fund

 

Derivative Financial Instruments Outstanding as of Period End

 

Futures Contracts

        ($000
        Value and  
    Number of   Unrealized  
    Long (Short) Notional Appreciation  
  Expiration Contracts Amount (Depreciation
Long Futures Contracts          
E-mini S&P 500 Index March 2019 781 97,828 1,649  

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 34 

 

 

Value Index Fund

 

Statement of Operations

 

   Year Ended 
   December 31, 2018 
   ($000
Investment Income     
Income     
Dividends   1,793,760 
Interest1   2,259 
Securities Lending—Net   439 
Total Income   1,796,458 
Expenses     
The Vanguard Group—Note B     
Investment Advisory Services   4,576 
Management and Administrative—Investor Shares   2,277 
Management and Administrative—ETF Shares   10,250 
Management and Administrative—Admiral Shares   5,966 
Management and Administrative—Institutional Shares   3,031 
Marketing and Distribution—Investor Shares   256 
Marketing and Distribution—ETF Shares   1,911 
Marketing and Distribution—Admiral Shares   1,221 
Marketing and Distribution—Institutional Shares   210 
Custodian Fees   622 
Auditing Fees   38 
Shareholders’ Reports—Investor Shares   27 
Shareholders’ Reports—ETF Shares   913 
Shareholders’ Reports—Admiral Shares   148 
Shareholders’ Reports—Institutional Shares   88 
Trustees’ Fees and Expenses   43 
Total Expenses   31,577 
Net Investment Income   1,764,881 
Realized Net Gain (Loss)     
Investment Securities Sold1,2   3,165,119 
Futures Contracts   (26,344)
Realized Net Gain (Loss)   3,138,775 
Change in Unrealized Appreciation (Depreciation)     
Investment Securities1   (9,095,223)
Futures Contracts   776 
Change in Unrealized Appreciation (Depreciation)   (9,094,447)
Net Increase (Decrease) in Net Assets Resulting from Operations   (4,190,791)

1Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $2,050,000, ($22,000), and $9,000, respectively. Purchases and sales are for temporary cash investment purposes.
2Includes $3,025,957,000 of net gain (loss) resulting from in-kind redemptions; such gain (loss) is not taxable to the fund.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 35 

 

 

Value Index Fund

 

Statement of Changes in Net Assets

 

   Year Ended December 31, 
   2018   2017 
   ($000  ($000
Increase (Decrease) in Net Assets          
Operations          
Net Investment Income   1,764,881    1,453,302 
Realized Net Gain (Loss)   3,138,775    1,593,601 
Change in Unrealized Appreciation (Depreciation)   (9,094,447)   6,244,701 
Net Increase (Decrease) in Net Assets Resulting from Operations   (4,190,791)   9,291,604 
Distributions          
Net Investment Income          
Investor Shares   (36,993)   (37,322)
ETF Shares   (1,030,963)   (810,631)
Admiral Shares   (434,831)   (373,158)
Institutional Shares   (258,024)   (233,385)
Realized Capital Gain          
Investor Shares        
ETF Shares        
Admiral Shares        
Institutional Shares        
Total Distributions   (1,760,811)   (1,454,496)
Capital Share Transactions          
Investor Shares   (127,208)   (173,183)
ETF Shares   8,586,445    5,105,313 
Admiral Shares   1,130,589    1,318,632 
Institutional Shares   514,891    139,503 
Net Increase (Decrease) from Capital Share Transactions   10,104,717    6,390,265 
Total Increase (Decrease)   4,153,115    14,227,373 
Net Assets          
Beginning of Period   65,048,747    50,821,374 
End of Period   69,201,862    65,048,747 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 36 

 

 

Value Index Fund

 

Financial Highlights

 

Investor Shares

 

For a Share Outstanding          Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $41.42   $36.24   $31.82   $32.95   $29.78 
Investment Operations                         
Net Investment Income   1.0091   .9181   .850    .782    .691 
Net Realized and Unrealized Gain (Loss) on Investments   (3.261)   5.166    4.415    (1.130)   3.164 
Total from Investment Operations   (2.252)   6.084    5.265    (.348)   3.855 
Distributions                         
Dividends from Net Investment Income   (.988)   (.904)   (.845)   (.782)   (.685)
Distributions from Realized Capital Gains                    
Total Distributions   (.988)   (.904)   (.845)   (.782)   (.685)
Net Asset Value, End of Period  $38.18   $41.42   $36.24   $31.82   $32.95 
                          
Total Return2   -5.55%    16.99%    16.75%    -1.03%    13.05% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $1,381   $1,626   $1,587   $1,397   $1,593 
Ratio of Total Expenses to Average Net Assets   0.17%    0.17%    0.18%    0.22%    0.23% 
Ratio of Net Investment Income to Average Net Assets   2.43%    2.40%    2.64%    2.44%    2.25% 
Portfolio Turnover Rate3   8%    9%    7%    8%    6% 

1Calculated based on average shares outstanding.
2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 37 

 

 

Value Index Fund

 

Financial Highlights

 

ETF Shares

 

For a Share Outstanding          Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $106.14   $92.87   $81.56   $84.45   $76.34 
Investment Operations                         
Net Investment Income   2.7221   2.4731   2.282    2.123    1.888 
Net Realized and Unrealized Gain (Loss) on Investments   (8.352)   13.234    11.301    (2.890)   8.095 
Total from Investment Operations   (5.630)   15.707    13.583    (.767)   9.983 
Distributions                         
Dividends from Net Investment Income   (2.670)   (2.437)   (2.273)   (2.123)   (1.873)
Distributions from Realized Capital Gains                    
Total Distributions   (2.670)   (2.437)   (2.273)   (2.123)   (1.873)
Net Asset Value, End of Period  $97.84   $106.14   $92.87   $81.56   $84.45 
                          
Total Return   -5.39%    17.12%    16.88%    -0.89%    13.19% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $41,510   $36,560   $27,126   $18,648   $17,277 
Ratio of Total Expenses to Average Net Assets   0.04%    0.05%    0.06%    0.08%    0.09% 
Ratio of Net Investment Income to Average Net Assets   2.56%    2.52%    2.76%    2.58%    2.39% 
Portfolio Turnover Rate2   8%    9%    7%    8%    6% 

1Calculated based on average shares outstanding.

2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 38 

 

  

Value Index Fund

 

Financial Highlights

 

Admiral Shares

 

For a Share Outstanding  Year Ended December 31,  
Throughout Each Period  2018  2017  2016  2015  2014  
Net Asset Value, Beginning of Period  $41.41  $36.23  $31.82  $32.94  $29.78  
Investment Operations                 
Net Investment Income  1.0591 .9651 .890  .829  .737  
Net Realized and Unrealized Gain (Loss) on Investments  (3.261) 5.165  4.407  (1.121)  3.154  
Total from Investment Operations  (2.202) 6.130  5.297  (.292)  3.891  
Distributions                 
Dividends from Net Investment Income  (1.038) (.950) (.887) (.828) (.731 )
Distributions from Realized Capital Gains           
Total Distributions  (1.038) (.950) (.887) (.828) (.731 )
Net Asset Value, End of Period  $38.17  $41.41  $36.23  $31.82  $32.94  
                  
Total Return2  -5.43%  17.13%  16.86%  -0.86%  13.18%  
                  
Ratios/Supplemental Data                 
Net Assets, End of Period (Millions)  $16,522  $16,778  $13,424  $10,408  $9,701  
Ratio of Total Expenses to Average Net Assets  0.05%  0.05%  0.06%  0.08%  0.09%  
Ratio of Net Investment Income to Average Net Assets  2.55%  2.52%  2.76%  2.58%  2.39%  
Portfolio Turnover Rate3  8%  9%  7%  8%  6%  

1Calculated based on average shares outstanding.

2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.

3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 39 

 

  

Value Index Fund

 

Financial Highlights

 

Institutional Shares

 

For a Share Outstanding  Year Ended December 31,  
Throughout Each Period  2018  2017  2016  2015  2014  
Net Asset Value, Beginning of Period  $41.41  $36.23  $31.82  $32.94  $29.78  
Investment Operations                 
Net Investment Income  1.0631 .9691 .893  .831  .739  
Net Realized and Unrealized Gain (Loss) on Investments  (3.260) 5.165  4.407  (1.120) 3.154  
Total from Investment Operations  (2.197) 6.134  5.300  (.289) 3.893  
Distributions                 
Dividends from Net Investment Income  (1.043) (.954) (.890) (.831) (.733 )
Distributions from Realized Capital Gains           
Total Distributions  (1.043) (.954) (.890) (.831) (.733 )
Net Asset Value, End of Period  $38.17  $41.41  $36.23  $31.82  $32.94  
                  
Total Return  -5.42%  17.14%  16.87%  -0.85%  13.19%  
                  
Ratios/Supplemental Data                 
Net Assets, End of Period (Millions)  $9,789  $10,085  $8,684  $7,176  $7,860  
Ratio of Total Expenses to Average Net Assets  0.04%  0.04%  0.05%  0.07%  0.08%  
Ratio of Net Investment Income to Average Net Assets  2.56%  2.53%  2.77%  2.59%  2.40%  
Portfolio Turnover Rate2  8%  9%  7%  8%  6%  

1Calculated based on average shares outstanding.

2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 40 

 

  

Value Index Fund

 

Notes to Financial Statements

 

Vanguard Value Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers four classes of shares: Investor Shares, ETF Shares, Admiral Shares, and Institutional Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker.

 

On November 19, 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. It is anticipated that all of the outstanding Investor Shares will be automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors.

 

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.

 

1. 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 materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. 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.

 

2. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. 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 assets pledged as initial margin for open contracts are noted in the Statement of Net Assets.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

 

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Value Index Fund

 

During the year ended December 31, 2018, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

 

3. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (December 31, 2015–2018), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

4. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes.

 

5. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

 

6. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

 

The fund had no borrowings outstanding at December 31, 2018, or at any time during the period then ended.

 

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Value Index Fund

 

7. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

 

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

 

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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets. All other costs of operations payable to Vanguard are generally settled twice a month.

 

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At December 31, 2018, the fund had contributed to Vanguard capital in the amount of $3,934,000, representing 0.01% of the fund’s net assets and 1.57% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

 

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.

 

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 valued with significant unobservable inputs are noted on the Statement of Net Assets.

 

The following table summarizes the market value of the fund’s investments as of December 31, 2018, based on the inputs used to value them:

 

    Level 1   Level 2   Level 3  
Investments   ($000 ) ($000 ) ($000 )
Common Stocks   69,096,847      
Temporary Cash Investments   225,284   21,045    
Futures Contracts—Assets1   750      
Total   69,322,881   21,045    

1Represents variation margin on the last day of the reporting period.

 

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Value Index Fund

 

D. Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period end, permanent differences primarily attributable to the accounting for in-kind redemptions were reclassified between the following accounts:

 

  Amount  
  ($000 )
Paid-in Capital 3,025,957  
Total Distributable Earnings (Loss) (3,025,957 )

 

Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the tax deferral of losses on wash sales and the realization of unrealized gains or losses on certain futures contracts. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:

 

  Amount  
  ($000 )
Undistributed Ordinary Income 9,718  
Undistributed Long-Term Gains  
Capital Loss Carryforwards (Non-expiring)* (474,500 )
Net Unrealized Gains (Losses) 7,284,541  

*The fund used capital loss carryforwards of $113,594,000 to offset taxable capital gains realized during the year ended December 31, 2018, reducing the amount of capital gains that would otherwise be available to distribute to shareholders.

  

As of December 31, 2018, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:

 

  Amount  
  ($000
Tax Cost 62,058,635  
Gross Unrealized Appreciation 12,744,173  
Gross Unrealized Depreciation (5,459,632)  
Net Unrealized Appreciation (Depreciation) 7,284,541  

 

E. During the year ended December 31, 2018, the fund purchased $21,553,356,000 of investment securities and sold $11,274,881,000 of investment securities, other than temporary cash investments. Purchases and sales include $13,580,894,000 and $5,670,454,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

 

The fund purchased securities from and sold securities to other Vanguard funds or accounts managed by Vanguard or its affiliates, in accordance with procedures adopted by the board of trustees in compliance with Rule 17a-7 of the Investment Company Act of 1940. For the year

 

 44 

 

  

Value Index Fund

 

ended December 31, 2018, such purchases and sales were $2,467,137,000 and $1,194,368,000, respectively; these amounts are included in the purchases and sales of investment securities noted above.

 

F. Capital share transactions for each class of shares were:

 

    Year Ended December 31,  
    2018   2017  
    Amount   Shares   Amount   Shares  
    ($000 ) (000 ) ($000 ) (000 )
Investor Shares                  
Issued   285,966   6,836   293,387   7,695  
Issued in Lieu of Cash Distributions   33,551   830   33,999   880  
Redeemed   (446,725 ) (10,770 ) (500,569 ) (13,111 ) 
Net Increase (Decrease)—Investor Shares   (127,208 )  (3,104 )  (173,183 )  (4,536 ) 
ETF Shares                  
Issued   14,303,249   135,191   9,523,235   97,047  
Issued in Lieu of Cash Distributions          
Redeemed   (5,716,804 )  (55,375 )  (4,417,922 )  (44,700 ) 
Net Increase (Decrease)—ETF Shares   8,586,445   79,816   5,105,313   52,347  
Admiral Shares                  
Issued   3,802,677   92,033   3,563,736   93,479  
Issued in Lieu of Cash Distributions   373,799   9,257   322,751   8,337  
Redeemed   (3,045,887 )  (73,617 )  (2,567,855 )  (67,145 ) 
Net Increase (Decrease)—Admiral Shares   1,130,589   27,673   1,318,632   34,671  
Institutional Shares                  
Issued   1,876,041   45,488   1,608,868   42,223  
Issued in Lieu of Cash Distributions   238,672   5,911   220,275   5,697  
Redeemed   (1,599,822 )  (38,496 )  (1,689,640 )  (44,068 ) 
Net Increase (Decrease)—Institutional Shares   514,891   12,903   139,503   3,852  

 

G. Management has determined that no events or transactions occurred subsequent to December 31, 2018, that would require recognition or disclosure in these financial statements.

 

 45 

 

  

Large-Cap Index Fund

 

Performance Summary

 

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

 

Cumulative Performance: December 31, 2008, Through December 31, 2018

Initial Investment of $10,000

 

 

    Average Annual Total Returns  
    Periods Ended December 31, 2018  
          Final Value
    One Five Ten of a $10,000
    Year Years Years Investment
Large-Cap Index Fund Investor Shares -4.59% 8.19% 13.04% $34,061
Spliced Large Cap Index -4.44 8.38 13.26 34,730
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 13.22 34,625

 

Spliced Large Cap Index: MSCI US Prime Market 750 Index through January 30, 2013; CRSP US Large Cap Index thereafter.

 

        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Large-Cap Index Fund ETF Shares Net Asset Value -4.44% 8.33% 13.20% $34,547
Spliced Large Cap Index -4.44 8.38 13.26 34,730
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 13.22 34,625

 

See Financial Highlights for dividend and capital gains information.

 

 46 

 

  

Large-Cap Index Fund

 

  Average Annual Total Returns  
  Periods Ended December 31, 2018  
        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Large-Cap Index Fund Admiral Shares -4.47% 8.32% 13.19% $34,529
Spliced Large Cap Index -4.44 8.38 13.26 34,730
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 13.22 34,625

 

        Final Value
  One Five Ten of a $5,000,000
  Year Years Years Investment
Large-Cap Index Fund Institutional Shares -4.46% 8.33% 13.21% $17,293,275
Spliced Large Cap Index -4.44 8.38 13.26 17,365,186
Dow Jones U.S. Total Stock Market Float Adjusted Index -5.30 7.86 13.22 17,312,429

 

Cumulative Returns of ETF Shares: December 31, 2008, Through December 31, 2018

 

  One Five Ten
  Year Years Years
Large-Cap Index Fund ETF Shares Market Price -4.48% 49.20% 245.12%
Large-Cap Index Fund ETF Shares Net Asset Value -4.44 49.22 245.47
Spliced Large Cap Index -4.44 49.55 247.30

For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market price was above or below the NAV.

 

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Large-Cap Index Fund

 

Sector Diversification

As of December 31, 2018

 

Basic Materials 2.3%
Consumer Goods 8.1
Consumer Services 13.8
Financials 18.3
Health Care 14.2
Industrials 12.0
Oil & Gas 5.3
Technology 20.6
Telecommunications 2.2
Utilities 3.2

The table reflects the fund’s equity exposure, based on its investments in stocks and stock index futures. Any holdings in short-term reserves are excluded. Sector categories are based on the Industry Classification Benchmark (“ICB”), except for the “Other” category (if applicable), which includes securities that have not been provided an ICB classification as of the effective reporting period.

 

 48 

 

  

Large-Cap Index Fund

 

Financial Statements

 

Statement of Net Assets

As of December 31, 2018

 

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the lists appear in the fund’s semiannual and annual reports to shareholders. For the first and third fiscal quarters, the fund files the lists with the Securities and Exchange Commission on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website at sec.gov.

 

          Market 
          Value 
      Shares   ($000) 
Common Stocks (99.5%)1
Basic Materials (2.3%)
   DowDuPont Inc.   2,017,790    107,911 
   Linde plc   484,652    75,625 
   Ecolab Inc.   228,185    33,623 
   Air Products & Chemicals Inc.   192,699    30,842 
   LyondellBasell Industries NV Class A   269,732    22,431 
   PPG Industries Inc.   211,191    21,590 
   Newmont Mining Corp.   468,469    16,232 
   International Paper Co.   357,891    14,445 
   Nucor Corp.   275,568    14,277 
   International Flavors & Fragrances Inc.   93,897    12,608 
   Freeport-McMoRan Inc.   1,212,539    12,501 
   Celanese Corp. Class A   117,862    10,604 
   Mosaic Co.   305,032    8,910 
   CF Industries Holdings Inc.   203,069    8,836 
   FMC Corp.   118,946    8,797 
   Eastman Chemical Co.   110,976    8,113 
   Albemarle Corp.   93,943    7,240 
   Avery Dennison Corp.   77,743    6,984 
*  Axalta Coating Systems Ltd.   189,559    4,439 
   Reliance Steel & Aluminum Co.   58,622    4,172 
   Steel Dynamics Inc.   96,658    2,904 
   Westlake Chemical Corp.   34,484    2,282 
*  Alcoa Corp.   83,006    2,206 
            437,572 
Consumer Goods (8.1%)
   Procter & Gamble Co.   2,190,600    201,360 
   Coca-Cola Co.   3,366,815    159,419 
   PepsiCo Inc.   1,241,512    137,162 
   Philip Morris International Inc.   1,367,465    91,292 
   NIKE Inc. Class B   1,119,491    82,999 
   Altria Group Inc.   1,652,754    81,629 
   Mondelez International Inc. Class A   1,278,067    51,161 
   Colgate-Palmolive Co.   763,260    45,429 
*,^  Tesla Inc.   113,283    37,701 
   General Motors Co.   1,117,129    37,368 
   Kimberly-Clark Corp.   304,640    34,711 
   Activision Blizzard Inc.   637,813    29,703 
   Ford Motor Co.   3,437,415    26,296 
   Estee Lauder Cos. Inc. Class A   193,410    25,163 
   Kraft Heinz Co.   537,194    23,121 
   Constellation Brands Inc. Class A   131,799    21,196 
*  Electronic Arts Inc.   266,133    21,000 
   General Mills Inc.   525,542    20,465 
   Archer-Daniels-Midland Co.   492,602    20,182 
   VF Corp.   279,087    19,910 
*  Monster Beverage Corp.   364,786    17,955 
   Clorox Co.   112,291    17,308 
   McCormick & Co. Inc.   106,864    14,880 
   Aptiv plc   231,914    14,279 
   Church & Dwight Co. Inc.   216,252    14,221 
   Kellogg Co.   244,386    13,932 
   Tyson Foods Inc. Class A   259,972    13,882 
   Hershey Co.   124,815    13,378 
   Brown-Forman Corp. Class B   261,336    12,434 
   Genuine Parts Co.   122,987    11,809 
*  Lululemon Athletica Inc.   91,577    11,137 
   DR Horton Inc.   315,111    10,922 
*  Take-Two Interactive Software Inc.   100,468    10,342 
   Lennar Corp. Class A   257,446    10,079 
   Hormel Foods Corp.   233,348    9,959 
   Lamb Weston Holdings Inc.   128,673    9,465 
   Conagra Brands Inc.   428,679    9,157 
   JM Smucker Co.   95,478    8,926 

 

 49 

 

  

Large-Cap Index Fund

 

          Market 
          Value 
      Shares   ($000) 
   Molson Coors Brewing Co. Class B   155,477    8,732 
   Tapestry Inc.   255,979    8,639 
   Hasbro Inc.   100,286    8,148 
*  NVR Inc.   3,013    7,343 
   Lear Corp.   56,474    6,938 
   Newell Brands Inc.   369,870    6,876 
   Garmin Ltd.   107,442    6,803 
*  LKQ Corp.   269,021    6,384 
   BorgWarner Inc.   183,529    6,376 
   PVH Corp.   68,021    6,322 
   Bunge Ltd.   118,097    6,311 
*  Mohawk Industries Inc.   52,320    6,119 
   Whirlpool Corp.   56,177    6,004 
   PulteGroup Inc.   222,734    5,789 
*,^  Campbell Soup Co.   172,222    5,682 
   Ralph Lauren Corp. Class A   48,125    4,979 
*  WABCO Holdings Inc.   46,077    4,946 
   Harley-Davidson Inc.   143,764    4,905 
*  Michael Kors Holdings Ltd.    125,831    4,771 
   Fortune Brands Home & Security Inc.   125,271    4,759 
   Keurig Dr Pepper Inc.   182,613    4,682 
   Jefferies Financial Group Inc.   242,178    4,204 
   Polaris Industries Inc.   52,382    4,017 
   Hanesbrands Inc.   319,068    3,998 
*,^  Under Armour Inc. Class A   167,160    2,954 
   Ingredion Inc.   31,407    2,871 
*  Under Armour Inc.   167,547    2,709 
   Coty Inc. Class A   400,507    2,627 
*  Wayfair Inc.   26,119    2,353 
   Goodyear Tire & Rubber Co.   103,805    2,119 
*  Elanco Animal Health Inc.   65,242    2,057 
   Lennar Corp. Class B   13,970    438 
            1,553,187 
Consumer Services (13.8%)
*  Amazon.com Inc.   365,543    549,035 
   Home Depot Inc.   993,625    170,725 
   Walt Disney Co.   1,243,513    136,351 
   Comcast Corp. Class A   3,993,091    135,965 
   McDonald’s Corp.   677,938    120,381 
   Walmart Inc.   1,287,943    119,972 
*  Netflix Inc.   364,385    97,531 
   Costco Wholesale Corp.   385,381    78,506 
   CVS Health Corp.   1,137,535    74,531 
*  Booking Holdings Inc.   40,724    70,144 
   Starbucks Corp.   1,036,145    66,728 
   Lowe’s Cos. Inc.   675,769    62,414 
   Walgreens Boots Alliance Inc.   708,415    48,406 
   TJX Cos. Inc.   1,033,958    46,259 
   Twenty-First Century Fox Inc. Class A   938,737    45,172 
*  Charter Communications Inc. Class A   141,069    40,200 
   Target Corp.   459,186    30,348 
   Ross Stores Inc.   328,806    27,357 
   Sysco Corp.   434,404    27,220 
   Delta Air Lines Inc.   543,606    27,126 
   Dollar General Corp.   233,601    25,248 
   Yum! Brands Inc.   274,269    25,211 
   Marriott International Inc. Class A   225,152    24,443 
*  O’Reilly Automotive Inc.   70,424    24,249 
*  eBay Inc.   805,220    22,603 
   Southwest Airlines Co.   445,541    20,709 
   Twenty-First Century Fox Inc.   411,161    19,645 
   Kroger Co.   701,196    19,283 
   McKesson Corp.   171,968    18,997 
*  Dollar Tree Inc.   209,283    18,902 
*  AutoZone Inc.   22,503    18,865 
   Hilton Worldwide Holdings Inc.   260,825    18,727 
   Las Vegas Sands Corp.   344,563    17,935 
   Carnival Corp.   347,507    17,132 
*  United Continental Holdings Inc.   203,860    17,069 
   Omnicom Group Inc.   197,332    14,453 
   Royal Caribbean Cruises Ltd.   147,279    14,402 
   CBS Corp. Class B   301,203    13,169 
*  Ulta Beauty Inc.   49,968    12,234 
   American Airlines Group Inc.   366,281    11,761 
   Expedia Group Inc.   101,645    11,450 
   Darden Restaurants Inc.   108,983    10,883 
   Best Buy Co. Inc.   203,821    10,794 
*  Chipotle Mexican Grill Inc. Class A   24,455    10,559 
   AmerisourceBergen Corp. Class A   139,711    10,395 
   MGM Resorts International   418,677    10,157 
   Kohl’s Corp.   147,105    9,759 
*  CarMax Inc.   154,215    9,674 
   Advance Auto Parts Inc.   60,846    9,581 
   Domino’s Pizza Inc.   36,608    9,078 
   Tractor Supply Co.   107,820    8,997 
*  Copart Inc.   186,035    8,889 
   Tiffany & Co.   102,427    8,246 
*  Norwegian Cruise Line Holdings Ltd.   193,519    8,203 
   Viacom Inc. Class B   313,870    8,066 

 

 50 

 

  

Large-Cap Index Fund

 

          Market 
          Value 
      Shares   ($000) 
   Wynn Resorts Ltd.   81,303    8,042 
   Macy’s Inc.   270,016    8,041 
   Nielsen Holdings plc   312,713    7,296 
*  Qurate Retail Group Inc. QVC Group Class A   369,860    7,220 
*  Discovery Communications Inc.   302,941    6,992 
   Interpublic Group of Cos. Inc.   338,460    6,982 
*  Liberty Broadband Corp.   93,186    6,712 
   FactSet Research Systems Inc.   33,412    6,687 
   Alaska Air Group Inc.   109,276    6,649 
   Gap Inc.   255,827    6,590 
   Aramark   217,411    6,298 
*,^  Sirius XM Holdings Inc.   979,069    5,590 
*  Liberty Media Corp-Liberty SiriusXM Class C   141,816    5,244 
   Altice USA Inc. Class A   310,578    5,131 
   Nordstrom Inc.   104,545    4,873 
*  DISH Network Corp. Class A   192,225    4,800 
   Rollins Inc.   129,007    4,657 
   News Corp. Class A   407,044    4,620 
   L Brands Inc.   174,282    4,474 
   Vail Resorts Inc.   17,760    3,744 
*  Discovery Communications Inc. Class A   130,271    3,223 
*  GrubHub Inc.   40,205    3,088 
*  Live Nation Entertainment Inc.   60,286    2,969 
*  Liberty Media Corp-Liberty SiriusXM Class A   72,402    2,664 
*  TripAdvisor Inc.   46,593    2,513 
   Hyatt Hotels Corp. Class A   35,526    2,402 
   Wyndham Hotels & Resorts Inc.   44,402    2,015 
*  Liberty Broadband Corp. Class A   22,703    1,630 
*  Carvana Co. Class A   15,272    500 
   News Corp. Class B   43,186    499 
   Viacom Inc. Class A   6,857    191 
   CBS Corp. Class A   2,107    92 
            2,636,567 
Financials (18.2%)
*  Berkshire Hathaway Inc.          
   Class B   1,707,293    348,595 
   JPMorgan Chase & Co.   2,923,862    285,427 
   Visa Inc. Class A   1,547,502    204,178 
   Bank of America Corp.   7,767,497    191,391 
  Wells Fargo & Co.   3,725,556    171,674 
   Mastercard Inc. Class A   808,058    152,440 
   Citigroup Inc.   2,148,078    111,829 
   American Tower Corp.   387,215    61,254 
   CME Group Inc.   314,280    59,122 
   US Bancorp   1,277,357    58,375 
   American Express Co.   600,945    57,282 
   Chubb Ltd.   384,709    49,697 
   Goldman Sachs Group Inc.   294,537    49,202 
   Simon Property Group Inc.   271,883    45,674 
   Morgan Stanley   1,134,981    45,002 
   Charles Schwab Corp.   1,069,700    44,425 
   PNC Financial Services Group Inc.   365,093    42,683 
   Crown Castle International Corp.   364,938    39,643 
   BlackRock Inc.   97,154    38,164 
   Intercontinental Exchange Inc.   500,133    37,675 
   S&P Global Inc.   220,554    37,481 
   Bank of New York Mellon Corp.   782,511    36,833 
   Marsh & McLennan Cos. Inc.   442,516    35,291 
   Prologis Inc.   553,299    32,490 
   Capital One Financial Corp.   416,696    31,498 
   Progressive Corp.   512,654    30,929 
   Aon plc   211,447    30,736 
   American International Group Inc.   778,492    30,680 
   Aflac Inc.   668,001    30,434 
   Prudential Financial Inc.   363,375    29,633 
   BB&T Corp.   677,317    29,341 
   Travelers Cos. Inc.   232,783    27,876 
   MetLife Inc.   651,133    26,736 
   Public Storage   130,374    26,389 
   Allstate Corp.   302,989    25,036 
   Equinix Inc.   70,816    24,967 
   Welltower Inc.   330,029    22,907 
   Equity Residential   323,191    21,334 
   AvalonBay Communities Inc.   121,191    21,093 
   Moody’s Corp.   143,247    20,060 
   State Street Corp.   317,101    20,000 
   SunTrust Banks Inc.   394,882    19,918 
   Digital Realty Trust Inc.   181,652    19,355 
   T. Rowe Price Group Inc.   201,088    18,565 
   Ventas Inc.   313,345    18,359 
   Discover Financial Services   295,964    17,456 
   Realty Income Corp.   258,979    16,326 

 

 51 

 

  

Large-Cap Index Fund

 

          Market 
          Value 
      Shares   ($000) 
*  SBA Communications Corp. Class A   99,728    16,145 
   M&T Bank Corp.   110,930    15,877 
   Northern Trust Corp.   185,028    15,467 
   Boston Properties Inc.   135,844    15,289 
*  IHS Markit Ltd.   311,486    14,942 
   Weyerhaeuser Co.   660,266    14,434 
   Essex Property Trust Inc.   58,037    14,231 
   Hartford Financial Services Group Inc.   316,069    14,049 
   Fifth Third Bancorp   578,034    13,601 
   KeyCorp   912,925    13,493 
   Synchrony Financial   570,712    13,389 
   Ameriprise Financial Inc.   122,989    12,836 
*  First Republic Bank   144,649    12,570 
   Citizens Financial Group Inc.   412,655    12,268 
   Regions Financial Corp.   912,158    12,205 
   TD Ameritrade Holding Corp.   246,874    12,087 
*  Markel Corp.   11,624    12,066 
   Arthur J Gallagher & Co.   160,812    11,852 
   HCP Inc.   412,795    11,529 
*  CBRE Group Inc. Class A   285,377    11,427 
   Annaly Capital Management Inc.   1,150,632    11,299 
   Huntington Bancshares Inc.   932,760    11,119 
   Principal Financial Group Inc.   249,686    11,029 
   Alexandria Real Estate Equities Inc.   94,957    10,943 
   Host Hotels & Resorts Inc.    652,689    10,880 
   MSCI Inc. Class A   73,630    10,855 
   Cincinnati Financial Corp.   135,383    10,481 
   Loews Corp.   220,029    10,016 
   Equifax Inc.   106,307    9,900 
   E*TRADE Financial Corp.   224,275    9,841 
   Comerica Inc.   142,951    9,819 
   Lincoln National Corp.   188,702    9,682 
   Cboe Global Markets Inc.   98,663    9,652 
   UDR Inc.   242,185    9,595 
   Mid-America Apartment Communities Inc.   100,068    9,577 
   Extra Space Storage Inc.   105,669    9,561 
   Vornado Realty Trust   151,668    9,408 
*  Arch Capital Group Ltd.   338,074    9,033 
*  SVB Financial Group   47,044    8,935 
   KKR & Co. Inc. Class A   441,937    8,675 
   Raymond James Financial Inc.   113,859    8,472 
   Regency Centers Corp.   142,193    8,344 
   Ally Financial Inc.   365,409    8,280 
   Iron Mountain Inc.   253,560    8,218 
   Nasdaq Inc.   100,432    8,192 
   Duke Realty Corp.   315,188    8,163 
   AGNC Investment Corp.   464,447    8,146 
   Everest Re Group Ltd.   35,712    7,777 
   Reinsurance Group of America Inc. Class A   55,114    7,729 
   Alleghany Corp.   12,391    7,724 
   Federal Realty Investment Trust   65,043    7,678 
   Franklin Resources Inc.   249,601    7,403 
   Fidelity National Financial Inc.   230,266    7,240 
   Camden Property Trust   81,948    7,216 
   Zions Bancorp NA   169,494    6,905 
   Western Union Co.   392,285    6,692 
   Torchmark Corp.   88,408    6,589 
   VEREIT Inc.   858,781    6,140 
   Invesco Ltd.   364,886    6,108 
   SL Green Realty Corp.   75,642    5,982 
   WR Berkley Corp.   80,237    5,930 
   Unum Group   194,279    5,708 
   SEI Investments Co.   123,448    5,703 
*  Black Knight Inc.   125,207    5,642 
*  Athene Holding Ltd. Class A   138,069    5,499 
   Voya Financial Inc.   136,936    5,497 
   Macerich Co.   125,469    5,430 
   Kimco Realty Corp.   353,116    5,173 
   Jones Lang LaSalle Inc.   40,191    5,088 
   Invitation Homes Inc.   252,590    5,072 
   People’s United Financial Inc.   336,781    4,860 
   Affiliated Managers Group Inc.   46,673    4,548 
   Interactive Brokers Group Inc.   63,087    3,448 
   AXA Equitable Holdings Inc.   185,230    3,080 
   Lazard Ltd. Class A   58,017    2,141 
*  Berkshire Hathaway Inc. Class A   6    1,836 
   CIT Group Inc.   46,415    1,776 
   New York Community Bancorp Inc.   427    4 
*  Brighthouse Financial Inc.   130    4 
            3,490,949 
Health Care (14.1%)
   Johnson & Johnson   2,359,194    304,454 
   Pfizer Inc.   5,084,789    221,951 
   UnitedHealth Group Inc.   846,008    210,758 
   Merck & Co. Inc.   2,287,411    174,781 
   AbbVie Inc.   1,323,149    121,981 
   Abbott Laboratories   1,544,187    111,691 
   Amgen Inc.   560,484    109,109 

 

 52 

 

  

Large-Cap Index Fund

 

          Market 
          Value 
      Shares   ($000) 
   Medtronic plc   1,183,332    107,636 
   Eli Lilly & Co.   838,784    97,064 
   Thermo Fisher Scientific Inc.   353,827    79,183 
   Bristol-Myers Squibb Co.   1,436,491    74,669 
   Gilead Sciences Inc.   1,138,017    71,183 
*  Cigna Corp.   335,005    63,624 
   Anthem Inc.   227,402    59,723 
*  Biogen Inc.   177,299    53,353 
   Becton Dickinson and Co.   235,838    53,139 
*  Intuitive Surgical Inc.   100,497    48,130 
*  Boston Scientific Corp.   1,217,349    43,021 
   Stryker Corp.   263,375    41,284 
   Allergan plc   296,790    39,669 
*  Celgene Corp.   615,445    39,444 
*  Illumina Inc.   131,056    39,308 
*  Vertex Pharmaceuticals Inc.   224,820    37,255 
   Zoetis Inc.   422,976    36,181 
   Humana Inc.   120,602    34,550 
   HCA Healthcare Inc.   242,055    30,124 
   Baxter International Inc.   444,790    29,276 
*  Edwards Lifesciences Corp.   183,922    28,171 
*  Regeneron Pharmaceuticals Inc.   70,234    26,232 
*  Centene Corp.   171,634    19,789 
   Zimmer Biomet Holdings Inc.   179,753    18,644 
*  Alexion Pharmaceuticals Inc.   186,521    18,160 
*  IQVIA Holdings Inc.   149,778    17,400 
   ResMed Inc.   125,168    14,253 
*  IDEXX Laboratories Inc.   75,923    14,123 
*  Align Technology Inc.   66,953    14,022 
*  BioMarin Pharmaceutical Inc.   156,961    13,365 
*  ABIOMED Inc.   37,648    12,237 
*  Mylan NV   432,711    11,856 
   Cardinal Health Inc.   262,775    11,720 
*  Laboratory Corp. of America Holdings   88,867    11,229 
   Cooper Cos. Inc.   43,293    11,018 
*  Henry Schein Inc.   134,284    10,544 
*  Hologic Inc.   255,292    10,493 
   Teleflex Inc.   40,531    10,476 
*  WellCare Health Plans Inc.   44,120    10,416 
*  Incyte Corp.   159,689    10,155 
   Quest Diagnostics Inc.   119,923    9,986 
*  Varian Medical Systems Inc.   80,140    9,081 
   Universal Health Services Inc. Class B   74,947    8,736 
   Dentsply Sirona Inc.   197,242    7,339 
*  Jazz Pharmaceuticals plc   50,546    6,266 
*  Alnylam Pharmaceuticals Inc.   80,192    5,847 
*  DaVita Inc.   110,547    5,689 
*  Seattle Genetics Inc.   91,638    5,192 
*  Nektar Therapeutics Class A   152,759    5,021 
*  DexCom Inc.   39,223    4,699 
*  Alkermes plc   137,423    4,055 
   Perrigo Co. plc   86,526    3,353 
            2,702,108 
Industrials (11.9%)
   Boeing Co.   474,449    153,010 
   3M Co.   512,022    97,561 
   Union Pacific Corp.   648,057    89,581 
   Honeywell International Inc.   650,437    85,936 
*  PayPal Holdings Inc.   984,504    82,787 
   Accenture plc Class A   561,205    79,135 
   United Technologies Corp.   720,498    76,719 
   Caterpillar Inc.   519,321    65,990 
   United Parcel Service Inc. Class B   612,120    59,700 
   General Electric Co.   7,653,325    57,936 
   Danaher Corp.   554,372    57,167 
   Lockheed Martin Corp.   212,501    55,641 
   Automatic Data Processing Inc.   365,364    47,906 
   CSX Corp.   705,637    43,841 
   Deere & Co.   283,091    42,229 
   Raytheon Co.   250,289    38,382 
   Northrop Grumman Corp.   152,653    37,385 
*  Norfolk Southern Corp.   239,619    35,833 
   General Dynamics Corp.   221,196    34,774 
   FedEx Corp.   209,225    33,754 
   Waste Management Inc.   374,594    33,335 
   Illinois Tool Works Inc.   262,560    33,264 
   Emerson Electric Co.   550,916    32,917 
   Fidelity National Information Services Inc.   287,577    29,491 
   Sherwin-Williams Co.   74,065    29,142 
   Eaton Corp. plc   380,568    26,130 
*  Fiserv Inc.   350,029    25,724 
   Roper Technologies Inc.   90,894    24,225 
   Johnson Controls International plc   812,833    24,100 
   TE Connectivity Ltd.   302,618    22,887 
   Amphenol Corp. Class A   265,888    21,542 
*  Worldpay Inc. Class A   265,648    20,303 

 

 53 

 

  

Large-Cap Index Fund

 

          Market 
          Value 
      Shares   ($000) 
   Ingersoll-Rand plc   215,889    19,696 
   Agilent Technologies Inc.   280,296    18,909 
   Paychex Inc.   284,182    18,514 
   Cummins Inc.   134,185    17,932 
   Fortive Corp.   264,329    17,884 
   PACCAR Inc.   307,375    17,563 
   Parker-Hannifin Corp.   116,562    17,384 
   Willis Towers Watson plc   114,254    17,351 
   Waste Connections Inc.   231,762    17,208 
   Rockwell Automation Inc.   106,350    16,004 
   Stanley Black & Decker Inc.   133,094    15,937 
*  Verisk Analytics Inc. Class A   137,030    14,942 
*  FleetCor Technologies Inc.   78,089    14,503 
*  Square Inc.   257,948    14,468 
   Global Payments Inc.   139,495    14,386 
*  TransDigm Group Inc.   41,753    14,198 
   AMETEK Inc.   203,882    13,803 
   Ball Corp.   299,321    13,763 
   Republic Services Inc. Class A   184,777    13,321 
   Fastenal Co.   252,782    13,218 
   Cintas Corp.   75,312    12,652 
*  Mettler-Toledo International Inc.   22,021    12,455 
   L3 Technologies Inc.   69,282    12,031 
*  Waters Corp.   63,304    11,942 
   WW Grainger Inc.   42,002    11,860 
   Total System Services Inc.   144,919    11,780 
   Vulcan Materials Co.   116,355    11,496 
*  CoStar Group Inc.   31,987    10,790 
   Xylem Inc.   158,018    10,543 
   Expeditors International of Washington Inc.   153,107    10,425 
   CH Robinson Worldwide Inc.   121,808    10,243 
   Broadridge Financial Solutions Inc.   102,947    9,909 
   Martin Marietta Materials Inc.   55,086    9,468 
   TransUnion   162,963    9,256 
   Dover Corp.   128,472    9,115 
   Textron Inc.   192,290    8,843 
   Westrock Co.   227,904    8,606 
   Kansas City Southern   90,019    8,592 
   Old Dominion Freight Line Inc.   65,276    8,061 
*  First Data Corp. Class A   471,589    7,975 
   Masco Corp.   270,548    7,911 
*  United Rentals Inc.   71,843    7,366 
*  Trimble Inc.   222,947    7,337 
   Jacobs Engineering Group Inc.   125,247    7,322 
   Huntington Ingalls Industries Inc.   37,861    7,205 
   JB Hunt Transport Services Inc.   77,226    7,185 
   Snap-on Inc.   49,404    7,178 
   Arconic Inc.   385,145    6,494 
*  Sensata Technologies Holding plc   144,643    6,486 
   Alliance Data Systems Corp.   41,047    6,160 
   Packaging Corp. of America   73,156    6,106 
   Robert Half International Inc.   101,696    5,817 
   Pentair plc   153,084    5,783 
*  XPO Logistics Inc.   96,346    5,496 
   Wabtec Corp.   76,658    5,385 
*  Arrow Electronics Inc.   77,451    5,340 
*  Keysight Technologies Inc.   82,175    5,101 
   Allison Transmission Holdings Inc.   114,007    5,006 
*  Crown Holdings Inc.   120,216    4,997 
   Sealed Air Corp.   140,834    4,907 
   Hubbell Inc. Class B   48,650    4,833 
   Jack Henry & Associates Inc.   33,849    4,283 
   Owens Corning   96,581    4,248 
   Fluor Corp.   124,345    4,004 
   Xerox Corp.   179,295    3,543 
*  IPG Photonics Corp.   30,806    3,490 
   AO Smith Corp.   63,935    2,730 
   FLIR Systems Inc.   61,635    2,684 
   Flowserve Corp.   58,061    2,207 
   Cognex Corp.   50,230    1,942 
   ManpowerGroup Inc.   27,729    1,797 
^  ADT Inc.   105,026    631 
   Acuity Brands Inc.   59    7 
            2,286,334 
Oil & Gas (5.2%)
   Exxon Mobil Corp.   3,723,579    253,911 
   Chevron Corp.   1,680,628    182,836 
   ConocoPhillips   1,012,677    63,140 
   EOG Resources Inc.   510,703    44,538 
   Schlumberger Ltd.   1,218,926    43,979 
   Occidental Petroleum Corp.   664,179    40,767 
   Marathon Petroleum Corp.   607,688    35,860 
   Phillips 66   385,375    33,200 
   Valero Energy Corp.   373,409    27,995 
   Kinder Morgan Inc.   1,651,691    25,403 
   Williams Cos. Inc.   1,066,260    23,511 
   Pioneer Natural Resources Co.   150,211    19,756 

 

 54 

 

  

Large-Cap Index Fund

 

          Market 
          Value 
      Shares   ($000) 
   ONEOK Inc.   362,414    19,552 
   Halliburton Co.   733,046    19,484 
   Anadarko Petroleum Corp.   443,956    19,463 
*  Concho Resources Inc.   176,250    18,117 
   Diamondback Energy Inc.   144,732    13,417 
*  Cheniere Energy Inc.   204,025    12,076 
   Marathon Oil Corp.   735,246    10,544 
   Hess Corp.   248,718    10,073 
   Baker Hughes a GE Co. Class A   451,264    9,702 
   Devon Energy Corp.   394,170    8,885 
   Apache Corp.   335,550    8,808 
   National Oilwell Varco Inc.   337,140    8,665 
   Cabot Oil & Gas Corp.   380,712    8,509 
   Noble Energy Inc.   424,849    7,970 
   HollyFrontier Corp.   152,505    7,796 
   Targa Resources Corp.   203,164    7,318 
   OGE Energy Corp.   175,022    6,859 
   Cimarex Energy Co.   84,554    5,213 
*  Continental Resources Inc.   83,332    3,349 
   Helmerich & Payne Inc.   46,104    2,210 
*  Equitrans Midstream Corp.   48,512    971 
   EQT Corp.   225    4 
*  Antero Resources Corp.   225    2 
            1,003,883 
Other (0.0%)2
*  American International Group Inc. Warrants Expire 01/19/2021   3,568     
              
Technology (20.5%)
   Microsoft Corp.   6,797,118    690,383 
   Apple Inc.   3,756,437    592,540 
*  Facebook Inc. Class A   2,113,128    277,010 
*  Alphabet Inc. Class A   263,128    274,958 
*  Alphabet Inc. Class C   261,155    270,455 
   Intel Corp.   4,013,646    188,360 
   Cisco Systems Inc.   3,953,650    171,312 
   Oracle Corp.   2,332,006    105,290 
*  Adobe Inc.   429,282    97,121 
   International Business Machines Corp.   799,457    90,874 
   Broadcom Inc.   345,447    87,840 
*  salesforce.com Inc.   639,225    87,555 
   Texas Instruments Inc.   844,470    79,802 
   NVIDIA Corp.   509,809    68,059 
   QUALCOMM Inc.   1,066,158    60,675 
   Intuit Inc.   216,501    42,618 
   Cognizant Technology Solutions Corp. Class A   509,437    32,339 
*  Micron Technology Inc.   997,562    31,653 
   HP Inc.   1,392,207    28,485 
   Applied Materials Inc.   865,257    28,329 
*  ServiceNow Inc.   157,852    28,106 
   Analog Devices Inc.   325,202    27,912 
*  Red Hat Inc.   155,240    27,266 
*  Autodesk Inc.   192,495    24,757 
   Corning Inc.   706,728    21,350 
*  Workday Inc. Class A   131,265    20,960 
   Xilinx Inc.   222,510    18,951 
   Lam Research Corp.   136,571    18,597 
*  Twitter Inc.   602,587    17,318 
   Hewlett Packard Enterprise Co.   1,294,766    17,104 
   Motorola Solutions Inc.   143,584    16,518 
*  Advanced Micro Devices Inc.   835,427    15,422 
^  Microchip Technology Inc.   208,226    14,976 
*  Palo Alto Networks Inc.   78,949    14,870 
*  Cerner Corp.   275,837    14,465 
*  VeriSign Inc.   95,769    14,202 
   Harris Corp.   103,648    13,956 
*  Splunk Inc.   129,165    13,543 
   NetApp Inc.   222,118    13,254 
   DXC Technology Co.   247,046    13,135 
*  IAC/InterActiveCorp   68,421    12,524 
   Maxim Integrated Products Inc.   243,455    12,380 
   KLA-Tencor Corp.   134,868    12,069 
   Citrix Systems Inc.   112,130    11,489 
*  Synopsys Inc.   130,613    11,003 
*  Cadence Design Systems Inc.   247,881    10,778 
   CDW Corp.   132,247    10,719 
*  ANSYS Inc.   73,433    10,496 
   Skyworks Solutions Inc.   156,418    10,483 
   Symantec Corp.   535,377    10,116 
*  Arista Networks Inc.   46,628    9,825 
*  Gartner Inc.   76,068    9,725 
*  Veeva Systems Inc. Class A   107,423    9,595 
*  GoDaddy Inc. Class A   140,416    9,214 
   VMware Inc. Class A   66,874    9,170 
   Western Digital Corp.   242,740    8,974 
*  Fortinet Inc.   127,198    8,959 
   Marvell Technology Group Ltd.   552,425    8,944 
   SS&C Technologies Holdings Inc.   198,119    8,937 
   Seagate Technology plc   226,552    8,743 
*  F5 Networks Inc.   53,319    8,639 
*  Akamai Technologies Inc.   136,660    8,347 
   Juniper Networks Inc.   304,212    8,186 
*  Qorvo Inc.   110,165    6,690 
*  Dell Technologies Inc.   119,037    5,817 
   CDK Global Inc.   113,676    5,443 
*,^  Snap Inc.   521,723    2,875 
*  Dropbox Inc. Class A   134,046    2,739 

 

 55 

 

  

Large-Cap Index Fund

 

          Market 
          Value 
      Shares   ($000) 
   Match Group Inc.   44,846    1,918 
   LogMeIn Inc.   59    5 
            3,927,122 
Telecommunications (2.2%)
   Verizon Communications Inc.   3,636,158    204,425 
   AT&T Inc.   6,406,286    182,835 
*  T-Mobile US Inc.   263,423    16,756 
   CenturyLink Inc.   859,412    13,020 
*  Zayo Group Holdings Inc.   139,558    3,188 
*  Sprint Corp.   542,782    3,159 
            423,383 
Utilities (3.2%)
   NextEra Energy Inc.   419,789    72,968 
   Duke Energy Corp.   626,786    54,092 
   Dominion Energy Inc.   577,860    41,294 
   Southern Co.   892,625    39,204 
   Exelon Corp.   847,487    38,222 
   American Electric Power Co. Inc.   433,262    32,382 
   Sempra Energy   228,716    24,745 
   Public Service Enterprise Group Inc.   444,026    23,111 
   Xcel Energy Inc.   452,621    22,301 
   Consolidated Edison Inc.   286,774    21,927 
   WEC Energy Group Inc.   276,849    19,174 
   Eversource Energy   278,144    18,090 
   PPL Corp.   634,571    17,977 
   DTE Energy Co.   159,620    17,606 
   FirstEnergy Corp.   450,062    16,900 
   Edison International   287,144    16,301 
   American Water Works Co. Inc.   158,982    14,431 
   Ameren Corp.   213,685    13,939 
   Entergy Corp.   159,692    13,745 
   Evergy Inc.   231,416    13,137 
   CenterPoint Energy Inc.   440,163    12,426 
   CMS Energy Corp.   249,584    12,392 
*  PG&E Corp.   457,321    10,861 
*  Alliant Energy Corp.   208,705    8,818 
   Pinnacle West Capital Corp.   99,080    8,442 
   AES Corp.   582,635    8,425 
   NiSource Inc.   327,459    8,301 
*  Vistra Energy Corp.   356,260    8,155 
   SCANA Corp.   123,767    5,913 
   Avangrid Inc.   53,847    2,697 
            617,976 
Total Common Stocks
(Cost $14,121,719)             19,079,081  
Temporary Cash Investments (0.7%)1          
Money Market Fund (0.7%)          
3,4  Vanguard Market Liquidity Fund, 2.530%   1,285,543    128,554 
              
       Face      
       Amount      
      ($000)     
U.S. Government and Agency Obligations (0.0%)          
   United States Treasury Bill, 2.284%, 2/21/19   100    100 
5  United States Treasury Bill, 2.480%, 5/9/19   4,000    3,966 
5  United States Treasury Bill, 2.497%, 5/23/19   2,000    1,981 
   United States Treasury Bill, 2.502%, 6/20/19   1,200    1,186 
            7,233 
Total Temporary Cash Investments         
(Cost $135,777)       135,787 
Total Investments (100.2%)         
(Cost $14,257,496)      19,214,868 
              
            Amount 
           ($000)
Other Assets and Liabilities (-0.2%)         
Other Assets         
Investment in Vanguard       1,071 
Receivables for Accrued Income       21,768 
Receivables for Capital Shares Issued       24,956 
Variation Margin Receivable—Futures Contracts       635 
Other Assets       1,618 
Total Other Assets       50,048 
Liabilities         
Payables for Investment Securities Purchased       (30,524)
Collateral for Securities on Loan       (32,480)
Payables for Capital Shares Redeemed       (11,755)
Payables to Vanguard       (4,504)
Total Liabilities       (79,263)
Net Assets (100%)      19,185,653 

 

 56 

 

  

Large-Cap Index Fund

 

At December 31, 2018, net assets consisted of:

 

   Amount 
   ($000
Paid-in Capital   14,299,239 
Total Distributable Earnings (Loss)   4,886,414 
Net Assets   19,185,653 
      
Investor Shares—Net Assets     
Applicable to 7,418,599 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   343,953 
Net Asset Value Per Share—Investor Shares  $46.36 
      
ETF Shares—Net Assets     
Applicable to 107,672,761 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   12,357,735 
Net Asset Value Per Share—ETF Shares  $114.77 
      
Admiral Shares—Net Assets     
Applicable to 91,544,775 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   5,306,251 
Net Asset Value Per Share—Admiral Shares  $57.96 
      
Institutional Shares—Net Assets     
Applicable to 4,936,605 outstanding $.001 par value shares of beneficial interest (unlimited authorization)   1,177,714 
Net Asset Value Per Share— Institutional Shares  $238.57 

See Note A in Notes to Financial Statements.
*Non-income-producing security.
^Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $31,344,000.

§Security value determined using significant unobservable inputs.

1The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts. After giving effect to futures investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 0.2%, respectively, of net assets.

2“Other” represents securities that are not classified by the fund’s benchmark index.

3Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.

4Includes $32,480,000 of collateral received for securities on loan.

5Securities with a value of $4,559,000 have been segregated as initial margin for open futures contracts.

 

Derivative Financial Instruments Outstanding as of Period End

 

Futures Contracts  
        ($000
        Value and  
    Number of   Unrealized  
    Long (Short) Notional Appreciation  
  Expiration Contracts Amount (Depreciation )
Long Futures Contracts          
E-mini S&P 500 Index March 2019 788 98,705 (669 )

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 57 

 

  

Large-Cap Index Fund

 

Statement of Operations

 

   Year Ended 
   December 31, 2018 
   ($000)
Investment Income     
Income     
Dividends   411,223 
Interest1   1,305 
Securities Lending—Net   655 
Total Income   413,183 
Expenses     
The Vanguard Group—Note B     
Investment Advisory Services   2,995 
Management and Administrative—Investor Shares   516 
Management and Administrative—ETF Shares   2,150 
Management and Administrative—Admiral Shares   1,461 
Management and Administrative—Institutional Shares   256 
Marketing and Distribution—Investor Shares   79 
Marketing and Distribution—ETF Shares   532 
Marketing and Distribution—Admiral Shares   361 
Marketing and Distribution—Institutional Shares   26 
Custodian Fees   327 
Auditing Fees   37 
Shareholders’ Reports—Investor Shares   8 
Shareholders’ Reports—ETF Shares   263 
Shareholders’ Reports—Admiral Shares   38 
Shareholders’ Reports—Institutional Shares   3 
Trustees’ Fees and Expenses   12 
Total Expenses   9,064 
Net Investment Income   404,119 
Realized Net Gain (Loss)     
Investment Securities Sold1,2   678,994 
Futures Contracts   (5,852)
Realized Net Gain (Loss)   673,142 
Change in Unrealized Appreciation (Depreciation)     
Investment Securities1   (1,953,671)
Futures Contracts   (797)
Change in Unrealized Appreciation (Depreciation)   (1,954,468)
Net Increase (Decrease) in Net Assets Resulting from Operations   (877,207)

1Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $1,223,000, ($8,000), and $8,000, respectively. Purchases and sales are for temporary cash investment purposes.

2Includes $669,728,000 of net gain (loss) resulting from in-kind redemptions; such gain (loss) is not taxable to the fund.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 58 

 

  

Large-Cap Index Fund

 

Statement of Changes in Net Assets

 

   Year Ended December 31, 
   2018   2017 
   ($000)  ($000)
Increase (Decrease) in Net Assets          
Operations          
Net Investment Income   404,119    308,673 
Realized Net Gain (Loss)   673,142    217,973 
Change in Unrealized Appreciation (Depreciation)   (1,954,468)   2,670,826 
Net Increase (Decrease) in Net Assets Resulting from Operations   (877,207)   3,197,472 
Distributions          
Net Investment Income          
Investor Shares   (6,911)   (7,172)
ETF Shares   (243,075)   (190,180)
Admiral Shares   (106,867)   (91,116)
Institutional Shares   (23,370)   (20,083)
Realized Capital Gain          
Investor Shares        
ETF Shares        
Admiral Shares        
Institutional Shares        
Total Distributions   (380,223)   (308,551)
Capital Share Transactions          
Investor Shares   (19,620)   (86,883)
ETF Shares   1,551,173    1,372,048 
Admiral Shares   279,738    392,051 
Institutional Shares   45,100    89,869 
Net Increase (Decrease) from Capital Share Transactions   1,856,391    1,767,085 
Total Increase (Decrease)   598,961    4,656,006 
Net Assets          
Beginning of Period   18,586,692    13,930,686 
End of Period   19,185,653    18,586,692 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

 59 

 

  

Large-Cap Index Fund

 

Financial Highlights

 

Investor Shares

 

For a Share Outstanding  Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $49.48   $41.31   $37.78   $38.12   $34.24 
Investment Operations                         
Net Investment Income   .9661   .8191   .768    .702    .624 
Net Realized and Unrealized Gain (Loss) on Investments   (3.184)   8.161    3.533    (.348)   3.879 
Total from Investment Operations   (2.218)   8.980    4.301    .354    4.503 
Distributions                         
Dividends from Net Investment Income   (.902)   (.810)   (.771)   (.694)   (.623)
Distributions from Realized Capital Gains                    
Total Distributions   (.902)   (.810)   (.771)   (.694)   (.623)
Net Asset Value, End of Period  $46.36   $49.48   $41.31   $37.78   $38.12 
                          
Total Return2   -4.59%    21.89%    11.50%    0.93%    13.24% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $344   $387   $400   $375   $399 
Ratio of Total Expenses to Average Net Assets   0.17%    0.17%    0.18%    0.20%    0.23% 
Ratio of Net Investment Income to Average Net Assets   1.91%    1.81%    2.02%    1.86%    1.76% 
Portfolio Turnover Rate3   4%    3%    5%    4%    3% 

1Calculated based on average shares outstanding.

2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.

3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Large-Cap Index Fund

 

Financial Highlights

 

ETF Shares

 

For a Share Outstanding  Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $122.49   $102.27   $93.52   $94.36   $84.76 
Investment Operations                         
Net Investment Income   2.5721   2.1681   2.018    1.850    1.672 
Net Realized and Unrealized Gain (Loss) on Investments   (7.896)   20.196    8.754    (.859)   9.599 
Total from Investment Operations   (5.324)   22.364    10.772    .991    11.271 
Distributions                         
Dividends from Net Investment Income   (2.396)   (2.144)   (2.022)   (1.831)   (1.671)
Distributions from Realized Capital Gains                    
Total Distributions   (2.396)   (2.144)   (2.022)   (1.831)   (1.671)
Net Asset Value, End of Period  $114.77   $122.49   $102.27   $93.52   $94.36 
                          
Total Return   -4.44%    22.03%    11.65%    1.07%    13.39% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $12,358   $11,613   $8,468   $6,469   $5,619 
Ratio of Total Expenses to Average Net Assets   0.04%    0.05%    0.06%    0.08%    0.09% 
Ratio of Net Investment Income to Average Net Assets   2.04%    1.93%    2.14%    1.98%    1.90% 
Portfolio Turnover Rate2   4%    3%    5%    4%    3% 

1Calculated based on average shares outstanding.

2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Large-Cap Index Fund

 

Financial Highlights

 

Admiral Shares

 

For a Share Outstanding  Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $61.86   $51.65   $47.23   $47.65   $42.81 
Investment Operations                         
Net Investment Income   1.2881   1.0941   1.019    .936    .846 
Net Realized and Unrealized Gain (Loss) on Investments   (3.983)   10.197    4.422    (.430)   4.839 
Total from Investment Operations   (2.695)   11.291    5.441    .506    5.685 
Distributions                         
Dividends from Net Investment Income   (1.205)   (1.081)   (1.021)   (.926)   (.845)
Distributions from Realized Capital Gains                    
Total Distributions   (1.205)   (1.081)   (1.021)   (.926)   (.845)
Net Asset Value, End of Period  $57.96   $61.86   $51.65   $47.23   $47.65 
                          
Total Return2   -4.47%    22.03%    11.65%    1.07%    13.38% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $5,306   $5,375   $4,130   $3,527   $3,085 
Ratio of Total Expenses to Average Net Assets   0.05%    0.05%    0.06%    0.08%    0.09% 
Ratio of Net Investment Income to Average Net Assets   2.03%    1.93%    2.14%    1.98%    1.90% 
Portfolio Turnover Rate3   4%    3%    5%    4%    3% 

1Calculated based on average shares outstanding.

2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.

3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Large-Cap Index Fund

 

Financial Highlights

 

Institutional Shares

 

For a Share Outstanding  Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period  $254.60   $212.59   $194.40   $196.14   $176.18 
Investment Operations                         
Net Investment Income   5.3451   4.5291   4.215    3.865    3.492 
Net Realized and Unrealized Gain (Loss) on Investments   (16.390)   41.958    18.199    (1.781)   19.957 
Total from Investment Operations   (11.045)   46.487    22.414    2.084    23.449 
Distributions                         
Dividends from Net Investment Income   (4.985)   (4.477)   (4.224)   (3.824)   (3.489)
Distributions from Realized Capital Gains                    
Total Distributions   (4.985)   (4.477)   (4.224)   (3.824)   (3.489)
Net Asset Value, End of Period  $238.57   $254.60   $212.59   $194.40   $196.14 
                          
Total Return   -4.46%    22.03%    11.66%    1.07%    13.41% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)  $1,178   $1,212   $932   $794   $857 
Ratio of Total Expenses to Average Net Assets   0.04%    0.04%    0.05%    0.07%    0.08% 
Ratio of Net Investment Income to Average Net Assets   2.04%    1.94%    2.15%    1.99%    1.91% 
Portfolio Turnover Rate2   4%    3%    5%    4%    3% 

1Calculated based on average shares outstanding.

2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Large-Cap Index Fund

 

Notes to Financial Statements

 

Vanguard Large-Cap Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers four classes of shares: Investor Shares, ETF Shares, Admiral Shares, and Institutional Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker.

 

On November 19, 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. It is anticipated that all of the outstanding Investor Shares will be automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors.

 

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.

 

1. 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 materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. 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.

 

2. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. 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 assets pledged as initial margin for open contracts are noted in the Statement of Net Assets.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

 

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Large-Cap Index Fund

 

During the year ended December 31, 2018, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

 

3. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (December 31, 2015–2018), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

4. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes.

 

5. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

 

6. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

 

The fund had no borrowings outstanding at December 31, 2018, or at any time during the period then ended.

 

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Large-Cap Index Fund

 

7. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

 

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

 

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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets. All other costs of operations payable to Vanguard are generally settled twice a month.

 

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At December 31, 2018, the fund had contributed to Vanguard capital in the amount of $1,071,000, representing 0.01% of the fund’s net assets and 0.43% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

 

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.

 

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 valued with significant unobservable inputs are noted on the Statement of Net Assets.

 

The following table summarizes the market value of the fund’s investments as of December 31, 2018, based on the inputs used to value them:

 

   Level 1  Level 2  Level 3  
Investments  ($000) ($000) ($000 )
Common Stocks  19,079,081     
Temporary Cash Investments  128,554  7,233   
Futures Contracts—Assets1  635     
Total  19,208,270  7,233   

1Represents variation margin on the last day of the reporting period.

 

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Large-Cap Index Fund

 

D. Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period end, permanent differences primarily attributable to the accounting for in-kind redemptions, and the expiration of capital loss carryforwards were reclassified between the following accounts:

 

   Amount 
   ($000)
Paid-in Capital   645,551 
Total Distributable Earnings (Loss)   (645,551)

 

Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the tax deferral of losses on wash sales and the realization of unrealized gains or losses on certain futures contracts. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:

 

   Amount 
   ($000)
Undistributed Ordinary Income   25,143 
Undistributed Long-Term Gains    
Capital Loss Carryforwards (Non-expiring)   (91,843)
Net Unrealized Gains (Losses)   4,957,372 

 

As of December 31, 2018, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:

 

   Amount 
   ($000)
Tax Cost   14,257,496 
Gross Unrealized Appreciation   5,697,897 
Gross Unrealized Depreciation   (740,525)
Net Unrealized Appreciation (Depreciation)   4,957,372 

 

E. During the year ended December 31, 2018, the fund purchased $3,658,672,000 of investment securities and sold $1,871,369,000 of investment securities, other than temporary cash investments. Purchases and sales include $2,524,687,000 and $1,048,337,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

 

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Large-Cap Index Fund

 

F. Capital share transactions for each class of shares were:

 

   Year Ended December 31, 
       2018       2017 
   Amount   Shares   Amount   Shares 
   ($000  (000  ($000  (000
Investor Shares                    
Issued   121,934    2,382    118,135    2,621 
Issued in Lieu of Cash Distributions   6,625    133    6,912    150 
Redeemed   (148,179)   (2,917)   (211,930)   (4,643)
Net Increase (Decrease)—Investor Shares   (19,620)   (402)   (86,883)   (1,872)
ETF Shares                    
Issued   2,602,362    21,138    1,614,290    14,185 
Issued in Lieu of Cash Distributions                
Redeemed   (1,051,189)   (8,275)   (242,242)   (2,175)
Net Increase (Decrease)—ETF Shares   1,551,173    12,863    1,372,048    12,010 
Admiral Shares                    
Issued   1,357,240    21,650    1,077,132    19,032 
Issued in Lieu of Cash Distributions   87,699    1,413    74,998    1,299 
Redeemed   (1,165,201)   (18,414)   (760,079)   (13,403)
Net Increase (Decrease)—Admiral Shares   279,738    4,649    392,051    6,928 
Institutional Shares                    
Issued   265,348    1,014    316,743    1,353 
Issued in Lieu of Cash Distributions   19,212    75    16,062    67 
Redeemed   (239,460)   (911)   (242,936)   (1,043)
Net Increase (Decrease)—Institutional Shares   45,100    178    89,869    377 

 

G. Management has determined that no events or transactions occurred subsequent to December 31, 2018, that would require recognition or disclosure in these financial statements.

 

 68 

 

  

Report of Independent Registered Public Accounting Firm

 

To the Board of Trustees of Vanguard Index Funds and Shareholders of Vanguard Growth Index Fund, Vanguard Value Index Fund and Vanguard Large-Cap Index Fund

 

Opinions on the Financial Statements

We have audited the accompanying statements of net assets of Vanguard Growth Index Fund, Vanguard Value Index Fund and Vanguard Large-Cap Index Fund (three of the funds constituting Vanguard Index Funds, hereafter collectively referred to as the “Funds”) as of December 31, 2018, the related statements of operations for the year ended December 31, 2018, the statements of changes in net assets for each of the two years in the period ended December 31, 2018, including the related notes, and the financial highlights for each of the five years in the period ended December 31, 2018 (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of each of the Funds as of December 31, 2018, the results of each of their operations for the year then ended, the changes in each of their net assets for each of the two years in the period ended December 31, 2018 and each of the financial highlights for each of the five years in the period ended December 31, 2018 in conformity with accounting principles generally accepted in the United States of America.

 

Basis for Opinions

These financial statements are the responsibility of the Funds’ management. Our responsibility is to express an opinion on the Funds’ financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Funds in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

 

We conducted our audits of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of December 31, 2018 by correspondence with the custodians and brokers and by agreement to the underlying ownership records of the transfer agent; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinions.

 

/s/PricewaterhouseCoopers LLP

Philadelphia, Pennsylvania

February 13, 2019

 

We have served as the auditor of one or more investment companies in The Vanguard Group of Funds since 1975.

 

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Special 2018 tax information (unaudited) for Vanguard U.S. Stock Index Funds

(Large-Capitalization Portfolios)

 

This information for the fiscal year ended December 31, 2018, is included pursuant to provisions of the Internal Revenue Code.

 

The funds distributed qualified dividend income to shareholders during the fiscal year as follows:

 

Fund  ($000)
Growth Index Fund   896,615 
Value Index Fund   1,721,134 
Large-Cap Index Fund   380,224 

 

For corporate shareholders, the percentage of investment income (dividend income plus short-term gains, if any) that qualifies for the dividends-received deduction is as follows:

 

Fund  Percentage 
Growth Index Fund   85.8% 
Value Index Fund   95.5 
Large-Cap Index Fund   92.9 

 

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The People Who Govern Your Fund

 

The trustees of your mutual fund are there to see that the fund is operated and managed in your best interests since, as a shareholder, you are a part owner of the fund. Your fund’s trustees also serve on the board of directors of The Vanguard Group, Inc., which is owned by the Vanguard funds and provides services to them.

 

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 212 Vanguard funds.

 

Information for each trustee and executive officer of the fund appears below. The mailing address of the trustees and officers is P.O. Box 876, Valley Forge, PA 19482. More information about the trustees is in the Statement of Additional Information, which can be obtained, without charge, by contacting Vanguard at 800-662-7447, or online at vanguard.com.

  

Interested Trustees1

 

F. William McNabb III

Born in 1957. Trustee since July 2009. Principal occupation(s) during the past five years and other experience: chairman of the board (January 2010–present) of Vanguard and of each of the investment companies served by Vanguard, trustee (2009–present) of each of the investment companies served by Vanguard, and director (2008–present) of Vanguard. Chief executive officer and president (2008–2017) of Vanguard and each of the investment companies served by Vanguard, managing director (1995–2008) of Vanguard, and director (1997–2018) of Vanguard Marketing Corporation. Director (2018–present) of UnitedHealth Group.

 

Mortimer J. Buckley

Born in 1969. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: chief executive officer (January 2018–present) of Vanguard; chief executive officer, president, and trustee (January 2018–present) of each of the investment companies served by Vanguard; president and director (2017–present) of Vanguard; and president (February 2018–present) of Vanguard Marketing Corporation. Chief investment officer (2013–2017), managing director (2002–2017), head of the Retail Investor Group (2006–2012), and chief information officer (2001–2006) of Vanguard. Chairman of the board (2011–2017) of the Children’s Hospital of Philadelphia.

 

Independent Trustees

 

Emerson U. Fullwood

Born in 1948. Trustee since January 2008. Principal occupation(s) during the past five years and other experience: executive chief staff and marketing officer for North America and corporate vice president (retired 2008) of Xerox Corporation (document management products and services). Former president of the Worldwide Channels Group, Latin America, and Worldwide Customer Service and executive chief staff officer of Developing Markets of Xerox. Executive in residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology. Lead director of SPX FLOW, Inc. (multi-industry manufacturing). Director of the University of Rochester Medical Center, the Monroe Community College Foundation, the United Way of Rochester, North Carolina A&T University, and Roberts Wesleyan College. Trustee of the University of Rochester.

 

Amy Gutmann

Born in 1949. Trustee since June 2006. Principal occupation(s) during the past five years and other experience: president (2004–present) of the University of Pennsylvania. Christopher H. Browne Distinguished Professor of Political Science, School of Arts and Sciences, and professor of communication, Annenberg School for Communication, with secondary faculty appointments in the Department of Philosophy, School of Arts and Sciences, and at the Graduate School of Education, University of Pennsylvania. Trustee of the National Constitution Center.

 

1Mr. McNabb and Mr. Buckley are considered “interested persons,” as defined in the Investment Company Act of 1940, because they are officers of the Vanguard funds.

 

 

 

  

JoAnn Heffernan Heisen

Born in 1950. Trustee since July 1998. Principal occupation(s) during the past five years and other experience: corporate vice president of Johnson & Johnson (pharmaceuticals/medical devices/consumer products) and member of its executive committee (1997–2008). Chief global diversity officer (retired 2008), vice president and chief information officer (1997–2006), controller (1995–1997), treasurer (1991–1995), and assistant treasurer (1989–1991) of Johnson & Johnson. Director of Skytop Lodge Corporation (hotels) and the Robert Wood Johnson Foundation. Member of the advisory board of the Institute for Women’s Leadership at Rutgers University.

 

F. Joseph Loughrey

Born in 1949. Trustee since October 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2009) and vice chairman of the board (2008–2009) of Cummins Inc. (industrial machinery). Chairman of the board of Hillenbrand, Inc. (specialized consumer services), Oxfam America, and the Lumina Foundation for Education. Director of the V Foundation for Cancer Research. Member of the advisory council for the College of Arts and Letters and chair of the advisory board to the Kellogg Institute for International Studies, both at the University of Notre Dame.

 

Mark Loughridge

Born in 1953. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: senior vice president and chief financial officer (retired 2013) of IBM (information technology services). Fiduciary member of IBM’s Retirement Plan Committee (2004–2013), senior vice president and general manager (2002–2004) of IBM Global Financing, vice president and controller (1998–2002) of IBM, and a variety of other prior management roles at IBM. Member of the Council on Chicago Booth.

 

Scott C. Malpass

Born in 1962. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: chief investment officer (1989–present) and vice president (1996–present) of the University of Notre Dame. Assistant professor of finance at the Mendoza College of Business, University of Notre Dame, and member of the Notre Dame 403(b) Investment Committee. Chairman of the board of TIFF Advisory Services, Inc. Member of the board of Catholic Investment Services, Inc. (investment advisors), the board of advisors for Spruceview Capital Partners, and the board of superintendence of the Institute for the Works of Religion.

 

Deanna Mulligan

Born in 1963. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: president (2010–present) and chief executive officer (2011–present) of The Guardian Life Insurance Company of America. Chief operating officer (2010–2011) and executive vice president (2008–2010) of Individual Life and Disability of The Guardian Life Insurance Company of America. Member of the board of The Guardian Life Insurance Company of America, the American Council of Life Insurers, the Partnership for New York City (business leadership), and the Committee Encouraging Corporate Philanthropy. Trustee of the Economic Club of New York and the Bruce Museum (arts and science). Member of the Advisory Council for the Stanford Graduate School of Business.

 

André F. Perold

Born in 1952. Trustee since December 2004. Principal occupation(s) during the past five years and other experience: George Gund Professor of Finance and Banking, Emeritus at the Harvard Business School (retired 2011). Chief investment officer and co-managing partner of HighVista Strategies LLC (private investment firm). Overseer of the Museum of Fine Arts Boston.

 

Sarah Bloom Raskin

Born in 1961. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: deputy secretary (2014–2017) of the United States Department of the Treasury. Governor (2010–2014) of the Federal Reserve Board. Commissioner (2007–2010) of financial regulation for the State of Maryland. Member of the board of directors (2012–2014) of Neighborhood Reinvestment Corporation. Director of i(x) Investments, LLC.

 

Peter F. Volanakis

Born in 1955. Trustee since July 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2010) of Corning Incorporated (communications equipment) and director of Corning Incorporated (2000–2010) and Dow Corning (2001–2010). Director (2012) of SPX Corporation (multi-industry manufacturing). Overseer of the Amos Tuck School of Business Administration, Dartmouth College (2001–2013). Chairman of the board of trustees of Colby-Sawyer College. Member of the Board of Hypertherm Inc. (industrial cutting systems, software, and consumables).

 

 

 

  

Executive Officers

 

Glenn Booraem

Born in 1967. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Investment stewardship officer (2017–present), treasurer (2015–2017), controller (2010–2015), and assistant controller (2001–2010) of each of the investment companies served by Vanguard.

 

Christine M. Buchanan

Born in 1970. Principal occupation(s) during the past five years and other experience: principal of Vanguard and global head of Fund Administration at Vanguard. Treasurer (2017–present) of each of the investment companies served by Vanguard. Partner (2005–2017) at KPMG LLP (audit, tax, and advisory services).

 

Brian Dvorak

Born in 1973. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief compliance officer (2017–present) of Vanguard and each of the investment companies served by Vanguard. Assistant vice president (2017–present) of Vanguard Marketing Corporation. Vice president and director of Enterprise Risk Management (2011–2013) at Oppenheimer Funds, Inc.

 

Thomas J. Higgins

Born in 1957. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief financial officer (2008–present) and treasurer (1998–2008) of each of the investment companies served by Vanguard.

 

Peter Mahoney

Born in 1974. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Controller (2015–present) of each of the investment companies served by Vanguard. Head of International Fund Services (2008–2014) at Vanguard.

 

Anne E. Robinson

Born in 1970. Principal occupation(s) during the past five years and other experience: general counsel (2016–present) of Vanguard. Secretary (2016–present) of Vanguard and of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Director and senior vice president (2016–2018) of Vanguard Marketing Corporation. Managing director and general counsel of Global Cards and Consumer Services (2014–2016) at Citigroup. Counsel (2003–2014) at American Express.

 

Michael Rollings

Born in 1963. Principal occupation(s) during the past five years and other experience: finance director (2017–present) and treasurer (2017) of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Chief financial officer (2016–present) of Vanguard. Director (2016–present) of Vanguard Marketing Corporation. Executive vice president and chief financial officer (2006–2016) of MassMutual Financial Group.

 

Vanguard Senior Management Team

 

Joseph Brennan Chris D. McIsaac
Mortimer J. Buckley James M. Norris
Gregory Davis Thomas M. Rampulla
John James Karin A. Risi
Martha G. King Anne E. Robinson
John T. Marcante Michael Rollings

 

Chairman Emeritus and Senior Advisor

 

John J. Brennan

Chairman, 1996–2009

Chief Executive Officer and President, 1996–2008

 

Founder

 

John C. Bogle

Chairman and Chief Executive Officer, 1974–1996

 

 

 

 

 
   
  P.O. Box 2600
  Valley Forge, PA 19482-2600

 

Connect with Vanguard® > vanguard.com

 

Fund Information > 800-662-7447

 

Direct Investor Account Services > 800-662-2739

 

Institutional Investor Services > 800-523-1036

 

Text Telephone for People 

Who Are Deaf or Hard of Hearing > 800-749-7273

 

This material may be used in conjunction with the offering of shares of any Vanguard fund only if preceded or accompanied by the fund’s current prospectus.

 

All comparative mutual fund data are from Lipper, a Thomson Reuters Company, or Morningstar, Inc., unless otherwise noted.

 

You can obtain a free copy of Vanguard’s proxy voting guidelines by visiting vanguard.com/proxyreporting or by calling Vanguard at 800-662-2739. The guidelines are also available from the SEC’s website, sec.gov. In addition, you may obtain a free report on how your fund voted the proxies for securities it owned during the 12 months ended June 30. To get the report, visit either vanguard.com/proxyreporting or sec.gov.

 

You can review information about your fund on the SEC’s website, and you can receive copies of this information, for a fee, by sending a request via email addressed to publicinfo@sec.gov.

 

Source for Bloomberg Barclays indexes: Bloomberg Index Services Limited. Copyright 2019, Bloomberg. All rights reserved.

 

  © 2019 The Vanguard Group, Inc.
  All rights reserved.
  U.S. Patent Nos. 6,879,964; 7,337,138;
  7,720,749; 7,925,573; 8,090,646; 8,417,623; and 8,626,636.
  Vanguard Marketing Corporation, Distributor.
   
  Q03070 022019

 

 

 

 

 

 

 

 

 

 

 

Annual Report | December 31, 2018

 

 

Vanguard Total Stock Market Index Fund

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

See the inside front cover for important information about access to your fund’s annual and semiannual shareholder reports.

 

 

 

 

 

 

Important information about access to shareholder reports

 

Beginning on January 1, 2021, as permitted by regulations adopted by the Securities and Exchange Commission, paper copies of your fund’s annual and semiannual shareholder reports will no longer be sent to you by mail, unless you specifically request them. Instead, you will be notified by mail each time a report is posted on the website and will be provided with a link to access the report.

 

If you have already elected to receive shareholder reports electronically, you will not be affected by this change and do not need to take any action. You may elect to receive shareholder reports and other communications from the fund electronically by contacting your financial intermediary (such as a broker-dealer or bank) or, if you invest directly with the fund, by calling Vanguard at one of the phone numbers on the back cover of this report or by logging on to vanguard.com.

 

You may elect to receive paper copies of all future shareholder reports free of charge. If you invest through a financial intermediary, you can contact the intermediary to request that you continue to receive paper copies. If you invest directly with the fund, you can call Vanguard at one of the phone numbers on the back cover of this report or log on to vanguard.com. Your election to receive paper copies will apply to all the funds you hold through an intermediary or directly with Vanguard.

 

Contents

 

A Note From Our CEO 1
   
Your Fund’s Performance at a Glance 2
   
About Your Fund’s Expenses 3
   
Performance Summary 5
   
Financial Statements 8

 

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises or advice. Also, please keep in mind that the information and opinions cover the period through the date on the front of this report. Of course, the risks of investing in your fund are spelled out in the prospectus.

 

 

 

 

A Note From Our CEO

 

 

 

Tim Buckley

Chairman and Chief Executive Officer

 

Dear Shareholder,

 

Over the years, I’ve found that prudent investors exhibit a common trait: discipline. No matter how the markets move or what new investing fad hits the headlines, those who stay focused on their goals and tune out the noise are set up for long-term success.

 

The prime gateway to investing is saving, and you don’t usually become a saver without a healthy dose of discipline. Savers make the decision to sock away part of their income, which means spending less and delaying gratification, no matter how difficult that may be.

 

Of course, disciplined investing extends beyond diligent saving. The financial markets, in the short term especially, are unpredictable; I have yet to meet the investor who can time them perfectly. It takes discipline to resist the urge to go all-in when markets are frothy or to retreat when things look bleak.

  

Staying put with your investments is one strategy for handling volatility. Another, rebalancing, requires even more discipline because it means steering your money away from strong performers and toward poorer performers.

 

Patience—a form of discipline—is also the friend of long-term investors. Higher returns are the potential reward for weathering the market’s turbulence and uncertainty.

 

It’s important to be prepared for that turbulence, whenever it appears. Don’t panic. Don’t chase returns or look for answers outside the asset classes you trust. And be sure to rebalance periodically, even when there’s turmoil.

 

Whether you’re a master of self-control, get a boost from technology, or work with a professional advisor, know that discipline is necessary to get the most out of your investment portfolio. And know that Vanguard is with you for the entire ride.

 

Thank you for your continued loyalty.

 

Sincerely,

 

 

Mortimer J. Buckley

Chairman and Chief Executive Officer

January 17, 2019

 

1

 

 

Your Fund’s Performance at a Glance

 

·    The broad U.S. stock market finished 2018 with about a –5% return—its first negative calendar-year result since 2008—as stocks declined sharply over the fourth quarter. Growth stocks outperformed value, while large-capitalization stocks led mid- and small-caps.

 

·    Reflecting this environment, Vanguard Total Stock Market Index Fund returned –5.26% for Investor Shares and –5.17% for Admiral Shares for the 12 months ended December 31, 2018. The fund, which offers investors exposure to every segment, size, and style of the U.S. equity market, closely tracked its target index, the CRSP US Total Market Index, and outpaced its multicapitalization core fund peers.

 

·    Seven of the fund’s ten sectors recorded negative returns, with financials and industrials detracting the most from results. Health care was the top contributor.

 

·    Please note that in November, Vanguard lowered the investment minimum for the fund’s Admiral Shares from $10,000 to $3,000.

 

Market Barometer

 

  Average Annual Total Returns
  Periods Ended December 31, 2018
  One Year Three Years Five Years
Stocks      
Russell 1000 Index (Large-caps) -4.78% 9.09% 8.21%
Russell 2000 Index (Small-caps) -11.01    7.36    4.41   
Russell 3000 Index (Broad U.S. market) -5.24    8.97    7.91   
FTSE All-World ex US Index (International) -14.13    4.58    1.05   
       
Bonds      
Bloomberg Barclays U.S. Aggregate Bond Index      
(Broad taxable market) 0.01% 2.06% 2.52%
Bloomberg Barclays Municipal Bond Index      
(Broad tax-exempt market) 1.28    2.30    3.82   
FTSE Three-Month U.S. Treasury Bill Index 1.86    0.98    0.59   
       
CPI      
Consumer Price Index 1.91% 2.03% 1.51%

 

2

 

 

About Your Fund’s Expenses

 

As a shareholder of the fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund.

 

A fund’s expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing costs (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period.

 

The accompanying table illustrates your fund’s costs in two ways:

 

·     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.

 

To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund under the heading “Expenses Paid During 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.

 

Note that the expenses shown in the table are meant to highlight and help you compare ongoing costs only and do not reflect transaction costs incurred by the fund for buying and selling securities. Further, the expenses do not include any purchase, redemption, or account service fees described in the fund prospectus. If such fees were applied to your account, your costs would be higher. Your fund does not carry a “sales load.”

 

The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions.

 

You can find more information about the fund’s expenses, including annual expense ratios, in the Financial Statements section of this report. For additional information on operating expenses and other shareholder costs, please refer to your fund’s current prospectus.

 

3

 

 

Six Months Ended December 31, 2018

 

  Beginning Ending Expenses
  Account Value Account Value Paid During
Total Stock Market Index Fund 6/30/2018 12/31/2018 Period
Based on Actual Fund Return      
Investor Shares $1,000.00 $917.80 $0.68
ETF Shares 1,000.00 918.45 0.10
Admiral™ Shares 1,000.00 918.17 0.19
Institutional Shares 1,000.00 918.24 0.15
Institutional Plus Shares 1,000.00 918.28 0.10
Institutional Select Shares 1,000.00 918.31 0.05
Based on Hypothetical 5% Yearly Return      
Investor Shares $1,000.00 $1,024.50 $0.71
ETF Shares 1,000.00 1,025.10 0.10
Admiral Shares 1,000.00 1,025.00 0.20
Institutional Shares 1,000.00 1,025.05 0.15
Institutional Plus Shares 1,000.00 1,025.10 0.10
Institutional Select Shares 1,000.00 1,025.16 0.05

The calculations are based on expenses incurred in the most recent six-month period. The fund’s annualized six-month expense ratios for that period are 0.14% for Investor Shares, 0.02% for ETF Shares, 0.04% for Admiral Shares, 0.03% for Institutional Shares, 0.02% for Institutional Plus Shares, and 0.01% for Institutional Select Shares. The dollar amounts shown as “Expenses Paid” are equal to the annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent six-month period, then divided by the number of days in the most recent 12-month period (184/365).

 

4

 

 

Total Stock Market Index Fund

 

Performance Summary

 

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

 

Cumulative Performance: December 31, 2008, Through December 31, 2018

Initial Investment of $10,000

 

 

    Average Annual Total Returns  
    Periods Ended December 31, 2018  
          Final Value
    One Five Ten of a $10,000
    Year Years Years Investment
Total Stock Market Index Fund        
Investor Shares -5.26% 7.79% 13.13% $34,325
Spliced Total Stock Market Index -5.17    7.92    13.26    34,736

Spliced Total Stock Market Index: Dow Jones U.S. Total Stock Market Index (formerly known as the Dow Jones Wilshire 5000 Index) through April 22, 2005; MSCI US Broad Market Index through June 2, 2013; and CRSP US Total Market Index thereafter.

 

        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Total Stock Market Index Fund        
ETF Shares Net Asset Value -5.13% 7.92% 13.26% $34,723
Spliced Total Stock Market Index -5.17    7.92    13.26    34,736

 

        Final Value
  One Five Ten of a $10,000
  Year Years Years Investment
Total Stock Market Index Fund Admiral Shares -5.17% 7.90% 13.25% $34,709
Spliced Total Stock Market Index -5.17    7.92    13.26    34,736

 

See Financial Highlights for dividend and capital gains information.

 

5

 

 

Total Stock Market Index Fund

  

  Average Annual Total Returns  
  Periods Ended December 31, 2018  
        Final Value
  One Five Ten of a $5,000,000
  Year Years Years Investment
Total Stock Market Index Fund Institutional Shares -5.16% 7.91% 13.26% $17,361,590
Spliced Total Stock Market Index -5.17    7.92    13.26   17,368,142

 

    Since Final Value
  One Inception of a $100,000,000
  Year (4/28/2015) Investment
Total Stock Market Index Fund Institutional Plus Shares -5.15% 6.33% $125,298,030
CRSP US Total Market Index -5.17    6.31   125,232,230

"Since Inception" performance is calculated from the Institutional Plus Shares’ inception date for both the fund and its comparative standards.

 

    Since Final Value
  One Inception of a $5,000,000,000
  Year (6/27/2016) Investment
Total Stock Market Index Fund Institutional Select Shares -5.14% 11.47% $6,567,400,000
CRSP US Total Market Index -5.17    11.45    6,563,911,000

"Since Inception" performance is calculated from the Institutional Select Shares’ inception date for both the fund and its comparative standards.

 

Cumulative Returns of ETF Shares: December 31, 2008, Through December 31, 2018

 

  One Five Ten
  Year Years Years
Total Stock Market Index Fund ETF Shares Market Price -5.20% 46.33% 246.82%
Total Stock Market Index Fund ETF Shares Net Asset Value -5.13    46.36    247.23   
Spliced Total Stock Market Index -5.17    46.37    247.36   

For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market price was above or below the NAV.

 

6

 

 

Total Stock Market Index Fund

 

Sector Diversification

As of December 31, 2018

 

Basic Materials 2.5%
Consumer Goods 7.9  
Consumer Services 13.6  
Financials 19.5  
Health Care 13.9  
Industrials 12.9  
Oil & Gas 5.0  
Technology 19.4  
Telecommunications 2.0  
Utilities 3.3  

The table reflects the fund’s equity exposure, based on its investments in stocks and stock index futures. Any holdings in short-term reserves are excluded. Sector categories are based on the Industry Classification Benchmark (“ICB”), except for the “Other” category (if applicable), which includes securities that have not been provided an ICB classification as of the effective reporting period.

 

7

 

 

Total Stock Market Index Fund

 

Financial Statements

 

Statement of Net Assets—Investments Summary

As of December 31, 2018

 

This Statement summarizes the fund’s holdings by asset type. Details are reported for each of the fund’s 50 largest individual holdings and for investments that, in total for any issuer, represent more than 1% of the fund’s net assets. The total value of smaller holdings is reported as a single amount within each category.

 

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the complete listing of the fund’s holdings is available electronically on vanguard.com and on the Securities and Exchange Commission’s website (sec.gov), or you can have it mailed to you without charge by calling 800-662-7447. For the first and third fiscal quarters, the fund files the lists with the SEC on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website.

 

          Market   Percentage 
          Value   of Net 
      Shares   ($000)   Assets 
Common Stocks               
Basic Materials               
   DowDuPont Inc.   61,298,118    3,278,223    0.5%
   Basic Materials—Other †        13,214,018    1.9%
            16,492,241    2.4%
Consumer Goods               
   Procter & Gamble Co.   66,548,734    6,117,160    0.9%
   Coca-Cola Co.   102,283,588    4,843,128    0.7%
   PepsiCo Inc.   37,706,704    4,165,837    0.6%
   Philip Morris International Inc.   41,505,319    2,770,895    0.4%
   NIKE Inc. Class B   34,010,881    2,521,567    0.4%
   Consumer Goods—Other †        32,620,974    4.9%
            53,039,561    7.9%
Consumer Services               
*  Amazon.com Inc.   11,103,329    16,676,867    2.5%
   Home Depot Inc.   30,177,998    5,185,184    0.8%
   Walt Disney Co.   37,777,614    4,142,315    0.6%
   Comcast Corp. Class A   121,287,849    4,129,851    0.6%
   McDonald’s Corp.   20,593,963    3,656,870    0.6%
   Walmart Inc.   39,123,470    3,644,351    0.5%
*  Netflix Inc.   11,067,658    2,962,369    0.4%
§  Consumer Services—Other †        50,312,374    7.5%
            90,710,181    13.5%
Financials               
*  Berkshire Hathaway Inc. Class B   50,508,373    10,312,800    1.5%
   JPMorgan Chase & Co.   88,872,039    8,675,688    1.3%
   Visa Inc. Class A   47,014,765    6,203,128    0.9%
   Bank of America Corp.   236,065,255    5,816,648    0.9%
   Wells Fargo & Co.   113,207,525    5,216,603    0.8%

 

8

 

 

Total Stock Market Index Fund

 

          Market   Percentage 
          Value   of Net 
      Shares   ($000)   Assets 
   Mastercard Inc. Class A   24,548,873    4,631,145    0.7%
   Citigroup Inc.   65,271,677    3,398,044    0.5%
*  Berkshire Hathaway Inc. Class A   1,034    316,404    0.0%
§  Financials—Other †        85,349,952    12.7%
            129,920,412    19.3%
Health Care               
   Johnson & Johnson   71,605,522    9,240,693    1.4%
   Pfizer Inc.   154,420,822    6,740,469    1.0%
   UnitedHealth Group Inc.   25,701,378    6,402,727    1.0%
   Merck & Co. Inc.   69,465,748    5,307,878    0.8%
   AbbVie Inc.   40,166,516    3,702,951    0.5%
   Abbott Laboratories   46,919,307    3,393,673    0.5%
   Amgen Inc.   17,024,650    3,314,189    0.5%
   Medtronic plc   35,956,531    3,270,606    0.5%
   Eli Lilly & Co.   25,470,396    2,947,434    0.4%
   Health Care—Other †        48,676,076    7.2%
            92,996,696    13.8%
Industrials               
   Boeing Co.   14,412,662    4,648,083    0.7%
   3M Co.   15,557,202    2,964,269    0.4%
   Union Pacific Corp.   19,683,934    2,720,910    0.4%
   Honeywell International Inc.   19,774,557    2,612,614    0.4%
*  PayPal Holdings Inc.   29,900,604    2,514,342    0.4%
§  Industrials—Other †        70,976,534    10.6%
            86,436,752    12.9%
Oil & Gas               
   Exxon Mobil Corp.   113,056,417    7,709,317    1.2%
   Chevron Corp.   51,040,764    5,552,725    0.8%
§  Oil & Gas—Other †        20,312,180    3.0%
            33,574,222    5.0%
                   
§,1 Other †        5,224    0.0%
                   
Technology               
   Microsoft Corp.   206,471,453    20,971,305    3.1%
   Apple Inc.   114,093,756    17,997,149    2.7%
*  Facebook Inc. Class A   64,181,484    8,413,551    1.3%
*  Alphabet Inc. Class A   7,987,157    8,346,260    1.2%
*  Alphabet Inc. Class C   7,938,287    8,220,969    1.2%
   Intel Corp.   121,924,450    5,721,914    0.8%
   Cisco Systems Inc.   120,089,777    5,203,490    0.8%
   Oracle Corp.   70,840,246    3,198,437    0.5%
*  Adobe Inc.   13,040,518    2,950,287    0.4%
   International Business Machines Corp.   24,277,551    2,759,629    0.4%
   Broadcom Inc.   10,493,014    2,668,164    0.4%
*  salesforce.com Inc.   19,415,586    2,659,353    0.4%
   Technology—Other †        40,746,347    6.1%
            129,856,855    19.3%

 

9

 

 

Total Stock Market Index Fund

 

           Market   Percentage 
           Value   of Net 
         Shares    ($000)   Assets 
Telecommunications                    
Verizon Communications Inc.        110,381,847    6,205,667    0.9% 
AT&T Inc.        194,426,250    5,548,925    0.8% 
Telecommunications—Other †             1,564,998    0.3% 
              13,319,590    2.0% 
                     
Utilities †             21,923,009    3.3% 
Total Common Stocks (Cost $473,160,255)             668,274,743    99.4%2 
                     
    Coupon                
Temporary Cash Investments                    
Money Market Fund                    
3,4  Vanguard Market Liquidity Fund   2.530%   56,919,051    5,691,905    0.9% 
                     
5U.S. Government and Agency Obligations †             263,813    0.0% 
Total Temporary Cash Investments (Cost $5,955,110)             5,955,718    0.9%2 
6Total Investments (Cost $479,115,365)             674,230,461    100.3% 
                     
              Amount      
              ($000)     
Other Assets and Liabilities                    
Other Assets                    
Investment in Vanguard             38,011      
Receivables for Investment Securities Sold             115,408      
Receivables for Accrued Income             816,954      
Receivables for Capital Shares Issued             1,587,383      
Variation Margin Receivable—Futures Contracts             30,362      
Other Assets7             53,289      
Total Other Assets             2,641,407    0.5% 
Liabilities                    
Payables for Investment Securities Purchased             (1,230,335)     
Collateral for Securities on Loan             (2,633,559)     
Payables for Capital Shares Redeemed             (639,991)     
Payables to Vanguard             (169,788)     
Variation Margin Payable—Futures Contracts             (320)     
Unrealized Depreciation—Swap Contracts             (2,211)     
Total Liabilities             (4,676,204)   (0.8%)
Net Assets             672,195,664    100.0% 
                     
At December 31, 2018, net assets consisted of:                    
                   Amount 
                   ($000)
Paid-in Capital                  478,179,649 
Total Distributable Earnings (Loss)                  194,016,015 
Net Assets                  672,195,664 

 

10

 

 

Total Stock Market Index Fund

 

   Amount 
    ($000)
Investor Shares—Net Assets     
Applicable to 1,953,536,865 outstanding $.001 par value shares of     
beneficial interest (unlimited authorization)   121,265,869 
Net Asset Value Per Share—Investor Shares   $62.08 
      
ETF Shares—Net Assets     
Applicable to 743,263,419 outstanding $.001 par value shares of     
beneficial interest (unlimited authorization)   94,809,421 
Net Asset Value Per Share—ETF Shares   $127.56 
      
Admiral Shares—Net Assets     
Applicable to 2,981,054,239 outstanding $.001 par value shares of     
beneficial interest (unlimited authorization)   185,101,915 
Net Asset Value Per Share—Admiral Shares   $62.09 
      
Institutional Shares—Net Assets     
Applicable to 1,853,585,521 outstanding $.001 par value shares of     
beneficial interest (unlimited authorization)   115,115,348 
Net Asset Value Per Share—Institutional Shares   $62.10 
      
Institutional Plus Shares—Net Assets     
Applicable to 1,164,655,630 outstanding $.001 par value shares of     
beneficial interest (unlimited authorization)   135,641,458 
Net Asset Value Per Share—Institutional Plus Shares   $116.46 
      
Institutional Select Shares—Net Assets     
Applicable to 165,800,987 outstanding $.001 par value shares of     
beneficial interest (unlimited authorization)   20,261,653 
Net Asset Value Per Share—Institutional Select Shares   $122.20 

See Note A in Notes to Financial Statements.

*Non-income-producing security.

Represents the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

§Security value determined using significant unobservable inputs.

1“Other” represents securities that are not classified by the fund’s benchmark index.

2The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts and swap contracts. After giving effect to futures and swap investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 0.3%, respectively, of net assets.

3Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.

4Includes $2,633,559,000 of collateral received for securities on loan.

5Securities with a value of $186,579,000 have been segregated as initial margin for open futures contracts.

6The total value of securities on loan is $2,480,929,000.

7Cash with a value of $2,650,000 has been segregated as collateral for open over-the-counter swap contracts.

 

11

 

 

Total Stock Market Index Fund

 

Derivative Financial Instruments Outstanding as of Period End
 
Futures Contracts                    
                   ($000)
                   Value and 
         Number of         Unrealized 
         Long (Short)   Notional    Appreciation 
    Expiration    Contracts    Amount    (Depreciation)
Long Futures Contracts                    
E-mini S&P 500 Index   March 2019    29,625    3,710,828    (106,471)
E-mini Russell 2000 Index   March 2019    1,914    129,099    (6,420)
E-mini S&P Mid-Cap 400 Index   March 2019    240    39,893    (1,764)
                   (114,655)

 

Total Return Swaps                    
                        Value and 
                   Floating    Unrealized 
              Notional    Interest Rate    Appreciation 
    Termination         Amount    Received    (Depreciation)
Reference Entity   Date    Counterparty    ($000)   (Paid)1   ($000)
SLM Corp.   2/04/2019    GSI    35,318    2.870%   (823)
VICI Properties Inc.   2/04/2019    GSI    29,610    3.270%   (1,041)
VICI Properties Inc.   2/04/2019    GSI    9,870    3.270%   (347)
                        (2,211)

 

GSI—Goldman Sachs International. 

1 Payment received/paid monthly.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

12

 

 

Total Stock Market Index Fund

 

Statement of Operations

 

   Year Ended 
   December 31, 2018 
    ($000)
Investment Income     
Income     
Dividends   13,933,848 
Interest1   54,283 
Securities Lending—Net   126,669 
Total Income   14,114,800 
Expenses     
The Vanguard Group—Note B     
Investment Advisory Services   24,218 
Management and Administrative—Investor Shares   158,387 
Management and Administrative—ETF Shares   21,276 
Management and Administrative—Admiral Shares   60,985 
Management and Administrative—Institutional Shares   27,571 
Management and Administrative—Institutional Plus Shares   20,989 
Management and Administrative—Institutional Select Shares   1,082 
Marketing and Distribution—Investor Shares   17,741 
Marketing and Distribution—ETF Shares   3,627 
Marketing and Distribution—Admiral Shares   10,293 
Marketing and Distribution—Institutional Shares   2,877 
Marketing and Distribution—Institutional Plus Shares   1,500 
Marketing and Distribution—Institutional Select Shares   1 
Custodian Fees   2,430 
Auditing Fees   421 
Shareholders’ Reports—Investor Shares   1,252 
Shareholders’ Reports—ETF Shares   1,097 
Shareholders’ Reports—Admiral Shares   511 
Shareholders’ Reports—Institutional Shares   902 
Shareholders’ Reports—Institutional Plus Shares   31 
Shareholders’ Reports—Institutional Select Shares   1 
Trustees’ Fees and Expenses   437 
Total Expenses   357,629 
Net Investment Income   13,757,171 
Realized Net Gain (Loss)     
Investment Securities Sold1,2   6,732,944 
Futures Contracts   (205,348)
Swap Contracts   (16,547)
Realized Net Gain (Loss)   6,511,049 

 

13

 

 

Total Stock Market Index Fund

 

Statement of Operations (continued)

 

   Year Ended 
   December 31, 2018 
    ($000)
Change in Unrealized Appreciation (Depreciation)     
Investment Securities1   (56,813,515)
Futures Contracts   (113,904)
Swap Contracts   (1,888)
Change in Unrealized Appreciation (Depreciation)   (56,929,307)
Net Increase (Decrease) in Net Assets Resulting from Operations   (36,661,087)

1Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $51,265,000, ($296,000), and $364,000, respectively. Purchases and sales are for temporary cash investment purposes.

2Includes $6,485,550,000 of net gain (loss) resulting from in-kind redemptions; such gain (loss) is not taxable to the fund.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

14

 

 

Total Stock Market Index Fund

 

Statement of Changes in Net Assets

 

   Year Ended December 31, 
   2018   2017 
    ($000)   ($000)
Increase (Decrease) in Net Assets          
Operations          
Net Investment Income   13,757,171    10,874,077 
Realized Net Gain (Loss)   6,511,049    4,548,286 
Change in Unrealized Appreciation (Depreciation)   (56,929,307)   97,128,679 
Net Increase (Decrease) in Net Assets Resulting from Operations   (36,661,087)   112,551,042 
Distributions          
Net Investment Income          
Investor Shares   (2,268,803)   (2,050,561)
ETF Shares   (1,838,334)   (1,517,300)
Admiral Shares   (3,685,244)   (3,194,026)
Institutional Shares   (2,243,070)   (1,832,069)
Institutional Plus Shares   (2,615,192)   (2,069,350)
Institutional Select Shares   (351,965)   (220,025)
Realized Capital Gain          
Investor Shares        
ETF Shares        
Admiral Shares        
Institutional Shares        
Institutional Plus Shares        
Institutional Select Shares        
Total Distributions   (13,002,608)   (10,883,331)
Capital Share Transactions          
Investor Shares   2,806,888    2,531,635 
ETF Shares   10,133,992    7,977,735 
Admiral Shares   8,992,303    8,806,511 
Institutional Shares   9,953,282    17,246,738 
Institutional Plus Shares   19,272,078    22,241,001 
Institutional Select Shares   8,123,645    3,653,908 
Net Increase (Decrease) from Capital Share Transactions   59,282,188    62,457,528 
Total Increase (Decrease)   9,618,493    164,125,239 
Net Assets          
Beginning of Period   662,577,171    498,451,932 
End of Period   672,195,664    662,577,171 

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

15

 

 

Total Stock Market Index Fund

 

Financial Highlights

 

Investor Shares

 

For a Share Outstanding  Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period   $66.70    $56.06    $50.78    $51.58    $46.67 
Investment Operations                         
Net Investment Income   1.2751   1.0861   1.022    .954    .854 
Net Realized and Unrealized Gain (Loss) on Investments   (4.703)   10.630    5.282    (.807)   4.907 
Total from Investment Operations   (3.428)   11.716    6.304    .147    5.761 
Distributions                         
Dividends from Net Investment Income   (1.192)   (1.076)   (1.024)   (.947)   (.851)
Distributions from Realized Capital Gains                    
Total Distributions   (1.192)   (1.076)   (1.024)   (.947)   (.851)
Net Asset Value, End of Period   $62.08    $66.70    $56.06    $50.78    $51.58 
                          
Total Return2   -5.26%    21.05%    12.53%    0.29%    12.43% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)   $121,266    $126,766    $103,932    $96,323    $117,966 
Ratio of Total Expenses to Average Net Assets   0.14%    0.14%    0.15%    0.16%    0.17% 
Ratio of Net Investment Income to Average Net Assets   1.86%    1.77%    1.98%    1.85%    1.77% 
Portfolio Turnover Rate3   3%    3%    4%    3%    3% 

1Calculated based on average shares outstanding.

2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.

3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

16

 

 

Total Stock Market Index Fund

 

Financial Highlights

 

ETF Shares

 

For a Share Outstanding          Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period   $137.06    $115.21    $104.34    $106.00    $95.91 
Investment Operations                         
Net Investment Income   2.7811   2.3611   2.214    2.082    1.874 
Net Realized and Unrealized Gain (Loss) on Investments   (9.676)   21.832    10.871    (1.675)   10.085 
Total from Investment Operations   (6.895)   24.193    13.085    .407    11.959 
Distributions                         
Dividends from Net Investment Income   (2.605)   (2.343)   (2.215)   (2.067)   (1.869)
Distributions from Realized Capital Gains                    
Total Distributions   (2.605)   (2.343)   (2.215)   (2.067)   (1.869)
Net Asset Value, End of Period   $127.56    $137.06    $115.21    $104.34    $106.00 
                          
Total Return   -5.13%    21.16%    12.68%    0.40%    12.56% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)   $94,809    $91,862    $69,889    $57,434    $50,886 
Ratio of Total Expenses to Average Net Assets   0.03%    0.04%    0.04%    0.05%    0.05% 
Ratio of Net Investment Income to Average Net Assets   1.97%    1.87%    2.09%    1.96%    1.89% 
Portfolio Turnover Rate2   3%    3%    4%    3%    3% 

1Calculated based on average shares outstanding.
2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

  

See accompanying Notes, which are an integral part of the Financial Statements.

 

17

 

 

Total Stock Market Index Fund

 

Financial Highlights

 

Admiral Shares

 

For a Share Outstanding  Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period   $66.72    $56.08    $50.79    $51.60    $46.69 
Investment Operations                         
Net Investment Income   1.3441   1.1481   1.077    1.013    .912 
Net Realized and Unrealized Gain (Loss) on Investments   (4.711)   10.633    5.291    (.818)   4.908 
Total from Investment Operations   (3.367)   11.781    6.368    .195    5.820 
Distributions                         
Dividends from Net Investment Income   (1.263)   (1.141)   (1.078)   (1.005)   (.910)
Distributions from Realized Capital Gains                    
Total Distributions   (1.263)   (1.141)   (1.078)   (1.005)   (.910)
Net Asset Value, End of Period   $62.09    $66.72    $56.08    $50.79    $51.60 
                          
Total Return2   -5.17%    21.17%    12.66%    0.39%    12.56% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)   $185,102    $190,099    $151,612    $126,363    $117,476 
Ratio of Total Expenses to Average Net Assets   0.04%    0.04%    0.04%    0.05%    0.05% 
Ratio of Net Investment Income to Average Net Assets   1.96%    1.87%    2.09%    1.96%    1.89% 
Portfolio Turnover Rate3   3%    3%    4%    3%    3% 

1Calculated based on average shares outstanding.
2Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about any applicable account service fees.
3Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

18

 

 

Total Stock Market Index Fund

 

Financial Highlights

 

Institutional Shares

 

For a Share Outstanding          Year Ended December 31, 
Throughout Each Period  2018   2017   2016   2015   2014 
Net Asset Value, Beginning of Period   $66.73    $56.09    $50.80    $51.60    $46.69 
Investment Operations                         
Net Investment Income   1.3541   1.1531   1.082    1.017    .915 
Net Realized and Unrealized Gain (Loss) on Investments   (4.715)   10.630    5.291    (.808)   4.908 
Total from Investment Operations   (3.361)   11.783    6.373    .209    5.823 
Distributions                         
Dividends from Net Investment Income   (1.269)   (1.143)   (1.083)   (1.009)   (.913)
Distributions from Realized Capital Gains                    
Total Distributions   (1.269)   (1.143)   (1.083)   (1.009)   (.913)
Net Asset Value, End of Period   $62.10    $66.73    $56.09    $50.80    $51.60 
                          
Total Return   -5.16%    21.17%    12.67%    0.42%    12.56% 
                          
Ratios/Supplemental Data                         
Net Assets, End of Period (Millions)   $115,115    $113,557    $79,443    $57,438    $96,674 
Ratio of Total Expenses to Average Net Assets   0.03%    0.035%    0.03%    0.04%    0.04% 
Ratio of Net Investment Income to Average Net Assets   1.97%    1.87%    2.10%    1.97%    1.90% 
Portfolio Turnover Rate2   3%    3%    4%    3%    3% 

1Calculated based on average shares outstanding.
2Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

19

 

 

Total Stock Market Index Fund

 

Financial Highlights

 

Institutional Plus Shares

 

       April 28, 
       20151 to 
   Year Ended December 31,   Dec. 31, 
For a Share Outstanding Throughout Each Period  2018   2017   2016   2015 
Net Asset Value, Beginning of Period   $125.14    $105.18    $95.26    $100.00 
Investment Operations                    
Net Investment Income   2.5552   2.1822   2.042    1.335 
Net Realized and Unrealized Gain (Loss) on Investments   (8.842)   19.938    9.924    (4.631)
Total from Investment Operations   (6.287)   22.120    11.966    (3.296)
Distributions                    
Dividends from Net Investment Income   (2.393)   (2.160)   (2.046)   (1.444)
Distributions from Realized Capital Gains                
Total Distributions   (2.393)   (2.160)   (2.046)   (1.444)
Net Asset Value, End of Period   $116.46    $125.14    $105.18    $95.26 
                     
Total Return   -5.15%    21.19%    12.69%    -3.28% 
                     
Ratios/Supplemental Data                    
Net Assets, End of Period (Millions)   $135,641    $126,130    $85,031    $63,093 
Ratio of Total Expenses to Average Net Assets   0.02%    0.02%    0.02%    0.02%3 
Ratio of Net Investment Income to Average Net Assets   1.98%    1.89%    2.11%    1.99%3 
Portfolio Turnover Rate4   3%    3%    4%    3%5 

1Inception.

2Calculated based on average shares outstanding.

3Annualized.

4Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

5Reflects the fund’s portfolio turnover for the fiscal year ended December 31, 2015.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Total Stock Market Index Fund

 

Financial Highlights

 

Institutional Select Shares

 

       June 27, 
   Year Ended   20161 to 
   December 31,   Dec. 31, 
For a Share Outstanding Throughout Each Period  2018   2017   2016 
Net Asset Value, Beginning of Period  $131.31   $110.37   $97.70 
Investment Operations               
Net Investment Income   2.7042   2.3112   1.181 
Net Realized and Unrealized Gain (Loss) on Investments   (9.290)   20.908    12.718 
Total from Investment Operations   (6.586)   23.219    13.899 
Distributions               
Dividends from Net Investment Income   (2.524)   (2.279)   (1.229)
Distributions from Realized Capital Gains            
Total Distributions   (2.524)   (2.279)   (1.229)
Net Asset Value, End of Period   $122.20    $131.31    $110.37 
                
Total Return   -5.14%    21.20%    14.24% 
                
Ratios/Supplemental Data               
Net Assets, End of Period (Millions)   $20,262    $14,163    $8,545 
Ratio of Total Expenses to Average Net Assets   0.01%    0.01%    0.01%3 
Ratio of Net Investment Income to Average Net Assets   1.99%    1.90%    2.15%3 
Portfolio Turnover Rate4   3%    3%    4%5 

1Inception.

2Calculated based on average shares outstanding.

3Annualized.

4Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares, including ETF Creation Units.

5Reflects the fund’s portfolio turnover for the fiscal year ended December 31, 2016.

 

See accompanying Notes, which are an integral part of the Financial Statements.

 

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Total Stock Market Index Fund

 

Notes to Financial Statements

 

Vanguard Total Stock Market Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers six classes of shares: Investor Shares, ETF Shares, Admiral Shares, Institutional Shares, Institutional Plus Shares, and Institutional Select Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different type of investors. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker.

 

On November 19, 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral Share classes. It is anticipated that all of the outstanding Investor Shares will be automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors.

 

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.

 

1. 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 materially affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the board of trustees to represent fair value. 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.

 

2. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objectives of maintaining full exposure to the stock market, maintaining liquidity, and minimizing transaction costs. The fund may purchase futures contracts to immediately invest incoming cash in the market, or sell futures in response to cash outflows, thereby simulating a fully invested position in the underlying index while maintaining a cash balance for liquidity. 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 assets pledged as initial margin for open contracts are noted in the Statement of Net Assets.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

 

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Total Stock Market Index Fund

 

During the year ended December 31, 2018, the fund’s average investments in long and short futures contracts represented less than 1% and 0% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.

 

3. Swap Contracts: The fund has entered into equity swap contracts to earn the total return on selected reference stocks in the fund’s target index. Under the terms of the swaps, the fund receives the total return on the referenced stock (i.e., receiving the increase or paying the decrease in value of the selected reference stock and receiving the equivalent of any dividends in respect of the selected referenced stock) over a specified period of time, applied to a notional amount that represents the value of a designated number of shares of the selected reference stock at the beginning of the equity swap contract. The fund also pays a floating rate that is based on short-term interest rates, applied to the notional amount. At the same time, the fund generally invests an amount approximating the notional amount of the swap in high-quality temporary cash investments.

 

The notional amounts of swap contracts are not recorded in the Statement of Net Assets. Swaps are valued daily based on market quotations received from independent pricing services or recognized dealers and the change in value is recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until termination of the swap, at which time realized gain (loss) is recorded. A risk associated with all types of swaps is the possibility that a counterparty may default on its obligation to pay net amounts due to the fund. The fund’s maximum amount subject to counterparty risk is the unrealized appreciation on the swap contract. The fund mitigates its counterparty risk by entering into swaps only with a diverse group of prequalified counterparties, monitoring their financial strength, entering into master netting arrangements with its counterparties, and requiring its counterparties to transfer collateral as security for their performance. In the absence of a default, the collateral pledged or received by the fund cannot be repledged, resold, or rehypothecated. In the event of a counterparty’s default (including bankruptcy), the fund may terminate any swap contracts with that counterparty, determine the net amount owed by either party in accordance with its master netting arrangements, and sell or retain any collateral held up to the net amount owed to the fund under the master netting arrangements. The swap contracts contain provisions whereby a counterparty may terminate open contracts if the fund net assets decline below a certain level, triggering a payment by the fund if the fund is in a net liability position at the time of the termination. The payment amount would be reduced by any collateral the fund has pledged. Any securities pledged as collateral for open contracts are noted in the Statement of Net Assets. The value of collateral received or pledged is compared daily to the value of the swap contracts exposure with each counterparty, and any difference, if in excess of a specified minimum transfer amount, is adjusted and settled within two business days.

 

During the year ended December 31, 2018, the fund’s average amounts of investments in total return swaps represented less than 1% of net assets, based on the average of notional amounts at each quarter-end during the period.

 

4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (December 31, 2015–2018), and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

5. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes.

 

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Total Stock Market Index Fund

 

6. Securities Lending: To earn additional income, the fund lends its securities to qualified institutional borrowers. Security loans are subject to termination by the fund at any time, and are required to be secured at all times by collateral in an amount at least equal to the market value of securities loaned. Daily market fluctuations could cause the value of loaned securities to be more or less than the value of the collateral received. When this occurs, the collateral is adjusted and settled before the opening of the market on the next business day. The fund further mitigates its counterparty risk by entering into securities lending transactions only with a diverse group of prequalified counterparties, monitoring their financial strength, and entering into master securities lending agreements with its counterparties. The master securities lending agreements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate any loans with that borrower, determine the net amount owed, and sell or retain the collateral up to the net amount owed to the fund; however, such actions may be subject to legal proceedings. While collateral mitigates counterparty risk, in the event of a default, the fund may experience delays and costs in recovering the securities loaned. The fund invests cash collateral received in Vanguard Market Liquidity Fund, and records a liability in the Statement of Net Assets for the return of the collateral, during the period the securities are on loan. Securities lending income represents fees charged to borrowers plus income earned on invested cash collateral, less expenses associated with the loan. During the term of the loan, the fund is entitled to all distributions made on or in respect of the loaned securities.

 

7. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

 

The fund had no borrowings outstanding at December 31, 2018, or at any time during the period then ended.

 

8. Other: Dividend income is recorded on the ex-dividend date. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

 

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses), shareholder reporting, and the proxy. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

 

24

 

 

Total Stock Market Index Fund

 

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. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets. All other costs of operations payable to Vanguard are generally settled twice a month.

 

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At December 31, 2018, the fund had contributed to Vanguard capital in the amount of $38,011,000, representing 0.01% of the fund’s net assets and 15.20% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

 

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.

 

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 valued with significant unobservable inputs are noted on the Statement of Net Assets.

 

The following table summarizes the market value of the fund’s investments as of December 31, 2018, based on the inputs used to value them:

 

   Level 1   Level 2   Level 3 
Investments   ($000)   ($000)   ($000)
Common Stocks   668,268,616    154    5,973 
Temporary Cash Investments   5,691,905    263,813     
Futures Contracts—Assets1   30,362         
Futures Contracts—Liabilities1   (320)        
Swap Contracts—Liabilities       (2,211)    
Total   673,990,563    261,756    5,973 

1 Represents variation margin on the last day of the reporting period.

 

D. Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period

 

25

 

 

Total Stock Market Index Fund

 

end, permanent differences primarily attributable to the accounting for in-kind redemptions, passive foreign investment companies, and swap agreements were reclassified between the following accounts:

 

   Amount 
    ($000)
Paid-in Capital   6,485,473 
Total Distributable Earnings (Loss)   (6,485,473)

 

Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the tax deferral of losses on wash sales; the realization of unrealized gains or losses on certain futures contracts, and swap agreements; and unrealized gains on passive foreign investment companies. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:

 

   Amount 
    ($000)
Undistributed Ordinary Income   807,370 
Undistributed Long-Term Gains    
Capital Loss Carryforwards (Non-Expiring)   (1,732,284)
Net Unrealized Gains (Losses)   195,107,884 

 

As of December 31, 2018, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:

 

   Amount 
    ($000)
Tax Cost   479,122,577 
Gross Unrealized Appreciation   223,890,207 
Gross Unrealized Depreciation   (28,782,323)
Net Unrealized Appreciation (Depreciation)   195,107,884 

 

E. During the year ended December 31, 2018, the fund purchased $93,038,834,000 of investment securities and sold $35,268,959,000 of investment securities, other than temporary cash investments. Purchases and sales include $21,745,488,000 and $10,979,688,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.

 

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Total Stock Market Index Fund

 

F. Capital share transactions for each class of shares were:

 

           Year Ended December 31, 
       2018       2017 
   Amount   Shares   Amount   Shares 
    ($000)   (000)   ($000)   (000)
Investor Shares                    
Issued   16,009,467    241,652    12,556,777    208,299 
Issued in Lieu of Cash Distributions   2,255,725    33,764    2,038,790    32,768 
Redeemed   (15,458,304)   (222,427)   (12,063,932)   (194,415)
Net Increase (Decrease)—Investor Shares   2,806,888    52,989    2,531,635    46,652 
ETF Shares                    
Issued   18,928,131    135,252    16,459,854    130,270 
Issued in Lieu of Cash Distributions                
Redeemed   (8,794,139)   (62,200)   (8,482,119)   (66,700)
Net Increase (Decrease)—ETF Shares   10,133,992    73,052    7,977,735    63,570 
Admiral Shares                    
Issued   29,607,545    433,536    27,046,065    443,009 
Issued in Lieu of Cash Distributions   3,114,582    46,549    2,736,033    43,962 
Redeemed   (23,729,824)   (348,197)   (20,975,587)   (341,277)
Net Increase (Decrease)—Admiral Shares   8,992,303    131,888    8,806,511    145,694 
Institutional Shares                    
Issued   27,433,744    407,227    26,728,536    439,870 
Issued in Lieu of Cash Distributions   2,093,941    31,328    1,703,342    27,314 
Redeemed   (19,574,403)   (286,645)   (11,185,140)   (181,865)
Net Increase (Decrease)—Institutional Shares   9,953,282    151,910    17,246,738    285,319 
Institutional Plus Shares                    
Issued   31,228,823    248,199    27,613,297    245,814 
Issued in Lieu of Cash Distributions   2,582,398    20,611    2,052,478    17,549 
Redeemed   (14,539,143)   (112,031)   (7,424,774)   (63,880)
Net Increase (Decrease)—Institutional Plus Shares   19,272,078    156,779    22,241,001    199,483 
Institutional Select Shares                    
Issued   9,064,355    64,847    4,173,338    34,645 
Issued in Lieu of Cash Distributions   351,965    2,683    220,024    1,788 
Redeemed   (1,292,675)   (9,583)   (739,454)   (6,005)
Net Increase (Decrease)—Institutional Select Shares   8,123,645    57,947    3,653,908    30,428 

 

G. Management has determined that no events or transactions occurred subsequent to December 31, 2018, that would require recognition or disclosure in these financial statements.

 

27

 

 

Report of Independent Registered Public Accounting Firm

 

To the Board of Trustees of Vanguard Index Funds and Shareholders of Vanguard Total Stock Market Index Fund

 

Opinion on the Financial Statements

We have audited the accompanying statement of net assets—investments summary of Vanguard Total Stock Market Index Fund (one of the funds constituting Vanguard Index Funds, referred to hereafter as the “Fund”) as of December 31, 2018, the related statement of operations for the year ended December 31, 2018, the statement of changes in net assets for each of the two years in the period ended December 31, 2018, including the related notes, and the financial highlights for each of the periods indicated therein (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of the Fund as of December 31, 2018, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period ended December 31, 2018 and the financial highlights for each of the periods indicated therein in conformity with accounting principles generally accepted in the United States of America.

 

Basis for Opinion

These financial statements are the responsibility of the Fund’s management. Our responsibility is to express an opinion on the Fund’s financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Fund in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

 

We conducted our audits of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of December 31, 2018 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinion.

  

/s/PricewaterhouseCoopers LLP

Philadelphia, Pennsylvania

February 13, 2019

 

We have served as the auditor of one or more investment companies in The Vanguard Group of Funds since 1975.

 

28

 

 

 

 

Special 2018 tax information (unaudited) for Vanguard Total Stock Market Index Fund

 

This information for the fiscal year ended December 31, 2018, is included pursuant to provisions of the Internal Revenue Code.

 

The fund distributed $12,223,751,000 of qualified dividend income to shareholders during the fiscal year.

 

For corporate shareholders, 90.2% of investment income (dividend income plus short-term gains, if any) qualifies for the dividends-received deduction.

 

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The People Who Govern Your Fund

 

The trustees of your mutual fund are there to see that the fund is operated and managed in your best interests since, as a shareholder, you are a part owner of the fund. Your fund’s trustees also serve on the board of directors of The Vanguard Group, Inc., which is owned by the Vanguard funds and provides services to them.

 

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 212 Vanguard funds.

 

Information for each trustee and executive officer of the fund appears below. The mailing address of the trustees and officers is P.O. Box 876, Valley Forge, PA 19482. More information about the trustees is in the Statement of Additional Information, which can be obtained, without charge, by contacting Vanguard at 800-662-7447, or online at vanguard.com.

 

Interested Trustees1

 

F. William McNabb III

Born in 1957. Trustee since July 2009. Principal occupation(s) during the past five years and other experience: chairman of the board (January 2010–present) of Vanguard and of each of the investment companies served by Vanguard, trustee (2009–present) of each of the investment companies served by Vanguard, and director (2008–present) of Vanguard. Chief executive officer and president (2008–2017) of Vanguard and each of the investment companies served by Vanguard, managing director (1995–2008) of Vanguard, and director (1997–2018) of Vanguard Marketing Corporation. Director (2018–present) of UnitedHealth Group.

 

Mortimer J. Buckley

Born in 1969. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: chief executive officer (January 2018–present) of Vanguard; chief executive officer, president, and trustee (January 2018–present) of each of the investment companies served by Vanguard; president and director (2017–present) of Vanguard; and president (February 2018–present) of Vanguard Marketing Corporation. Chief investment officer (2013–2017), managing director (2002–2017), head of the Retail Investor Group (2006–2012), and chief information officer (2001–2006) of Vanguard. Chairman of the board (2011–2017) of the Children’s Hospital of Philadelphia.

 

Independent Trustees

 

Emerson U. Fullwood

Born in 1948. Trustee since January 2008. Principal occupation(s) during the past five years and other experience: executive chief staff and marketing officer for North America and corporate vice president (retired 2008) of Xerox Corporation (document management products and services). Former president of the Worldwide Channels Group, Latin America, and Worldwide Customer Service and executive chief staff officer of Developing Markets of Xerox. Executive in residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology. Lead director of SPX FLOW, Inc. (multi-industry manufacturing). Director of the University of Rochester Medical Center, the Monroe Community College Foundation, the United Way of Rochester, North Carolina A&T University, and Roberts Wesleyan College. Trustee of the University of Rochester.

 

Amy Gutmann

Born in 1949. Trustee since June 2006. Principal occupation(s) during the past five years and other experience: president (2004–present) of the University of Pennsylvania. Christopher H. Browne Distinguished Professor of Political Science, School of Arts and Sciences, and professor of communication, Annenberg School for Communication, with secondary faculty appointments in the Department of Philosophy, School of Arts and Sciences, and at the Graduate School of Education, University of Pennsylvania. Trustee of the National Constitution Center.

 

1Mr. McNabb and Mr. Buckley are considered “interested persons,” as defined in the Investment Company Act of 1940, because they are officers of the Vanguard funds.

 

 

 

 

JoAnn Heffernan Heisen

Born in 1950. Trustee since July 1998. Principal occupation(s) during the past five years and other experience: corporate vice president of Johnson & Johnson (pharmaceuticals/medical devices/consumer products) and member of its executive committee (1997–2008). Chief global diversity officer (retired 2008), vice president and chief information officer (1997–2006), controller (1995–1997), treasurer (1991–1995), and assistant treasurer (1989–1991) of Johnson & Johnson. Director of Skytop Lodge Corporation (hotels) and the Robert Wood Johnson Foundation. Member of the advisory board of the Institute for Women’s Leadership at Rutgers University.

 

F. Joseph Loughrey

Born in 1949. Trustee since October 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2009) and vice chairman of the board (2008–2009) of Cummins Inc. (industrial machinery). Chairman of the board of Hillenbrand, Inc. (specialized consumer services), Oxfam America, and the Lumina Foundation for Education. Director of the V Foundation for Cancer Research. Member of the advisory council for the College of Arts and Letters and chair of the advisory board to the Kellogg Institute for International Studies, both at the University of Notre Dame.

 

Mark Loughridge

Born in 1953. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: senior vice president and chief financial officer (retired 2013) of IBM (information technology services). Fiduciary member of IBM’s Retirement Plan Committee (2004–2013), senior vice president and general manager (2002–2004) of IBM Global Financing, vice president and controller (1998–2002) of IBM, and a variety of other prior management roles at IBM. Member of the Council on Chicago Booth.

 

Scott C. Malpass

Born in 1962. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: chief investment officer (1989–present) and vice president (1996–present) of the University of Notre Dame. Assistant professor of finance at the Mendoza College of Business, University of Notre Dame, and member of the Notre Dame 403(b) Investment Committee. Chairman of the board of TIFF Advisory Services, Inc. Member of the board of Catholic Investment Services, Inc. (investment advisors), the board of advisors for Spruceview Capital Partners, and the board of superintendence of the Institute for the Works of Religion.

 

Deanna Mulligan

Born in 1963. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: president (2010–present) and chief executive officer (2011–present) of The Guardian Life Insurance Company of America. Chief operating officer (2010–2011) and executive vice president (2008–2010) of Individual Life and Disability of The Guardian Life Insurance Company of America. Member of the board of The Guardian Life Insurance Company of America, the American Council of Life Insurers, the Partnership for New York City (business leadership), and the Committee Encouraging Corporate Philanthropy. Trustee of the Economic Club of New York and the Bruce Museum (arts and science). Member of the Advisory Council for the Stanford Graduate School of Business.

 

André F. Perold

Born in 1952. Trustee since December 2004. Principal occupation(s) during the past five years and other experience: George Gund Professor of Finance and Banking, Emeritus at the Harvard Business School (retired 2011). Chief investment officer and co-managing partner of HighVista Strategies LLC (private investment firm). Overseer of the Museum of Fine Arts Boston.

 

Sarah Bloom Raskin

Born in 1961. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: deputy secretary (2014–2017) of the United States Department of the Treasury. Governor (2010–2014) of the Federal Reserve Board. Commissioner (2007–2010) of financial regulation for the State of Maryland. Member of the board of directors (2012–2014) of Neighborhood Reinvestment Corporation. Director of i(x) Investments, LLC.

 

Peter F. Volanakis

Born in 1955. Trustee since July 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2010) of Corning Incorporated (communications equipment) and director of Corning Incorporated (2000–2010) and Dow Corning (2001–2010). Director (2012) of SPX Corporation (multi-industry manufacturing). Overseer of the Amos Tuck School of Business Administration, Dartmouth College (2001–2013). Chairman of the board of trustees of Colby-Sawyer College. Member of the Board of Hypertherm Inc. (industrial cutting systems, software, and consumables).

 

 

 

 

Executive Officers

 

Glenn Booraem

Born in 1967. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Investment stewardship officer (2017–present), treasurer (2015–2017), controller (2010–2015), and assistant controller (2001–2010) of each of the investment companies served by Vanguard.

 

Christine M. Buchanan

Born in 1970. Principal occupation(s) during the past five years and other experience: principal of Vanguard and global head of Fund Administration at Vanguard. Treasurer (2017–present) of each of the investment companies served by Vanguard. Partner (2005–2017) at KPMG LLP (audit, tax, and advisory services).

 

Brian Dvorak

Born in 1973. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief compliance officer (2017–present) of Vanguard and each of the investment companies served by Vanguard. Assistant vice president (2017–present) of Vanguard Marketing Corporation. Vice president and director of Enterprise Risk Management (2011–2013) at Oppenheimer Funds, Inc.

 

Thomas J. Higgins

Born in 1957. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief financial officer (2008–present) and treasurer (1998–2008) of each of the investment companies served by Vanguard.

 

Peter Mahoney

Born in 1974. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Controller (2015–present) of each of the investment companies served by Vanguard. Head of International Fund Services (2008–2014) at Vanguard.

 

Anne E. Robinson

Born in 1970. Principal occupation(s) during the past five years and other experience: general counsel (2016–present) of Vanguard. Secretary (2016–present) of Vanguard and of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Director and senior vice president (2016–2018) of Vanguard Marketing Corporation. Managing director and general counsel of Global Cards and Consumer Services (2014–2016) at Citigroup. Counsel (2003–2014) at American Express.

 

Michael Rollings

Born in 1963. Principal occupation(s) during the past five years and other experience: finance director (2017–present) and treasurer (2017) of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Chief financial officer (2016–present) of Vanguard. Director (2016–present) of Vanguard Marketing Corporation. Executive vice president and chief financial officer (2006–2016) of MassMutual Financial Group.

 

Vanguard Senior Management Team

 

Joseph Brennan Chris D. McIsaac
Mortimer J. Buckley James M. Norris
Gregory Davis Thomas M. Rampulla
John James Karin A. Risi
Martha G. King Anne E. Robinson
John T. Marcante Michael Rollings

 

Chairman Emeritus and Senior Advisor

 

John J. Brennan

Chairman, 1996–2009

Chief Executive Officer and President, 1996–2008

 

Founder

 

John C. Bogle

Chairman and Chief Executive Officer, 1974–1996

 

 

 

 

 
   
  P.O. Box 2600
  Valley Forge, PA 19482-2600

 

Connect with Vanguard® > vanguard.com

 

Fund Information > 800-662-7447

 

Direct Investor Account Services > 800-662-2739

 

Institutional Investor Services > 800-523-1036

 

Text Telephone for People

Who Are Deaf or Hard of Hearing > 800-749-7273

 

This material may be used in conjunction with the offering of shares of any Vanguard fund only if preceded or accompanied by the fund’s current prospectus.

 

All comparative mutual fund data are from Lipper, a Thomson Reuters Company, or Morningstar, Inc., unless otherwise noted.

 

You can obtain a free copy of Vanguard’s proxy voting guidelines by visiting vanguard.com/proxyreporting or by calling Vanguard at 800-662-2739. The guidelines are also available from the SEC’s website, sec.gov. In addition, you may obtain a free report on how your fund voted the proxies for securities it owned during the 12 months ended June 30. To get the report, visit either vanguard.com/proxyreporting or sec.gov.

 

You can review information about your fund on the SEC’s website, and you can receive copies of this information, for a fee, by sending a request via email addressed to publicinfo@sec.gov.

 

Source for Bloomberg Barclays indexes: Bloomberg Index Services Limited. Copyright 2019, Bloomberg. All rights reserved.

 

 

© 2019 The Vanguard Group, Inc.

All rights reserved.

  U.S. Patent Nos. 6,879,964; 7,337,138;
 

7,720,749; 7,925,573; 8,090,646; 8,417,623; and 8,626,636.

Vanguard Marketing Corporation, Distributor.

   
  Q850 022019

 

 

 

 

Item 2: Code of Ethics. The Registrant has adopted a code of ethics that applies to the Registrant’s principal executive officer, principal financial officer, principal accounting officer or controller or persons performing similar functions. The Code of Ethics was amended during the reporting period covered by this report to make certain technical, non-material changes.

 

Item 3: Audit Committee Financial Expert. All members of the Audit Committee have been determined by the Registrant’s Board of Trustees to be Audit Committee Financial Experts and to be independent: JoAnn Heffernan Heisen, F. Joseph Loughrey, Mark Loughridge, Sarah Bloom Raskin, and Peter F. Volanakis.

 


 

Item 4: Principal Accountant Fees and Services.

 

(a)     Audit Fees.

 

Audit Fees of the Registrant.

 

Fiscal Year Ended December 31, 2018: $877,000
Fiscal Year Ended December 31, 2017: $917,000

 

Aggregate Audit Fees of Registered Investment Companies in the Vanguard Group.

 

Fiscal Year Ended December 31, 2018: $9,734,277
Fiscal Year Ended December 31, 2017: $8,424,459

 

Includes fees billed in connection with audits of the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc. and Vanguard Marketing Corporation.

 

(b)     Audit-Related Fees.

 

Fiscal Year Ended December 31, 2018: $5,581,336
Fiscal Year Ended December 31, 2017: $3,194,093

 

Includes fees billed in connection with assurance and related services provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

 

(c)     Tax Fees.

 

Fiscal Year Ended December 31, 2018: $347,985
Fiscal Year Ended December 31, 2017: $274,313

 

Includes fees billed in connection with tax compliance, planning, and advice services provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

 

(d)     All Other Fees.

 

Fiscal Year Ended December 31, 2018: $0
Fiscal Year Ended December 31, 2017: $0

 

Includes fees billed for services related to tax reported information provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

 


 

(e)     (1) Pre-Approval Policies. The policy of the Registrant’s Audit Committee is to consider and, if appropriate, approve before the principal accountant is engaged for such services, all specific audit and non-audit services provided to: the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and entities controlled by The Vanguard Group, Inc. that provide ongoing services to the Registrant. In making a determination, the Audit Committee considers whether the services are consistent with maintaining the principal accountant’s independence.

 

In the event of a contingency situation in which the principal accountant is needed to provide services in between scheduled Audit Committee meetings, the Chairman of the Audit Committee would be called on to consider and, if appropriate, pre-approve audit or permitted non-audit services in an amount sufficient to complete services through the next Audit Committee meeting, and to determine if such services would be consistent with maintaining the accountant’s independence. At the next scheduled Audit Committee meeting, services and fees would be presented to the Audit Committee for formal consideration, and, if appropriate, approval by the entire Audit Committee. The Audit Committee would again consider whether such services and fees are consistent with maintaining the principal accountant’s independence.

 

The Registrant’s Audit Committee is informed at least annually of all audit and non-audit services provided by the principal accountant to the Vanguard complex, whether such services are provided to: the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., or other entities controlled by The Vanguard Group, Inc. that provide ongoing services to the Registrant.

 

(2) No percentage of the principal accountant’s fees or services were approved pursuant to the waiver provision of paragraph (c)(7)(i)(C) of Rule 2-01 of Regulation S-X.

 

(f)     For the most recent fiscal year, over 50% of the hours worked under the principal accountant’s engagement were not performed by persons other than full-time, permanent employees of the principal accountant.

 

(g)    Aggregate Non-Audit Fees.

 

Fiscal Year Ended December 31, 2018: $347,985
Fiscal Year Ended December 31, 2017: $274,313

 

Includes fees billed for non-audit services provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

 

(h)     For the most recent fiscal year, the Audit Committee has determined that the provision of all non-audit services was consistent with maintaining the principal accountant’s independence.

 


 

Item 5: Audit Committee of Listed Registrants.

 

The Registrant is a listed issuer as defined in rule 10A-3 under the Securities Exchange Act of 1934 (“Exchange Act”). The Registrant has a separately-designated standing audit committee established in accordance with Section 3(a)(58)(A) of the Exchange Act. The Registrant’s audit committee members are: JoAnn Heffernan Heisen, F. Joseph Loughrey, Mark Loughridge, Sarah Bloom Raskin, and Peter F. Volanakis.

 


 

Item 6: Investments.

 


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

Common Stocks (99.2%)1

 

 

 

 

 

Basic Materials (3.8%)

 

 

 

 

 

 

RPM International Inc.

 

3,417,008

 

200,852

 

 

Royal Gold Inc.

 

1,686,081

 

144,413

 

 

Chemours Co.

 

4,405,158

 

124,314

 

 

Ashland Global Holdings Inc.

 

1,608,713

 

114,154

 

 

WR Grace & Co.

 

1,724,805

 

111,957

 

 

Huntsman Corp.

 

5,235,002

 

100,983

 

 

NewMarket Corp.

 

220,184

 

90,736

 

*

Ingevity Corp.

 

1,080,581

 

90,434

 

 

Olin Corp.

 

4,295,923

 

86,391

 

 

Steel Dynamics Inc.

 

2,805,803

 

84,286

 

 

United States Steel Corp.

 

4,563,435

 

83,237

 

 

Versum Materials Inc.

 

2,806,454

 

77,795

 

 

Peabody Energy Corp.

 

2,313,564

 

70,517

 

 

Balchem Corp.

 

830,529

 

65,072

 

*

Alcoa Corp.

 

2,397,834

 

63,734

 

 

Scotts Miracle-Gro Co.

 

998,221

 

61,351

 

 

Sensient Technologies Corp.

 

1,087,737

 

60,750

 

 

Cabot Corp.

 

1,390,980

 

59,729

 

*,^

Cleveland-Cliffs Inc.

 

7,682,859

 

59,081

 

 

PolyOne Corp.

 

2,055,414

 

58,785

 

 

Quaker Chemical Corp.

 

325,933

 

57,922

 

*

Platform Specialty Products Corp.

 

5,567,431

 

57,512

 

 

Domtar Corp.

 

1,620,771

 

56,938

 

 

HB Fuller Co.

 

1,305,322

 

55,698

 

*

Univar Inc.

 

2,917,328

 

51,753

 

 

Minerals Technologies Inc.

 

906,475

 

46,538

 

 

Commercial Metals Co.

 

2,873,897

 

46,040

 

 

Carpenter Technology Corp.

 

1,219,834

 

43,438

 

*

GCP Applied Technologies Inc.

 

1,669,657

 

40,990

 

 

Innospec Inc.

 

627,023

 

38,725

 

 

Stepan Co.

 

520,621

 

38,526

 

 

Worthington Industries Inc.

 

1,066,218

 

37,147

 

 

Compass Minerals International Inc.

 

872,452

 

36,373

 

 

Arch Coal Inc. Class A

 

436,515

 

36,226

 

 

Kaiser Aluminum Corp.

 

402,986

 

35,983

 

*

Ferro Corp.

 

2,142,461

 

33,594

 

*,^

Contura Energy Inc.

 

478,955

 

31,487

 

 

Warrior Met Coal Inc.

 

1,224,928

 

29,533

 

 

Hecla Mining Co.

 

12,385,209

 

29,229

 

 

Materion Corp.

 

520,730

 

23,428

 

*

Coeur Mining Inc.

 

5,235,559

 

23,403

 

*

CONSOL Energy Inc.

 

640,935

 

20,324

 

^

US Silica Holdings Inc.

 

1,986,198

 

20,219

 

 

Schweitzer-Mauduit International Inc.

 

793,316

 

19,873

 

*,^

AK Steel Holding Corp.

 

8,157,964

 

18,355

 

 

Tronox Ltd. Class A

 

2,301,617

 

17,907

 

*

Kraton Corp.

 

818,708

 

17,881

 

*

PQ Group Holdings Inc.

 

1,047,493

 

15,513

 

 

Schnitzer Steel Industries Inc.

 

649,564

 

13,998

 

 

Rayonier Advanced Materials Inc.

 

1,307,499

 

13,925

 

 

Innophos Holdings Inc.

 

502,547

 

12,327

 

 

Tredegar Corp.

 

776,319

 

12,312

 

 

Resolute Forest Products Inc.

 

1,502,034

 

11,911

 

 

PH Glatfelter Co.

 

1,123,887

 

10,969

 

 

American Vanguard Corp.

 

716,290

 

10,880

 

 

FutureFuel Corp.

 

670,534

 

10,635

 

*

Clearwater Paper Corp.

 

419,490

 

10,223

 

*

Century Aluminum Co.

 

1,245,736

 

9,106

 

 

Haynes International Inc.

 

320,928

 

8,473

 

*

Koppers Holdings Inc.

 

496,899

 

8,467

 

*

TimkenSteel Corp.

 

915,274

 

7,999

 

 

1


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

SunCoke Energy Inc.

 

831,535

 

7,110

 

 

Kronos Worldwide Inc.

 

592,975

 

6,831

 

 

 

 

 

 

2,944,292

 

Consumer Goods (6.6%)

 

 

 

 

 

*

US Foods Holding Corp.

 

5,594,238

 

177,002

 

*

Herbalife Nutrition Ltd.

 

2,612,608

 

154,013

 

*

Middleby Corp.

 

1,437,754

 

147,700

 

 

Pool Corp.

 

984,607

 

146,362

 

*

Post Holdings Inc.

 

1,628,439

 

145,143

 

 

Gentex Corp.

 

6,748,477

 

136,387

 

 

Leggett & Platt Inc.

 

3,357,683

 

120,339

 

 

Toll Brothers Inc.

 

3,414,608

 

112,443

 

 

Brunswick Corp.

 

2,234,306

 

103,784

 

 

Carter’s Inc.

 

1,180,298

 

96,336

 

*

Deckers Outdoor Corp.

 

749,549

 

95,905

 

 

Valvoline Inc.

 

4,844,162

 

93,735

 

*

Helen of Troy Ltd.

 

679,619

 

89,152

 

*,^

Mattel Inc.

 

8,885,170

 

88,763

 

 

Lancaster Colony Corp.

 

495,379

 

87,613

 

 

Flowers Foods Inc.

 

4,615,204

 

85,243

 

 

Nu Skin Enterprises Inc. Class A

 

1,358,552

 

83,320

 

 

Ingredion Inc.

 

910,286

 

83,200

 

*

Darling Ingredients Inc.

 

4,239,276

 

81,564

 

*

Skechers U.S.A. Inc. Class A

 

3,447,680

 

78,917

 

*

Zynga Inc. Class A

 

19,982,271

 

78,530

 

 

Wolverine World Wide Inc.

 

2,318,089

 

73,924

 

*

TreeHouse Foods Inc.

 

1,441,986

 

73,123

 

 

Energizer Holdings Inc.

 

1,530,952

 

69,122

 

*,^

Wayfair Inc.

 

756,275

 

68,125

 

 

Thor Industries Inc.

 

1,292,278

 

67,198

 

 

WD-40 Co.

 

338,489

 

62,032

 

*

Dorman Products Inc.

 

680,990

 

61,303

 

 

Steven Madden Ltd.

 

2,025,509

 

61,292

 

 

Goodyear Tire & Rubber Co.

 

3,001,378

 

61,258

 

 

Columbia Sportswear Co.

 

709,889

 

59,695

 

*,^

iRobot Corp.

 

678,369

 

56,807

 

 

J&J Snack Foods Corp.

 

386,547

 

55,891

 

*

Fox Factory Holding Corp.

 

929,153

 

54,699

 

 

Sanderson Farms Inc.

 

529,251

 

52,549

 

*

Edgewell Personal Care Co.

 

1,391,320

 

51,966

 

 

Dana Inc.

 

3,724,744

 

50,768

 

*

Boston Beer Co. Inc. Class A

 

210,611

 

50,724

 

*,^

Tempur Sealy International Inc.

 

1,188,854

 

49,219

 

^

B&G Foods Inc.

 

1,698,008

 

49,089

 

*

Taylor Morrison Home Corp. Class A

 

3,054,883

 

48,573

 

 

Herman Miller Inc.

 

1,528,087

 

46,225

 

*

Visteon Corp.

 

744,838

 

44,899

 

 

KB Home

 

2,274,080

 

43,435

 

 

Spectrum Brands Holdings Inc.

 

1,027,645

 

43,418

 

*

Crocs Inc.

 

1,635,025

 

42,478

 

 

Cooper Tire & Rubber Co.

 

1,290,985

 

41,738

 

 

LCI Industries

 

617,713

 

41,263

 

*

Welbilt Inc.

 

3,613,050

 

40,141

 

*

USANA Health Sciences Inc.

 

339,753

 

39,999

 

*

TRI Pointe Group Inc.

 

3,652,460

 

39,921

 

 

HNI Corp.

 

1,125,690

 

39,883

 

*

Meritor Inc.

 

2,187,123

 

36,984

 

 

Tenneco Inc. Class A

 

1,324,681

 

36,283

 

*

Hain Celestial Group Inc.

 

2,280,278

 

36,165

 

*

Meritage Homes Corp.

 

977,276

 

35,886

 

*

Gentherm Inc.

 

895,196

 

35,790

 

 

Universal Corp.

 

641,281

 

34,725

 

*

Central Garden & Pet Co. Class A

 

1,077,175

 

33,662

 

 

Tupperware Brands Corp.

 

1,063,943

 

33,589

 

 

2


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

La-Z-Boy Inc.

 

1,205,695

 

33,410

 

 

MDC Holdings Inc.

 

1,165,531

 

32,763

 

 

Delphi Technologies plc

 

2,282,667

 

32,688

 

*

American Axle & Manufacturing Holdings Inc.

 

2,867,247

 

31,826

 

 

Steelcase Inc. Class A

 

2,112,001

 

31,321

 

 

Cal-Maine Foods Inc.

 

735,143

 

31,097

 

*

G-III Apparel Group Ltd.

 

1,078,305

 

30,074

 

 

Oxford Industries Inc.

 

414,668

 

29,458

 

 

Inter Parfums Inc.

 

443,349

 

29,070

 

*

Cooper-Standard Holdings Inc.

 

456,124

 

28,334

 

*,^

Fitbit Inc. Class A

 

5,600,876

 

27,836

 

*

Hostess Brands Inc. Class A

 

2,451,376

 

26,818

 

 

Seaboard Corp.

 

7,570

 

26,783

 

 

Vector Group Ltd.

 

2,711,106

 

26,379

 

*

Sleep Number Corp.

 

814,385

 

25,840

 

*

Garrett Motion Inc.

 

1,897,751

 

23,418

 

 

Fresh Del Monte Produce Inc.

 

810,055

 

22,900

 

 

Sturm Ruger & Co. Inc.

 

427,312

 

22,742

 

 

Interface Inc. Class A

 

1,531,369

 

21,822

 

^

National Beverage Corp.

 

298,671

 

21,436

 

 

Coca-Cola Bottling Co. Consolidated

 

119,358

 

21,172

 

 

Knoll Inc.

 

1,202,222

 

19,813

 

*

Pilgrim’s Pride Corp.

 

1,276,066

 

19,792

 

 

Andersons Inc.

 

652,526

 

19,504

 

 

Callaway Golf Co.

 

1,219,704

 

18,661

 

 

Medifast Inc.

 

145,649

 

18,209

 

 

Acushnet Holdings Corp.

 

862,674

 

18,177

 

*

Fossil Group Inc.

 

1,144,290

 

18,000

 

 

ACCO Brands Corp.

 

2,639,261

 

17,894

 

*

American Outdoor Brands Corp.

 

1,334,475

 

17,161

 

*

Vista Outdoor Inc.

 

1,478,347

 

16,779

 

 

Phibro Animal Health Corp. Class A

 

517,863

 

16,654

 

 

National Presto Industries Inc.

 

134,115

 

15,681

 

^

Tootsie Roll Industries Inc.

 

443,867

 

14,825

 

*

Cavco Industries Inc.

 

111,098

 

14,485

 

*

Modine Manufacturing Co.

 

1,231,590

 

13,313

 

 

Movado Group Inc.

 

404,705

 

12,797

 

*,^

GoPro Inc. Class A

 

2,958,347

 

12,543

 

*

American Woodmark Corp.

 

203,034

 

11,305

 

 

Ethan Allen Interiors Inc.

 

611,972

 

10,765

 

*

Central Garden & Pet Co.

 

261,784

 

9,018

 

 

Dean Foods Co.

 

2,355,728

 

8,975

 

*,^

YETI Holdings Inc.

 

429,472

 

6,373

 

*,^

elf Beauty Inc.

 

630,395

 

5,459

 

*,^

Revlon Inc. Class A

 

200,844

 

5,059

 

*,^

Sonos Inc.

 

512,038

 

5,028

 

 

Titan International Inc.

 

670,595

 

3,125

 

*,^

Arlo Technologies Inc.

 

289,876

 

2,893

 

 

Superior Industries International Inc.

 

281,864

 

1,356

 

 

 

 

 

 

5,140,123

 

Consumer Services (12.4%)

 

 

 

 

 

*

Burlington Stores Inc.

 

1,735,309

 

282,283

 

 

Service Corp. International

 

4,424,881

 

178,146

 

*

Bright Horizons Family Solutions Inc.

 

1,494,401

 

166,551

 

 

KAR Auction Services Inc.

 

3,464,303

 

165,317

 

 

Foot Locker Inc.

 

2,957,774

 

157,354

 

 

Sabre Corp.

 

7,088,395

 

153,393

 

*

Liberty Media Corp-Liberty Formula One

 

4,950,430

 

151,978

 

*

Five Below Inc.

 

1,434,583

 

146,787

 

*

Etsy Inc.

 

2,945,906

 

140,137

 

 

Dun & Bradstreet Corp.

 

955,578

 

136,399

 

 

Dunkin’ Brands Group Inc.

 

2,125,969

 

136,317

 

 

H&R Block Inc.

 

5,290,554

 

134,221

 

*

ServiceMaster Global Holdings Inc.

 

3,492,449

 

128,313

 

 

3


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

JetBlue Airways Corp.

 

7,848,087

 

126,040

 

*

Madison Square Garden Co. Class A

 

470,034

 

125,828

 

*

Planet Fitness Inc. Class A

 

2,269,707

 

121,702

 

 

Casey’s General Stores Inc.

 

942,021

 

120,711

 

*

Grand Canyon Education Inc.

 

1,238,808

 

119,099

 

 

Vail Resorts Inc.

 

520,576

 

109,748

 

 

Texas Roadhouse Inc. Class A

 

1,749,629

 

104,453

 

^

Williams-Sonoma Inc.

 

2,066,483

 

104,254

 

*

Trade Desk Inc. Class A

 

886,604

 

102,899

 

 

Six Flags Entertainment Corp.

 

1,847,155

 

102,757

 

 

Cable One Inc.

 

124,811

 

102,358

 

*

Spirit Airlines Inc.

 

1,757,507

 

101,795

 

*,^

Caesars Entertainment Corp.

 

14,656,141

 

99,515

 

 

Cracker Barrel Old Country Store Inc.

 

618,579

 

98,886

 

 

Cinemark Holdings Inc.

 

2,706,256

 

96,884

 

 

Dolby Laboratories Inc. Class A

 

1,560,605

 

96,508

 

 

Tribune Media Co. Class A

 

2,030,589

 

92,148

 

*

Ollie’s Bargain Outlet Holdings Inc.

 

1,371,582

 

91,224

 

*

GrubHub Inc.

 

1,167,457

 

89,672

 

 

Nexstar Media Group Inc. Class A

 

1,115,557

 

87,727

 

*

Live Nation Entertainment Inc.

 

1,752,961

 

86,333

 

 

Wyndham Destinations Inc.

 

2,383,376

 

85,420

 

 

New York Times Co. Class A

 

3,794,108

 

84,571

 

 

American Eagle Outfitters Inc.

 

4,339,707

 

83,887

 

*

Performance Food Group Co.

 

2,571,521

 

82,983

 

 

Marriott Vacations Worldwide Corp.

 

1,090,737

 

76,908

 

 

Wendy’s Co.

 

4,875,403

 

76,105

 

*

Chegg Inc.

 

2,663,298

 

75,691

 

 

Extended Stay America Inc.

 

4,847,488

 

75,136

 

 

World Wrestling Entertainment Inc. Class A

 

1,003,145

 

74,955

 

 

Aaron’s Inc.

 

1,766,642

 

74,287

 

*

TripAdvisor Inc.

 

1,362,722

 

73,505

 

*

Sprouts Farmers Market Inc.

 

3,122,012

 

73,399

 

*

Adtalem Global Education Inc.

 

1,513,264

 

71,608

 

*

Yelp Inc. Class A

 

2,031,719

 

71,090

 

*

Stamps.com Inc.

 

443,034

 

68,954

 

 

Churchill Downs Inc.

 

279,650

 

68,218

 

 

Graham Holdings Co. Class B

 

106,162

 

68,005

 

 

AMERCO

 

202,080

 

66,305

 

*

Hilton Grand Vacations Inc.

 

2,496,634

 

65,886

 

*

Urban Outfitters Inc.

 

1,936,783

 

64,301

 

*,^

LiveRamp Holdings Inc.

 

1,658,217

 

64,057

 

*

AMC Networks Inc. Class A

 

1,161,645

 

63,751

 

 

Choice Hotels International Inc.

 

865,010

 

61,917

 

*,^

RH

 

515,621

 

61,782

 

*

Murphy USA Inc.

 

789,249

 

60,488

 

 

TEGNA Inc.

 

5,542,277

 

60,245

 

 

Strategic Education Inc.

 

530,830

 

60,207

 

 

Dick’s Sporting Goods Inc.

 

1,874,293

 

58,478

 

 

Wyndham Hotels & Resorts Inc.

 

1,275,113

 

57,852

 

 

SkyWest Inc.

 

1,269,819

 

56,469

 

*

Belmond Ltd. Class A

 

2,253,075

 

56,394

 

 

John Wiley & Sons Inc. Class A

 

1,183,305

 

55,580

 

 

Monro Inc.

 

805,284

 

55,363

 

*

Liberty Expedia Holdings Inc. Class A

 

1,401,839

 

54,826

 

 

Hillenbrand Inc.

 

1,444,166

 

54,777

 

*

Penn National Gaming Inc.

 

2,907,552

 

54,749

 

 

Morningstar Inc.

 

494,667

 

54,334

 

*

Eldorado Resorts Inc.

 

1,492,683

 

54,050

 

*

AutoNation Inc.

 

1,505,106

 

53,732

 

*

Pandora Media Inc.

 

6,607,119

 

53,452

 

 

Meredith Corp.

 

1,026,365

 

53,309

 

*

Sally Beauty Holdings Inc.

 

3,090,662

 

52,696

 

*,^

Roku Inc.

 

1,691,133

 

51,816

 

 

4


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

Cargurus Inc.

 

1,496,126

 

50,464

 

 

Jack in the Box Inc.

 

630,162

 

48,920

 

 

Wingstop Inc.

 

751,479

 

48,237

 

*

National Vision Holdings Inc.

 

1,689,498

 

47,593

 

*

Weight Watchers International Inc.

 

1,205,435

 

46,470

 

*

frontdoor Inc.

 

1,741,655

 

46,345

 

 

Sinclair Broadcast Group Inc. Class A

 

1,757,122

 

46,283

 

 

Cheesecake Factory Inc.

 

1,051,519

 

45,752

 

 

Dave & Buster’s Entertainment Inc.

 

1,000,886

 

44,600

 

 

Lithia Motors Inc. Class A

 

579,304

 

44,218

 

 

DSW Inc. Class A

 

1,775,491

 

43,855

 

 

Brinker International Inc.

 

995,011

 

43,761

 

*

Sotheby’s

 

1,073,160

 

42,647

 

 

Signet Jewelers Ltd.

 

1,338,634

 

42,528

 

*

BJ’s Wholesale Club Holdings Inc.

 

1,918,412

 

42,512

 

 

Boyd Gaming Corp.

 

2,024,523

 

42,070

 

 

Lions Gate Entertainment Corp. Class B

 

2,735,250

 

40,701

 

 

PriceSmart Inc.

 

666,318

 

39,379

 

 

Bed Bath & Beyond Inc.

 

3,379,388

 

38,255

 

 

Bloomin’ Brands Inc.

 

2,132,425

 

38,149

 

*

Cars.com Inc.

 

1,765,811

 

37,965

 

*

Groupon Inc. Class A

 

11,765,324

 

37,649

 

 

Red Rock Resorts Inc. Class A

 

1,796,469

 

36,486

 

 

Office Depot Inc.

 

14,114,773

 

36,416

 

 

Children’s Place Inc.

 

401,641

 

36,184

 

*

Avis Budget Group Inc.

 

1,596,435

 

35,888

 

*

Floor & Decor Holdings Inc. Class A

 

1,380,616

 

35,758

 

 

Penske Automotive Group Inc.

 

875,368

 

35,295

 

*

MSG Networks Inc.

 

1,497,749

 

35,287

 

*

Shutterfly Inc.

 

866,203

 

34,873

 

*

Laureate Education Inc. Class A

 

2,277,725

 

34,713

 

 

Abercrombie & Fitch Co.

 

1,721,802

 

34,522

 

*

Asbury Automotive Group Inc.

 

505,626

 

33,705

 

*

Michaels Cos. Inc.

 

2,431,972

 

32,929

 

 

Matthews International Corp. Class A

 

783,161

 

31,812

 

 

Hawaiian Holdings Inc.

 

1,204,195

 

31,803

 

 

GameStop Corp. Class A

 

2,497,941

 

31,524

 

 

Guess? Inc.

 

1,461,420

 

30,354

 

*

SeaWorld Entertainment Inc.

 

1,359,630

 

30,034

 

 

Big Lots Inc.

 

1,026,709

 

29,692

 

*

Liberty TripAdvisor Holdings Inc. Class A

 

1,860,110

 

29,557

 

*,^

ANGI Homeservices Inc. Class A

 

1,831,469

 

29,432

 

 

Dine Brands Global Inc.

 

434,347

 

29,249

 

*

Shake Shack Inc. Class A

 

640,377

 

29,086

 

 

Allegiant Travel Co. Class A

 

290,195

 

29,083

 

 

Caleres Inc.

 

1,001,585

 

27,874

 

 

BJ’s Restaurants Inc.

 

548,197

 

27,722

 

 

Core-Mark Holding Co. Inc.

 

1,171,972

 

27,248

 

 

International Speedway Corp. Class A

 

598,000

 

26,228

 

*

Scientific Games Corp.

 

1,421,271

 

25,412

 

 

Gannett Co. Inc.

 

2,915,467

 

24,869

 

 

Group 1 Automotive Inc.

 

470,317

 

24,795

 

 

Scholastic Corp.

 

602,747

 

24,267

 

*

Houghton Mifflin Harcourt Co.

 

2,704,114

 

23,958

 

*

K12 Inc.

 

927,812

 

23,000

 

*

At Home Group Inc.

 

1,220,645

 

22,777

 

 

Papa John’s International Inc.

 

566,035

 

22,534

 

*

Quotient Technology Inc.

 

2,084,507

 

22,263

 

 

EW Scripps Co. Class A

 

1,414,085

 

22,244

 

^

Lions Gate Entertainment Corp. Class A

 

1,369,132

 

22,043

 

*

Genesco Inc.

 

492,786

 

21,830

 

*

Rent-A-Center Inc.

 

1,237,137

 

20,029

 

*,^

Rite Aid Corp.

 

27,301,431

 

19,338

 

*

Diplomat Pharmacy Inc.

 

1,430,796

 

19,259

 

 

5


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

Hertz Global Holdings Inc.

 

1,403,771

 

19,162

 

*

Liberty Media Corp-Liberty Formula One Class A

 

625,913

 

18,602

 

 

Entercom Communications Corp. Class A

 

3,208,113

 

18,318

 

*

TrueCar Inc.

 

2,002,669

 

18,144

 

^

Dillard’s Inc. Class A

 

300,337

 

18,113

 

 

Weis Markets Inc.

 

378,305

 

18,075

 

*,^

Stitch Fix Inc. Class A

 

1,018,793

 

17,411

 

 

Chico’s FAS Inc.

 

3,087,419

 

17,351

 

 

New Media Investment Group Inc.

 

1,468,031

 

16,985

 

 

Tailored Brands Inc.

 

1,215,086

 

16,574

 

 

AMC Entertainment Holdings Inc. Class A

 

1,338,181

 

16,433

 

*

Herc Holdings Inc.

 

622,312

 

16,174

 

*

Party City Holdco Inc.

 

1,507,654

 

15,046

 

^

Buckle Inc.

 

758,082

 

14,661

 

*,^

Carvana Co. Class A

 

447,086

 

14,624

 

*

United Natural Foods Inc.

 

1,319,153

 

13,970

 

*

Regis Corp.

 

797,672

 

13,521

 

*

Ascena Retail Group Inc.

 

4,298,468

 

10,789

 

 

National CineMedia Inc.

 

1,610,208

 

10,434

 

*

Zumiez Inc.

 

492,771

 

9,446

 

*

Express Inc.

 

1,777,772

 

9,084

 

*

El Pollo Loco Holdings Inc.

 

554,598

 

8,413

 

*

Fiesta Restaurant Group Inc.

 

529,695

 

8,216

 

 

Emerald Expositions Events Inc.

 

658,264

 

8,123

 

*

Bojangles’ Inc.

 

479,231

 

7,706

 

 

Sonic Automotive Inc. Class A

 

548,653

 

7,549

 

*,^

JC Penney Co. Inc.

 

7,249,324

 

7,539

 

*,^

Upwork Inc.

 

413,787

 

7,494

 

*,^

Lumber Liquidators Holdings Inc.

 

736,943

 

7,016

 

*

BrightView Holdings Inc.

 

678,089

 

6,923

 

*

Biglari Holdings Inc. Class B

 

50,497

 

5,735

 

*

American Public Education Inc.

 

200,083

 

5,694

 

 

Clear Channel Outdoor Holdings Inc. Class A

 

973,442

 

5,052

 

 

Barnes & Noble Inc.

 

667,594

 

4,733

 

 

Speedway Motorsports Inc.

 

257,579

 

4,191

 

 

Cato Corp. Class A

 

284,898

 

4,066

 

*,^

Lands’ End Inc.

 

248,072

 

3,525

 

*

Smart & Final Stores Inc.

 

715,669

 

3,392

 

*

Biglari Holdings Inc.

 

3,035

 

1,784

 

*

Hibbett Sports Inc.

 

334

 

5

 

 

Tile Shop Holdings Inc.

 

719

 

4

 

*

Blue Apron Holdings Inc. Class A

 

1,158

 

1

 

 

 

 

 

 

9,639,078

 

Financials (26.1%)

 

 

 

 

 

 

WP Carey Inc.

 

4,147,085

 

270,971

 

 

Sun Communities Inc.

 

2,112,094

 

214,821

 

 

Equity LifeStyle Properties Inc.

 

2,079,514

 

201,983

 

 

National Retail Properties Inc.

 

4,097,141

 

198,752

 

 

MarketAxess Holdings Inc.

 

919,471

 

194,293

 

 

Omega Healthcare Investors Inc.

 

5,166,731

 

181,611

 

 

Apartment Investment & Management Co.

 

4,008,945

 

175,912

 

 

Gaming and Leisure Properties Inc.

 

5,236,743

 

169,199

 

 

Brown & Brown Inc.

 

6,110,079

 

168,394

 

 

Kilroy Realty Corp.

 

2,593,976

 

163,109

 

 

East West Bancorp Inc.

 

3,732,254

 

162,465

 

 

Liberty Property Trust

 

3,805,606

 

159,379

 

 

American Financial Group Inc.

 

1,723,343

 

156,014

 

 

Old Republic International Corp.

 

7,401,971

 

152,259

 

 

Lamar Advertising Co. Class A

 

2,190,663

 

151,550

 

 

Medical Properties Trust Inc.

 

9,395,969

 

151,087

 

 

American Campus Communities Inc.

 

3,527,690

 

146,011

 

 

Commerce Bancshares Inc.

 

2,583,771

 

145,647

 

 

VICI Properties Inc.

 

7,738,368

 

145,327

 

 

CyrusOne Inc.

 

2,724,862

 

144,091

 

 

6


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

Douglas Emmett Inc.

 

4,156,676

 

141,867

 

 

STORE Capital Corp.

 

4,931,571

 

139,613

 

 

RenaissanceRe Holdings Ltd.

 

1,036,597

 

138,593

 

 

CubeSmart

 

4,796,316

 

137,606

 

 

Healthcare Trust of America Inc. Class A

 

5,329,405

 

134,887

 

 

Park Hotels & Resorts Inc.

 

5,180,194

 

134,581

 

 

Signature Bank

 

1,305,666

 

134,236

 

 

New Residential Investment Corp.

 

9,407,764

 

133,684

 

 

Starwood Property Trust Inc.

 

6,734,710

 

132,741

 

 

Cullen/Frost Bankers Inc.

 

1,481,580

 

130,290

 

 

LPL Financial Holdings Inc.

 

2,120,796

 

129,538

 

 

American Homes 4 Rent Class A

 

6,476,055

 

128,550

 

 

Hanover Insurance Group Inc.

 

1,089,727

 

127,247

 

*

Credit Acceptance Corp.

 

323,084

 

123,341

 

 

EPR Properties

 

1,913,781

 

122,539

 

 

First American Financial Corp.

 

2,734,283

 

122,058

 

 

Popular Inc.

 

2,583,211

 

121,979

 

 

Assurant Inc.

 

1,358,012

 

121,461

 

 

Hudson Pacific Properties Inc.

 

4,034,542

 

117,244

 

 

Webster Financial Corp.

 

2,374,355

 

117,032

 

 

Brixmor Property Group Inc.

 

7,719,338

 

113,397

 

 

New York Community Bancorp Inc.

 

11,992,544

 

112,850

 

 

Life Storage Inc.

 

1,199,489

 

111,540

 

 

First Horizon National Corp.

 

8,341,308

 

109,772

 

 

Primerica Inc.

 

1,105,448

 

108,013

 

 

Prosperity Bancshares Inc.

 

1,707,978

 

106,407

 

 

Axis Capital Holdings Ltd.

 

2,044,052

 

105,555

 

 

PacWest Bancorp

 

3,138,682

 

104,455

 

*

GCI Liberty Inc. Class A

 

2,531,408

 

104,193

 

 

Highwoods Properties Inc.

 

2,664,373

 

103,085

 

*

Howard Hughes Corp.

 

1,052,075

 

102,704

 

 

Eaton Vance Corp.

 

2,850,657

 

100,286

 

 

Assured Guaranty Ltd.

 

2,584,022

 

98,916

 

 

JBG SMITH Properties

 

2,801,319

 

97,514

 

*

MGIC Investment Corp.

 

9,309,334

 

97,376

 

*

Green Dot Corp. Class A

 

1,220,996

 

97,094

 

*

Western Alliance Bancorp

 

2,453,125

 

96,874

 

 

Wintrust Financial Corp.

 

1,451,691

 

96,523

 

 

Hospitality Properties Trust

 

4,021,692

 

96,038

 

 

Pebblebrook Hotel Trust

 

3,384,302

 

95,810

 

^

First Financial Bankshares Inc.

 

1,655,738

 

95,520

 

 

Sterling Bancorp

 

5,778,971

 

95,411

 

 

Blackstone Mortgage Trust Inc. Class A

 

2,958,970

 

94,273

 

 

First Industrial Realty Trust Inc.

 

3,251,493

 

93,838

 

*

Brighthouse Financial Inc.

 

3,053,697

 

93,077

 

 

Selective Insurance Group Inc.

 

1,515,863

 

92,377

 

 

Rayonier Inc.

 

3,332,969

 

92,290

 

 

IBERIABANK Corp.

 

1,429,851

 

91,911

 

 

Healthcare Realty Trust Inc.

 

3,224,646

 

91,709

 

 

Synovus Financial Corp.

 

2,850,757

 

91,196

 

 

Umpqua Holdings Corp.

 

5,669,059

 

90,138

 

 

Janus Henderson Group plc

 

4,346,753

 

90,065

 

 

Radian Group Inc.

 

5,492,060

 

89,850

 

 

Equity Commonwealth

 

2,970,428

 

89,143

 

*,^

Zillow Group Inc.

 

2,804,279

 

88,559

 

 

Kemper Corp.

 

1,333,556

 

88,521

 

 

Pinnacle Financial Partners Inc.

 

1,904,941

 

87,818

 

 

Erie Indemnity Co. Class A

 

652,102

 

86,932

 

 

Glacier Bancorp Inc.

 

2,175,340

 

86,187

 

 

Cousins Properties Inc.

 

10,823,054

 

85,502

 

 

Associated Banc-Corp

 

4,267,230

 

84,448

 

 

United Bankshares Inc.

 

2,655,494

 

82,612

 

 

CoreSite Realty Corp.

 

944,979

 

82,431

 

 

FNB Corp.

 

8,348,215

 

82,146

 

 

7


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

Essent Group Ltd.

 

2,400,398

 

82,046

 

 

Two Harbors Investment Corp.

 

6,387,030

 

82,009

 

 

MB Financial Inc.

 

2,061,265

 

81,688

 

 

Chimera Investment Corp.

 

4,573,804

 

81,505

 

 

EastGroup Properties Inc.

 

881,196

 

80,832

 

 

Apple Hospitality REIT Inc.

 

5,596,045

 

79,800

 

 

BankUnited Inc.

 

2,653,455

 

79,444

 

 

Ryman Hospitality Properties Inc.

 

1,189,688

 

79,340

 

 

Weingarten Realty Investors

 

3,138,558

 

77,868

 

 

Spirit Realty Capital Inc.

 

2,208,554

 

77,852

 

 

National Health Investors Inc.

 

1,028,888

 

77,722

 

 

FirstCash Inc.

 

1,072,186

 

77,573

 

 

MFA Financial Inc.

 

11,575,360

 

77,323

 

 

Community Bank System Inc.

 

1,317,618

 

76,817

 

 

Sunstone Hotel Investors Inc.

 

5,878,825

 

76,483

 

 

Hancock Whitney Corp.

 

2,193,122

 

75,992

 

 

Sabra Health Care REIT Inc.

 

4,594,983

 

75,725

 

 

TCF Financial Corp.

 

3,865,228

 

75,333

 

 

Physicians Realty Trust

 

4,698,022

 

75,309

 

 

RLI Corp.

 

1,087,968

 

75,059

 

 

RLJ Lodging Trust

 

4,514,232

 

74,033

 

 

Stifel Financial Corp.

 

1,762,054

 

72,984

 

 

Bank of Hawaii Corp.

 

1,074,408

 

72,329

 

 

Valley National Bancorp

 

8,111,097

 

72,027

 

 

Bank OZK

 

3,150,219

 

71,919

 

 

Senior Housing Properties Trust

 

6,120,226

 

71,729

 

 

UMB Financial Corp.

 

1,156,586

 

70,517

 

 

Rexford Industrial Realty Inc.

 

2,390,311

 

70,442

 

 

Fulton Financial Corp.

 

4,532,777

 

70,167

 

 

STAG Industrial Inc.

 

2,803,067

 

69,740

 

 

CVB Financial Corp.

 

3,431,634

 

69,422

 

 

Paramount Group Inc.

 

5,500,936

 

69,092

 

 

Columbia Banking System Inc.

 

1,885,193

 

68,414

 

 

Uniti Group Inc.

 

4,377,391

 

68,156

 

 

Taubman Centers Inc.

 

1,493,969

 

67,961

 

 

Chemical Financial Corp.

 

1,840,847

 

67,393

 

 

White Mountains Insurance Group Ltd.

 

77,792

 

66,721

 

 

Cathay General Bancorp

 

1,984,421

 

66,538

 

*

Texas Capital Bancshares Inc.

 

1,293,768

 

66,099

 

 

BancorpSouth Bank

 

2,515,562

 

65,757

 

 

Home BancShares Inc.

 

4,005,435

 

65,449

 

 

Outfront Media Inc.

 

3,590,312

 

65,056

 

 

Aspen Insurance Holdings Ltd.

 

1,538,583

 

64,605

 

 

PS Business Parks Inc.

 

492,675

 

64,540

 

 

Evercore Inc. Class A

 

886,585

 

63,444

 

 

Empire State Realty Trust Inc.

 

4,453,813

 

63,378

 

 

Americold Realty Trust

 

2,476,138

 

63,241

 

 

CNO Financial Group Inc.

 

4,241,466

 

63,113

 

 

Investors Bancorp Inc.

 

6,014,254

 

62,548

 

 

First Hawaiian Inc.

 

2,773,895

 

62,440

 

 

American Equity Investment Life Holding Co.

 

2,211,997

 

61,803

 

 

Federated Investors Inc. Class B

 

2,324,527

 

61,716

 

 

Lazard Ltd. Class A

 

1,670,439

 

61,656

 

 

Old National Bancorp

 

3,921,498

 

60,391

 

 

Retail Properties of America Inc.

 

5,546,309

 

60,177

 

*

Genworth Financial Inc. Class A

 

12,897,528

 

60,102

 

*

SLM Corp.

 

7,145,139

 

59,376

 

 

Brandywine Realty Trust

 

4,600,412

 

59,207

 

 

Corporate Office Properties Trust

 

2,802,226

 

58,931

 

 

Columbia Property Trust Inc.

 

3,036,582

 

58,758

 

 

GEO Group Inc.

 

2,978,350

 

58,673

 

 

Navient Corp.

 

6,639,116

 

58,491

 

*

Zillow Group Inc. Class A

 

1,837,090

 

57,740

 

 

Apollo Commercial Real Estate Finance Inc.

 

3,452,862

 

57,525

 

 

8


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

Kennedy-Wilson Holdings Inc.

 

3,153,371

 

57,297

 

 

First Financial Bancorp

 

2,394,184

 

56,790

 

 

South State Corp.

 

940,885

 

56,406

 

 

Piedmont Office Realty Trust Inc. Class A

 

3,301,168

 

56,252

 

 

Legg Mason Inc.

 

2,202,619

 

56,189

 

 

Washington Federal Inc.

 

2,102,099

 

56,147

 

 

Colony Capital Inc.

 

11,993,804

 

56,131

 

 

ProAssurance Corp.

 

1,378,568

 

55,915

 

 

Argo Group International Holdings Ltd.

 

829,180

 

55,762

 

 

BOK Financial Corp.

 

747,919

 

54,845

 

 

CoreCivic Inc.

 

3,055,175

 

54,474

 

 

First Midwest Bancorp Inc.

 

2,740,537

 

54,290

 

 

Terreno Realty Corp.

 

1,522,757

 

53,555

 

 

International Bancshares Corp.

 

1,534,374

 

52,782

 

 

First Citizens BancShares Inc. Class A

 

139,038

 

52,424

 

 

PotlatchDeltic Corp.

 

1,653,267

 

52,309

 

 

CIT Group Inc.

 

1,360,344

 

52,060

 

 

CenterState Bank Corp.

 

2,463,295

 

51,828

 

 

Simmons First National Corp. Class A

 

2,138,493

 

51,602

 

 

Independent Bank Corp.

 

721,774

 

50,748

 

 

Brookfield Property REIT Inc. Class A

 

3,120,531

 

50,241

 

 

Acadia Realty Trust

 

2,097,201

 

49,829

 

 

Xenia Hotels & Resorts Inc.

 

2,896,135

 

49,814

 

 

Santander Consumer USA Holdings Inc.

 

2,779,935

 

48,899

 

^

Tanger Factory Outlet Centers Inc.

 

2,417,621

 

48,884

 

 

WesBanco Inc.

 

1,329,557

 

48,781

 

 

QTS Realty Trust Inc. Class A

 

1,312,954

 

48,645

 

 

DiamondRock Hospitality Co.

 

5,357,037

 

48,642

 

 

First BanCorp

 

5,599,596

 

48,157

 

 

Navigators Group Inc.

 

688,639

 

47,854

 

 

Washington REIT

 

2,055,984

 

47,288

 

*

OneMain Holdings Inc.

 

1,921,751

 

46,679

 

 

Retail Opportunity Investments Corp.

 

2,934,188

 

46,595

 

 

Urban Edge Properties

 

2,798,707

 

46,514

 

 

Great Western Bancorp Inc.

 

1,486,733

 

46,460

 

 

Banner Corp.

 

865,912

 

46,309

 

 

Union Bankshares Corp.

 

1,612,507

 

45,521

 

 

Lexington Realty Trust

 

5,478,171

 

44,976

 

^

Realogy Holdings Corp.

 

3,043,738

 

44,682

 

 

Trustmark Corp.

 

1,557,071

 

44,268

 

 

Capitol Federal Financial Inc.

 

3,452,363

 

44,087

 

 

First Merchants Corp.

 

1,274,546

 

43,679

 

*,^

LendingTree Inc.

 

197,543

 

43,375

 

 

Renasant Corp.

 

1,433,467

 

43,262

 

 

Mack-Cali Realty Corp.

 

2,207,180

 

43,239

 

*

Enstar Group Ltd.

 

254,318

 

42,616

 

 

LTC Properties Inc.

 

1,019,889

 

42,509

 

 

Virtu Financial Inc. Class A

 

1,641,562

 

42,287

 

 

Invesco Mortgage Capital Inc.

 

2,879,450

 

41,694

 

 

United Community Banks Inc.

 

1,936,032

 

41,547

 

*

Eagle Bancorp Inc.

 

841,494

 

40,989

 

 

Moelis & Co. Class A

 

1,177,713

 

40,490

 

 

Northwest Bancshares Inc.

 

2,385,422

 

40,409

 

 

LegacyTexas Financial Group Inc.

 

1,247,709

 

40,039

 

 

CareTrust REIT Inc.

 

2,160,178

 

39,877

 

 

Towne Bank

 

1,664,634

 

39,868

 

 

SITE Centers Corp.

 

3,569,111

 

39,510

 

 

Horace Mann Educators Corp.

 

1,053,479

 

39,453

 

*

Pacific Premier Bancorp Inc.

 

1,529,388

 

39,030

 

 

National General Holdings Corp.

 

1,588,978

 

38,469

 

*

FCB Financial Holdings Inc. Class A

 

1,141,696

 

38,338

 

 

Chesapeake Lodging Trust

 

1,552,821

 

37,811

 

 

Provident Financial Services Inc.

 

1,551,341

 

37,434

 

 

Hope Bancorp Inc.

 

3,152,761

 

37,392

 

 

9


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

Ladder Capital Corp. Class A

 

2,413,325

 

37,334

 

 

ServisFirst Bancshares Inc.

 

1,163,987

 

37,096

 

 

Mercury General Corp.

 

713,974

 

36,920

 

 

Ameris Bancorp

 

1,162,994

 

36,832

 

 

NBT Bancorp Inc.

 

1,064,396

 

36,817

 

*

Axos Financial Inc.

 

1,458,085

 

36,715

 

 

American Assets Trust Inc.

 

909,944

 

36,552

 

 

Westamerica Bancorporation

 

652,064

 

36,307

 

 

BGC Partners Inc. Class A

 

6,964,071

 

36,004

 

 

Ares Management Corp.

 

1,961,673

 

34,879

 

 

Waddell & Reed Financial Inc. Class A

 

1,918,452

 

34,686

 

 

Global Net Lease Inc.

 

1,958,958

 

34,517

 

 

Cadence BanCorp Class A

 

2,038,531

 

34,207

 

 

First Interstate BancSystem Inc. Class A

 

928,991

 

33,964

 

 

Colony Credit Real Estate Inc.

 

2,148,748

 

33,929

 

 

Employers Holdings Inc.

 

801,293

 

33,630

 

*

PennyMac Financial Services Inc.

 

1,560,720

 

33,181

 

 

Walker & Dunlop Inc.

 

765,258

 

33,097

 

^

Industrial Logistics Properties Trust

 

1,676,820

 

32,983

 

 

Houlihan Lokey Inc. Class A

 

895,947

 

32,971

 

 

Hilltop Holdings Inc.

 

1,823,484

 

32,513

 

*

Alexander & Baldwin Inc.

 

1,760,335

 

32,355

 

 

S&T Bancorp Inc.

 

853,089

 

32,281

 

 

Redwood Trust Inc.

 

2,141,593

 

32,274

 

 

Clearway Energy Inc.

 

1,838,954

 

31,722

 

 

HFF Inc. Class A

 

954,878

 

31,664

 

 

First Commonwealth Financial Corp.

 

2,562,625

 

30,956

 

 

Newmark Group Inc. Class A

 

3,800,399

 

30,479

 

 

Safety Insurance Group Inc.

 

372,021

 

30,435

 

 

United Fire Group Inc.

 

548,280

 

30,402

 

 

Kite Realty Group Trust

 

2,153,700

 

30,346

 

 

Artisan Partners Asset Management Inc. Class A

 

1,322,517

 

29,241

 

 

Park National Corp.

 

342,184

 

29,069

 

 

Kearny Financial Corp.

 

2,229,291

 

28,579

 

*

Cannae Holdings Inc.

 

1,662,191

 

28,457

 

 

Tompkins Financial Corp.

 

372,658

 

27,953

 

 

PennyMac Mortgage Investment Trust

 

1,493,136

 

27,802

 

*

LendingClub Corp.

 

10,430,728

 

27,433

 

 

City Holding Co.

 

403,386

 

27,265

 

 

Brookline Bancorp Inc.

 

1,967,134

 

27,186

 

^

American Finance Trust Inc.

 

2,036,641

 

27,128

 

*

PRA Group Inc.

 

1,108,353

 

27,011

 

 

Berkshire Hills Bancorp Inc.

 

992,944

 

26,780

 

^

Seritage Growth Properties Class A

 

828,102

 

26,773

 

 

American National Insurance Co.

 

207,182

 

26,362

 

 

Beneficial Bancorp Inc.

 

1,726,266

 

24,668

 

*

FGL Holdings

 

3,696,259

 

24,617

 

 

Getty Realty Corp.

 

831,507

 

24,455

 

 

Investment Technology Group Inc.

 

805,218

 

24,350

 

 

Piper Jaffray Cos.

 

362,890

 

23,893

 

 

RPT Realty

 

1,964,026

 

23,470

 

 

Washington Prime Group Inc.

 

4,802,228

 

23,339

 

 

Agree Realty Corp.

 

394,302

 

23,311

 

 

TPG RE Finance Trust Inc.

 

1,271,242

 

23,238

 

 

Independent Bank Group Inc.

 

507,469

 

23,227

 

 

TFS Financial Corp.

 

1,437,580

 

23,188

 

*,^

Redfin Corp.

 

1,608,051

 

23,156

 

 

BancFirst Corp.

 

462,027

 

23,055

 

 

Boston Private Financial Holdings Inc.

 

2,174,581

 

22,985

 

*

Cushman & Wakefield plc

 

1,551,040

 

22,444

 

 

ARMOUR Residential REIT Inc.

 

1,090,014

 

22,345

 

 

WisdomTree Investments Inc.

 

3,348,952

 

22,271

 

 

OFG Bancorp

 

1,321,045

 

21,744

 

 

InfraREIT Inc.

 

1,020,366

 

21,448

 

 

10


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

National Bank Holdings Corp. Class A

 

669,870

 

20,679

 

 

State Bank Financial Corp.

 

951,535

 

20,544

 

*

Ambac Financial Group Inc.

 

1,162,811

 

20,047

 

*

Third Point Reinsurance Ltd.

 

2,049,295

 

19,755

 

*

Flagstar Bancorp Inc.

 

743,538

 

19,629

 

*

World Acceptance Corp.

 

190,705

 

19,501

 

 

Universal Health Realty Income Trust

 

316,789

 

19,441

 

 

Granite Point Mortgage Trust Inc.

 

1,063,624

 

19,177

 

*

Marcus & Millichap Inc.

 

547,709

 

18,803

 

*,^

MBIA Inc.

 

2,105,951

 

18,785

 

 

Cohen & Steers Inc.

 

540,090

 

18,536

 

*

Columbia Financial Inc.

 

1,188,198

 

18,168

 

 

Nelnet Inc. Class A

 

339,170

 

17,752

 

*,^

Encore Capital Group Inc.

 

753,717

 

17,712

 

^

Government Properties Income Trust

 

2,562,456

 

17,604

 

 

Heartland Financial USA Inc.

 

397,982

 

17,491

 

 

Central Pacific Financial Corp.

 

713,785

 

17,381

 

 

National Western Life Group Inc. Class A

 

57,095

 

17,168

 

 

FBL Financial Group Inc. Class A

 

258,757

 

16,987

 

 

Select Income REIT

 

2,306,384

 

16,975

 

 

Hersha Hospitality Trust Class A

 

966,810

 

16,958

 

 

Franklin Street Properties Corp.

 

2,621,550

 

16,332

 

 

Hamilton Lane Inc. Class A

 

430,573

 

15,931

 

 

Alexander’s Inc.

 

52,218

 

15,913

 

 

Clearway Energy Inc. Class A

 

932,179

 

15,772

 

 

Capstead Mortgage Corp.

 

2,341,211

 

15,616

 

 

Saul Centers Inc.

 

324,152

 

15,306

 

 

State Auto Financial Corp.

 

448,930

 

15,282

 

 

iStar Inc.

 

1,658,752

 

15,211

 

 

Investors Real Estate Trust

 

306,398

 

15,035

 

 

Urstadt Biddle Properties Inc. Class A

 

774,929

 

14,894

 

 

Northfield Bancorp Inc.

 

1,093,068

 

14,811

 

 

Oritani Financial Corp.

 

986,895

 

14,557

 

 

Virtus Investment Partners Inc.

 

174,889

 

13,891

 

 

Dime Community Bancshares Inc.

 

793,102

 

13,467

 

 

CorePoint Lodging Inc.

 

1,071,733

 

13,129

 

 

Summit Hotel Properties Inc.

 

1,342,670

 

13,064

 

 

KKR Real Estate Finance Trust Inc.

 

679,176

 

13,006

 

*

Focus Financial Partners Inc. Class A

 

491,923

 

12,952

 

 

AG Mortgage Investment Trust Inc.

 

738,973

 

11,772

 

*

St. Joe Co.

 

859,193

 

11,316

 

 

Front Yard Residential Corp.

 

1,244,508

 

10,865

 

 

Anworth Mortgage Asset Corp.

 

2,514,443

 

10,158

 

 

Retail Value Inc.

 

388,584

 

9,944

 

 

Ashford Hospitality Trust Inc.

 

2,464,691

 

9,859

 

^

Pennsylvania REIT

 

1,624,230

 

9,648

 

 

RMR Group Inc. Class A

 

174,327

 

9,253

 

 

Greenhill & Co. Inc.

 

366,656

 

8,946

 

*

Tejon Ranch Co.

 

512,776

 

8,502

 

 

New Senior Investment Group Inc.

 

1,998,593

 

8,234

 

^

CBL & Associates Properties Inc.

 

4,200,135

 

8,064

 

 

Spirit MTA REIT

 

1,097,031

 

7,822

 

*

Greenlight Capital Re Ltd. Class A

 

729,567

 

6,289

 

*

EZCORP Inc. Class A

 

595,080

 

4,600

 

*

On Deck Capital Inc.

 

712,004

 

4,201

 

*

Forestar Group Inc.

 

284,076

 

3,934

 

*,^

Altisource Portfolio Solutions SA

 

172,015

 

3,869

 

 

GAMCO Investors Inc. Class A

 

137,815

 

2,328

 

*

Ocwen Financial Corp.

 

1,426,402

 

1,911

 

 

Associated Capital Group Inc. Class A

 

51,463

 

1,813

 

 

Urstadt Biddle Properties Inc.

 

66,334

 

1,002

 

*

MoneyGram International Inc.

 

12,358

 

25

 

 

Maiden Holdings Ltd.

 

1,220

 

2

 

*

Longfin Corp.

 

18

 

 

 

 

 

 

 

20,373,996

 

 

11


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

Health Care (11.1%)

 

 

 

 

 

 

STERIS plc

 

2,175,639

 

232,467

 

*

Exact Sciences Corp.

 

3,164,090

 

199,654

 

*

Sarepta Therapeutics Inc.

 

1,727,734

 

188,548

 

 

West Pharmaceutical Services Inc.

 

1,907,306

 

186,973

 

*

Molina Healthcare Inc.

 

1,525,900

 

177,340

 

*

Ionis Pharmaceuticals Inc.

 

3,180,326

 

171,928

 

*

Neurocrine Biosciences Inc.

 

2,334,629

 

166,716

 

 

Hill-Rom Holdings Inc.

 

1,732,418

 

153,406

 

*

Exelixis Inc.

 

7,697,559

 

151,411

 

 

Encompass Health Corp.

 

2,419,408

 

149,277

 

 

Bio-Techne Corp.

 

972,219

 

140,700

 

*

Charles River Laboratories International Inc.

 

1,238,200

 

140,139

 

*,^

Bluebird Bio Inc.

 

1,408,109

 

139,684

 

*

PRA Health Sciences Inc.

 

1,505,556

 

138,451

 

*

DexCom Inc.

 

1,143,706

 

137,016

 

*

Haemonetics Corp.

 

1,330,589

 

133,125

 

*

Masimo Corp.

 

1,228,066

 

131,857

 

*

Bio-Rad Laboratories Inc. Class A

 

544,034

 

126,336

 

*

Insulet Corp.

 

1,521,089

 

120,653

 

 

Chemed Corp.

 

412,179

 

116,762

 

*

Catalent Inc.

 

3,742,296

 

116,685

 

*

United Therapeutics Corp.

 

1,066,149

 

116,104

 

*

ICU Medical Inc.

 

501,208

 

115,092

 

*

Sage Therapeutics Inc.

 

1,144,614

 

109,643

 

*

Loxo Oncology Inc.

 

709,255

 

99,345

 

*

Penumbra Inc.

 

799,473

 

97,696

 

*

Amedisys Inc.

 

820,887

 

96,134

 

*

FibroGen Inc.

 

1,970,565

 

91,198

 

*

HealthEquity Inc.

 

1,522,749

 

90,832

 

*

Wright Medical Group NV

 

3,220,279

 

87,656

 

*,^

Teladoc Health Inc.

 

1,715,458

 

85,035

 

*

Globus Medical Inc.

 

1,957,323

 

84,713

 

*

Horizon Pharma plc

 

4,314,944

 

84,314

 

*

Syneos Health Inc.

 

2,125,955

 

83,656

 

*

Integra LifeSciences Holdings Corp.

 

1,754,694

 

79,137

 

*

Array BioPharma Inc.

 

5,484,948

 

78,161

 

 

Bruker Corp.

 

2,619,132

 

77,972

 

^

Healthcare Services Group Inc.

 

1,900,420

 

76,359

 

*

Merit Medical Systems Inc.

 

1,340,160

 

74,794

 

*,^

TESARO Inc.

 

992,276

 

73,676

 

*

MEDNAX Inc.

 

2,188,054

 

72,206

 

*

LHC Group Inc.

 

767,350

 

72,039

 

*

Neogen Corp.

 

1,262,645

 

71,971

 

*,^

Ligand Pharmaceuticals Inc.

 

519,250

 

70,462

 

 

Cantel Medical Corp.

 

913,151

 

67,984

 

*

Emergent BioSolutions Inc.

 

1,113,966

 

66,036

 

*

NuVasive Inc.

 

1,322,144

 

65,525

 

*

Novocure Ltd.

 

1,915,689

 

64,137

 

*

HMS Holdings Corp.

 

2,157,313

 

60,685

 

*

Omnicell Inc.

 

970,811

 

59,452

 

*

Immunomedics Inc.

 

4,158,017

 

59,335

 

*

Agios Pharmaceuticals Inc.

 

1,272,937

 

58,695

 

*

Acadia Healthcare Co. Inc.

 

2,275,128

 

58,494

 

*,^

Inogen Inc.

 

471,039

 

58,489

 

*

Blueprint Medicines Corp.

 

1,070,089

 

57,688

 

*

Intercept Pharmaceuticals Inc.

 

570,134

 

57,464

 

*

Myriad Genetics Inc.

 

1,924,594

 

55,948

 

*

Avanos Medical Inc.

 

1,221,066

 

54,692

 

*

Repligen Corp.

 

1,016,011

 

53,584

 

*

Global Blood Therapeutics Inc.

 

1,289,182

 

52,921

 

*

Ultragenyx Pharmaceutical Inc.

 

1,171,776

 

50,949

 

 

12


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

Tandem Diabetes Care Inc.

 

1,329,445

 

50,479

 

 

Ensign Group Inc.

 

1,280,617

 

49,675

 

*

Glaukos Corp.

 

881,318

 

49,504

 

*

Arena Pharmaceuticals Inc.

 

1,266,682

 

49,337

 

*

NxStage Medical Inc.

 

1,718,051

 

49,171

 

*

Halozyme Therapeutics Inc.

 

3,350,772

 

49,022

 

*

ACADIA Pharmaceuticals Inc.

 

2,910,441

 

47,062

 

*

Amicus Therapeutics Inc.

 

4,873,413

 

46,687

 

*

Heron Therapeutics Inc.

 

1,799,161

 

46,670

 

*

Tenet Healthcare Corp.

 

2,641,037

 

45,267

 

*

Xencor Inc.

 

1,229,559

 

44,461

 

 

CONMED Corp.

 

687,648

 

44,147

 

*

Acceleron Pharma Inc.

 

1,011,448

 

44,049

 

*

Pacira Pharmaceuticals Inc.

 

1,005,916

 

43,275

 

*

MyoKardia Inc.

 

880,738

 

43,033

 

*

Supernus Pharmaceuticals Inc.

 

1,279,251

 

42,497

 

*

Select Medical Holdings Corp.

 

2,760,784

 

42,378

 

*

Aerie Pharmaceuticals Inc.

 

1,169,991

 

42,237

 

*

PTC Therapeutics Inc.

 

1,227,716

 

42,135

 

*

Quidel Corp.

 

859,455

 

41,959

 

*

Prestige Consumer Healthcare Inc.

 

1,332,182

 

41,138

 

 

Patterson Cos. Inc.

 

2,077,267

 

40,839

 

*

Amneal Pharmaceuticals Inc.

 

2,813,937

 

38,073

 

*

Endo International plc

 

5,206,167

 

38,005

 

*

Ironwood Pharmaceuticals Inc. Class A

 

3,608,973

 

37,389

 

*

Medpace Holdings Inc.

 

688,636

 

36,450

 

*

Genomic Health Inc.

 

558,410

 

35,967

 

*,^

Corcept Therapeutics Inc.

 

2,680,793

 

35,815

 

*

Magellan Health Inc.

 

625,470

 

35,583

 

*

REGENXBIO Inc.

 

831,194

 

34,869

 

*

Mallinckrodt plc

 

2,150,071

 

33,971

 

*

AnaptysBio Inc.

 

516,499

 

32,947

 

*,^

Denali Therapeutics Inc.

 

1,588,006

 

32,808

 

*

Medicines Co.

 

1,711,445

 

32,757

 

*

Cambrex Corp.

 

863,053

 

32,589

 

*

Brookdale Senior Living Inc.

 

4,839,025

 

32,421

 

*

Spark Therapeutics Inc.

 

827,170

 

32,375

 

*,^

Portola Pharmaceuticals Inc.

 

1,625,788

 

31,735

 

*

Innoviva Inc.

 

1,691,249

 

29,512

 

*,^

Theravance Biopharma Inc.

 

1,134,216

 

29,025

 

*

Nevro Corp.

 

738,572

 

28,723

 

*

WageWorks Inc.

 

1,022,423

 

27,769

 

*

Momenta Pharmaceuticals Inc.

 

2,475,907

 

27,334

 

*,^

Insmed Inc.

 

1,987,626

 

26,078

 

*

Tivity Health Inc.

 

1,034,816

 

25,674

 

*

Aimmune Therapeutics Inc.

 

1,061,492

 

25,391

 

 

Luminex Corp.

 

1,088,723

 

25,160

 

*

Editas Medicine Inc.

 

1,100,293

 

25,032

 

*

BioTelemetry Inc.

 

408,526

 

24,397

 

*

Orthofix Medical Inc.

 

462,944

 

24,300

 

*,^

OPKO Health Inc.

 

7,951,820

 

23,935

 

*

Clovis Oncology Inc.

 

1,293,841

 

23,237

 

*

Varex Imaging Corp.

 

977,231

 

23,141

 

*

Spectrum Pharmaceuticals Inc.

 

2,479,081

 

21,692

 

 

National HealthCare Corp.

 

254,229

 

19,944

 

*,^

Radius Health Inc.

 

1,185,185

 

19,544

 

*

iRhythm Technologies Inc.

 

280,791

 

19,509

 

*

Acorda Therapeutics Inc.

 

1,223,901

 

19,068

 

*

STAAR Surgical Co.

 

565,253

 

18,037

 

 

Meridian Bioscience Inc.

 

1,033,288

 

17,938

 

*

Atara Biotherapeutics Inc.

 

501,572

 

17,425

 

*,^

Allogene Therapeutics Inc.

 

628,201

 

16,917

 

*

Puma Biotechnology Inc.

 

830,929

 

16,909

 

 

HealthStream Inc.

 

660,265

 

15,945

 

 

13


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

Natera Inc.

 

1,105,670

 

15,435

 

*

Alder Biopharmaceuticals Inc.

 

1,498,810

 

15,363

 

*

Sangamo Therapeutics Inc.

 

1,305,396

 

14,986

 

*

CorVel Corp.

 

241,692

 

14,917

 

*,^

Esperion Therapeutics Inc.

 

310,806

 

14,297

 

*

Natus Medical Inc.

 

410,369

 

13,965

 

*

Reata Pharmaceuticals Inc. Class A

 

231,618

 

12,994

 

*

AMAG Pharmaceuticals Inc.

 

846,043

 

12,851

 

*

Intra-Cellular Therapies Inc.

 

1,121,183

 

12,770

 

*

Guardant Health Inc.

 

329,331

 

12,380

 

*,^

Madrigal Pharmaceuticals Inc.

 

109,293

 

12,320

 

*,^

Intrexon Corp.

 

1,758,752

 

11,502

 

*

Allakos Inc.

 

215,796

 

11,280

 

*

Intellia Therapeutics Inc.

 

774,826

 

10,576

 

*,^

Akcea Therapeutics Inc.

 

342,426

 

10,321

 

 

Owens & Minor Inc.

 

1,507,340

 

9,541

 

*

Epizyme Inc.

 

1,534,255

 

9,451

 

*,^

TherapeuticsMD Inc.

 

2,458,694

 

9,368

 

*

Akorn Inc.

 

2,411,452

 

8,175

 

*,^

Community Health Systems Inc.

 

2,825,109

 

7,967

 

*

Kiniksa Pharmaceuticals Ltd. Class A

 

280,201

 

7,871

 

*

Tricida Inc.

 

323,366

 

7,625

 

*,^

Lexicon Pharmaceuticals Inc.

 

1,087,081

 

7,218

 

*

G1 Therapeutics Inc.

 

355,971

 

6,817

 

*

Achillion Pharmaceuticals Inc.

 

3,392,313

 

5,394

 

*

PDL BioPharma Inc.

 

1,815,626

 

5,265

 

*,^

Rubius Therapeutics Inc.

 

300,783

 

4,837

 

*,^

Surgery Partners Inc.

 

438,108

 

4,289

 

*

American Renal Associates Holdings Inc.

 

345,384

 

3,979

 

*

Five Prime Therapeutics Inc.

 

423,571

 

3,939

 

*

Accuray Inc.

 

1,039,189

 

3,544

 

*,^

ZIOPHARM Oncology Inc.

 

1,616,100

 

3,022

 

*,^

Insys Therapeutics Inc.

 

754,411

 

2,640

 

 

Invacare Corp.

 

410,220

 

1,764

 

*,^

Moderna Inc.

 

109,611

 

1,674

 

*

Aduro Biotech Inc.

 

612,889

 

1,618

 

*,^

Akebia Therapeutics Inc.

 

227,738

 

1,259

 

*

Synergy Pharmaceuticals Inc.

 

154,945

 

18

 

*

Assertio Therapeutics Inc.

 

1,129

 

4

 

*

WellCare Health Plans Inc.

 

13

 

3

 

*

Lannett Co. Inc.

 

617

 

3

 

 

 

 

 

 

8,663,055

 

Industrials (19.5%)

 

 

 

 

 

 

IDEX Corp.

 

1,974,958

 

249,358

 

 

PerkinElmer Inc.

 

2,863,867

 

224,957

 

*

Zebra Technologies Corp.

 

1,385,293

 

220,580

 

 

Lennox International Inc.

 

985,277

 

215,638

 

 

Spirit AeroSystems Holdings Inc. Class A

 

2,741,999

 

197,671

 

 

Allegion plc

 

2,447,328

 

195,077

 

*

Teledyne Technologies Inc.

 

882,468

 

182,733

 

 

Graco Inc.

 

4,285,124

 

179,332

 

*

HD Supply Holdings Inc.

 

4,493,445

 

168,594

 

*

Berry Global Group Inc.

 

3,378,514

 

160,581

 

 

Booz Allen Hamilton Holding Corp. Class A

 

3,481,584

 

156,915

 

*

WEX Inc.

 

1,109,752

 

155,432

 

 

Carlisle Cos. Inc.

 

1,532,924

 

154,090

 

 

AptarGroup Inc.

 

1,617,154

 

152,126

 

 

Nordson Corp.

 

1,272,476

 

151,870

 

*

Keysight Technologies Inc.

 

2,402,053

 

149,119

 

 

National Instruments Corp.

 

3,238,811

 

146,977

 

 

Toro Co.

 

2,581,072

 

144,230

 

 

Donaldson Co. Inc.

 

3,299,764

 

143,177

 

 

Sonoco Products Co.

 

2,569,524

 

136,519

 

*

Fair Isaac Corp.

 

708,145

 

132,423

 

 

14


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

Euronet Worldwide Inc.

 

1,261,071

 

129,108

 

 

Hexcel Corp.

 

2,216,787

 

127,111

 

 

Jack Henry & Associates Inc.

 

995,139

 

125,905

 

 

Lincoln Electric Holdings Inc.

 

1,576,231

 

124,286

 

 

MDU Resources Group Inc.

 

5,050,660

 

120,408

 

 

Acuity Brands Inc.

 

1,032,223

 

118,654

 

 

Watsco Inc.

 

826,875

 

115,051

 

 

Oshkosh Corp.

 

1,850,990

 

113,484

 

 

Quanta Services Inc.

 

3,759,353

 

113,157

 

*

Genesee & Wyoming Inc. Class A

 

1,502,809

 

111,238

 

 

ITT Inc.

 

2,255,086

 

108,853

 

 

Bemis Co. Inc.

 

2,343,198

 

107,553

 

 

MAXIMUS Inc.

 

1,651,040

 

107,466

 

*

AECOM

 

4,024,836

 

106,658

 

 

Woodward Inc.

 

1,431,351

 

106,335

 

 

Littelfuse Inc.

 

615,255

 

105,504

 

 

Curtiss-Wright Corp.

 

1,015,380

 

103,691

 

 

Avnet Inc.

 

2,863,354

 

103,367

 

^

Universal Display Corp.

 

1,091,348

 

102,117

 

 

Landstar System Inc.

 

1,058,081

 

101,227

 

 

Genpact Ltd.

 

3,670,178

 

99,058

 

 

HEICO Corp.

 

1,260,443

 

97,659

 

 

HEICO Corp. Class A

 

1,546,936

 

97,457

 

 

BWX Technologies Inc.

 

2,542,247

 

97,190

 

 

Crane Co.

 

1,297,104

 

93,625

 

*

Kirby Corp.

 

1,386,804

 

93,415

 

 

nVent Electric plc

 

4,157,355

 

93,374

 

 

Jabil Inc.

 

3,750,872

 

92,984

 

*

Esterline Technologies Corp.

 

759,350

 

92,223

 

 

USG Corp.

 

2,158,824

 

92,095

 

 

Insperity Inc.

 

968,401

 

90,410

 

 

MSC Industrial Direct Co. Inc. Class A

 

1,168,902

 

89,912

 

*

Trex Co. Inc.

 

1,512,617

 

89,789

 

 

AGCO Corp.

 

1,612,283

 

89,756

 

 

EMCOR Group Inc.

 

1,481,410

 

88,425

 

*

Stericycle Inc.

 

2,332,628

 

85,584

 

 

Graphic Packaging Holding Co.

 

7,992,388

 

85,039

 

 

EnerSys

 

1,085,113

 

84,216

 

 

MSA Safety Inc.

 

890,878

 

83,983

 

*

RBC Bearings Inc.

 

637,619

 

83,592

 

 

Cognex Corp.

 

2,106,429

 

81,456

 

 

Louisiana-Pacific Corp.

 

3,636,998

 

80,814

 

 

Brink’s Co.

 

1,238,418

 

80,064

 

*

Generac Holdings Inc.

 

1,597,922

 

79,417

 

 

Air Lease Corp. Class A

 

2,626,670

 

79,352

 

 

AO Smith Corp.

 

1,852,412

 

79,098

 

 

Knight-Swift Transportation Holdings Inc.

 

3,145,563

 

78,859

 

 

Regal Beloit Corp.

 

1,110,708

 

77,805

 

 

FLIR Systems Inc.

 

1,780,786

 

77,535

 

*

Proto Labs Inc.

 

661,653

 

74,628

 

 

Tetra Tech Inc.

 

1,425,272

 

73,786

 

 

Armstrong World Industries Inc.

 

1,212,283

 

70,567

 

*

Owens-Illinois Inc.

 

4,085,990

 

70,442

 

*

Allegheny Technologies Inc.

 

3,233,636

 

70,396

 

 

Kennametal Inc.

 

2,113,751

 

70,346

 

 

Eagle Materials Inc.

 

1,148,858

 

70,115

 

*

ASGN Inc.

 

1,284,027

 

69,979

 

*

CoreLogic Inc.

 

2,075,668

 

69,369

 

 

Macquarie Infrastructure Corp.

 

1,875,250

 

68,559

 

 

GATX Corp.

 

967,985

 

68,543

 

*

AMN Healthcare Services Inc.

 

1,207,433

 

68,413

 

*

Gardner Denver Holdings Inc.

 

3,322,769

 

67,951

 

 

Exponent Inc.

 

1,337,736

 

67,837

 

 

Barnes Group Inc.

 

1,254,288

 

67,255

 

 

15


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

Timken Co.

 

1,785,805

 

66,646

 

*

Coherent Inc.

 

627,531

 

66,336

 

 

Trinity Industries Inc.

 

3,203,143

 

65,953

 

*

FTI Consulting Inc.

 

988,376

 

65,865

 

 

Ryder System Inc.

 

1,367,748

 

65,857

 

*

MasTec Inc.

 

1,622,035

 

65,790

 

*

Resideo Technologies Inc.

 

3,169,943

 

65,142

 

 

Moog Inc. Class A

 

837,512

 

64,890

 

*

Clean Harbors Inc.

 

1,298,690

 

64,090

 

 

Flowserve Corp.

 

1,685,614

 

64,087

 

*

Aerojet Rocketdyne Holdings Inc.

 

1,811,587

 

63,822

 

*

Integer Holdings Corp.

 

834,252

 

63,620

 

*

Axon Enterprise Inc.

 

1,429,485

 

62,540

 

*

Rexnord Corp.

 

2,694,173

 

61,831

 

 

Vishay Intertechnology Inc.

 

3,401,563

 

61,262

 

 

Valmont Industries Inc.

 

540,181

 

59,933

 

 

John Bean Technologies Corp.

 

813,747

 

58,435

 

*

SiteOne Landscape Supply Inc.

 

1,049,571

 

58,010

 

*

WESCO International Inc.

 

1,202,101

 

57,701

 

*

Cimpress NV

 

556,942

 

57,599

 

 

Simpson Manufacturing Co. Inc.

 

1,063,151

 

57,548

 

 

UniFirst Corp.

 

397,447

 

56,863

 

*

Mercury Systems Inc.

 

1,183,513

 

55,968

 

*

Beacon Roofing Supply Inc.

 

1,754,769

 

55,661

 

 

KBR Inc.

 

3,631,947

 

55,133

 

 

Korn/Ferry International

 

1,391,906

 

55,036

 

 

ABM Industries Inc.

 

1,694,771

 

54,419

 

*

Novanta Inc.

 

853,670

 

53,781

 

 

Applied Industrial Technologies Inc.

 

996,473

 

53,750

 

 

Brady Corp. Class A

 

1,196,617

 

52,005

 

 

ManpowerGroup Inc.

 

795,779

 

51,567

 

*

II-VI Inc.

 

1,562,088

 

50,705

 

 

Otter Tail Corp.

 

1,020,778

 

50,671

 

*

Conduent Inc.

 

4,626,837

 

49,183

 

*

Paylocity Holding Corp.

 

815,843

 

49,122

 

 

Granite Construction Inc.

 

1,207,985

 

48,658

 

*

Imperva Inc.

 

861,508

 

47,977

 

 

Silgan Holdings Inc.

 

1,995,109

 

47,124

 

 

Terex Corp.

 

1,707,661

 

47,080

 

*

Rogers Corp.

 

473,460

 

46,901

 

 

Albany International Corp.

 

745,624

 

46,549

 

 

Watts Water Technologies Inc. Class A

 

714,121

 

46,082

 

 

Deluxe Corp.

 

1,193,103

 

45,863

 

*

TriNet Group Inc.

 

1,089,203

 

45,692

 

*

ExlService Holdings Inc.

 

837,557

 

44,072

 

 

Franklin Electric Co. Inc.

 

1,020,994

 

43,780

 

*

Advanced Disposal Services Inc.

 

1,826,674

 

43,731

 

 

Belden Inc.

 

1,038,824

 

43,392

 

 

EVERTEC Inc.

 

1,500,183

 

43,055

 

 

Altra Industrial Motion Corp.

 

1,660,067

 

41,751

 

 

ESCO Technologies Inc.

 

632,754

 

41,730

 

 

Comfort Systems USA Inc.

 

953,975

 

41,670

 

 

Triton International Ltd.

 

1,338,469

 

41,586

 

*

Dycom Industries Inc.

 

766,342

 

41,413

 

*

Plexus Corp.

 

809,179

 

41,333

 

 

Forward Air Corp.

 

749,970

 

41,136

 

*

Harsco Corp.

 

2,069,793

 

41,106

 

*

TopBuild Corp.

 

911,273

 

41,007

 

*

Colfax Corp.

 

1,962,066

 

41,007

 

 

Covanta Holding Corp.

 

3,039,933

 

40,796

 

*

Itron Inc.

 

861,791

 

40,754

 

 

Kaman Corp.

 

719,244

 

40,342

 

 

Cubic Corp.

 

749,529

 

40,280

 

*

Sanmina Corp.

 

1,668,296

 

40,139

 

 

16


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

Anixter International Inc.

 

732,338

 

39,773

 

 

Universal Forest Products Inc.

 

1,506,278

 

39,103

 

*

Aerovironment Inc.

 

554,781

 

37,697

 

 

Mueller Water Products Inc. Class A

 

4,059,655

 

36,943

 

*

Saia Inc.

 

661,267

 

36,912

 

 

Badger Meter Inc.

 

749,195

 

36,868

 

 

Mobile Mini Inc.

 

1,145,264

 

36,362

 

 

ManTech International Corp. Class A

 

682,775

 

35,706

 

*

Summit Materials Inc. Class A

 

2,876,067

 

35,663

 

 

World Fuel Services Corp.

 

1,646,984

 

35,262

 

 

Werner Enterprises Inc.

 

1,192,681

 

35,232

 

 

AAON Inc.

 

1,004,623

 

35,222

 

 

Matson Inc.

 

1,099,796

 

35,215

 

*

Evolent Health Inc. Class A

 

1,710,305

 

34,121

 

 

Schneider National Inc. Class B

 

1,816,190

 

33,908

 

 

Raven Industries Inc.

 

925,139

 

33,481

 

*

Navistar International Corp.

 

1,274,277

 

33,068

 

*

Air Transport Services Group Inc.

 

1,447,465

 

33,017

 

 

Actuant Corp. Class A

 

1,571,566

 

32,987

 

 

Greenbrier Cos. Inc.

 

832,132

 

32,903

 

 

Mueller Industries Inc.

 

1,408,098

 

32,893

 

*

Builders FirstSource Inc.

 

2,954,116

 

32,229

 

 

EnPro Industries Inc.

 

533,866

 

32,085

 

*

TriMas Corp.

 

1,174,698

 

32,058

 

 

AAR Corp.

 

857,578

 

32,022

 

*

SPX FLOW Inc.

 

1,039,130

 

31,610

 

*

SPX Corp.

 

1,116,380

 

31,270

 

*

Knowles Corp.

 

2,325,472

 

30,952

 

*

OSI Systems Inc.

 

420,082

 

30,792

 

*

Masonite International Corp.

 

682,462

 

30,595

 

*

Hub Group Inc. Class A

 

824,154

 

30,551

 

 

McGrath RentCorp

 

590,586

 

30,403

 

*

Huron Consulting Group Inc.

 

579,385

 

29,728

 

*,^

Ambarella Inc.

 

786,276

 

27,504

 

 

Rush Enterprises Inc. Class A

 

786,035

 

27,103

 

 

AZZ Inc.

 

668,831

 

26,994

 

 

Lindsay Corp.

 

276,951

 

26,657

 

 

Navigant Consulting Inc.

 

1,097,289

 

26,390

 

*

Sykes Enterprises Inc.

 

1,046,322

 

25,876

 

 

Encore Wire Corp.

 

508,976

 

25,540

 

*,^

Inovalon Holdings Inc. Class A

 

1,760,857

 

24,969

 

*

Atlas Air Worldwide Holdings Inc.

 

591,181

 

24,942

 

*

Pluralsight Inc. Class A

 

1,045,118

 

24,613

 

*

Cardtronics plc Class A

 

946,102

 

24,599

 

*

JELD-WEN Holding Inc.

 

1,731,037

 

24,598

 

 

Sun Hydraulics Corp.

 

738,833

 

24,522

 

*

Continental Building Products Inc.

 

949,938

 

24,176

 

*

Atkore International Group Inc.

 

1,215,252

 

24,111

 

 

Benchmark Electronics Inc.

 

1,125,346

 

23,835

 

 

Boise Cascade Co.

 

998,107

 

23,805

 

 

Aircastle Ltd.

 

1,374,750

 

23,701

 

 

Greif Inc. Class A

 

635,557

 

23,586

 

*

Verra Mobility Corp.

 

2,409,148

 

23,513

 

*

TTM Technologies Inc.

 

2,408,993

 

23,440

 

*

TrueBlue Inc.

 

1,042,867

 

23,204

 

 

Advanced Drainage Systems Inc.

 

951,646

 

23,077

 

 

Tennant Co.

 

441,100

 

22,986

 

 

Standex International Corp.

 

330,515

 

22,204

 

 

ArcBest Corp.

 

629,144

 

21,554

 

*

Milacron Holdings Corp.

 

1,811,705

 

21,541

 

 

Primoris Services Corp.

 

1,116,885

 

21,366

 

 

Heartland Express Inc.

 

1,159,544

 

21,220

 

 

Methode Electronics Inc.

 

900,450

 

20,972

 

 

Apogee Enterprises Inc.

 

690,551

 

20,613

 

 

17


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

AVX Corp.

 

1,300,655

 

19,835

 

*

Installed Building Products Inc.

 

563,534

 

18,985

 

 

Kforce Inc.

 

602,546

 

18,631

 

 

MTS Systems Corp.

 

461,341

 

18,514

 

 

Maxar Technologies Ltd.

 

1,523,362

 

18,219

 

 

Wabash National Corp.

 

1,359,862

 

17,787

 

*

FARO Technologies Inc.

 

434,927

 

17,675

 

 

Gorman-Rupp Co.

 

544,506

 

17,647

 

*

Thermon Group Holdings Inc.

 

849,538

 

17,229

 

 

GrafTech International Ltd.

 

1,487,228

 

17,014

 

*,^

MACOM Technology Solutions Holdings Inc.

 

1,169,278

 

16,966

 

 

H&E Equipment Services Inc.

 

828,353

 

16,915

 

 

Kelly Services Inc. Class A

 

820,883

 

16,812

 

*

Tutor Perini Corp.

 

1,033,711

 

16,508

 

 

Astec Industries Inc.

 

530,426

 

16,014

 

*

SEACOR Holdings Inc.

 

420,678

 

15,565

 

*

Evo Payments Inc. Class A

 

621,372

 

15,329

 

 

Hyster-Yale Materials Handling Inc.

 

243,683

 

15,099

 

*

Gates Industrial Corp. plc

 

1,118,590

 

14,810

 

 

Triumph Group Inc.

 

1,220,130

 

14,032

 

 

Briggs & Stratton Corp.

 

1,031,747

 

13,495

 

*

Manitowoc Co. Inc.

 

911,666

 

13,465

 

*

GreenSky Inc. Class A

 

1,403,934

 

13,436

 

*

Aegion Corp. Class A

 

790,280

 

12,897

 

*

GMS Inc.

 

851,420

 

12,652

 

*

Donnelley Financial Solutions Inc.

 

873,647

 

12,257

 

 

Quanex Building Products Corp.

 

901,216

 

12,248

 

*,^

Team Inc.

 

778,428

 

11,404

 

*

Wesco Aircraft Holdings Inc.

 

1,397,706

 

11,042

 

 

Resources Connection Inc.

 

762,818

 

10,832

 

*

CIRCOR International Inc.

 

508,055

 

10,822

 

 

Griffon Corp.

 

994,658

 

10,394

 

 

TTEC Holdings Inc.

 

358,305

 

10,237

 

 

Quad/Graphics Inc.

 

785,781

 

9,681

 

*

Veeco Instruments Inc.

 

1,221,151

 

9,049

 

*

Vicor Corp.

 

235,711

 

8,908

 

*

Astronics Corp.

 

264,555

 

8,056

 

*,^

Livent Corp.

 

565,277

 

7,801

 

 

RR Donnelley & Sons Co.

 

1,704,903

 

6,751

 

*

Mistras Group Inc.

 

449,750

 

6,467

 

 

Greif Inc. Class B

 

140,594

 

6,242

 

 

Rush Enterprises Inc. Class B

 

159,016

 

5,661

 

^

REV Group Inc.

 

641,773

 

4,820

 

*

International Seaways Inc.

 

280,953

 

4,731

 

 

Park Electrochemical Corp.

 

252,686

 

4,566

 

*

Armstrong Flooring Inc.

 

277,811

 

3,289

 

 

LSC Communications Inc.

 

399,614

 

2,797

 

*

InnerWorkings Inc.

 

534,480

 

1,999

 

*

Forterra Inc.

 

372

 

1

 

*

Dorian LPG Ltd.

 

20

 

 

 

 

 

 

 

15,213,199

 

Oil & Gas (3.5%)

 

 

 

 

 

 

EQT Corp.

 

6,550,736

 

123,743

 

*

WPX Energy Inc.

 

10,822,315

 

122,833

 

*

Parsley Energy Inc. Class A

 

6,855,043

 

109,544

 

 

Murphy Oil Corp.

 

4,233,081

 

99,012

 

*,^

Transocean Ltd.

 

14,123,427

 

98,017

 

 

PBF Energy Inc. Class A

 

2,931,542

 

95,773

 

*

First Solar Inc.

 

1,888,856

 

80,191

 

*

Newfield Exploration Co.

 

5,160,876

 

75,658

 

 

Delek US Holdings Inc.

 

2,110,318

 

68,606

 

^

Core Laboratories NV

 

1,138,969

 

67,951

 

 

Helmerich & Payne Inc.

 

1,333,919

 

63,948

 

 

Range Resources Corp.

 

6,429,141

 

61,527

 

 

18


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

Antero Resources Corp.

 

6,530,857

 

61,325

 

 

Patterson-UTI Energy Inc.

 

5,319,128

 

55,053

 

*

Apergy Corp.

 

1,991,419

 

53,928

 

*

Whiting Petroleum Corp.

 

2,342,883

 

53,160

 

*

Centennial Resource Development Inc. Class A

 

4,764,680

 

52,507

 

*

Equitrans Midstream Corp.

 

2,618,384

 

52,420

 

*

Chart Industries Inc.

 

804,574

 

52,321

 

*

Southwestern Energy Co.

 

14,948,663

 

50,975

 

*

PDC Energy Inc.

 

1,701,623

 

50,640

 

*,^

Chesapeake Energy Corp.

 

22,369,507

 

46,976

 

*

Oasis Petroleum Inc.

 

8,203,859

 

45,367

 

 

SM Energy Co.

 

2,889,212

 

44,725

 

*

Matador Resources Co.

 

2,698,015

 

41,900

 

^

Ensco plc Class A

 

11,264,889

 

40,103

 

*

CNX Resources Corp.

 

3,406,178

 

38,899

 

*

Callon Petroleum Co.

 

5,865,842

 

38,069

 

*

QEP Resources Inc.

 

6,107,656

 

34,386

 

*

NOW Inc.

 

2,797,078

 

32,558

 

*

Oceaneering International Inc.

 

2,539,306

 

30,726

 

*

Arcosa Inc.

 

1,064,102

 

29,465

 

*

SRC Energy Inc.

 

6,264,232

 

29,442

 

*

Magnolia Oil & Gas Corp.

 

2,621,757

 

29,390

 

 

McDermott International Inc.

 

4,401,909

 

28,788

 

 

SemGroup Corp. Class A

 

2,039,862

 

28,109

 

*

Dril-Quip Inc.

 

921,174

 

27,663

 

*

Rowan Cos. plc Class A

 

3,279,386

 

27,514

 

*

MRC Global Inc.

 

2,210,852

 

27,039

 

 

CVR Energy Inc.

 

778,614

 

26,847

 

*

Cactus Inc. Class A

 

971,200

 

26,621

 

*

ProPetro Holding Corp.

 

2,158,280

 

26,590

 

 

Archrock Inc.

 

3,334,514

 

24,975

 

*

Gulfport Energy Corp.

 

3,780,284

 

24,761

 

*

Carrizo Oil & Gas Inc.

 

2,115,459

 

23,884

 

*

C&J Energy Services Inc.

 

1,564,472

 

21,120

 

*

Denbury Resources Inc.

 

11,811,892

 

20,198

 

*

Oil States International Inc.

 

1,392,110

 

19,879

 

*

Helix Energy Solutions Group Inc.

 

3,605,426

 

19,505

 

*

Unit Corp.

 

1,320,209

 

18,853

 

 

Nabors Industries Ltd.

 

8,699,333

 

17,399

 

*,^

Tellurian Inc.

 

2,461,369

 

17,107

 

*

Noble Corp. plc

 

6,320,151

 

16,559

 

*

Laredo Petroleum Inc.

 

4,496,661

 

16,278

 

*

Newpark Resources Inc.

 

2,209,041

 

15,176

 

*,^

Diamond Offshore Drilling Inc.

 

1,600,475

 

15,108

 

*,^

Weatherford International plc

 

25,703,011

 

14,368

 

*

Exterran Corp.

 

795,031

 

14,072

 

 

RPC Inc.

 

1,386,073

 

13,681

 

*

Superior Energy Services Inc.

 

3,949,659

 

13,231

 

*

WildHorse Resource Development Corp.

 

918,488

 

12,960

 

*

Extraction Oil & Gas Inc.

 

2,933,387

 

12,584

 

*,^

Jagged Peak Energy Inc.

 

1,367,542

 

12,472

 

^

Liberty Oilfield Services Inc. Class A

 

896,755

 

11,613

 

*

KLX Energy Services Holdings Inc.

 

467,401

 

10,961

 

*

Keane Group Inc.

 

1,074,683

 

8,791

 

*

Forum Energy Technologies Inc.

 

2,096,633

 

8,659

 

*

Roan Resources Inc.

 

970,631

 

8,134

 

*,^

SunPower Corp. Class A

 

1,626,424

 

8,083

 

 

Green Plains Inc.

 

504,555

 

6,615

 

*

FTS International Inc.

 

839,341

 

5,968

 

*,^

Covia Holdings Corp.

 

1,029,030

 

3,519

 

 

Berry Petroleum Corp.

 

323,505

 

2,831

 

*,^

Alta Mesa Resources Inc. Class A

 

1,090,661

 

1,091

 

*

NCS Multistage Holdings Inc.

 

134,065

 

682

 

*,^

EP Energy Corp. Class A

 

667,624

 

467

 

 

19


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*,^

Eclipse Resources Corp.

 

10,808

 

11

 

 

Diamondback Energy Inc.

 

50

 

5

 

*

TETRA Technologies Inc.

 

2,209

 

4

 

 

 

 

 

 

2,691,913

 

Other (0.0%)2

 

 

 

 

 

*,§

Herbalife Ltd. CVR

 

228,911

 

2,221

 

*,§

A Schulman Inc. CVR

 

670,110

 

1,280

 

*,§

NewStar Financial Inc. CVR

 

651,238

 

169

 

*,§

Media General Inc. CVR

 

2,475,062

 

96

 

*,§

Clinical Data CVR

 

297,875

 

 

 

 

 

 

 

3,766

 

Technology (12.0%)

 

 

 

 

 

*

PTC Inc.

 

2,749,843

 

227,962

 

*

Tableau Software Inc. Class A

 

1,842,057

 

221,047

 

 

Leidos Holdings Inc.

 

3,855,779

 

203,277

 

*

Ultimate Software Group Inc.

 

764,780

 

187,272

 

*

ON Semiconductor Corp.

 

10,837,107

 

178,921

 

*

Tyler Technologies Inc.

 

949,513

 

176,438

 

*,^

Twilio Inc. Class A

 

1,936,853

 

172,961

 

*

Guidewire Software Inc.

 

2,081,266

 

166,980

 

*

Integrated Device Technology Inc.

 

3,321,390

 

160,855

 

*

Paycom Software Inc.

 

1,282,752

 

157,073

 

*

EPAM Systems Inc.

 

1,320,970

 

153,246

 

*

Zendesk Inc.

 

2,617,799

 

152,801

 

*

Okta Inc.

 

2,375,938

 

151,585

 

*

Aspen Technology Inc.

 

1,821,860

 

149,720

 

 

Teradyne Inc.

 

4,614,103

 

144,791

 

*

Nutanix Inc.

 

3,449,496

 

143,465

 

*

RingCentral Inc. Class A

 

1,677,210

 

138,269

 

*

athenahealth Inc.

 

1,045,579

 

137,943

 

*

ARRIS International plc

 

4,251,630

 

129,972

 

*

Ciena Corp.

 

3,670,519

 

124,467

 

*

HubSpot Inc.

 

959,520

 

120,640

 

 

Monolithic Power Systems Inc.

 

1,037,151

 

120,569

 

 

Cypress Semiconductor Corp.

 

9,317,506

 

118,519

 

*

Proofpoint Inc.

 

1,406,796

 

117,904

 

*

Teradata Corp.

 

3,042,884

 

116,725

 

*

Cree Inc.

 

2,640,134

 

112,932

 

 

LogMeIn Inc.

 

1,317,245

 

107,448

 

 

Entegris Inc.

 

3,638,045

 

101,483

 

*

Medidata Solutions Inc.

 

1,493,546

 

100,695

 

*

Nuance Communications Inc.

 

7,403,214

 

97,945

 

*

RealPage Inc.

 

1,933,987

 

93,199

 

*

CACI International Inc. Class A

 

639,662

 

92,131

 

 

MKS Instruments Inc.

 

1,389,974

 

89,806

 

*

Coupa Software Inc.

 

1,419,976

 

89,260

 

*

New Relic Inc.

 

1,099,803

 

89,051

 

*

DocuSign Inc. Class A

 

2,220,488

 

88,997

 

*

Silicon Laboratories Inc.

 

1,110,302

 

87,503

 

*,^

ViaSat Inc.

 

1,459,102

 

86,014

 

 

SYNNEX Corp.

 

1,053,751

 

85,185

 

*

Pure Storage Inc. Class A

 

5,286,452

 

85,006

 

 

j2 Global Inc.

 

1,202,193

 

83,408

 

*

CommScope Holding Co. Inc.

 

4,952,291

 

81,168

 

*

Tech Data Corp.

 

987,508

 

80,788

 

*

Lumentum Holdings Inc.

 

1,913,310

 

80,378

 

 

Blackbaud Inc.

 

1,249,965

 

78,623

 

*

ACI Worldwide Inc.

 

2,836,105

 

78,475

 

*

FireEye Inc.

 

4,820,407

 

78,139

 

*

Semtech Corp.

 

1,694,011

 

77,704

 

*

Manhattan Associates Inc.

 

1,683,552

 

71,332

 

*

Verint Systems Inc.

 

1,668,964

 

70,614

 

*

2U Inc.

 

1,418,058

 

70,506

 

*

NCR Corp.

 

3,046,212

 

70,307

 

 

20


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

Science Applications International Corp.

 

1,094,662

 

69,730

 

*

Cornerstone OnDemand Inc.

 

1,357,525

 

68,460

 

 

Cabot Microelectronics Corp.

 

700,286

 

66,772

 

*

Finisar Corp.

 

3,018,414

 

65,198

 

*

Qualys Inc.

 

862,598

 

64,471

 

*

CommVault Systems Inc.

 

1,072,298

 

63,362

 

*

Five9 Inc.

 

1,438,694

 

62,900

 

 

Perspecta Inc.

 

3,596,938

 

61,939

 

*

Premier Inc. Class A

 

1,642,168

 

61,335

 

 

InterDigital Inc.

 

895,562

 

59,492

 

*

Viavi Solutions Inc.

 

5,869,286

 

58,986

 

*,^

MongoDB Inc.

 

686,908

 

57,522

 

*

Ellie Mae Inc.

 

895,521

 

56,266

 

*

Box Inc.

 

3,280,755

 

55,379

 

*

Envestnet Inc.

 

1,118,094

 

54,999

 

*,^

Alteryx Inc. Class A

 

920,573

 

54,746

 

*

Bottomline Technologies DE Inc.

 

1,109,412

 

53,252

 

*

Cirrus Logic Inc.

 

1,541,613

 

51,151

 

*,^

Zscaler Inc.

 

1,257,335

 

49,300

 

 

Cogent Communications Holdings Inc.

 

1,075,321

 

48,615

 

 

Pegasystems Inc.

 

1,009,122

 

48,266

 

*

Alarm.com Holdings Inc.

 

927,363

 

48,102

 

 

Brooks Automation Inc.

 

1,821,375

 

47,684

 

*

Q2 Holdings Inc.

 

948,149

 

46,981

 

*

EchoStar Corp. Class A

 

1,249,483

 

45,881

 

*

SailPoint Technologies Holding Inc.

 

1,922,196

 

45,152

 

*

NetScout Systems Inc.

 

1,900,792

 

44,916

 

 

Power Integrations Inc.

 

717,448

 

43,750

 

*

Allscripts Healthcare Solutions Inc.

 

4,498,757

 

43,368

 

*

Advanced Energy Industries Inc.

 

991,375

 

42,560

 

*

Avaya Holdings Corp.

 

2,834,877

 

41,276

 

 

Progress Software Corp.

 

1,155,354

 

41,004

 

*

NETGEAR Inc.

 

772,810

 

40,209

 

*

Varonis Systems Inc.

 

720,419

 

38,110

 

*

Blackline Inc.

 

913,333

 

37,401

 

*

Insight Enterprises Inc.

 

914,189

 

37,253

 

*,^

Ceridian HCM Holding Inc.

 

1,068,083

 

36,838

 

^

Ubiquiti Networks Inc.

 

365,543

 

36,339

 

*

Cloudera Inc.

 

3,164,997

 

35,005

 

*,^

Inphi Corp.

 

1,080,842

 

34,749

 

*

Diodes Inc.

 

1,030,078

 

33,230

 

*

Synaptics Inc.

 

892,539

 

33,211

 

*

SendGrid Inc.

 

733,618

 

31,670

 

*

Blucora Inc.

 

1,170,848

 

31,191

 

*

Rapid7 Inc.

 

975,185

 

30,387

 

*

Acacia Communications Inc.

 

782,066

 

29,719

 

*

MicroStrategy Inc. Class A

 

230,770

 

29,481

 

 

Plantronics Inc.

 

872,433

 

28,878

 

 

Pitney Bowes Inc.

 

4,843,214

 

28,623

 

 

TiVo Corp.

 

3,036,391

 

28,572

 

*,^

3D Systems Corp.

 

2,801,718

 

28,493

 

*

MaxLinear Inc.

 

1,600,890

 

28,176

 

*

Electronics For Imaging Inc.

 

1,126,580

 

27,939

 

*

LivePerson Inc.

 

1,465,990

 

27,649

 

 

CSG Systems International Inc.

 

857,200

 

27,233

 

*

FormFactor Inc.

 

1,906,207

 

26,858

 

*

Hortonworks Inc.

 

1,847,742

 

26,644

 

*,^

Zuora Inc. Class A

 

1,419,212

 

25,745

 

*

Pivotal Software Inc. Class A

 

1,480,486

 

24,206

 

 

Ebix Inc.

 

565,058

 

24,049

 

*

Appfolio Inc.

 

394,414

 

23,357

 

 

Xperi Corp.

 

1,248,459

 

22,959

 

*

Cray Inc.

 

1,050,355

 

22,677

 

*

ScanSource Inc.

 

657,721

 

22,612

 

 

21


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*,^

Benefitfocus Inc.

 

491,594

 

22,476

 

*

Cision Ltd.

 

1,876,247

 

21,952

 

*

Lattice Semiconductor Corp.

 

3,171,811

 

21,949

 

*

Altair Engineering Inc. Class A

 

781,946

 

21,566

 

*

Rambus Inc.

 

2,794,286

 

21,432

 

*

Yext Inc.

 

1,400,968

 

20,804

 

 

NIC Inc.

 

1,624,762

 

20,277

 

*

NextGen Healthcare Inc.

 

1,333,146

 

20,197

 

*

Infinera Corp.

 

4,515,421

 

18,017

 

 

Shutterstock Inc.

 

497,208

 

17,904

 

*,^

Appian Corp. Class A

 

655,280

 

17,503

 

 

Monotype Imaging Holdings Inc.

 

1,018,267

 

15,803

 

*

Unisys Corp.

 

1,315,238

 

15,296

 

*

Virtusa Corp.

 

344,117

 

14,656

 

*

Amkor Technology Inc.

 

2,144,038

 

14,065

 

 

ADTRAN Inc.

 

1,219,443

 

13,097

 

*,^

Elastic NV

 

180,113

 

12,874

 

*

Anaplan Inc.

 

478,169

 

12,691

 

*

CEVA Inc.

 

563,034

 

12,437

 

 

Presidio Inc.

 

950,599

 

12,405

 

*

Loral Space & Communications Inc.

 

331,332

 

12,342

 

 

Forrester Research Inc.

 

261,099

 

11,671

 

*

Endurance International Group Holdings Inc.

 

1,664,622

 

11,070

 

*

nLight Inc.

 

607,585

 

10,803

 

*

Carbon Black Inc.

 

778,979

 

10,454

 

 

Switch Inc.

 

1,196,813

 

8,378

 

*

Casa Systems Inc.

 

633,941

 

8,324

 

*,^

Eventbrite Inc. Class A

 

293,424

 

8,160

 

*

Smartsheet Inc. Class A

 

323,482

 

8,042

 

*,^

Avalara Inc.

 

255,393

 

7,955

 

*

Tenable Holdings Inc.

 

356,517

 

7,911

 

*,^

SVMK Inc.

 

477,264

 

5,856

 

*

Castlight Health Inc. Class B

 

2,184,104

 

4,740

 

*

WideOpenWest Inc.

 

635,693

 

4,532

 

 

Systemax Inc.

 

188,372

 

4,500

 

*,^

Gogo Inc.

 

1,450,493

 

4,337

 

 

Computer Programs & Systems Inc.

 

171,250

 

4,298

 

*

MobileIron Inc.

 

876,660

 

4,024

 

*

SecureWorks Corp. Class A

 

210,670

 

3,558

 

*

Ribbon Communications Inc.

 

729,869

 

3,518

 

 

Diebold Nixdorf Inc.

 

962,103

 

2,396

 

*

Veeva Systems Inc. Class A

 

22

 

2

 

*,§

Piksel Inc.

 

241

 

 

 

 

 

 

 

9,378,049

 

Telecommunications (0.5%)

 

 

 

 

 

 

Telephone & Data Systems Inc.

 

2,447,276

 

79,634

 

 

Shenandoah Telecommunications Co.

 

1,211,047

 

53,589

 

*

Vonage Holdings Corp.

 

5,550,068

 

48,452

 

*

Intelsat SA

 

2,117,547

 

45,294

 

*

Iridium Communications Inc.

 

2,438,265

 

44,986

 

*,^

GTT Communications Inc.

 

1,129,520

 

26,724

 

*

United States Cellular Corp.

 

408,890

 

21,250

 

*

8x8 Inc.

 

1,168,541

 

21,081

 

 

ATN International Inc.

 

267,730

 

19,151

 

 

Consolidated Communications Holdings Inc.

 

1,747,934

 

17,270

 

*

Cincinnati Bell Inc.

 

1,301,091

 

10,123

 

*,^

Globalstar Inc.

 

14,647,750

 

9,370

 

*,^

Frontier Communications Corp.

 

2,722,432

 

6,479

 

 

 

 

 

 

403,403

 

Utilities (3.7%)

 

 

 

 

 

 

NRG Energy Inc.

 

7,092,100

 

280,847

 

 

Atmos Energy Corp.

 

2,877,890

 

266,838

 

 

UGI Corp.

 

4,488,985

 

239,487

 

 

Aqua America Inc.

 

4,584,840

 

156,756

 

 

22


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

Vectren Corp.

 

2,139,791

 

154,022

 

 

IDACORP Inc.

 

1,298,652

 

120,852

 

 

ONE Gas Inc.

 

1,361,645

 

108,387

 

 

National Fuel Gas Co.

 

2,096,173

 

107,282

 

 

Portland General Electric Co.

 

2,300,514

 

105,479

 

 

New Jersey Resources Corp.

 

2,291,146

 

104,637

 

 

Hawaiian Electric Industries Inc.

 

2,806,028

 

102,757

 

 

ALLETE Inc.

 

1,325,125

 

101,001

 

 

Southwest Gas Holdings Inc.

 

1,282,293

 

98,095

 

 

Black Hills Corp.

 

1,545,951

 

97,055

 

 

Spire Inc.

 

1,245,855

 

92,293

 

 

PNM Resources Inc.

 

2,052,356

 

84,331

 

 

NorthWestern Corp.

 

1,297,263

 

77,109

 

 

Avista Corp.

 

1,692,105

 

71,881

 

 

American States Water Co.

 

947,029

 

63,489

 

 

South Jersey Industries Inc.

 

2,209,704

 

61,430

 

 

California Water Service Group

 

1,238,598

 

59,032

 

 

Ormat Technologies Inc.

 

1,042,257

 

54,510

 

 

MGE Energy Inc.

 

891,090

 

53,430

 

 

El Paso Electric Co.

 

1,048,614

 

52,567

 

 

Pattern Energy Group Inc. Class A

 

2,523,714

 

46,991

 

 

Northwest Natural Holding Co.

 

748,488

 

45,254

 

*,^

Sunrun Inc.

 

2,449,583

 

26,676

 

 

TerraForm Power Inc. Class A

 

1,613,624

 

18,105

 

*

Evoqua Water Technologies Corp.

 

1,758,859

 

16,885

 

*,^

Bloom Energy Corp. Class A

 

447,322

 

4,464

 

*,^

Vivint Solar Inc.

 

534,391

 

2,036

 

 

SCANA Corp.

 

1,036

 

49

 

 

 

 

 

2,874,027

 

Total Common Stocks (Cost $70,472,989)

 

 

 

77,324,901

 

 

 

 

 

 

 

 

 

 

 

Coupon

 

 

 

 

 

 

 

Temporary Cash Investments (2.3%)1

 

 

 

 

 

 

 

 

 

Money Market Fund (2.2%)

 

 

 

 

 

 

 

 

 

3,4

Vanguard Market Liquidity Fund

 

2.530%

 

 

 

17,173,921

 

1,717,392

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Maturity
Date

 

Face
Amount
($000

)

 

 

U.S. Government and Agency Obligations (0.1%)

 

 

 

 

 

 

 

5

United States Treasury Bill

 

2.194%

 

1/24/19

 

30,000

 

29,958

 

 

United States Treasury Bill

 

2.280%

 

2/7/19

 

5,000

 

4,988

 

5

United States Treasury Bill

 

2.294%

 

2/21/19

 

40,000

 

39,869

 

 

 

 

 

 

 

 

 

74,815

 

Total Temporary Cash Investments (Cost $1,792,097)

 

 

 

 

 

1,792,207

 

Total Investments (101.5%) (Cost $72,265,086)

 

 

 

 

 

 

 

79,117,108

 

Other Assets and Liabilities—Net (-1.5%)4,6

 

 

 

 

 

 

 

(1,169,646

)

Net Assets (100%)

 

 

 

 

 

 

 

77,947,462

 

 

*

Non-income-producing security.

^

Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $992,396,000.

§

Security value determined using significant unobservable inputs.

1

The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts and swap contracts. After giving effect to futures and swap investments, the fund’s effective common stock and temporary cash investment positions represent 100.1% and 1.4%, respectively, of net assets.

2

“Other” represents securities that are not classified by the fund’s benchmark index.

 

23


 

Vanguard® Small-Cap Index Fund

Schedule of Investments

December 31, 2018

 

3

Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.

4

Includes $1,062,476,000 of collateral received for securities on loan.

5

Securities with a value of $32,375,000 have been segregated as initial margin for open futures contracts.

6

Cash of $3,180,000 has been segregated as collateral for open over-the-counter swap contracts.

 

CVR—Contingent Value Rights.

 

REIT—Real Estate Investment Trust.

 

24


 

Vanguard® Small-Cap Growth Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

Common Stocks (99.9%)1

 

 

 

 

 

Basic Materials (1.8%)

 

 

 

 

 

 

Royal Gold Inc.

 

951,473

 

81,494

 

 

NewMarket Corp.

 

124,224

 

51,192

 

*

Ingevity Corp.

 

609,550

 

51,013

 

 

Versum Materials Inc.

 

1,583,557

 

43,896

 

 

Balchem Corp.

 

468,415

 

36,700

 

*

Platform Specialty Products Corp.

 

3,140,753

 

32,444

 

*

Univar Inc.

 

822,852

 

14,597

 

 

US Silica Holdings Inc.

 

1,125,886

 

11,462

 

*

Ferro Corp.

 

604,669

 

9,481

 

*

PQ Group Holdings Inc.

 

589,317

 

8,728

 

*

Coeur Mining Inc.

 

1,476,148

 

6,598

 

 

American Vanguard Corp.

 

396,340

 

6,021

 

 

 

 

 

 

353,626

 

Consumer Goods (5.9%)

 

 

 

 

 

*

Middleby Corp.

 

811,113

 

83,326

 

 

Pool Corp.

 

555,563

 

82,584

 

*

Post Holdings Inc.

 

918,596

 

81,874

 

 

Gentex Corp.

 

3,807,249

 

76,945

 

 

Toll Brothers Inc.

 

1,926,483

 

63,439

 

 

Brunswick Corp.

 

1,259,826

 

58,519

 

 

Carter’s Inc.

 

665,875

 

54,349

 

*

Skechers U.S.A. Inc. Class A

 

1,944,600

 

44,512

 

*

Zynga Inc. Class A

 

11,266,433

 

44,277

 

*

Wayfair Inc.

 

426,358

 

38,406

 

 

WD-40 Co.

 

190,970

 

34,997

 

 

Steven Madden Ltd.

 

1,143,875

 

34,614

 

*

Dorman Products Inc.

 

383,985

 

34,566

 

*,^

iRobot Corp.

 

382,029

 

31,991

 

 

J&J Snack Foods Corp.

 

218,142

 

31,541

 

*

Fox Factory Holding Corp.

 

523,707

 

30,831

 

*

Boston Beer Co. Inc. Class A

 

118,701

 

28,588

 

*,^

Tempur Sealy International Inc.

 

672,849

 

27,856

 

 

Lancaster Colony Corp.

 

139,748

 

24,716

 

*

Crocs Inc.

 

920,949

 

23,926

 

 

LCI Industries

 

347,965

 

23,244

 

*

Welbilt Inc.

 

2,036,579

 

22,626

 

*

USANA Health Sciences Inc.

 

191,537

 

22,550

 

*

Gentherm Inc.

 

506,775

 

20,261

 

 

Columbia Sportswear Co.

 

200,538

 

16,863

 

*

Fitbit Inc. Class A

 

3,147,520

 

15,643

 

 

Vector Group Ltd.

 

1,535,144

 

14,937

 

*

Sleep Number Corp.

 

458,391

 

14,545

 

 

Interface Inc. Class A

 

865,584

 

12,335

 

 

National Beverage Corp.

 

169,309

 

12,151

 

 

Coca-Cola Bottling Co. Consolidated

 

67,428

 

11,960

 

 

Callaway Golf Co.

 

686,243

 

10,500

 

 

Medifast Inc.

 

82,550

 

10,320

 

*

Meritage Homes Corp.

 

276,291

 

10,145

 

 

Oxford Industries Inc.

 

116,829

 

8,300

 

*

Cavco Industries Inc.

 

62,780

 

8,185

 

*

American Woodmark Corp.

 

115,007

 

6,404

 

 

Phibro Animal Health Corp. Class A

 

146,230

 

4,703

 

*,^

GoPro Inc. Class A

 

823,208

 

3,490

 

*

elf Beauty Inc.

 

350,285

 

3,034

 

*,^

Revlon Inc. Class A

 

115,120

 

2,900

 

*

YETI Holdings Inc.

 

123,448

 

1,832

 

*,^

Arlo Technologies Inc.

 

163,963

 

1,636

 

*,^

Sonos Inc.

 

146,627

 

1,440

 

 

Cal-Maine Foods Inc.

 

349

 

15

 

 

 

 

 

 

1,191,876

 

 

25


 

Vanguard® Small-Cap Growth Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

Consumer Services (13.1%)

 

 

 

 

 

*

Burlington Stores Inc.

 

979,054

 

159,263

 

*

Bright Horizons Family Solutions Inc.

 

843,391

 

93,996

 

*

Liberty Media Corp-Liberty Formula One

 

2,798,393

 

85,911

 

*

Five Below Inc.

 

809,388

 

82,817

 

*

Etsy Inc.

 

1,661,926

 

79,058

 

 

Dunkin’ Brands Group Inc.

 

1,199,671

 

76,923

 

*

Madison Square Garden Co. Class A

 

265,218

 

70,999

 

*

Planet Fitness Inc. Class A

 

1,280,572

 

68,664

 

 

Casey’s General Stores Inc.

 

531,525

 

68,110

 

*

Grand Canyon Education Inc.

 

699,091

 

67,211

 

 

Vail Resorts Inc.

 

293,734

 

61,925

 

 

Texas Roadhouse Inc. Class A

 

987,243

 

58,938

 

*

Trade Desk Inc. Class A

 

500,170

 

58,050

 

 

Six Flags Entertainment Corp.

 

1,042,197

 

57,977

 

 

Cable One Inc.

 

70,407

 

57,741

 

*,^

Caesars Entertainment Corp.

 

8,269,630

 

56,151

 

 

Dolby Laboratories Inc. Class A

 

883,107

 

54,611

 

*

Ollie’s Bargain Outlet Holdings Inc.

 

774,063

 

51,483

 

*

GrubHub Inc.

 

658,675

 

50,593

 

 

Nexstar Media Group Inc. Class A

 

629,343

 

49,492

 

*

Live Nation Entertainment Inc.

 

990,770

 

48,795

 

 

Marriott Vacations Worldwide Corp.

 

614,751

 

43,346

 

 

Sabre Corp.

 

1,999,334

 

43,266

 

*

Chegg Inc.

 

1,501,881

 

42,683

 

 

World Wrestling Entertainment Inc. Class A

 

567,493

 

42,403

 

*

Sprouts Farmers Market Inc.

 

1,760,683

 

41,394

 

*

Yelp Inc. Class A

 

1,146,420

 

40,113

 

*

Stamps.com Inc.

 

249,769

 

38,874

 

 

Churchill Downs Inc.

 

157,697

 

38,469

 

*

Hilton Grand Vacations Inc.

 

1,407,571

 

37,146

 

*

ServiceMaster Global Holdings Inc.

 

985,245

 

36,198

 

 

Choice Hotels International Inc.

 

487,851

 

34,920

 

*,^

RH

 

290,626

 

34,823

 

*

Belmond Ltd. Class A

 

1,271,449

 

31,824

 

 

Monro Inc.

 

455,167

 

31,293

 

*

Liberty Expedia Holdings Inc. Class A

 

791,626

 

30,960

 

 

Morningstar Inc.

 

278,897

 

30,634

 

*

Eldorado Resorts Inc.

 

843,029

 

30,526

 

*

Pandora Media Inc.

 

3,722,281

 

30,113

 

*

Roku Inc.

 

952,474

 

29,184

 

*

Cargurus Inc.

 

843,654

 

28,456

 

 

Jack in the Box Inc.

 

355,231

 

27,577

 

 

Wingstop Inc.

 

425,488

 

27,312

 

*

National Vision Holdings Inc.

 

952,671

 

26,837

 

*

Weight Watchers International Inc.

 

678,948

 

26,173

 

 

Dave & Buster’s Entertainment Inc.

 

564,003

 

25,132

 

*

Sotheby’s

 

605,227

 

24,052

 

 

Boyd Gaming Corp.

 

1,140,805

 

23,706

 

 

PriceSmart Inc.

 

376,408

 

22,246

 

*

Groupon Inc. Class A

 

6,632,187

 

21,223

 

 

Red Rock Resorts Inc. Class A

 

1,011,872

 

20,551

 

*

Floor & Decor Holdings Inc. Class A

 

777,512

 

20,138

 

*

Shutterfly Inc.

 

488,070

 

19,650

 

*,^

ANGI Homeservices Inc. Class A

 

1,032,875

 

16,598

 

 

Allegiant Travel Co. Class A

 

164,378

 

16,474

 

*

Shake Shack Inc. Class A

 

362,569

 

16,468

 

 

BJ’s Restaurants Inc.

 

309,236

 

15,638

 

*

Scientific Games Corp.

 

799,200

 

14,290

 

*

frontdoor Inc.

 

491,519

 

13,079

 

*

At Home Group Inc.

 

691,541

 

12,904

 

*

Quotient Technology Inc.

 

1,175,196

 

12,551

 

*

Liberty Media Corp-Liberty Formula One Class A

 

353,976

 

10,520

 

*

TrueCar Inc.

 

1,131,924

 

10,255

 

 

26


 

Vanguard® Small-Cap Growth Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

SeaWorld Entertainment Inc.

 

381,809

 

8,434

 

*,^

Carvana Co. Class A

 

253,395

 

8,289

 

 

Papa John’s International Inc.

 

160,340

 

6,383

 

 

EW Scripps Co. Class A

 

399,331

 

6,281

 

*

Diplomat Pharmacy Inc.

 

406,352

 

5,469

 

*,^

Stitch Fix Inc. Class A

 

288,102

 

4,924

 

*

Herc Holdings Inc.

 

175,927

 

4,572

 

*,^

Upwork Inc.

 

231,336

 

4,189

 

*,^

Lumber Liquidators Holdings Inc.

 

413,992

 

3,941

 

 

Cheesecake Factory Inc.

 

509

 

22

 

 

Lions Gate Entertainment Corp. Class B

 

1,306

 

19

 

 

Lions Gate Entertainment Corp. Class A

 

661

 

11

 

 

New Media Investment Group Inc.

 

707

 

8

 

 

Tile Shop Holdings Inc.

 

484

 

3

 

*

Blue Apron Holdings Inc. Class A

 

766

 

1

 

 

 

 

 

 

2,651,253

 

Financials (17.3%)

 

 

 

 

 

 

Sun Communities Inc.

 

1,191,551

 

121,193

 

 

Equity LifeStyle Properties Inc.

 

1,173,126

 

113,946

 

 

MarketAxess Holdings Inc.

 

518,698

 

109,606

 

 

VICI Properties Inc.

 

5,301,957

 

99,571

 

 

Kilroy Realty Corp.

 

1,463,407

 

92,019

 

 

Lamar Advertising Co. Class A

 

1,235,795

 

85,492

 

 

Medical Properties Trust Inc.

 

5,300,350

 

85,230

 

 

American Campus Communities Inc.

 

1,990,292

 

82,378

 

 

CyrusOne Inc.

 

1,537,136

 

81,284

 

 

Douglas Emmett Inc.

 

2,344,895

 

80,031

 

 

STORE Capital Corp.

 

2,781,948

 

78,757

 

 

CubeSmart

 

2,705,941

 

77,633

 

 

Healthcare Trust of America Inc. Class A

 

3,005,692

 

76,074

 

 

Signature Bank

 

736,599

 

75,730

 

 

American Homes 4 Rent Class A

 

3,652,971

 

72,511

 

*

Credit Acceptance Corp.

 

182,290

 

69,591

 

 

Hudson Pacific Properties Inc.

 

2,276,018

 

66,141

 

 

Life Storage Inc.

 

676,921

 

62,947

 

*

GCI Liberty Inc. Class A

 

1,428,341

 

58,791

 

*

Howard Hughes Corp.

 

593,649

 

57,952

 

*

Zillow Group Inc.

 

1,817,479

 

57,396

 

*

Green Dot Corp. Class A

 

688,903

 

54,782

 

*

Western Alliance Bancorp

 

1,383,773

 

54,645

 

 

Pebblebrook Hotel Trust

 

1,909,059

 

54,045

 

 

Healthcare Realty Trust Inc.

 

1,819,038

 

51,733

 

 

Omega Healthcare Investors Inc.

 

1,457,440

 

51,229

 

 

Pinnacle Financial Partners Inc.

 

1,074,706

 

49,544

 

 

CoreSite Realty Corp.

 

533,030

 

46,496

 

*

Essent Group Ltd.

 

1,354,100

 

46,283

 

 

Ryman Hospitality Properties Inc.

 

671,027

 

44,751

 

 

Spirit Realty Capital Inc.

 

1,244,678

 

43,875

 

 

FirstCash Inc.

 

605,047

 

43,775

 

 

Physicians Realty Trust

 

2,648,105

 

42,449

 

 

Bank OZK

 

1,774,679

 

40,516

 

 

Rexford Industrial Realty Inc.

 

1,347,711

 

39,717

 

 

STAG Industrial Inc.

 

1,581,572

 

39,350

 

 

Paramount Group Inc.

 

3,101,585

 

38,956

 

 

Uniti Group Inc.

 

2,468,390

 

38,433

 

*

Texas Capital Bancshares Inc.

 

728,864

 

37,238

 

 

Home BancShares Inc.

 

2,260,598

 

36,938

 

 

PS Business Parks Inc.

 

278,053

 

36,425

 

 

Evercore Inc. Class A

 

499,655

 

35,755

 

 

Americold Realty Trust

 

1,395,847

 

35,650

 

 

Kennedy-Wilson Holdings Inc.

 

1,779,962

 

32,342

 

 

Colony Capital Inc.

 

6,770,247

 

31,685

 

 

Terreno Realty Corp.

 

858,850

 

30,206

 

 

CenterState Bank Corp.

 

1,389,184

 

29,228

 

 

27


 

Vanguard® Small-Cap Growth Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

Simmons First National Corp. Class A

 

1,206,545

 

29,114

 

 

QTS Realty Trust Inc. Class A

 

740,760

 

27,445

 

 

Sterling Bancorp

 

1,629,868

 

26,909

 

 

Retail Opportunity Investments Corp.

 

1,655,622

 

26,291

 

*

Zillow Group Inc. Class A

 

800,139

 

25,148

 

*,^

LendingTree Inc.

 

111,786

 

24,545

 

 

Virtu Financial Inc. Class A

 

924,999

 

23,828

 

*

Eagle Bancorp Inc.

 

473,952

 

23,086

 

 

Moelis & Co. Class A

 

664,378

 

22,841

 

 

LegacyTexas Financial Group Inc.

 

704,184

 

22,597

 

 

Towne Bank

 

941,992

 

22,561

 

 

CareTrust REIT Inc.

 

1,218,299

 

22,490

 

*

Pacific Premier Bancorp Inc.

 

862,018

 

21,999

 

 

Sabra Health Care REIT Inc.

 

1,294,722

 

21,337

 

 

ServisFirst Bancshares Inc.

 

658,373

 

20,982

 

 

Ameris Bancorp

 

655,433

 

20,758

 

*

Axos Financial Inc.

 

821,227

 

20,679

 

 

HFF Inc. Class A

 

539,722

 

17,897

 

 

Newmark Group Inc. Class A

 

2,141,722

 

17,177

 

 

Kite Realty Group Trust

 

1,216,038

 

17,134

 

 

Corporate Office Properties Trust

 

791,788

 

16,651

 

 

Kearny Financial Corp.

 

1,259,226

 

16,143

 

*

LendingClub Corp.

 

5,880,910

 

15,467

 

 

Investment Technology Group Inc.

 

455,914

 

13,787

 

 

Independent Bank Group Inc.

 

287,733

 

13,170

 

 

Urban Edge Properties

 

790,080

 

13,131

 

 

TFS Financial Corp.

 

813,818

 

13,127

 

*,^

Redfin Corp.

 

910,888

 

13,117

 

 

WisdomTree Investments Inc.

 

1,889,461

 

12,565

 

 

National Bank Holdings Corp. Class A

 

380,242

 

11,738

 

*

Marcus & Millichap Inc.

 

308,709

 

10,598

 

 

Cohen & Steers Inc.

 

305,694

 

10,491

 

 

American Assets Trust Inc.

 

256,911

 

10,320

 

 

Houlihan Lokey Inc. Class A

 

251,844

 

9,268

 

 

Hamilton Lane Inc. Class A

 

244,715

 

9,054

 

 

Alexander’s Inc.

 

29,683

 

9,046

 

*

Focus Financial Partners Inc. Class A

 

277,751

 

7,313

 

*

St. Joe Co.

 

485,496

 

6,394

 

 

Front Yard Residential Corp.

 

700,800

 

6,118

 

*

Third Point Reinsurance Ltd.

 

581,470

 

5,605

 

 

RMR Group Inc. Class A

 

99,173

 

5,264

 

 

New Senior Investment Group Inc.

 

1,133,828

 

4,671

 

*

On Deck Capital Inc.

 

408,190

 

2,408

 

 

GAMCO Investors Inc. Class A

 

80,259

 

1,356

 

*

Forestar Group Inc.

 

76,023

 

1,053

 

*

PennyMac Financial Services Inc.

 

281

 

6

 

 

Spirit MTA REIT

 

527

 

4

 

*

Cushman & Wakefield plc

 

95

 

1

 

 

 

 

 

 

3,483,003

 

Health Care (19.2%)

 

 

 

 

 

*

Exact Sciences Corp.

 

1,785,007

 

112,634

 

*

Sarepta Therapeutics Inc.

 

974,682

 

106,367

 

 

West Pharmaceutical Services Inc.

 

1,075,938

 

105,474

 

*

Ionis Pharmaceuticals Inc.

 

1,798,282

 

97,215

 

*

Neurocrine Biosciences Inc.

 

1,317,060

 

94,051

 

*

Exelixis Inc.

 

4,342,442

 

85,416

 

 

Bio-Techne Corp.

 

548,511

 

79,380

 

*

Bluebird Bio Inc.

 

794,374

 

78,802

 

*

PRA Health Sciences Inc.

 

849,317

 

78,103

 

*

DexCom Inc.

 

645,184

 

77,293

 

*

Masimo Corp.

 

692,725

 

74,378

 

*

Bio-Rad Laboratories Inc. Class A

 

306,904

 

71,269

 

*

Insulet Corp.

 

858,047

 

68,060

 

*

Catalent Inc.

 

2,111,437

 

65,835

 

 

28


 

Vanguard® Small-Cap Growth Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

Chemed Corp.

 

232,370

 

65,826

 

 

STERIS plc

 

613,635

 

65,567

 

*

ICU Medical Inc.

 

282,636

 

64,902

 

*

Penumbra Inc.

 

451,014

 

55,114

 

*

Amedisys Inc.

 

463,076

 

54,231

 

*

FibroGen Inc.

 

1,110,782

 

51,407

 

*

HealthEquity Inc.

 

859,069

 

51,243

 

*

Molina Healthcare Inc.

 

430,414

 

50,023

 

*

Wright Medical Group NV

 

1,816,708

 

49,451

 

*,^

Teladoc Health Inc.

 

967,320

 

47,950

 

*

Globus Medical Inc.

 

1,104,087

 

47,785

 

*

Horizon Pharma plc

 

2,434,636

 

47,573

 

*

Syneos Health Inc.

 

1,199,404

 

47,197

 

*

Integra LifeSciences Holdings Corp.

 

989,732

 

44,637

 

*

Array BioPharma Inc.

 

3,094,627

 

44,098

 

 

Bruker Corp.

 

1,478,117

 

44,004

 

 

Healthcare Services Group Inc.

 

1,071,792

 

43,065

 

*

Merit Medical Systems Inc.

 

756,592

 

42,225

 

*,^

TESARO Inc.

 

559,656

 

41,554

 

*

Neogen Corp.

 

715,210

 

40,767

 

*

LHC Group Inc.

 

432,855

 

40,636

 

*,^

Ligand Pharmaceuticals Inc.

 

293,244

 

39,793

 

 

Cantel Medical Corp.

 

515,079

 

38,348

 

*

Haemonetics Corp.

 

375,327

 

37,551

 

*

Emergent BioSolutions Inc.

 

629,045

 

37,290

 

*

NuVasive Inc.

 

746,873

 

37,015

 

*

Novocure Ltd.

 

1,080,751

 

36,184

 

*

HMS Holdings Corp.

 

1,218,656

 

34,281

 

*

Immunomedics Inc.

 

2,347,669

 

33,501

 

*

Omnicell Inc.

 

546,765

 

33,484

 

*

Agios Pharmaceuticals Inc.

 

718,233

 

33,118

 

*,^

Inogen Inc.

 

265,707

 

32,993

 

*

Acadia Healthcare Co. Inc.

 

1,281,746

 

32,954

 

*

Intercept Pharmaceuticals Inc.

 

323,021

 

32,557

 

*

Repligen Corp.

 

573,279

 

30,235

 

*

Global Blood Therapeutics Inc.

 

727,329

 

29,857

 

*

Ultragenyx Pharmaceutical Inc.

 

661,140

 

28,746

 

*

Tandem Diabetes Care Inc.

 

749,266

 

28,450

 

*

Loxo Oncology Inc.

 

199,747

 

27,979

 

 

Ensign Group Inc.

 

721,270

 

27,978

 

*

Arena Pharmaceuticals Inc.

 

717,578

 

27,950

 

*

Glaukos Corp.

 

497,052

 

27,919

 

*

NxStage Medical Inc.

 

968,251

 

27,711

 

*

Halozyme Therapeutics Inc.

 

1,890,589

 

27,659

 

*

ACADIA Pharmaceuticals Inc.

 

1,641,240

 

26,539

 

*

Heron Therapeutics Inc.

 

1,019,805

 

26,454

 

*

Amicus Therapeutics Inc.

 

2,749,227

 

26,338

 

*

Xencor Inc.

 

694,213

 

25,103

 

*

Acceleron Pharma Inc.

 

570,222

 

24,833

 

*

Pacira Pharmaceuticals Inc.

 

567,304

 

24,405

 

*

MyoKardia Inc.

 

497,175

 

24,292

 

*

Supernus Pharmaceuticals Inc.

 

721,054

 

23,953

 

*

PTC Therapeutics Inc.

 

696,139

 

23,891

 

*

Quidel Corp.

 

485,628

 

23,708

 

*

Amneal Pharmaceuticals Inc.

 

1,585,139

 

21,447

 

*

Ironwood Pharmaceuticals Inc. Class A

 

2,034,514

 

21,078

 

*

Medpace Holdings Inc.

 

387,842

 

20,528

 

*

Genomic Health Inc.

 

314,763

 

20,274

 

*,^

Corcept Therapeutics Inc.

 

1,509,476

 

20,167

 

*

REGENXBIO Inc.

 

468,082

 

19,636

 

*

Medicines Co.

 

965,569

 

18,481

 

*

Cambrex Corp.

 

487,429

 

18,405

 

*

Spark Therapeutics Inc.

 

465,993

 

18,239

 

*,^

Portola Pharmaceuticals Inc.

 

916,647

 

17,893

 

 

29


 

Vanguard® Small-Cap Growth Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

Innoviva Inc.

 

953,926

 

16,646

 

*,^

Theravance Biopharma Inc.

 

643,803

 

16,475

 

*

Blueprint Medicines Corp.

 

302,691

 

16,318

 

*

Nevro Corp.

 

416,105

 

16,182

 

*

WageWorks Inc.

 

575,730

 

15,637

 

*

Momenta Pharmaceuticals Inc.

 

1,394,976

 

15,400

 

*

Insmed Inc.

 

1,119,662

 

14,690

 

*

Tivity Health Inc.

 

584,626

 

14,505

 

*

Aimmune Therapeutics Inc.

 

597,093

 

14,282

 

*

Editas Medicine Inc.

 

624,940

 

14,217

 

 

Luminex Corp.

 

615,111

 

14,215

 

*

Orthofix Medical Inc.

 

261,080

 

13,704

 

*

BioTelemetry Inc.

 

229,364

 

13,698

 

*,^

OPKO Health Inc.

 

4,472,725

 

13,463

 

*

Clovis Oncology Inc.

 

727,309

 

13,062

 

*

Spectrum Pharmaceuticals Inc.

 

1,397,517

 

12,228

 

*

iRhythm Technologies Inc.

 

158,055

 

10,982

 

*

Radius Health Inc.

 

661,298

 

10,905

 

*

Acorda Therapeutics Inc.

 

690,730

 

10,762

 

*

STAAR Surgical Co.

 

320,333

 

10,222

 

 

Meridian Bioscience Inc.

 

584,988

 

10,155

 

*

Atara Biotherapeutics Inc.

 

281,696

 

9,786

 

*

Puma Biotechnology Inc.

 

470,791

 

9,581

 

 

HealthStream Inc.

 

375,657

 

9,072

 

*

Natera Inc.

 

628,440

 

8,773

 

*

Alder Biopharmaceuticals Inc.

 

843,509

 

8,646

 

*

Sangamo Therapeutics Inc.

 

741,391

 

8,511

 

*

CorVel Corp.

 

136,174

 

8,405

 

*,^

Esperion Therapeutics Inc.

 

175,229

 

8,060

 

*

Natus Medical Inc.

 

233,083

 

7,932

 

*

AMAG Pharmaceuticals Inc.

 

476,496

 

7,238

 

*

Guardant Health Inc.

 

186,667

 

7,017

 

*

Varex Imaging Corp.

 

277,355

 

6,568

 

*,^

Intrexon Corp.

 

996,488

 

6,517

 

*,^

Allakos Inc.

 

122,213

 

6,388

 

*

Intellia Therapeutics Inc.

 

441,423

 

6,025

 

*,^

Akcea Therapeutics Inc.

 

194,352

 

5,858

 

*

Epizyme Inc.

 

860,463

 

5,300

 

*,^

TherapeuticsMD Inc.

 

1,370,598

 

5,222

 

*,^

Allogene Therapeutics Inc.

 

176,265

 

4,747

 

*

Tricida Inc.

 

183,330

 

4,323

 

*

Lexicon Pharmaceuticals Inc.

 

621,362

 

4,126

 

*

Achillion Pharmaceuticals Inc.

 

1,903,558

 

3,027

 

*,^

Rubius Therapeutics Inc.

 

172,053

 

2,767

 

*

Five Prime Therapeutics Inc.

 

242,265

 

2,253

 

*

Accuray Inc.

 

597,970

 

2,039

 

*,^

ZIOPHARM Oncology Inc.

 

930,572

 

1,740

 

*,^

Insys Therapeutics Inc.

 

441,588

 

1,546

 

*,^

Surgery Partners Inc.

 

124,504

 

1,219

 

*

Aduro Biotech Inc.

 

359,750

 

950

 

*

Akebia Therapeutics Inc.

 

130,274

 

720

 

*,^

Moderna Inc.

 

30,805

 

470

 

*

Denali Therapeutics Inc.

 

765

 

16

 

*

Kiniksa Pharmaceuticals Ltd. Class A

 

77

 

2

 

 

Wright Medical Group Inc.

 

165,303

 

2

 

 

 

 

 

 

3,875,343

 

Industrials (19.3%)

 

 

 

 

 

*

Zebra Technologies Corp.

 

781,459

 

124,432

 

 

Lennox International Inc.

 

555,818

 

121,646

 

*

Teledyne Technologies Inc.

 

497,819

 

103,083

 

 

Graco Inc.

 

2,417,337

 

101,166

 

*

HD Supply Holdings Inc.

 

2,534,876

 

95,109

 

*

Berry Global Group Inc.

 

1,905,535

 

90,570

 

*

WEX Inc.

 

626,037

 

87,683

 

 

30


 

Vanguard® Small-Cap Growth Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

Nordson Corp.

 

717,935

 

85,686

 

 

National Instruments Corp.

 

1,827,301

 

82,923

 

 

Toro Co.

 

1,456,075

 

81,365

 

*

Fair Isaac Corp.

 

399,528

 

74,712

 

*

Euronet Worldwide Inc.

 

711,411

 

72,834

 

 

Hexcel Corp.

 

1,250,534

 

71,706

 

 

Jack Henry & Associates Inc.

 

561,345

 

71,021

 

 

Watsco Inc.

 

466,490

 

64,907

 

 

HEICO Corp. Class A

 

1,006,402

 

63,403

 

 

MAXIMUS Inc.

 

931,815

 

60,652

 

 

Woodward Inc.

 

807,580

 

59,995

 

 

Littelfuse Inc.

 

347,116

 

59,523

 

^

Universal Display Corp.

 

615,688

 

57,610

 

 

Landstar System Inc.

 

597,146

 

57,129

 

 

Genpact Ltd.

 

2,070,699

 

55,888

 

 

BWX Technologies Inc.

 

1,433,981

 

54,821

 

 

USG Corp.

 

1,217,858

 

51,954

 

 

Insperity Inc.

 

546,525

 

51,024

 

*

Trex Co. Inc.

 

853,348

 

50,655

 

*

RBC Bearings Inc.

 

359,699

 

47,157

 

 

HEICO Corp.

 

608,084

 

47,114

 

 

Cognex Corp.

 

1,187,970

 

45,939

 

 

Air Lease Corp. Class A

 

1,481,597

 

44,759

 

 

AO Smith Corp.

 

1,044,959

 

44,620

 

 

Knight-Swift Transportation Holdings Inc.

 

1,774,571

 

44,489

 

 

FLIR Systems Inc.

 

1,004,706

 

43,745

 

*

Proto Labs Inc.

 

373,510

 

42,128

 

*

Keysight Technologies Inc.

 

677,548

 

42,062

 

*

Allegheny Technologies Inc.

 

1,825,481

 

39,741

 

 

Eagle Materials Inc.

 

646,975

 

39,485

 

*

ASGN Inc.

 

724,087

 

39,463

 

*

AMN Healthcare Services Inc.

 

680,737

 

38,571

 

*

Gardner Denver Holdings Inc.

 

1,876,452

 

38,373

 

 

Exponent Inc.

 

755,440

 

38,308

 

*

Coherent Inc.

 

354,095

 

37,431

 

*

Clean Harbors Inc.

 

732,106

 

36,129

 

*

Aerojet Rocketdyne Holdings Inc.

 

1,023,471

 

36,057

 

*

Axon Enterprise Inc.

 

806,461

 

35,283

 

 

John Bean Technologies Corp.

 

459,076

 

32,966

 

*

SiteOne Landscape Supply Inc.

 

593,091

 

32,780

 

 

Simpson Manufacturing Co. Inc.

 

600,875

 

32,525

 

*

Cimpress NV

 

314,252

 

32,500

 

*

Mercury Systems Inc.

 

667,848

 

31,583

 

*

Novanta Inc.

 

481,615

 

30,342

 

*

II-VI Inc.

 

879,800

 

28,558

 

*

Paylocity Holding Corp.

 

460,119

 

27,704

 

*

Imperva Inc.

 

485,645

 

27,046

 

*

Rogers Corp.

 

267,103

 

26,459

 

*

Kirby Corp.

 

391,262

 

26,355

 

 

Albany International Corp.

 

421,181

 

26,294

 

*

TriNet Group Inc.

 

613,914

 

25,754

 

*

ExlService Holdings Inc.

 

472,697

 

24,873

 

 

Franklin Electric Co. Inc.

 

577,089

 

24,746

 

*

Advanced Disposal Services Inc.

 

1,030,205

 

24,663

 

*

Dycom Industries Inc.

 

431,835

 

23,336

 

 

Forward Air Corp.

 

424,588

 

23,289

 

*

TopBuild Corp.

 

513,983

 

23,129

 

*

Itron Inc.

 

486,634

 

23,013

 

 

Covanta Holding Corp.

 

1,713,179

 

22,991

 

 

Cubic Corp.

 

422,870

 

22,725

 

*

Aerovironment Inc.

 

312,814

 

21,256

 

 

Mueller Water Products Inc. Class A

 

2,291,529

 

20,853

 

*

Saia Inc.

 

373,181

 

20,831

 

 

Badger Meter Inc.

 

422,819

 

20,807

 

 

31


 

Vanguard® Small-Cap Growth Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

Summit Materials Inc. Class A

 

1,621,668

 

20,109

 

 

Armstrong World Industries Inc.

 

341,933

 

19,904

 

 

AAON Inc.

 

567,474

 

19,896

 

*

Evolent Health Inc. Class A

 

967,156

 

19,295

 

 

Schneider National Inc. Class B

 

1,023,637

 

19,111

 

 

Raven Industries Inc.

 

522,225

 

18,899

 

*

Air Transport Services Group Inc.

 

815,202

 

18,595

 

*

Builders FirstSource Inc.

 

1,666,298

 

18,179

 

 

EnPro Industries Inc.

 

301,218

 

18,103

 

*

Masonite International Corp.

 

385,209

 

17,269

 

*

Ambarella Inc.

 

442,348

 

15,473

 

 

AZZ Inc.

 

378,281

 

15,267

 

 

Lindsay Corp.

 

156,240

 

15,038

 

*,^

Inovalon Holdings Inc. Class A

 

990,827

 

14,050

 

 

Sun Hydraulics Corp.

 

417,878

 

13,869

 

 

Granite Construction Inc.

 

340,552

 

13,717

 

*

Continental Building Products Inc.

 

535,100

 

13,618

 

 

Advanced Drainage Systems Inc.

 

539,400

 

13,080

 

 

Tennant Co.

 

250,084

 

13,032

 

 

Heartland Express Inc.

 

654,471

 

11,977

 

 

Comfort Systems USA Inc.

 

269,955

 

11,792

 

 

Apogee Enterprises Inc.

 

388,921

 

11,609

 

*

Installed Building Products Inc.

 

317,515

 

10,697

 

*

FARO Technologies Inc.

 

246,625

 

10,023

 

 

Gorman-Rupp Co.

 

303,449

 

9,835

 

 

GrafTech International Ltd.

 

843,830

 

9,653

 

*

Thermon Group Holdings Inc.

 

473,224

 

9,597

 

*

SEACOR Holdings Inc.

 

238,564

 

8,827

 

*

Evo Payments Inc. Class A

 

350,114

 

8,637

 

*

GreenSky Inc. Class A

 

797,236

 

7,630

 

*

JELD-WEN Holding Inc.

 

487,509

 

6,928

 

 

Quanex Building Products Corp.

 

509,581

 

6,925

 

*

Verra Mobility Corp.

 

678,904

 

6,626

 

 

Methode Electronics Inc.

 

255,667

 

5,954

 

*

Veeco Instruments Inc.

 

695,379

 

5,153

 

*

Vicor Corp.

 

134,389

 

5,079

 

*

MACOM Technology Solutions Holdings Inc.

 

331,401

 

4,809

 

*

Astronics Corp.

 

152,473

 

4,643

 

*,^

Livent Corp.

 

317,813

 

4,386

 

*

Mistras Group Inc.

 

246,320

 

3,542

 

 

REV Group Inc.

 

367,261

 

2,758

 

*

InnerWorkings Inc.

 

320,869

 

1,200

 

*

Armstrong Flooring Inc.

 

77,286

 

915

 

 

 

 

 

 

3,895,428

 

Oil & Gas (3.5%)

 

 

 

 

 

*

WPX Energy Inc.

 

6,104,437

 

69,285

 

*

Parsley Energy Inc. Class A

 

3,866,594

 

61,788

 

*

Transocean Ltd.

 

7,963,875

 

55,269

 

*

Newfield Exploration Co.

 

2,909,796

 

42,658

 

 

Core Laboratories NV

 

642,313

 

38,320

 

 

Helmerich & Payne Inc.

 

751,659

 

36,035

 

*

Antero Resources Corp.

 

3,681,527

 

34,570

 

 

Patterson-UTI Energy Inc.

 

3,001,261

 

31,063

 

*

Apergy Corp.

 

1,123,358

 

30,421

 

*

Centennial Resource Development Inc. Class A

 

2,686,685

 

29,607

 

*

Chart Industries Inc.

 

453,195

 

29,471

 

*

PDC Energy Inc.

 

959,783

 

28,563

 

*

Matador Resources Co.

 

1,520,715

 

23,617

 

*

Callon Petroleum Co.

 

3,305,458

 

21,452

 

*

SRC Energy Inc.

 

3,523,641

 

16,561

 

*

Magnolia Oil & Gas Corp.

 

1,474,556

 

16,530

 

*

Cactus Inc. Class A

 

546,817

 

14,988

 

*

Carrizo Oil & Gas Inc.

 

1,197,742

 

13,523

 

*

Oasis Petroleum Inc.

 

2,312,553

 

12,788

 

 

32


 

Vanguard® Small-Cap Growth Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*,^

Tellurian Inc.

 

1,397,355

 

9,712

 

*

Laredo Petroleum Inc.

 

2,547,244

 

9,221

 

*

Newpark Resources Inc.

 

1,251,614

 

8,599

 

*,^

Weatherford International plc

 

14,539,115

 

8,127

 

 

RPC Inc.

 

780,120

 

7,700

 

*

ProPetro Holding Corp.

 

606,937

 

7,477

 

*

WildHorse Resource Development Corp.

 

518,482

 

7,316

 

*

Extraction Oil & Gas Inc.

 

1,662,744

 

7,133

 

*,^

Jagged Peak Energy Inc.

 

774,135

 

7,060

 

*

Gulfport Energy Corp.

 

1,071,581

 

7,019

 

 

Liberty Oilfield Services Inc. Class A

 

509,115

 

6,593

 

*

Keane Group Inc.

 

610,999

 

4,998

 

*

Forum Energy Technologies Inc.

 

1,189,511

 

4,913

 

*

Exterran Corp.

 

223,681

 

3,959

 

*

FTS International Inc.

 

470,666

 

3,346

 

*

Roan Resources Inc.

 

276,507

 

2,317

 

*,^

Covia Holdings Corp.

 

290,813

 

995

 

*

NCS Multistage Holdings Inc.

 

81,990

 

417

 

*

Eclipse Resources Corp.

 

6,383

 

7

 

 

 

 

 

 

713,418

 

Other (0.0%)2

 

 

 

 

 

*,§

NewStar Financial Inc

 

323,987

 

84

 

*,§

Media General Inc. CVR

 

1,362,047

 

53

 

*,§

Clinical Data CVR

 

132,154

 

 

 

 

 

 

 

137

 

Technology (18.6%)

 

 

 

 

 

*

PTC Inc.

 

1,551,275

 

128,601

 

*

Tableau Software Inc. Class A

 

1,039,186

 

124,702

 

*

Ultimate Software Group Inc.

 

431,450

 

105,649

 

*

Tyler Technologies Inc.

 

535,683

 

99,541

 

*

Twilio Inc. Class A

 

1,092,609

 

97,570

 

*

Guidewire Software Inc.

 

1,176,558

 

94,395

 

*

Integrated Device Technology Inc.

 

1,873,868

 

90,751

 

*

Paycom Software Inc.

 

723,616

 

88,607

 

*

EPAM Systems Inc.

 

745,220

 

86,453

 

*

Zendesk Inc.

 

1,476,926

 

86,208

 

*

Okta Inc.

 

1,339,170

 

85,439

 

*

Aspen Technology Inc.

 

1,027,886

 

84,472

 

*

Nutanix Inc.

 

1,945,841

 

80,927

 

*

RingCentral Inc. Class A

 

946,221

 

78,006

 

*

athenahealth Inc.

 

589,801

 

77,812

 

*

Ciena Corp.

 

2,071,149

 

70,233

 

*

HubSpot Inc.

 

541,265

 

68,053

 

 

Monolithic Power Systems Inc.

 

585,164

 

68,025

 

*

Proofpoint Inc.

 

793,642

 

66,515

 

*

Cree Inc.

 

1,489,542

 

63,715

 

 

LogMeIn Inc.

 

742,474

 

60,564

 

 

Entegris Inc.

 

2,052,643

 

57,258

 

*

Medidata Solutions Inc.

 

844,285

 

56,922

 

*

RealPage Inc.

 

1,091,193

 

52,585

 

 

MKS Instruments Inc.

 

784,903

 

50,713

 

*

Coupa Software Inc.

 

801,044

 

50,354

 

*

New Relic Inc.

 

620,442

 

50,237

 

*

DocuSign Inc. Class A

 

1,250,905

 

50,136

 

*

Silicon Laboratories Inc.

 

626,649

 

49,386

 

*,^

ViaSat Inc.

 

823,070

 

48,520

 

*

Pure Storage Inc. Class A

 

2,980,589

 

47,928

 

 

j2 Global Inc.

 

680,097

 

47,185

 

*

Lumentum Holdings Inc.

 

1,079,363

 

45,344

 

 

Blackbaud Inc.

 

705,443

 

44,372

 

*

ACI Worldwide Inc.

 

1,600,297

 

44,280

 

*

FireEye Inc.

 

2,718,371

 

44,065

 

*

Manhattan Associates Inc.

 

949,608

 

40,235

 

*

2U Inc.

 

799,215

 

39,737

 

 

33


 

Vanguard® Small-Cap Growth Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

Cornerstone OnDemand Inc.

 

766,387

 

38,649

 

*

Qualys Inc.

 

486,152

 

36,335

 

*

CommVault Systems Inc.

 

605,077

 

35,754

 

*

Five9 Inc.

 

810,913

 

35,453

 

 

InterDigital Inc.

 

505,634

 

33,589

 

*

Ellie Mae Inc.

 

506,053

 

31,795

 

*

Box Inc.

 

1,851,148

 

31,247

 

*

Envestnet Inc.

 

630,876

 

31,033

 

*

Alteryx Inc. Class A

 

519,045

 

30,868

 

*

Bottomline Technologies DE Inc.

 

625,803

 

30,039

 

*

Zscaler Inc.

 

708,430

 

27,778

 

 

Cogent Communications Holdings Inc.

 

607,644

 

27,472

 

 

Pegasystems Inc.

 

571,562

 

27,338

 

*

Alarm.com Holdings Inc.

 

522,842

 

27,120

 

 

Brooks Automation Inc.

 

1,026,862

 

26,883

 

*

Q2 Holdings Inc.

 

535,477

 

26,533

 

*

SailPoint Technologies Holding Inc.

 

1,083,612

 

25,454

 

 

Power Integrations Inc.

 

404,672

 

24,677

 

*

Allscripts Healthcare Solutions Inc.

 

2,537,720

 

24,464

 

*

Advanced Energy Industries Inc.

 

559,014

 

23,998

 

*

Varonis Systems Inc.

 

406,554

 

21,507

 

*

Blackline Inc.

 

515,891

 

21,126

 

*,^

Ceridian HCM Holding Inc.

 

601,522

 

20,746

 

^

Ubiquiti Networks Inc.

 

205,864

 

20,465

 

*

Cloudera Inc.

 

1,782,160

 

19,711

 

*

Inphi Corp.

 

608,627

 

19,567

 

*

Diodes Inc.

 

583,963

 

18,839

 

*

SendGrid Inc.

 

412,733

 

17,818

 

*

Rapid7 Inc.

 

549,813

 

17,132

 

*

Acacia Communications Inc.

 

440,252

 

16,730

 

*

MicroStrategy Inc. Class A

 

130,166

 

16,629

 

*,^

MongoDB Inc.

 

194,326

 

16,273

 

 

Plantronics Inc.

 

490,974

 

16,251

 

*,^

3D Systems Corp.

 

1,575,487

 

16,023

 

*

MaxLinear Inc.

 

901,455

 

15,866

 

*

LivePerson Inc.

 

830,774

 

15,668

 

*

Hortonworks Inc.

 

1,039,731

 

14,993

 

 

Ebix Inc.

 

317,938

 

13,531

 

*

Appfolio Inc.

 

222,292

 

13,164

 

*

Cray Inc.

 

593,178

 

12,807

 

*

Benefitfocus Inc.

 

278,520

 

12,734

 

*

Lattice Semiconductor Corp.

 

1,790,807

 

12,392

 

*

Cision Ltd.

 

1,058,743

 

12,387

 

*

Altair Engineering Inc. Class A

 

443,342

 

12,227

 

 

NIC Inc.

 

918,638

 

11,465

 

*

Infinera Corp.

 

2,541,112

 

10,139

 

 

Shutterstock Inc.

 

279,859

 

10,078

 

*

Virtusa Corp.

 

195,516

 

8,327

 

*

FormFactor Inc.

 

538,091

 

7,582

 

*

Anaplan Inc.

 

269,868

 

7,162

 

*

CEVA Inc.

 

318,103

 

7,027

 

*

Loral Space & Communications Inc.

 

187,084

 

6,969

 

 

Forrester Research Inc.

 

146,537

 

6,550

 

*

Endurance International Group Holdings Inc.

 

940,255

 

6,253

 

*

nLight Inc.

 

344,956

 

6,133

 

*

Carbon Black Inc.

 

443,264

 

5,949

 

 

Switch Inc.

 

680,843

 

4,766

 

*,^

Eventbrite Inc. Class A

 

166,885

 

4,641

 

*

Smartsheet Inc. Class A

 

184,445

 

4,585

 

*

Tenable Holdings Inc.

 

202,132

 

4,485

 

*

Elastic NV

 

51,667

 

3,693

 

*

Castlight Health Inc. Class B

 

1,254,870

 

2,723

 

*

WideOpenWest Inc.

 

365,049

 

2,603

 

*,^

Gogo Inc.

 

817,567

 

2,444

 

 

34


 

Vanguard® Small-Cap Growth Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

MobileIron Inc.

 

487,985

 

2,240

 

*

SecureWorks Corp. Class A

 

119,097

 

2,012

 

*

Veeva Systems Inc. Class A

 

1,493

 

133

 

*

Fortinet Inc.

 

1,777

 

125

 

*

Cirrus Logic Inc.

 

752

 

25

 

*

Rambus Inc.

 

1,327

 

10

 

 

Monotype Imaging Holdings Inc.

 

495

 

8

 

*

SVMK Inc.

 

149

 

2

 

 

 

 

 

 

3,744,689

 

Telecommunications (0.3%)

 

 

 

 

 

 

Shenandoah Telecommunications Co.

 

683,934

 

30,264

 

*,^

GTT Communications Inc.

 

635,605

 

15,038

 

 

ATN International Inc.

 

150,776

 

10,785

 

*

Cincinnati Bell Inc.

 

726,571

 

5,653

 

*,^

Globalstar Inc.

 

8,197,712

 

5,244

 

 

 

 

 

 

66,984

 

Utilities (0.9%)

 

 

 

 

 

 

NRG Energy Inc.

 

1,996,809

 

79,074

 

 

Ormat Technologies Inc.

 

588,792

 

30,794

 

 

Pattern Energy Group Inc. Class A

 

1,424,681

 

26,527

 

*

Sunrun Inc.

 

1,380,748

 

15,036

 

 

TerraForm Power Inc. Class A

 

911,332

 

10,225

 

*

Evoqua Water Technologies Corp.

 

993,533

 

9,538

 

*,^

Bloom Energy Corp. Class A

 

259,304

 

2,588

 

*,^

Vivint Solar Inc.

 

309,718

 

1,180

 

 

 

 

 

 

174,962

 

Total Common Stocks (Cost $18,037,211)

 

 

 

20,150,719

 

 

 

 

 

 

 

 

 

 

 

Coupon

 

 

 

 

 

 

 

Temporary Cash Investments (1.6%)1

 

 

 

 

 

 

 

 

 

Money Market Fund (1.6%)

 

 

 

 

 

 

 

 

 

3,4

Vanguard Market Liquidity Fund

 

2.530%

 

 

 

3,103,237

 

310,324

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Maturity
Date

 

Face
Amount
($000

)

 

 

U.S. Government and Agency Obligations (0.0%)

 

 

 

 

 

 

 

5

United States Treasury Bill

 

2.479%

 

5/9/19

 

3,000

 

2,974

 

Total Temporary Cash Investments (Cost $313,273)

 

 

 

 

 

313,298

 

Total Investments (101.5%) (Cost $18,350,484)

 

 

 

 

 

 

 

20,464,017

 

Other Assets and Liabilities—Net (-1.5%)4,6

 

 

 

 

 

 

 

(299,432

)

Net Assets (100%)

 

 

 

 

 

 

 

20,164,585

 

 

*

Non-income-producing security.

^

Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $285,856,000.

§

Security value determined using significant unobservable inputs.

1

The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts and swap contracts. After giving effect to futures and swap investments, the fund’s effective common stock and temporary cash investment positions represent 100.1% and 1.4%, respectively, of net assets.

2

“Other” represents securities that are not classified by the fund’s benchmark index.

3

Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.

4

Includes $298,687,000 of collateral received for securities on loan.

5

Securities with a value of $1,239,000 have been segregated as initial margin for open futures contracts.

6

Cash of $870,000 has been segregated as collateral for open over-the-counter swap contracts.

 

35


 

Vanguard® Small-Cap Growth Index Fund

Schedule of Investments

December 31, 2018

 

 

CVR—Contingent Value Rights.

 

REIT—Real Estate Investment Trust.

 

36


 

Vanguard® Small-Cap Value Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

Common Stocks (99.7%)1

 

 

 

 

 

Basic Materials (5.5%)

 

 

 

 

 

 

RPM International Inc.

 

2,152,204

 

126,507

 

 

Chemours Co.

 

2,773,316

 

78,263

 

 

Ashland Global Holdings Inc.

 

1,013,272

 

71,902

 

 

WR Grace & Co.

 

1,085,979

 

70,491

 

 

Huntsman Corp.

 

3,294,905

 

63,559

 

 

Olin Corp.

 

2,704,300

 

54,383

 

 

Steel Dynamics Inc.

 

1,767,306

 

53,090

 

 

United States Steel Corp.

 

2,873,120

 

52,406

 

 

Peabody Energy Corp.

 

1,456,248

 

44,386

 

*

Alcoa Corp.

 

1,510,750

 

40,156

 

 

Scotts Miracle-Gro Co.

 

628,716

 

38,641

 

 

Sensient Technologies Corp.

 

685,196

 

38,268

 

 

Cabot Corp.

 

874,475

 

37,550

 

*

Cleveland-Cliffs Inc.

 

4,827,314

 

37,122

 

 

PolyOne Corp.

 

1,292,836

 

36,975

 

 

Quaker Chemical Corp.

 

205,136

 

36,455

 

 

Domtar Corp.

 

1,015,729

 

35,683

 

 

HB Fuller Co.

 

821,464

 

35,052

 

 

Minerals Technologies Inc.

 

569,668

 

29,247

 

 

Commercial Metals Co.

 

1,811,866

 

29,026

 

 

Carpenter Technology Corp.

 

766,784

 

27,305

 

*

GCP Applied Technologies Inc.

 

1,050,836

 

25,798

 

 

Innospec Inc.

 

394,649

 

24,373

 

 

Stepan Co.

 

328,114

 

24,280

 

 

Worthington Industries Inc.

 

670,142

 

23,348

 

 

Compass Minerals International Inc.

 

548,129

 

22,851

 

 

Arch Coal Inc. Class A

 

274,171

 

22,753

 

 

Kaiser Aluminum Corp.

 

253,230

 

22,611

 

*

Contura Energy Inc.

 

301,218

 

19,802

 

 

Warrior Met Coal Inc.

 

768,899

 

18,538

 

 

Hecla Mining Co.

 

7,788,612

 

18,381

 

*

Univar Inc.

 

915,558

 

16,242

 

 

Materion Corp.

 

327,585

 

14,738

 

*

CONSOL Energy Inc.

 

404,351

 

12,822

 

 

Schweitzer-Mauduit International Inc.

 

503,719

 

12,618

 

*,^

AK Steel Holding Corp.

 

5,174,881

 

11,643

 

*

Kraton Corp.

 

522,815

 

11,418

 

 

Tronox Ltd. Class A

 

1,463,750

 

11,388

 

*

Ferro Corp.

 

672,063

 

10,538

 

 

Rayonier Advanced Materials Inc.

 

825,218

 

8,789

 

 

Schnitzer Steel Industries Inc.

 

405,225

 

8,733

 

 

Innophos Holdings Inc.

 

322,129

 

7,902

 

 

Tredegar Corp.

 

489,919

 

7,770

 

 

Resolute Forest Products Inc.

 

968,115

 

7,677

 

*

Coeur Mining Inc.

 

1,640,649

 

7,334

 

 

PH Glatfelter Co.

 

720,208

 

7,029

 

 

FutureFuel Corp.

 

434,426

 

6,890

 

*

Clearwater Paper Corp.

 

270,237

 

6,586

 

*

Century Aluminum Co.

 

791,651

 

5,787

 

 

Haynes International Inc.

 

206,331

 

5,447

 

*

Koppers Holdings Inc.

 

313,809

 

5,347

 

*

TimkenSteel Corp.

 

590,869

 

5,164

 

*

SunCoke Energy Inc.

 

535,764

 

4,581

 

 

Kronos Worldwide Inc.

 

381,938

 

4,400

 

 

 

 

 

 

1,460,045

 

Consumer Goods (7.3%)

 

 

 

 

 

*

US Foods Holding Corp.

 

3,521,623

 

111,424

 

*

Herbalife Nutrition Ltd.

 

1,645,970

 

97,030

 

 

Leggett & Platt Inc.

 

2,114,721

 

75,792

 

*

Deckers Outdoor Corp.

 

471,823

 

60,370

 

 

Valvoline Inc.

 

3,049,459

 

59,007

 

 

37


 

Vanguard® Small-Cap Value Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

Helen of Troy Ltd.

 

428,122

 

56,161

 

*,^

Mattel Inc.

 

5,590,231

 

55,846

 

 

Flowers Foods Inc.

 

2,904,918

 

53,654

 

 

Nu Skin Enterprises Inc. Class A

 

855,453

 

52,465

 

 

Ingredion Inc.

 

573,119

 

52,383

 

*

Darling Ingredients Inc.

 

2,669,028

 

51,352

 

 

Wolverine World Wide Inc.

 

1,458,500

 

46,511

 

*

TreeHouse Foods Inc.

 

907,644

 

46,027

 

 

Energizer Holdings Inc.

 

966,148

 

43,622

 

 

Thor Industries Inc.

 

813,054

 

42,279

 

 

Goodyear Tire & Rubber Co.

 

1,889,198

 

38,558

 

 

Sanderson Farms Inc.

 

332,859

 

33,049

 

*

Edgewell Personal Care Co.

 

875,658

 

32,706

 

 

Dana Inc.

 

2,343,124

 

31,937

 

^

B&G Foods Inc.

 

1,067,862

 

30,872

 

*

Taylor Morrison Home Corp. Class A

 

1,922,392

 

30,566

 

 

Herman Miller Inc.

 

960,093

 

29,043

 

*

Visteon Corp.

 

468,409

 

28,236

 

 

Lancaster Colony Corp.

 

155,920

 

27,576

 

 

Spectrum Brands Holdings Inc.

 

649,091

 

27,424

 

 

KB Home

 

1,431,237

 

27,337

 

 

Cooper Tire & Rubber Co.

 

811,662

 

26,241

 

*

TRI Pointe Group Inc.

 

2,302,580

 

25,167

 

 

HNI Corp.

 

708,960

 

25,118

 

*

Meritor Inc.

 

1,374,743

 

23,247

 

 

Tenneco Inc. Class A

 

832,251

 

22,795

 

*

Hain Celestial Group Inc.

 

1,432,429

 

22,718

 

 

Universal Corp.

 

404,404

 

21,898

 

 

La-Z-Boy Inc.

 

761,264

 

21,095

 

 

Tupperware Brands Corp.

 

667,863

 

21,084

 

*

Central Garden & Pet Co. Class A

 

673,246

 

21,039

 

 

MDC Holdings Inc.

 

732,468

 

20,590

 

 

Delphi Technologies plc

 

1,434,005

 

20,535

 

*

American Axle & Manufacturing Holdings Inc.

 

1,810,889

 

20,101

 

 

Steelcase Inc. Class A

 

1,336,075

 

19,814

 

 

Cal-Maine Foods Inc.

 

461,411

 

19,518

 

*

G-III Apparel Group Ltd.

 

676,524

 

18,868

 

 

Columbia Sportswear Co.

 

222,537

 

18,713

 

 

Inter Parfums Inc.

 

279,411

 

18,321

 

*

Cooper-Standard Holdings Inc.

 

288,534

 

17,924

 

*

Hostess Brands Inc. Class A

 

1,532,527

 

16,766

 

 

Seaboard Corp.

 

4,736

 

16,756

 

*

Garrett Motion Inc.

 

1,197,959

 

14,783

 

 

Fresh Del Monte Produce Inc.

 

507,611

 

14,350

 

 

Sturm Ruger & Co. Inc.

 

267,737

 

14,249

 

 

Knoll Inc.

 

766,392

 

12,630

 

*

Pilgrim’s Pride Corp.

 

813,651

 

12,620

 

 

Andersons Inc.

 

417,263

 

12,472

 

*

Fossil Group Inc.

 

726,554

 

11,429

 

 

Acushnet Holdings Corp.

 

540,369

 

11,386

 

 

ACCO Brands Corp.

 

1,661,095

 

11,262

 

*

Meritage Homes Corp.

 

306,361

 

11,250

 

*

American Outdoor Brands Corp.

 

848,442

 

10,911

 

*

Vista Outdoor Inc.

 

941,298

 

10,684

 

 

National Presto Industries Inc.

 

85,711

 

10,021

 

^

Tootsie Roll Industries Inc.

 

285,172

 

9,525

 

 

Oxford Industries Inc.

 

131,869

 

9,368

 

*

Modine Manufacturing Co.

 

788,675

 

8,526

 

 

Movado Group Inc.

 

258,603

 

8,177

 

 

Ethan Allen Interiors Inc.

 

394,150

 

6,933

 

*

Central Garden & Pet Co.

 

171,844

 

5,920

 

 

Dean Foods Co.

 

1,504,733

 

5,733

 

 

Phibro Animal Health Corp. Class A

 

166,520

 

5,355

 

*,^

GoPro Inc. Class A

 

938,037

 

3,977

 

 

38


 

Vanguard® Small-Cap Value Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

YETI Holdings Inc.

 

142,071

 

2,108

 

 

Titan International Inc.

 

435,857

 

2,031

 

*,^

Sonos Inc.

 

158,406

 

1,555

 

 

Superior Industries International Inc.

 

175,439

 

844

 

*

Crocs Inc.

 

1,724

 

45

 

*

Arlo Technologies Inc.

 

3,664

 

36

 

 

 

 

 

 

1,907,715

 

Consumer Services (11.8%)

 

 

 

 

 

 

Service Corp. International

 

2,785,564

 

112,147

 

 

KAR Auction Services Inc.

 

2,180,279

 

104,043

 

 

Foot Locker Inc.

 

1,862,371

 

99,078

 

 

Dun & Bradstreet Corp.

 

602,508

 

86,002

 

 

H&R Block Inc.

 

3,331,525

 

84,521

 

*

JetBlue Airways Corp.

 

4,942,101

 

79,370

 

^

Williams-Sonoma Inc.

 

1,301,007

 

65,636

 

*

Spirit Airlines Inc.

 

1,106,714

 

64,101

 

 

Cracker Barrel Old Country Store Inc.

 

389,644

 

62,289

 

 

Cinemark Holdings Inc.

 

1,703,735

 

60,994

 

 

Tribune Media Co. Class A

 

1,278,524

 

58,019

 

 

Wyndham Destinations Inc.

 

1,500,580

 

53,781

 

 

New York Times Co. Class A

 

2,393,851

 

53,359

 

 

American Eagle Outfitters Inc.

 

2,730,187

 

52,775

 

*

Performance Food Group Co.

 

1,618,074

 

52,215

 

 

Sabre Corp.

 

2,232,199

 

48,305

 

 

Wendy’s Co.

 

3,071,632

 

47,948

 

 

Extended Stay America Inc.

 

3,051,416

 

47,297

 

 

Aaron’s Inc.

 

1,111,201

 

46,726

 

*

TripAdvisor Inc.

 

860,178

 

46,398

 

*

Adtalem Global Education Inc.

 

951,425

 

45,021

 

 

Graham Holdings Co. Class B

 

66,779

 

42,777

 

 

AMERCO

 

127,218

 

41,742

 

*

Urban Outfitters Inc.

 

1,220,121

 

40,508

 

*

ServiceMaster Global Holdings Inc.

 

1,100,021

 

40,415

 

*,^

LiveRamp Holdings Inc.

 

1,045,925

 

40,404

 

*

AMC Networks Inc. Class A

 

729,947

 

40,060

 

*

Murphy USA Inc.

 

496,198

 

38,029

 

 

TEGNA Inc.

 

3,486,508

 

37,898

 

 

Strategic Education Inc.

 

333,953

 

37,877

 

 

Dick’s Sporting Goods Inc.

 

1,177,671

 

36,743

 

 

Wyndham Hotels & Resorts Inc.

 

803,315

 

36,446

 

 

SkyWest Inc.

 

798,539

 

35,511

 

 

John Wiley & Sons Inc. Class A

 

744,477

 

34,968

 

 

Hillenbrand Inc.

 

909,245

 

34,488

 

*

Penn National Gaming Inc.

 

1,828,770

 

34,436

 

*

AutoNation Inc.

 

946,549

 

33,792

 

 

Meredith Corp.

 

645,232

 

33,513

 

*

Sally Beauty Holdings Inc.

 

1,945,760

 

33,175

 

 

Sinclair Broadcast Group Inc. Class A

 

1,104,457

 

29,091

 

 

Cheesecake Factory Inc.

 

660,997

 

28,760

 

 

Lithia Motors Inc. Class A

 

364,199

 

27,799

 

 

DSW Inc. Class A

 

1,116,049

 

27,566

 

 

Brinker International Inc.

 

625,140

 

27,494

 

 

Signet Jewelers Ltd.

 

840,937

 

26,717

 

*

BJ’s Wholesale Club Holdings Inc.

 

1,204,954

 

26,702

 

 

Lions Gate Entertainment Corp. Class B

 

1,757,837

 

26,157

 

 

Bed Bath & Beyond Inc.

 

2,123,216

 

24,035

 

 

Bloomin’ Brands Inc.

 

1,339,554

 

23,965

 

*

Cars.com Inc.

 

1,110,114

 

23,868

 

 

Office Depot Inc.

 

8,865,739

 

22,874

 

 

Children’s Place Inc.

 

252,287

 

22,729

 

*

Avis Budget Group Inc.

 

1,002,549

 

22,537

 

*

MSG Networks Inc.

 

944,350

 

22,249

 

 

Penske Automotive Group Inc.

 

549,577

 

22,159

 

*

Laureate Education Inc. Class A

 

1,430,688

 

21,804

 

 

39


 

Vanguard® Small-Cap Value Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

Abercrombie & Fitch Co.

 

1,081,368

 

21,681

 

*

Asbury Automotive Group Inc.

 

317,369

 

21,156

 

*

Michaels Cos. Inc.

 

1,525,738

 

20,659

 

 

Hawaiian Holdings Inc.

 

760,902

 

20,095

 

 

Matthews International Corp. Class A

 

492,869

 

20,020

 

 

GameStop Corp. Class A

 

1,569,209

 

19,803

 

 

Guess? Inc.

 

916,892

 

19,044

 

 

Big Lots Inc.

 

647,521

 

18,726

 

*

Liberty TripAdvisor Holdings Inc. Class A

 

1,164,879

 

18,510

 

 

Dine Brands Global Inc.

 

272,279

 

18,335

 

 

Caleres Inc.

 

627,969

 

17,476

 

 

Core-Mark Holding Co. Inc.

 

738,334

 

17,166

 

 

International Speedway Corp. Class A

 

374,907

 

16,443

 

 

Gannett Co. Inc.

 

1,843,955

 

15,729

 

 

Group 1 Automotive Inc.

 

295,258

 

15,566

 

 

Scholastic Corp.

 

380,559

 

15,321

 

*

Houghton Mifflin Harcourt Co.

 

1,718,294

 

15,224

 

*

frontdoor Inc.

 

549,725

 

14,628

 

*

K12 Inc.

 

585,985

 

14,527

 

*

Genesco Inc.

 

310,146

 

13,740

 

 

Lions Gate Entertainment Corp. Class A

 

819,116

 

13,188

 

*

Rent-A-Center Inc.

 

789,767

 

12,786

 

*,^

Rite Aid Corp.

 

17,453,768

 

12,363

 

*

Hertz Global Holdings Inc.

 

895,037

 

12,217

 

 

Entercom Communications Corp. Class A

 

2,036,500

 

11,628

 

 

Weis Markets Inc.

 

242,416

 

11,583

 

 

Dillard’s Inc. Class A

 

189,505

 

11,429

 

 

Chico’s FAS Inc.

 

1,928,359

 

10,837

 

 

New Media Investment Group Inc.

 

918,740

 

10,630

 

 

Tailored Brands Inc.

 

766,075

 

10,449

 

 

AMC Entertainment Holdings Inc. Class A

 

844,782

 

10,374

 

*

Party City Holdco Inc.

 

953,334

 

9,514

 

*

SeaWorld Entertainment Inc.

 

425,663

 

9,403

 

^

Buckle Inc.

 

482,153

 

9,325

 

*

United Natural Foods Inc.

 

831,009

 

8,800

 

*

Regis Corp.

 

500,439

 

8,482

 

 

Papa John’s International Inc.

 

181,286

 

7,217

 

 

EW Scripps Co. Class A

 

441,974

 

6,952

 

*

Ascena Retail Group Inc.

 

2,739,043

 

6,875

 

 

National CineMedia Inc.

 

1,016,917

 

6,590

 

*

Zumiez Inc.

 

316,615

 

6,070

 

*

Diplomat Pharmacy Inc.

 

450,599

 

6,065

 

*

Express Inc.

 

1,123,469

 

5,741

 

*,^

Stitch Fix Inc. Class A

 

322,715

 

5,515

 

*

El Pollo Loco Holdings Inc.

 

351,423

 

5,331

 

*

Fiesta Restaurant Group Inc.

 

339,598

 

5,267

 

 

Emerald Expositions Events Inc.

 

424,649

 

5,240

 

*

Herc Holdings Inc.

 

199,679

 

5,190

 

 

Sonic Automotive Inc. Class A

 

354,215

 

4,874

 

*

Bojangles’ Inc.

 

302,495

 

4,864

 

*,^

JC Penney Co. Inc.

 

4,480,015

 

4,659

 

*

BrightView Holdings Inc.

 

423,430

 

4,323

 

*

American Public Education Inc.

 

131,441

 

3,741

 

*

Biglari Holdings Inc. Class B

 

30,897

 

3,509

 

 

Clear Channel Outdoor Holdings Inc. Class A

 

626,399

 

3,251

 

 

Barnes & Noble Inc.

 

431,661

 

3,061

 

 

Cato Corp. Class A

 

186,008

 

2,654

 

 

Speedway Motorsports Inc.

 

162,335

 

2,641

 

*

Lands’ End Inc.

 

162,942

 

2,315

 

*

Smart & Final Stores Inc.

 

458,597

 

2,174

 

*

Biglari Holdings Inc.

 

2,192

 

1,288

 

*

Weight Watchers International Inc.

 

319

 

12

 

*

Roku Inc.

 

380

 

12

 

*

Hibbett Sports Inc.

 

122

 

2

 

 

40


 

Vanguard® Small-Cap Value Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

Upwork Inc.

 

58

 

1

 

 

 

 

 

 

3,111,604

 

Financials (34.1%)

 

 

 

 

 

 

WP Carey Inc.

 

2,613,827

 

170,787

 

 

National Retail Properties Inc.

 

2,582,676

 

125,286

 

 

Apartment Investment & Management Co.

 

2,527,686

 

110,915

 

 

Gaming and Leisure Properties Inc.

 

3,299,774

 

106,616

 

 

Brown & Brown Inc.

 

3,854,827

 

106,239

 

 

East West Bancorp Inc.

 

2,351,965

 

102,381

 

 

Liberty Property Trust

 

2,397,534

 

100,409

 

 

American Financial Group Inc.

 

1,086,869

 

98,394

 

 

Old Republic International Corp.

 

4,663,752

 

95,933

 

 

Commerce Bancshares Inc.

 

1,631,759

 

91,982

 

 

RenaissanceRe Holdings Ltd.

 

652,978

 

87,303

 

 

Park Hotels & Resorts Inc.

 

3,262,558

 

84,761

 

 

New Residential Investment Corp.

 

5,927,513

 

84,230

 

 

Starwood Property Trust Inc.

 

4,245,099

 

83,671

 

 

Cullen/Frost Bankers Inc.

 

934,325

 

82,165

 

 

Synovus Financial Corp.

 

2,553,220

 

81,677

 

 

LPL Financial Holdings Inc.

 

1,334,574

 

81,516

 

 

Hanover Insurance Group Inc.

 

686,620

 

80,177

 

 

EPR Properties

 

1,205,687

 

77,200

 

 

First American Financial Corp.

 

1,722,336

 

76,885

 

 

Popular Inc.

 

1,627,719

 

76,861

 

 

Assurant Inc.

 

855,637

 

76,528

 

 

Webster Financial Corp.

 

1,494,243

 

73,651

 

 

Brixmor Property Group Inc.

 

4,859,086

 

71,380

 

 

New York Community Bancorp Inc.

 

7,554,478

 

71,088

 

 

First Horizon National Corp.

 

5,256,626

 

69,177

 

 

Primerica Inc.

 

696,206

 

68,026

 

 

Prosperity Bancshares Inc.

 

1,076,838

 

67,087

 

 

Axis Capital Holdings Ltd.

 

1,287,859

 

66,505

 

 

PacWest Bancorp

 

1,975,403

 

65,741

 

 

Highwoods Properties Inc.

 

1,678,227

 

64,931

 

 

Eaton Vance Corp.

 

1,796,765

 

63,210

 

 

Assured Guaranty Ltd.

 

1,628,567

 

62,342

 

 

JBG SMITH Properties

 

1,764,175

 

61,411

 

*

MGIC Investment Corp.

 

5,863,690

 

61,334

 

 

Wintrust Financial Corp.

 

915,003

 

60,839

 

 

Hospitality Properties Trust

 

2,532,316

 

60,472

 

^

First Financial Bankshares Inc.

 

1,043,218

 

60,183

 

 

Blackstone Mortgage Trust Inc. Class A

 

1,867,205

 

59,489

 

 

First Industrial Realty Trust Inc.

 

2,046,982

 

59,076

 

*

Brighthouse Financial Inc.

 

1,922,499

 

58,598

 

 

Selective Insurance Group Inc.

 

954,921

 

58,193

 

 

Rayonier Inc.

 

2,095,627

 

58,028

 

 

IBERIABANK Corp.

 

901,419

 

57,943

 

 

Omega Healthcare Investors Inc.

 

1,627,423

 

57,204

 

 

Umpqua Holdings Corp.

 

3,571,571

 

56,788

 

 

Janus Henderson Group plc

 

2,737,936

 

56,730

 

 

Radian Group Inc.

 

3,459,094

 

56,591

 

 

Equity Commonwealth

 

1,872,871

 

56,205

 

 

Kemper Corp.

 

840,165

 

55,770

 

 

Erie Indemnity Co. Class A

 

412,052

 

54,931

 

 

Glacier Bancorp Inc.

 

1,370,575

 

54,302

 

 

Cousins Properties Inc.

 

6,818,182

 

53,864

 

 

Associated Banc-Corp

 

2,689,913

 

53,233

 

 

United Bankshares Inc.

 

1,672,859

 

52,043

 

 

FNB Corp.

 

5,263,940

 

51,797

 

 

Two Harbors Investment Corp.

 

4,024,328

 

51,672

 

 

MB Financial Inc.

 

1,299,099

 

51,483

 

 

Chimera Investment Corp.

 

2,882,730

 

51,370

 

 

EastGroup Properties Inc.

 

554,574

 

50,871

 

 

Apple Hospitality REIT Inc.

 

3,525,390

 

50,272

 

 

41


 

Vanguard® Small-Cap Value Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

BankUnited Inc.

 

1,671,801

 

50,054

 

 

National Health Investors Inc.

 

650,100

 

49,109

 

 

Weingarten Realty Investors

 

1,973,406

 

48,960

 

 

MFA Financial Inc.

 

7,293,361

 

48,720

 

 

Community Bank System Inc.

 

830,045

 

48,392

 

 

Sunstone Hotel Investors Inc.

 

3,699,517

 

48,131

 

 

Hancock Whitney Corp.

 

1,380,672

 

47,840

 

 

TCF Financial Corp.

 

2,434,162

 

47,442

 

 

RLI Corp.

 

685,584

 

47,298

 

 

RLJ Lodging Trust

 

2,839,315

 

46,565

 

 

Stifel Financial Corp.

 

1,109,255

 

45,945

 

 

Bank of Hawaii Corp.

 

678,095

 

45,649

 

 

Valley National Bancorp

 

5,104,869

 

45,331

 

 

Senior Housing Properties Trust

 

3,851,190

 

45,136

 

 

UMB Financial Corp.

 

727,107

 

44,332

 

 

Fulton Financial Corp.

 

2,854,887

 

44,194

 

 

CVB Financial Corp.

 

2,161,984

 

43,737

 

 

Columbia Banking System Inc.

 

1,186,969

 

43,075

 

 

Taubman Centers Inc.

 

939,919

 

42,757

 

 

Chemical Financial Corp.

 

1,158,073

 

42,397

 

 

White Mountains Insurance Group Ltd.

 

49,068

 

42,085

 

 

Cathay General Bancorp

 

1,248,811

 

41,873

 

 

BancorpSouth Bank

 

1,583,394

 

41,390

 

 

Outfront Media Inc.

 

2,255,493

 

40,870

 

 

Aspen Insurance Holdings Ltd.

 

968,438

 

40,665

 

 

Empire State Realty Trust Inc.

 

2,797,328

 

39,806

 

 

CNO Financial Group Inc.

 

2,668,137

 

39,702

 

 

First Hawaiian Inc.

 

1,750,395

 

39,401

 

 

Investors Bancorp Inc.

 

3,784,666

 

39,361

 

 

Federated Investors Inc. Class B

 

1,465,787

 

38,917

 

 

American Equity Investment Life Holding Co.

 

1,391,553

 

38,880

 

 

Lazard Ltd. Class A

 

1,051,566

 

38,813

 

 

Old National Bancorp

 

2,468,121

 

38,009

 

*

SLM Corp.

 

4,560,742

 

37,900

 

 

Retail Properties of America Inc.

 

3,488,359

 

37,849

 

*

Genworth Financial Inc. Class A

 

8,116,981

 

37,825

 

 

Brandywine Realty Trust

 

2,889,930

 

37,193

 

 

Columbia Property Trust Inc.

 

1,907,333

 

36,907

 

 

GEO Group Inc.

 

1,873,275

 

36,904

 

 

Navient Corp.

 

4,175,406

 

36,785

 

 

Apollo Commercial Real Estate Finance Inc.

 

2,172,002

 

36,186

 

 

First Financial Bancorp

 

1,506,656

 

35,738

 

 

South State Corp.

 

591,174

 

35,441

 

 

Piedmont Office Realty Trust Inc. Class A

 

2,076,960

 

35,391

 

 

Legg Mason Inc.

 

1,385,686

 

35,349

 

 

Washington Federal Inc.

 

1,322,582

 

35,326

 

 

ProAssurance Corp.

 

868,912

 

35,243

 

 

Argo Group International Holdings Ltd.

 

522,107

 

35,112

 

 

BOK Financial Corp.

 

472,278

 

34,632

 

 

CoreCivic Inc.

 

1,922,115

 

34,271

 

 

First Midwest Bancorp Inc.

 

1,723,698

 

34,146

 

 

International Bancshares Corp.

 

963,914

 

33,159

 

 

First Citizens BancShares Inc. Class A

 

87,743

 

33,083

 

 

PotlatchDeltic Corp.

 

1,039,288

 

32,883

 

 

CIT Group Inc.

 

858,126

 

32,840

 

 

Independent Bank Corp.

 

454,881

 

31,983

 

 

Brookfield Property REIT Inc. Class A

 

1,960,576

 

31,565

 

 

Acadia Realty Trust

 

1,319,941

 

31,362

 

 

Xenia Hotels & Resorts Inc.

 

1,822,390

 

31,345

 

 

Tanger Factory Outlet Centers Inc.

 

1,519,846

 

30,731

 

 

Santander Consumer USA Holdings Inc.

 

1,746,685

 

30,724

 

 

WesBanco Inc.

 

836,692

 

30,698

 

 

DiamondRock Hospitality Co.

 

3,367,266

 

30,575

 

 

First BanCorp

 

3,519,753

 

30,270

 

 

42


 

Vanguard® Small-Cap Value Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

Navigators Group Inc.

 

435,066

 

30,233

 

 

Sterling Bancorp

 

1,821,607

 

30,075

 

 

Washington REIT

 

1,290,232

 

29,675

 

*

OneMain Holdings Inc.

 

1,206,200

 

29,299

 

 

Great Western Bancorp Inc.

 

934,320

 

29,197

 

 

Banner Corp.

 

544,620

 

29,126

 

 

Union Bankshares Corp.

 

1,012,710

 

28,589

 

 

Lexington Realty Trust

 

3,436,067

 

28,210

 

^

Realogy Holdings Corp.

 

1,913,851

 

28,095

 

 

Trustmark Corp.

 

978,565

 

27,821

 

 

Capitol Federal Financial Inc.

 

2,172,595

 

27,744

 

 

First Merchants Corp.

 

801,280

 

27,460

 

 

Renasant Corp.

 

902,163

 

27,227

 

 

Mack-Cali Realty Corp.

 

1,388,212

 

27,195

 

*

Enstar Group Ltd.

 

160,145

 

26,835

 

 

LTC Properties Inc.

 

641,530

 

26,739

 

 

Invesco Mortgage Capital Inc.

 

1,808,361

 

26,185

 

 

United Community Banks Inc.

 

1,217,628

 

26,130

 

 

Northwest Bancshares Inc.

 

1,512,226

 

25,617

 

 

Horace Mann Educators Corp.

 

662,178

 

24,799

 

 

SITE Centers Corp.

 

2,239,203

 

24,788

 

 

National General Holdings Corp.

 

997,697

 

24,154

 

 

Sabra Health Care REIT Inc.

 

1,443,149

 

23,783

 

 

Chesapeake Lodging Trust

 

974,211

 

23,722

 

 

Provident Financial Services Inc.

 

977,690

 

23,592

 

 

Hope Bancorp Inc.

 

1,980,311

 

23,486

 

 

Ladder Capital Corp. Class A

 

1,514,798

 

23,434

 

 

Mercury General Corp.

 

448,554

 

23,195

 

 

NBT Bancorp Inc.

 

669,313

 

23,152

 

 

Westamerica Bancorporation

 

410,393

 

22,851

 

 

BGC Partners Inc. Class A

 

4,375,859

 

22,623

 

 

Ares Management Corp.

 

1,234,343

 

21,947

 

 

Waddell & Reed Financial Inc. Class A

 

1,205,186

 

21,790

 

 

Cadence BanCorp Class A

 

1,297,323

 

21,769

 

 

Global Net Lease Inc.

 

1,230,204

 

21,676

 

 

First Interstate BancSystem Inc. Class A

 

585,671

 

21,412

 

 

Colony Credit Real Estate Inc.

 

1,351,150

 

21,335

 

 

Employers Holdings Inc.

 

504,613

 

21,179

 

 

Walker & Dunlop Inc.

 

480,835

 

20,796

 

^

Industrial Logistics Properties Trust

 

1,053,302

 

20,718

 

*

PennyMac Financial Services Inc.

 

974,468

 

20,717

 

 

Hilltop Holdings Inc.

 

1,148,324

 

20,475

 

 

S&T Bancorp Inc.

 

537,997

 

20,358

 

*

Alexander & Baldwin Inc.

 

1,105,912

 

20,327

 

 

Redwood Trust Inc.

 

1,344,210

 

20,257

 

 

Clearway Energy Inc.

 

1,170,110

 

20,184

 

 

First Commonwealth Financial Corp.

 

1,600,301

 

19,332

 

 

Safety Insurance Group Inc.

 

233,841

 

19,131

 

 

United Fire Group Inc.

 

344,772

 

19,118

 

 

Corporate Office Properties Trust

 

880,779

 

18,523

 

 

Artisan Partners Asset Management Inc. Class A

 

830,977

 

18,373

 

 

Park National Corp.

 

214,977

 

18,262

 

*

Cannae Holdings Inc.

 

1,047,679

 

17,936

 

 

Tompkins Financial Corp.

 

233,977

 

17,551

 

 

PennyMac Mortgage Investment Trust

 

936,920

 

17,445

 

 

City Holding Co.

 

256,853

 

17,361

 

*

PRA Group Inc.

 

703,143

 

17,136

 

 

Brookline Bancorp Inc.

 

1,237,171

 

17,098

 

 

American Finance Trust Inc.

 

1,280,240

 

17,053

 

 

Berkshire Hills Bancorp Inc.

 

622,137

 

16,779

 

^

Seritage Growth Properties Class A

 

518,509

 

16,763

 

 

American National Insurance Co.

 

131,567

 

16,741

 

*

FGL Holdings

 

2,329,476

 

15,514

 

 

Getty Realty Corp.

 

527,014

 

15,499

 

 

43


 

Vanguard® Small-Cap Value Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

Beneficial Bancorp Inc.

 

1,083,196

 

15,479

 

 

Piper Jaffray Cos.

 

227,060

 

14,950

 

 

TPG RE Finance Trust Inc.

 

810,780

 

14,821

 

 

BancFirst Corp.

 

294,217

 

14,681

 

 

RPT Realty

 

1,227,902

 

14,673

 

 

Agree Realty Corp.

 

247,809

 

14,650

 

 

Washington Prime Group Inc.

 

3,007,381

 

14,616

 

 

Urban Edge Properties

 

875,668

 

14,554

 

 

Boston Private Financial Holdings Inc.

 

1,359,832

 

14,373

 

*

Cushman & Wakefield plc

 

973,849

 

14,092

 

 

ARMOUR Residential REIT Inc.

 

685,476

 

14,052

 

 

OFG Bancorp

 

829,515

 

13,654

 

 

InfraREIT Inc.

 

646,787

 

13,595

 

 

State Bank Financial Corp.

 

589,334

 

12,724

 

*

Ambac Financial Group Inc.

 

733,530

 

12,646

 

*

Flagstar Bancorp Inc.

 

472,394

 

12,471

 

 

Universal Health Realty Income Trust

 

202,501

 

12,427

 

*

World Acceptance Corp.

 

119,316

 

12,201

 

 

Granite Point Mortgage Trust Inc.

 

668,269

 

12,049

 

*

MBIA Inc.

 

1,316,062

 

11,739

 

*

Columbia Financial Inc.

 

750,390

 

11,473

 

 

American Assets Trust Inc.

 

284,285

 

11,420

 

*,^

Encore Capital Group Inc.

 

480,952

 

11,302

 

^

Government Properties Income Trust

 

1,615,193

 

11,096

 

 

Nelnet Inc. Class A

 

211,570

 

11,074

 

 

Heartland Financial USA Inc.

 

250,572

 

11,013

 

 

Central Pacific Financial Corp.

 

445,200

 

10,841

 

 

National Western Life Group Inc. Class A

 

35,963

 

10,814

 

 

Hersha Hospitality Trust Class A

 

614,589

 

10,780

 

 

Select Income REIT

 

1,441,063

 

10,606

 

 

FBL Financial Group Inc. Class A

 

159,790

 

10,490

 

 

Houlihan Lokey Inc. Class A

 

282,106

 

10,381

 

 

Franklin Street Properties Corp.

 

1,664,144

 

10,368

 

 

Capstead Mortgage Corp.

 

1,467,093

 

9,786

 

 

Clearway Energy Inc. Class A

 

576,625

 

9,756

 

 

iStar Inc.

 

1,059,728

 

9,718

 

 

Saul Centers Inc.

 

202,793

 

9,576

 

 

Investors Real Estate Trust

 

194,963

 

9,567

 

 

State Auto Financial Corp.

 

277,648

 

9,451

 

 

Urstadt Biddle Properties Inc. Class A

 

481,808

 

9,260

 

 

Oritani Financial Corp.

 

619,055

 

9,131

 

 

Northfield Bancorp Inc.

 

669,789

 

9,076

 

 

Virtus Investment Partners Inc.

 

111,586

 

8,863

 

 

Dime Community Bancshares Inc.

 

497,387

 

8,446

 

 

CorePoint Lodging Inc.

 

683,666

 

8,375

 

 

Summit Hotel Properties Inc.

 

859,968

 

8,367

 

 

KKR Real Estate Finance Trust Inc.

 

423,651

 

8,113

 

 

AG Mortgage Investment Trust Inc.

 

468,357

 

7,461

 

 

Anworth Mortgage Asset Corp.

 

1,563,271

 

6,316

 

 

Retail Value Inc.

 

243,496

 

6,231

 

*

Third Point Reinsurance Ltd.

 

645,263

 

6,220

 

^

Pennsylvania REIT

 

1,042,717

 

6,194

 

 

Ashford Hospitality Trust Inc.

 

1,545,578

 

6,182

 

 

Greenhill & Co. Inc.

 

231,945

 

5,659

 

*

Tejon Ranch Co.

 

319,055

 

5,290

 

^

CBL & Associates Properties Inc.

 

2,698,383

 

5,181

 

 

Spirit MTA REIT

 

686,716

 

4,896

 

*

Greenlight Capital Re Ltd. Class A

 

456,570

 

3,936

 

*

EZCORP Inc. Class A

 

385,242

 

2,978

 

*,^

Altisource Portfolio Solutions SA

 

116,985

 

2,631

 

*

Ocwen Financial Corp.

 

890,762

 

1,194

 

 

Associated Capital Group Inc. Class A

 

32,457

 

1,143

 

*

Forestar Group Inc.

 

80,464

 

1,114

 

 

Urstadt Biddle Properties Inc.

 

45,559

 

688

 

 

44


 

Vanguard® Small-Cap Value Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

Focus Financial Partners Inc. Class A

 

3,358

 

88

 

 

Investment Technology Group Inc.

 

2,419

 

73

 

*

MoneyGram International Inc.

 

7,288

 

15

 

 

Maiden Holdings Ltd.

 

456

 

1

 

 

Annaly Capital Management Inc.

 

1

 

 

 

 

 

 

 

8,962,665

 

Health Care (4.3%)

 

 

 

 

 

 

Hill-Rom Holdings Inc.

 

1,090,684

 

96,580

 

 

Encompass Health Corp.

 

1,523,563

 

94,004

 

*

Charles River Laboratories International Inc.

 

779,841

 

88,262

 

 

STERIS plc

 

685,313

 

73,226

 

*

United Therapeutics Corp.

 

671,014

 

73,073

 

*

Sage Therapeutics Inc.

 

721,111

 

69,075

 

*

Molina Healthcare Inc.

 

480,421

 

55,835

 

*

MEDNAX Inc.

 

1,376,326

 

45,419

 

*

Haemonetics Corp.

 

418,773

 

41,898

 

*

Myriad Genetics Inc.

 

1,211,068

 

35,206

 

*

Avanos Medical Inc.

 

767,884

 

34,393

 

*

Loxo Oncology Inc.

 

223,109

 

31,251

 

*

Tenet Healthcare Corp.

 

1,659,697

 

28,447

 

 

CONMED Corp.

 

432,298

 

27,754

 

*

Select Medical Holdings Corp.

 

1,736,147

 

26,650

 

*

Aerie Pharmaceuticals Inc.

 

737,784

 

26,634

 

*

Prestige Consumer Healthcare Inc.

 

837,649

 

25,867

 

 

Patterson Cos. Inc.

 

1,304,966

 

25,656

 

*

Endo International plc

 

3,270,195

 

23,872

 

*

Magellan Health Inc.

 

392,828

 

22,348

 

*

Mallinckrodt plc

 

1,350,352

 

21,336

 

*

AnaptysBio Inc.

 

324,785

 

20,718

 

*,^

Denali Therapeutics Inc.

 

999,660

 

20,653

 

*

Brookdale Senior Living Inc.

 

3,035,960

 

20,341

 

*

Blueprint Medicines Corp.

 

337,937

 

18,218

 

 

National HealthCare Corp.

 

162,235

 

12,727

 

*

Reata Pharmaceuticals Inc. Class A

 

146,035

 

8,193

 

*

Intra-Cellular Therapies Inc.

 

715,374

 

8,148

 

*

Madrigal Pharmaceuticals Inc.

 

69,784

 

7,866

 

*

Varex Imaging Corp.

 

305,999

 

7,246

 

 

Owens & Minor Inc.

 

954,479

 

6,042

 

*

Allogene Therapeutics Inc.

 

196,366

 

5,288

 

*

Akorn Inc.

 

1,545,793

 

5,240

 

*,^

Community Health Systems Inc.

 

1,789,595

 

5,047

 

*

Kiniksa Pharmaceuticals Ltd. Class A

 

178,279

 

5,008

 

*

G1 Therapeutics Inc.

 

223,540

 

4,281

 

*

PDL BioPharma Inc.

 

1,158,372

 

3,359

 

*

American Renal Associates Holdings Inc.

 

216,530

 

2,494

 

*

Surgery Partners Inc.

 

133,986

 

1,312

 

 

Invacare Corp.

 

257,472

 

1,107

 

*,^

Moderna Inc.

 

35,452

 

541

 

*

WellCare Health Plans Inc.

 

753

 

178

 

*

Synergy Pharmaceuticals Inc.

 

1,280,183

 

146

 

 

Ensign Group Inc.

 

1,875

 

73

 

*

Amneal Pharmaceuticals Inc.

 

5,007

 

68

 

 

Chemed Corp.

 

96

 

27

 

*

Guardant Health Inc.

 

91

 

3

 

*

Allakos Inc.

 

56

 

3

 

*

Tricida Inc.

 

91

 

2

 

*

Assertio Therapeutics Inc.

 

418

 

1

 

*

Rubius Therapeutics Inc.

 

76

 

1

 

*

Lannett Co. Inc.

 

210

 

1

 

 

Wright Medical Group Inc. CVR

 

71,097

 

1

 

 

 

 

 

 

1,131,119

 

Industrials (19.9%)

 

 

 

 

 

 

IDEX Corp.

 

1,243,013

 

156,943

 

 

PerkinElmer Inc.

 

1,802,013

 

141,548

 

 

45


 

Vanguard® Small-Cap Value Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

Spirit AeroSystems Holdings Inc. Class A

 

1,726,145

 

124,438

 

 

Allegion plc

 

1,541,747

 

122,893

 

 

Booz Allen Hamilton Holding Corp. Class A

 

2,193,237

 

98,849

 

 

Carlisle Cos. Inc.

 

964,559

 

96,957

 

 

AptarGroup Inc.

 

1,018,318

 

95,793

 

 

Donaldson Co. Inc.

 

2,076,410

 

90,095

 

 

Sonoco Products Co.

 

1,617,769

 

85,952

 

 

Lincoln Electric Holdings Inc.

 

991,498

 

78,180

 

 

MDU Resources Group Inc.

 

3,179,559

 

75,801

 

 

Acuity Brands Inc.

 

649,897

 

74,706

 

 

Oshkosh Corp.

 

1,165,326

 

71,446

 

 

Quanta Services Inc.

 

2,367,994

 

71,277

 

*

Genesee & Wyoming Inc. Class A

 

946,933

 

70,092

 

 

ITT Inc.

 

1,420,094

 

68,548

 

 

Bemis Co. Inc.

 

1,476,641

 

67,778

 

*

AECOM

 

2,534,835

 

67,173

 

 

Curtiss-Wright Corp.

 

638,106

 

65,163

 

 

Avnet Inc.

 

1,803,572

 

65,109

 

 

Crane Co.

 

819,360

 

59,141

 

 

nVent Electric plc

 

2,614,999

 

58,733

 

 

Jabil Inc.

 

2,362,128

 

58,557

 

*

Esterline Technologies Corp.

 

477,997

 

58,053

 

 

MSC Industrial Direct Co. Inc. Class A

 

735,755

 

56,594

 

 

AGCO Corp.

 

1,015,139

 

56,513

 

 

EMCOR Group Inc.

 

933,308

 

55,709

 

*

Stericycle Inc.

 

1,468,586

 

53,882

 

 

Graphic Packaging Holding Co.

 

5,033,371

 

53,555

 

 

EnerSys

 

683,372

 

53,037

 

 

MSA Safety Inc.

 

560,874

 

52,874

 

 

Louisiana-Pacific Corp.

 

2,285,824

 

50,791

 

 

Brink’s Co.

 

779,250

 

50,379

 

*

Generac Holdings Inc.

 

1,005,507

 

49,974

 

 

Regal Beloit Corp.

 

699,473

 

48,998

 

*

Keysight Technologies Inc.

 

756,945

 

46,991

 

 

Tetra Tech Inc.

 

897,079

 

46,442

 

*

Owens-Illinois Inc.

 

2,571,692

 

44,336

 

 

Kennametal Inc.

 

1,330,099

 

44,266

 

*

CoreLogic Inc.

 

1,303,933

 

43,577

 

 

Macquarie Infrastructure Corp.

 

1,180,606

 

43,163

 

 

GATX Corp.

 

609,287

 

43,144

 

 

Barnes Group Inc.

 

789,465

 

42,331

 

 

Timken Co.

 

1,120,563

 

41,819

 

 

Trinity Industries Inc.

 

2,015,150

 

41,492

 

*

FTI Consulting Inc.

 

622,001

 

41,450

 

 

Ryder System Inc.

 

860,383

 

41,427

 

*

MasTec Inc.

 

1,019,924

 

41,368

 

*

Resideo Technologies Inc.

 

1,992,248

 

40,941

 

 

Moog Inc. Class A

 

526,059

 

40,759

 

 

Flowserve Corp.

 

1,060,068

 

40,304

 

*

Integer Holdings Corp.

 

524,825

 

40,023

 

*

Rexnord Corp.

 

1,693,367

 

38,863

 

 

Vishay Intertechnology Inc.

 

2,140,341

 

38,548

 

 

Valmont Industries Inc.

 

339,371

 

37,653

 

*

WESCO International Inc.

 

755,906

 

36,284

 

 

UniFirst Corp.

 

250,045

 

35,774

 

*

Beacon Roofing Supply Inc.

 

1,104,076

 

35,021

 

 

KBR Inc.

 

2,283,200

 

34,659

 

 

Korn/Ferry International

 

875,239

 

34,607

 

 

ABM Industries Inc.

 

1,066,325

 

34,240

 

 

Applied Industrial Technologies Inc.

 

626,159

 

33,775

 

 

Brady Corp. Class A

 

752,484

 

32,703

 

 

ManpowerGroup Inc.

 

500,795

 

32,452

 

 

Otter Tail Corp.

 

640,350

 

31,787

 

*

Conduent Inc.

 

2,909,294

 

30,926

 

 

46


 

Vanguard® Small-Cap Value Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

Silgan Holdings Inc.

 

1,256,934

 

29,689

 

 

Terex Corp.

 

1,073,729

 

29,603

 

*

Kirby Corp.

 

436,494

 

29,402

 

 

Watts Water Technologies Inc. Class A

 

448,790

 

28,960

 

 

Deluxe Corp.

 

749,718

 

28,819

 

 

Belden Inc.

 

652,990

 

27,275

 

 

EVERTEC Inc.

 

942,743

 

27,057

 

 

ESCO Technologies Inc.

 

398,558

 

26,285

 

 

Altra Industrial Motion Corp.

 

1,043,325

 

26,240

 

 

Triton International Ltd.

 

840,972

 

26,129

 

*

Plexus Corp.

 

509,618

 

26,031

 

*

Harsco Corp.

 

1,300,600

 

25,830

 

*

Colfax Corp.

 

1,233,516

 

25,780

 

 

Kaman Corp.

 

452,153

 

25,361

 

*

Sanmina Corp.

 

1,051,512

 

25,299

 

*

Anixter International Inc.

 

460,751

 

25,023

 

 

Universal Forest Products Inc.

 

947,281

 

24,591

 

 

Mobile Mini Inc.

 

723,465

 

22,970

 

 

ManTech International Corp. Class A

 

430,093

 

22,492

 

 

Armstrong World Industries Inc.

 

381,401

 

22,201

 

 

Matson Inc.

 

692,061

 

22,160

 

 

World Fuel Services Corp.

 

1,034,417

 

22,147

 

 

Werner Enterprises Inc.

 

749,410

 

22,138

 

*

Navistar International Corp.

 

806,526

 

20,929

 

 

Greenbrier Cos. Inc.

 

524,694

 

20,746

 

 

Actuant Corp. Class A

 

987,859

 

20,735

 

 

Mueller Industries Inc.

 

886,958

 

20,719

 

*

TriMas Corp.

 

741,005

 

20,222

 

 

AAR Corp.

 

537,965

 

20,088

 

*

SPX FLOW Inc.

 

654,159

 

19,900

 

*

SPX Corp.

 

702,020

 

19,664

 

*

OSI Systems Inc.

 

266,019

 

19,499

 

*

Knowles Corp.

 

1,461,071

 

19,447

 

*

Hub Group Inc. Class A

 

517,621

 

19,188

 

 

McGrath RentCorp

 

371,496

 

19,125

 

*

Huron Consulting Group Inc.

 

366,723

 

18,817

 

 

Rush Enterprises Inc. Class A

 

494,902

 

17,064

 

 

Navigant Consulting Inc.

 

688,783

 

16,565

 

*

Sykes Enterprises Inc.

 

653,661

 

16,165

 

 

Encore Wire Corp.

 

321,355

 

16,126

 

 

Greif Inc. Class A

 

425,088

 

15,775

 

*

Atlas Air Worldwide Holdings Inc.

 

372,735

 

15,726

 

*

Cardtronics plc Class A

 

596,963

 

15,521

 

*

Pluralsight Inc. Class A

 

654,777

 

15,420

 

 

Granite Construction Inc.

 

379,674

 

15,293

 

*

Atkore International Group Inc.

 

760,300

 

15,084

 

 

Benchmark Electronics Inc.

 

706,559

 

14,965

 

 

Boise Cascade Co.

 

626,552

 

14,943

 

 

Aircastle Ltd.

 

863,149

 

14,881

 

*

TTM Technologies Inc.

 

1,508,658

 

14,679

 

*

TrueBlue Inc.

 

651,745

 

14,501

 

 

Standex International Corp.

 

206,090

 

13,845

 

*

Milacron Holdings Corp.

 

1,154,521

 

13,727

 

 

ArcBest Corp.

 

393,499

 

13,481

 

 

Primoris Services Corp.

 

702,981

 

13,448

 

 

Comfort Systems USA Inc.

 

300,282

 

13,116

 

 

AVX Corp.

 

815,996

 

12,444

 

 

Kforce Inc.

 

385,750

 

11,927

 

 

MTS Systems Corp.

 

287,566

 

11,540

 

 

Maxar Technologies Ltd.

 

952,847

 

11,396

 

 

Wabash National Corp.

 

857,124

 

11,211

 

 

H&E Equipment Services Inc.

 

525,018

 

10,721

 

 

Kelly Services Inc. Class A

 

520,553

 

10,661

 

*

Tutor Perini Corp.

 

656,829

 

10,490

 

 

47


 

Vanguard® Small-Cap Value Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

Astec Industries Inc.

 

329,840

 

9,958

 

 

Hyster-Yale Materials Handling Inc.

 

155,913

 

9,660

 

*

Gates Industrial Corp. plc

 

714,736

 

9,463

 

 

Triumph Group Inc.

 

776,860

 

8,934

 

 

Briggs & Stratton Corp.

 

662,750

 

8,669

 

*

Manitowoc Co. Inc.

 

585,149

 

8,643

 

*

Aegion Corp. Class A

 

502,084

 

8,194

 

*

GMS Inc.

 

541,271

 

8,043

 

*

Donnelley Financial Solutions Inc.

 

556,819

 

7,812

 

*

JELD-WEN Holding Inc.

 

541,472

 

7,694

 

*

Verra Mobility Corp.

 

757,057

 

7,389

 

*

Team Inc.

 

492,159

 

7,210

 

*

Wesco Aircraft Holdings Inc.

 

899,137

 

7,103

 

*

CIRCOR International Inc.

 

324,714

 

6,916

 

 

Resources Connection Inc.

 

477,686

 

6,783

 

 

Methode Electronics Inc.

 

283,530

 

6,603

 

 

TTEC Holdings Inc.

 

228,327

 

6,523

 

 

Griffon Corp.

 

620,495

 

6,484

 

 

Quad/Graphics Inc.

 

504,291

 

6,213

 

*

MACOM Technology Solutions Holdings Inc.

 

378,058

 

5,486

 

 

RR Donnelley & Sons Co.

 

1,105,425

 

4,377

 

 

Rush Enterprises Inc. Class B

 

108,219

 

3,853

 

*

International Seaways Inc.

 

182,995

 

3,082

 

 

Park Electrochemical Corp.

 

163,268

 

2,950

 

 

Greif Inc. Class B

 

64,652

 

2,871

 

 

LSC Communications Inc.

 

249,522

 

1,747

 

*

Armstrong Flooring Inc.

 

91,659

 

1,085

 

*

Livent Corp.

 

137

 

2

 

*

Forterra Inc.

 

132

 

1

 

 

 

 

 

 

5,231,680

 

Oil & Gas (3.4%)

 

 

 

 

 

 

EQT Corp.

 

4,124,665

 

77,915

 

 

Murphy Oil Corp.

 

2,662,807

 

62,283

 

 

PBF Energy Inc. Class A

 

1,845,426

 

60,290

 

*

First Solar Inc.

 

1,189,592

 

50,504

 

 

Delek US Holdings Inc.

 

1,327,968

 

43,172

 

 

Range Resources Corp.

 

4,043,616

 

38,697

 

*

Whiting Petroleum Corp.

 

1,473,753

 

33,439

 

*

Equitrans Midstream Corp.

 

1,647,321

 

32,979

 

*

Southwestern Energy Co.

 

9,417,187

 

32,113

 

*,^

Chesapeake Energy Corp.

 

14,061,390

 

29,529

 

 

SM Energy Co.

 

1,815,399

 

28,102

 

 

Ensco plc Class A

 

7,075,976

 

25,191

 

*

CNX Resources Corp.

 

2,143,922

 

24,484

 

*

QEP Resources Inc.

 

3,832,980

 

21,580

 

*

NOW Inc.

 

1,756,192

 

20,442

 

*

Oceaneering International Inc.

 

1,594,069

 

19,288

 

*

Arcosa Inc.

 

671,525

 

18,595

 

 

McDermott International Inc.

 

2,783,250

 

18,202

 

 

SemGroup Corp. Class A

 

1,280,543

 

17,646

 

*

Dril-Quip Inc.

 

578,230

 

17,364

 

*

Rowan Cos. plc Class A

 

2,058,846

 

17,274

 

*

MRC Global Inc.

 

1,387,686

 

16,971

 

 

CVR Energy Inc.

 

487,734

 

16,817

 

 

Archrock Inc.

 

2,094,013

 

15,684

 

*

Oasis Petroleum Inc.

 

2,571,939

 

14,223

 

*

C&J Energy Services Inc.

 

977,334

 

13,194

 

*

Denbury Resources Inc.

 

7,540,048

 

12,894

 

*

Helix Energy Solutions Group Inc.

 

2,303,449

 

12,462

 

*

Oil States International Inc.

 

869,385

 

12,415

 

*

Unit Corp.

 

828,605

 

11,833

 

 

Nabors Industries Ltd.

 

5,560,051

 

11,120

 

*

Noble Corp. plc

 

4,044,722

 

10,597

 

*,^

Diamond Offshore Drilling Inc.

 

996,931

 

9,411

 

 

48


 

Vanguard® Small-Cap Value Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

*

Superior Energy Services Inc.

 

2,538,056

 

8,503

 

*

ProPetro Holding Corp.

 

684,179

 

8,429

 

*

Gulfport Energy Corp.

 

1,190,675

 

7,799

 

*

KLX Energy Services Holdings Inc.

 

295,074

 

6,920

 

*,^

SunPower Corp. Class A

 

1,048,470

 

5,211

 

*

Exterran Corp.

 

246,557

 

4,364

 

 

Green Plains Inc.

 

325,510

 

4,267

 

*

Roan Resources Inc.

 

302,191

 

2,532

 

 

Berry Petroleum Corp.

 

207,730

 

1,818

 

*,^

Covia Holdings Corp.

 

335,567

 

1,148

 

*

Alta Mesa Resources Inc. Class A

 

680,944

 

681

 

*

EP Energy Corp. Class A

 

409,061

 

286

 

*

Magnolia Oil & Gas Corp.

 

6,784

 

76

 

 

Helmerich & Payne Inc.

 

360

 

17

 

*

TETRA Technologies Inc.

 

798

 

1

 

 

 

 

 

 

898,762

 

Other (0.0%)2

 

 

 

 

 

*,§

Herbalife Ltd. CVR

 

147,396

 

1,430

 

*,§

A Schulman Inc. CVR

 

420,351

 

803

 

*,§

Clinical Data CVR

 

62,138

 

 

 

 

 

 

 

2,233

 

Technology (6.6%)

 

 

 

 

 

 

Leidos Holdings Inc.

 

2,428,295

 

128,020

 

*

ON Semiconductor Corp.

 

6,824,504

 

112,673

 

 

Teradyne Inc.

 

2,906,118

 

91,194

 

*

ARRIS International plc

 

2,677,486

 

81,851

 

 

Cypress Semiconductor Corp.

 

5,866,893

 

74,627

 

*

Teradata Corp.

 

1,915,780

 

73,489

 

*

Nuance Communications Inc.

 

4,661,653

 

61,674

 

*

CACI International Inc. Class A

 

402,996

 

58,044

 

 

SYNNEX Corp.

 

663,497

 

53,637

 

*

CommScope Holding Co. Inc.

 

3,114,180

 

51,041

 

*

Tech Data Corp.

 

621,597

 

50,853

 

*

Semtech Corp.

 

1,066,843

 

48,936

 

*

Verint Systems Inc.

 

1,050,460

 

44,445

 

*

NCR Corp.

 

1,915,267

 

44,204

 

 

Science Applications International Corp.

 

688,357

 

43,848

 

 

Cabot Microelectronics Corp.

 

440,575

 

42,009

 

*

Finisar Corp.

 

1,901,563

 

41,074

 

 

Perspecta Inc.

 

2,264,853

 

39,001

 

*

Premier Inc. Class A

 

1,032,111

 

38,549

 

*

Viavi Solutions Inc.

 

3,700,787

 

37,193

 

*

Cirrus Logic Inc.

 

969,654

 

32,173

 

*

EchoStar Corp. Class A

 

785,802

 

28,855

 

*

NetScout Systems Inc.

 

1,194,922

 

28,236

 

*

Avaya Holdings Corp.

 

1,781,337

 

25,936

 

 

Progress Software Corp.

 

726,674

 

25,790

 

*

NETGEAR Inc.

 

485,824

 

25,277

 

*

Insight Enterprises Inc.

 

573,578

 

23,373

 

*

Synaptics Inc.

 

560,762

 

20,866

 

*

Blucora Inc.

 

738,392

 

19,671

 

*,^

MongoDB Inc.

 

216,636

 

18,141

 

 

TiVo Corp.

 

1,917,571

 

18,044

 

 

Pitney Bowes Inc.

 

3,039,083

 

17,961

 

*

Electronics For Imaging Inc.

 

710,178

 

17,612

 

 

CSG Systems International Inc.

 

537,718

 

17,083

 

*

Zuora Inc. Class A

 

892,031

 

16,182

 

*

Pivotal Software Inc. Class A

 

928,379

 

15,179

 

 

Xperi Corp.

 

781,122

 

14,365

 

*

ScanSource Inc.

 

412,804

 

14,192

 

*

Rambus Inc.

 

1,749,170

 

13,416

 

*

Yext Inc.

 

876,571

 

13,017

 

*

NextGen Healthcare Inc.

 

836,139

 

12,668

 

*,^

Appian Corp. Class A

 

411,008

 

10,978

 

 

49


 

Vanguard® Small-Cap Value Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Shares

 

Market
Value
($000

)

 

Monotype Imaging Holdings Inc.

 

637,360

 

9,892

 

*,^

Unisys Corp.

 

835,197

 

9,713

 

*

Amkor Technology Inc.

 

1,354,436

 

8,885

 

*

FormFactor Inc.

 

608,539

 

8,574

 

 

ADTRAN Inc.

 

781,119

 

8,389

 

 

Presidio Inc.

 

609,183

 

7,950

 

*

Casa Systems Inc.

 

402,115

 

5,280

 

*,^

Avalara Inc.

 

164,579

 

5,127

 

*,^

Elastic NV

 

57,755

 

4,128

 

*

SVMK Inc.

 

303,450

 

3,723

 

 

Systemax Inc.

 

124,804

 

2,982

 

 

Computer Programs & Systems Inc.

 

113,557

 

2,850

 

*

Ribbon Communications Inc.

 

465,109

 

2,242

 

^

Diebold Nixdorf Inc.

 

601,302

 

1,497

 

*

Okta Inc.

 

1,674

 

107

 

*

Anaplan Inc.

 

2,745

 

73

 

*,^

Eventbrite Inc. Class A

 

2,269

 

63

 

*

Cloudera Inc.

 

742

 

8

 

 

Plantronics Inc.

 

210

 

7

 

*

Carbon Black Inc.

 

53

 

1

 

*

salesforce.com Inc.

 

2

 

 

 

 

 

 

 

1,726,868

 

Telecommunications (0.7%)

 

 

 

 

 

 

Telephone & Data Systems Inc.

 

1,539,528

 

50,096

 

*

Vonage Holdings Corp.

 

3,488,803

 

30,457

 

*

Intelsat SA

 

1,331,122

 

28,473

 

*

Iridium Communications Inc.

 

1,534,589

 

28,313

 

*

United States Cellular Corp.

 

257,927

 

13,404

 

*

8x8 Inc.

 

731,520

 

13,197

 

 

Consolidated Communications Holdings Inc.

 

1,107,070

 

10,938

 

*,^

Frontier Communications Corp.

 

1,755,370

 

4,178

 

 

 

 

 

 

179,056

 

Utilities (6.1%)

 

 

 

 

 

 

Atmos Energy Corp.

 

1,809,845

 

167,809

 

 

UGI Corp.

 

2,824,315

 

150,677

 

 

Aqua America Inc.

 

2,884,073

 

98,607

 

 

Vectren Corp.

 

1,349,070

 

97,106

 

 

NRG Energy Inc.

 

2,232,733

 

88,416

 

 

IDACORP Inc.

 

817,550

 

76,081

 

 

National Fuel Gas Co.

 

1,367,247

 

69,976

 

 

ONE Gas Inc.

 

853,839

 

67,966

 

 

Portland General Electric Co.

 

1,447,711

 

66,378

 

 

New Jersey Resources Corp.

 

1,435,320

 

65,551

 

 

Hawaiian Electric Industries Inc.

 

1,766,727

 

64,698

 

 

ALLETE Inc.

 

833,734

 

63,547

 

 

Southwest Gas Holdings Inc.

 

805,311

 

61,606

 

 

Black Hills Corp.

 

972,887

 

61,078

 

 

Spire Inc.

 

781,794

 

57,915

 

 

PNM Resources Inc.

 

1,291,079

 

53,050

 

 

NorthWestern Corp.

 

816,153

 

48,512

 

 

Avista Corp.

 

1,066,065

 

45,286

 

 

American States Water Co.

 

595,543

 

39,925

 

 

South Jersey Industries Inc.

 

1,386,234

 

38,537

 

 

California Water Service Group

 

777,499

 

37,056

 

 

MGE Energy Inc.

 

560,374

 

33,600

 

 

El Paso Electric Co.

 

659,185

 

33,045

 

 

Northwest Natural Holding Co.

 

467,014

 

28,236

 

*

Vistra Energy Corp.

 

5,810

 

133

 

 

SCANA Corp.

 

2,618

 

125

 

 

 

 

 

 

1,614,916

 

Total Common Stocks (Cost $25,819,893)

 

 

 

26,226,663

 

 

50


 

Vanguard® Small-Cap Value Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Coupon

 

 

 

Shares

 

Market
Value
($000

)

Temporary Cash Investments (0.8%)1

 

 

 

 

 

 

 

 

 

Money Market Fund (0.8%)

 

 

 

 

 

 

 

 

 

3,4

Vanguard Market Liquidity Fund

 

2.530%

 

 

 

2,057,210

 

205,721

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Maturity
Date

 

Face
Amount
($000

)

 

 

U.S. Government and Agency Obligations (0.0%)

 

 

 

 

 

 

 

5

United States Treasury Bill

 

2.439%

 

4/11/19

 

1,500

 

1,490

 

5

United States Treasury Bill

 

2.497%

 

5/23/19

 

3,000

 

2,972

 

 

 

 

 

 

 

 

 

 

4,462

 

Total Temporary Cash Investments (Cost $210,161)

 

 

 

 

 

210,183

 

Total Investments (100.5%) (Cost $26,030,054)

 

 

 

 

 

 

 

26,436,846

 

Other Assets and Liabilities—Net (-0.5%)4,6

 

 

 

 

 

 

 

(132,120

)

Net Assets (100%)

 

 

 

 

 

 

 

26,304,726

 

 

*

Non-income-producing security.

^

Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $119,085,000.

§

Security value determined using significant unobservable inputs.

1

The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts and swap contracts. After giving effect to futures and swap investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 0.5%, respectively, of net assets.

2

“Other” represents securities that are not classified by the fund’s benchmark index.

3

Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.

4

Includes $136,133,000 of collateral received for securities on loan.

5

Securities with a value of $3,617,000 have been segregated as initial margin for open futures contracts.

6

Cash of $190,000 has been segregated as collateral for open over-the-counter swap contracts.

 

CVR—Contingent Value Rights.

 

REIT—Real Estate Investment Trust.

 

51


 

 

© 2019 The Vanguard Group, Inc.

All rights reserved.

Vanguard Marketing Corporation, Distributor.

 

SNA480 022019

 


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

Common Stocks (99.0%)1

 

 

Communication Services (4.9%)

 

 

*

T-Mobile US Inc.

4,306,485

273,936

*

IAC/InterActiveCorp

1,067,330

195,364

*

Liberty Global plc

8,381,998

173,004

*

Liberty Broadband Corp.

2,056,014

148,095

*,^

Sirius XM Holdings Inc.

17,623,348

100,629

*

Live Nation Entertainment Inc.

1,893,909

93,275

*

Liberty Media Corp-Liberty Formula One

2,796,548

85,854

*

Liberty Media Corp-Liberty SiriusXM Class C

2,256,126

83,432

*

Zayo Group Holdings Inc.

2,784,812

63,605

*

Madison Square Garden Co. Class A

237,539

63,589

*

Liberty Global plc Class A

2,619,993

55,911

*

GCI Liberty Inc. Class A

1,351,849

55,642

 

Cable One Inc.

66,936

54,894

*,^

Zillow Group Inc.

1,685,016

53,213

*,^

Snap Inc.

9,557,754

52,663

 

Cinemark Holdings Inc.

1,455,963

52,124

 

Tribune Media Co. Class A

1,106,238

50,201

 

Nexstar Media Group Inc. Class A

624,164

49,084

*

Sprint Corp.

7,809,159

45,449

 

World Wrestling Entertainment Inc. Class A

594,077

44,389

 

New York Times Co. Class A

1,934,121

43,112

*

Zynga Inc. Class A

10,655,193

41,875

 

Telephone & Data Systems Inc.

1,276,501

41,537

*

Liberty Media Corp-Liberty SiriusXM Class A

1,061,693

39,070

*

Yelp Inc. Class A

1,048,335

36,681

*

AMC Networks Inc. Class A

615,813

33,796

 

TEGNA Inc.

2,952,692

32,096

^

Match Group Inc.

721,581

30,862

 

John Wiley & Sons Inc. Class A

634,776

29,815

*

Pandora Media Inc.

3,684,026

29,804

 

Meredith Corp.

546,412

28,381

 

Shenandoah Telecommunications Co.

633,678

28,040

*

Liberty Broadband Corp. Class A

387,939

27,858

 

Altice USA Inc. Class A

1,647,769

27,221

*

Vonage Holdings Corp.

3,020,760

26,371

 

Cogent Communications Holdings Inc.

574,136

25,957

 

Sinclair Broadcast Group Inc. Class A

984,182

25,923

*

Iridium Communications Inc.

1,327,364

24,490

*

Liberty Latin America Ltd.

1,634,966

23,822

 

Lions Gate Entertainment Corp. Class B

1,555,956

23,153

*

MSG Networks Inc.

845,833

19,928

*

Cars.com Inc.

873,884

18,789

*

Zillow Group Inc. Class A

577,116

18,139

*

Liberty TripAdvisor Holdings Inc. Class A

990,656

15,742

*

Gray Television Inc.

1,060,299

15,629

 

Scholastic Corp.

387,292

15,592

*

Cargurus Inc.

454,057

15,315

 

Gannett Co. Inc.

1,557,783

13,288

*

Liberty Media Corp-Liberty Braves

516,489

12,855

 

EW Scripps Co. Class A

784,640

12,342

*

ANGI Homeservices Inc. Class A

765,948

12,309

*

Glu Mobile Inc.

1,515,839

12,233

*

Boingo Wireless Inc.

587,422

12,083

 

Marcus Corp.

274,059

10,825

 

ATN International Inc.

151,056

10,805

 

Lions Gate Entertainment Corp. Class A

661,497

10,650

*

TrueCar Inc.

1,152,569

10,442

*

United States Cellular Corp.

199,638

10,375

*

Liberty Media Corp-Liberty Formula One Class A

338,833

10,070

 

Entercom Communications Corp. Class A

1,694,698

9,677

 

Consolidated Communications Holdings Inc.

973,715

9,620

 

1


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

ORBCOMM Inc.

1,081,978

8,937

*

comScore Inc.

614,130

8,862

 

AMC Entertainment Holdings Inc. Class A

718,165

8,819

*

Liberty Latin America Ltd. Class A

604,224

8,749

 

New Media Investment Group Inc.

750,122

8,679

*

QuinStreet Inc.

524,700

8,516

*

Care.com Inc.

359,806

6,948

*

Loral Space & Communications Inc.

177,237

6,602

*,^

NII Holdings Inc.

1,368,334

6,034

*,^

Globalstar Inc.

8,736,125

5,589

 

National CineMedia Inc.

860,593

5,577

*

Cincinnati Bell Inc.

691,024

5,376

*

pdvWireless Inc.

129,264

4,833

*

Meet Group Inc.

1,012,259

4,687

*

Rosetta Stone Inc.

271,887

4,459

*,^

Eventbrite Inc. Class A

156,605

4,355

 

Emerald Expositions Events Inc.

352,733

4,353

*

Central European Media Enterprises Ltd. Class A

1,431,135

3,979

*

TechTarget Inc.

310,707

3,794

*,^

Frontier Communications Corp.

1,419,570

3,379

*

Tribune Publishing Co.

296,173

3,359

 

Spok Holdings Inc.

250,903

3,327

*

Bandwidth Inc. Class A

78,091

3,182

*

Ooma Inc.

229,018

3,179

*,^

Daily Journal Corp.

13,381

3,131

*

Reading International Inc. Class A

213,227

3,100

 

Entravision Communications Corp. Class A

981,092

2,855

 

Clear Channel Outdoor Holdings Inc. Class A

547,129

2,840

*

Liberty Media Corp-Liberty Braves Class A

111,679

2,785

*

WideOpenWest Inc.

387,481

2,763

*,^

Boston Omaha Corp. Class A

114,897

2,689

*

Hemisphere Media Group Inc. Class A

192,859

2,341

*,^

Gogo Inc.

740,937

2,215

 

Saga Communications Inc. Class A

60,105

1,997

*

Fluent Inc.

517,705

1,864

*,^

Global Eagle Entertainment Inc.

811,036

1,809

 

IDT Corp. Class B

290,746

1,800

*

Lee Enterprises Inc.

650,569

1,373

*

Cardlytics Inc.

125,919

1,364

*,^

Pareteum Corp.

774,194

1,308

*,^

LiveXLive Media Inc.

255,400

1,264

 

Windstream Holdings Inc.

575,665

1,203

*

DHI Group Inc.

658,744

1,001

 

Marchex Inc. Class B

361,485

958

*

Alaska Communications Systems Group Inc.

539,199

776

*

Travelzoo

75,549

743

 

AH Belo Corp. Class A

209,330

705

 

Townsquare Media Inc. Class A

132,690

541

*

AutoWeb Inc.

151,988

464

 

Beasley Broadcast Group Inc. Class A

110,510

414

*

Urban One Inc.

239,794

386

^

Chicken Soup For The Soul Entertainment Inc.

49,094

369

*

Level Brands Inc.

111,910

346

 

Salem Media Group Inc. Class A

117,723

246

*

Ballantyne Strong Inc.

208,983

240

*

Otelco Inc. Class A

13,014

210

*,^

EverQuote Inc. Class A

50,045

209

*

Zedge Inc. Class B

78,380

192

*

Insignia Systems Inc.

125,777

187

*,^

Social Reality Inc.

74,416

152

*

Emmis Communications Corp. Class A

39,266

125

*

McClatchy Co. Class A

12,230

94

*,^

IZEA Worldwide Inc.

92,728

91

 

Harte-Hanks Inc.

32,072

78

 

2


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Dolphin Entertainment Inc.

99,800

77

 

John Wiley & Sons Inc. Class B

1,480

69

*

Cinedigm Corp. Class A

112,137

61

*,^

One Horizon Group Inc.

576,312

52

*

SPAR Group Inc.

80,427

40

*

NTN Buzztime Inc.

16,227

32

*,^

Professional Diversity Network Inc.

21,000

21

*,^

Glowpoint Inc.

89,200

11

*

Xcel Brands Inc.

6,863

8

*,^

Urban One Inc. Class A

2,500

5

*,^

Alliance MMA Inc.

29,830

5

 

 

 

2,874,108

Consumer Discretionary (11.9%)

 

 

*,^

Tesla Inc.

1,858,936

618,654

 

Las Vegas Sands Corp.

5,056,260

263,178

*

Lululemon Athletica Inc.

1,447,182

175,992

*

Burlington Stores Inc.

924,714

150,423

 

Domino’s Pizza Inc.

570,934

141,586

 

Vail Resorts Inc.

553,456

116,680

*

NVR Inc.

46,618

113,608

*

Qurate Retail Group Inc. QVC Group Class A

5,770,641

112,643

 

Lear Corp.

880,255

108,148

 

Service Corp. International

2,479,239

99,814

 

Aramark

3,373,705

97,736

*

GrubHub Inc.

1,245,109

95,637

*

Bright Horizons Family Solutions Inc.

801,739

89,354

^

Autoliv Inc.

1,193,469

83,817

 

Pool Corp.

550,478

81,829

*

Etsy Inc.

1,654,338

78,697

*

Five Below Inc.

765,079

78,283

*,^

Wayfair Inc.

848,767

76,457

 

Gentex Corp.

3,597,653

72,709

 

Dunkin’ Brands Group Inc.

1,132,312

72,604

*

ServiceMaster Global Holdings Inc.

1,859,661

68,324

*

Planet Fitness Inc. Class A

1,206,892

64,714

*

Grand Canyon Education Inc.

658,644

63,322

 

Wyndham Hotels & Resorts Inc.

1,357,155

61,574

 

Toll Brothers Inc.

1,856,358

61,130

 

Polaris Industries Inc.

793,755

60,865

^

Williams-Sonoma Inc.

1,096,619

55,324

 

Brunswick Corp.

1,183,160

54,958

 

Six Flags Entertainment Corp.

983,948

54,737

 

Texas Roadhouse Inc. Class A

913,245

54,521

*,^

Caesars Entertainment Corp.

7,977,352

54,166

 

Cracker Barrel Old Country Store Inc.

329,106

52,611

 

Carter’s Inc.

627,904

51,250

*

Deckers Outdoor Corp.

398,512

50,990

 

Wyndham Destinations Inc.

1,332,226

47,747

*

Helen of Troy Ltd.

361,506

47,422

*

Ollie’s Bargain Outlet Holdings Inc.

705,575

46,928

 

American Eagle Outfitters Inc.

2,309,007

44,633

*

Skechers U.S.A. Inc. Class A

1,836,876

42,046

 

Wolverine World Wide Inc.

1,297,735

41,385

*

Chegg Inc.

1,418,673

40,319

 

Churchill Downs Inc.

164,165

40,046

 

Wendy’s Co.

2,560,434

39,968

 

Extended Stay America Inc.

2,575,364

39,918

 

Aaron’s Inc.

941,127

39,574

 

Hyatt Hotels Corp. Class A

584,644

39,522

 

Marriott Vacations Worldwide Corp.

560,096

39,492

 

Graham Holdings Co. Class B

59,777

38,292

*

Adtalem Global Education Inc.

805,202

38,102

*

Stamps.com Inc.

233,827

36,393

*

Dorman Products Inc.

400,016

36,009

 

3


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Thor Industries Inc.

686,768

35,712

*

Hilton Grand Vacations Inc.

1,331,520

35,139

*

Urban Outfitters Inc.

1,032,363

34,274

 

Columbia Sportswear Co.

407,129

34,235

 

Choice Hotels International Inc.

470,824

33,702

 

Strategic Education Inc.

295,834

33,553

 

Steven Madden Ltd.

1,089,556

32,970

*

Eldorado Resorts Inc.

892,742

32,326

*,^

iRobot Corp.

379,445

31,775

 

Dick’s Sporting Goods Inc.

1,011,389

31,555

*

Murphy USA Inc.

410,112

31,431

 

Monro Inc.

453,166

31,155

*,^

RH

256,703

30,758

*

Belmond Ltd. Class A

1,227,906

30,734

*

Fox Factory Holding Corp.

520,664

30,651

*

Liberty Expedia Holdings Inc. Class A

747,127

29,220

*,^

Veoneer Inc.

1,198,880

28,258

*

AutoNation Inc.

789,279

28,177

*

Sally Beauty Holdings Inc.

1,647,867

28,096

*

Penn National Gaming Inc.

1,484,996

27,962

 

Jack in the Box Inc.

351,507

27,287

 

Dana Inc.

1,984,251

27,045

*,^

Tempur Sealy International Inc.

628,032

26,001

 

Wingstop Inc.

400,648

25,718

*

Taylor Morrison Home Corp. Class A

1,604,984

25,519

*

National Vision Holdings Inc.

888,592

25,032

 

Cheesecake Factory Inc.

571,599

24,870

*

frontdoor Inc.

928,270

24,701

*

Visteon Corp.

406,608

24,510

*

Crocs Inc.

914,503

23,759

 

Dave & Buster’s Entertainment Inc.

529,094

23,576

 

Lithia Motors Inc. Class A

307,753

23,491

 

LCI Industries

347,797

23,233

 

Brinker International Inc.

527,631

23,205

 

DSW Inc. Class A

931,644

23,012

 

Boyd Gaming Corp.

1,106,561

22,994

 

Bloomin’ Brands Inc.

1,262,663

22,589

 

Signet Jewelers Ltd.

710,224

22,564

 

KB Home

1,179,800

22,534

 

Cooper Tire & Rubber Co.

686,132

22,183

*

TopBuild Corp.

486,671

21,900

 

Bed Bath & Beyond Inc.

1,892,298

21,421

*

TRI Pointe Group Inc.

1,937,395

21,176

*

Roku Inc.

686,564

21,036

 

Tupperware Brands Corp.

665,336

21,005

*

Weight Watchers International Inc.

529,807

20,424

*

SeaWorld Entertainment Inc.

923,467

20,399

*

Floor & Decor Holdings Inc. Class A

786,631

20,374

 

Penske Automotive Group Inc.

499,776

20,151

 

Children’s Place Inc.

221,713

19,974

 

Red Rock Resorts Inc. Class A

958,835

19,474

 

Office Depot Inc.

7,521,621

19,406

*

Gentherm Inc.

480,928

19,228

 

Tenneco Inc. Class A

692,006

18,954

*

Sotheby’s

476,444

18,934

*

Meritage Homes Corp.

513,828

18,868

 

Callaway Golf Co.

1,215,490

18,597

*

Shutterfly Inc.

460,340

18,533

 

Abercrombie & Fitch Co.

902,901

18,103

 

Adient plc

1,197,239

18,030

*

Groupon Inc. Class A

5,631,762

18,022

 

La-Z-Boy Inc.

647,215

17,934

*

Asbury Automotive Group Inc.

269,034

17,934

 

Nutrisystem Inc.

402,878

17,678

 

4


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

GameStop Corp. Class A

1,400,206

17,671

 

MDC Holdings Inc.

618,837

17,396

 

Delphi Technologies plc

1,212,873

17,368

*

American Axle & Manufacturing Holdings Inc.

1,537,743

17,069

 

Oxford Industries Inc.

236,200

16,780

 

Caleres Inc.

599,217

16,676

*

Michaels Cos. Inc.

1,231,188

16,670

 

Dine Brands Global Inc.

243,875

16,423

 

Guess? Inc.

784,491

16,294

*

G-III Apparel Group Ltd.

574,440

16,021

*

Shake Shack Inc. Class A

352,725

16,021

 

Big Lots Inc.

548,998

15,877

^

Dillard’s Inc. Class A

254,233

15,333

*

Cavco Industries Inc.

117,492

15,319

 

International Speedway Corp. Class A

340,900

14,952

 

BJ’s Restaurants Inc.

290,621

14,697

 

Core-Mark Holding Co. Inc.

628,947

14,623

*,^

Carvana Co. Class A

446,053

14,590

*

Sleep Number Corp.

453,673

14,395

*

Cooper-Standard Holdings Inc.

226,610

14,077

*

Denny’s Corp.

867,930

14,069

*

Laureate Education Inc. Class A

915,313

13,949

*

Scientific Games Corp.

752,637

13,457

 

Standard Motor Products Inc.

275,121

13,324

 

Group 1 Automotive Inc.

249,030

13,129

 

Sturm Ruger & Co. Inc.

239,861

12,765

*

K12 Inc.

514,435

12,753

*

Houghton Mifflin Harcourt Co.

1,420,826

12,589

*

Garrett Motion Inc.

1,016,227

12,540

 

Papa John’s International Inc.

307,868

12,256

*

Genesco Inc.

275,914

12,223

*

Quotient Technology Inc.

1,094,886

11,693

*,^

LGI Homes Inc.

255,031

11,533

*

Career Education Corp.

961,657

10,982

*

Installed Building Products Inc.

303,841

10,236

 

Acushnet Holdings Corp.

475,509

10,019

*

Malibu Boats Inc. Class A

284,883

9,914

*

Fossil Group Inc.

625,158

9,834

 

Chico’s FAS Inc.

1,745,240

9,808

*

Rent-A-Center Inc.

604,358

9,785

 

Winnebago Industries Inc.

397,505

9,624

*

American Outdoor Brands Corp.

743,465

9,561

 

Tailored Brands Inc.

685,227

9,346

 

Shutterstock Inc.

256,683

9,243

*

Stoneridge Inc.

373,188

9,199

 

Ruth’s Hospitality Group Inc.

403,791

9,178

*

Vista Outdoor Inc.

796,367

9,039

*

M/I Homes Inc.

394,450

8,291

*

Regis Corp.

471,233

7,987

*

Party City Holdco Inc.

786,545

7,850

 

Skyline Champion Corp.

529,153

7,773

*

Modine Manufacturing Co.

704,745

7,618

^

Buckle Inc.

392,745

7,596

*

PlayAGS Inc.

317,641

7,306

 

Movado Group Inc.

226,728

7,169

 

Tower International Inc.

290,472

6,913

*

At Home Group Inc.

370,222

6,908

*,^

GoPro Inc. Class A

1,551,220

6,577

^

PetMed Express Inc.

282,238

6,565

*

Boot Barn Holdings Inc.

385,123

6,559

*

Century Communities Inc.

371,958

6,420

*

America’s Car-Mart Inc.

88,380

6,403

*

Conn’s Inc.

338,101

6,377

*

Monarch Casino & Resort Inc.

165,656

6,318

 

5


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

American Public Education Inc.

220,798

6,284

 

Ethan Allen Interiors Inc.

344,541

6,060

*

Ascena Retail Group Inc.

2,377,298

5,967

*

MarineMax Inc.

311,304

5,700

*

Playa Hotels & Resorts NV

775,802

5,578

 

Barnes & Noble Inc.

782,001

5,544

 

BBX Capital Corp. Class A

944,079

5,410

*,^

Stitch Fix Inc. Class A

307,582

5,257

 

Winmark Corp.

33,028

5,251

*

Lindblad Expeditions Holdings Inc.

388,043

5,223

^

Camping World Holdings Inc. Class A

450,196

5,164

*

Del Taco Restaurants Inc.

515,439

5,149

*

Express Inc.

997,578

5,098

*

Fiesta Restaurant Group Inc.

325,225

5,044

 

Haverty Furniture Cos. Inc.

267,613

5,026

*

Universal Electronics Inc.

195,913

4,953

*

Zumiez Inc.

257,205

4,931

 

Johnson Outdoors Inc. Class A

82,982

4,874

*

El Pollo Loco Holdings Inc.

321,059

4,870

*

William Lyon Homes Class A

451,268

4,824

 

Shoe Carnival Inc.

142,827

4,786

*

MasterCraft Boat Holdings Inc.

255,111

4,771

*

Carrols Restaurant Group Inc.

482,487

4,748

*

Red Robin Gourmet Burgers Inc.

177,477

4,742

 

Cato Corp. Class A

326,876

4,665

*,^

JC Penney Co. Inc.

4,403,145

4,579

 

Sonic Automotive Inc. Class A

331,232

4,558

*

Beazer Homes USA Inc.

480,381

4,554

*

Unifi Inc.

198,437

4,532

*

Nautilus Inc.

409,593

4,465

 

Hooker Furniture Corp.

166,500

4,386

*

Motorcar Parts of America Inc.

262,276

4,364

*

Golden Entertainment Inc.

267,267

4,282

*

Chuy’s Holdings Inc.

240,057

4,259

*

1-800-Flowers.com Inc. Class A

344,158

4,209

*,^

Overstock.com Inc.

308,947

4,196

*

Bojangles’ Inc.

249,124

4,006

*

ZAGG Inc.

405,667

3,967

*,^

Noodles & Co. Class A

554,867

3,879

*

Hibbett Sports Inc.

264,843

3,787

*

Lumber Liquidators Holdings Inc.

388,982

3,703

 

Speedway Motorsports Inc.

218,818

3,560

 

Citi Trends Inc.

171,007

3,487

*,^

Duluth Holdings Inc.

135,821

3,427

 

Clarus Corp.

331,237

3,352

*

Drive Shack Inc.

851,296

3,337

*,^

Lands’ End Inc.

227,801

3,237

 

Carriage Services Inc. Class A

207,940

3,223

 

Tilly’s Inc. Class A

290,537

3,155

*

Habit Restaurants Inc. Class A

299,701

3,147

*

YETI Holdings Inc.

206,000

3,057

 

Tile Shop Holdings Inc.

550,922

3,019

*

Potbelly Corp.

365,281

2,941

 

Bassett Furniture Industries Inc.

144,743

2,901

*

Century Casinos Inc.

389,890

2,881

*

Del Frisco’s Restaurant Group Inc.

396,219

2,833

 

RCI Hospitality Holdings Inc.

121,812

2,720

*,^

GNC Holdings Inc. Class A

1,140,072

2,702

 

Culp Inc.

142,664

2,696

 

Nathan’s Famous Inc.

39,865

2,649

*

Liquidity Services Inc.

426,019

2,629

*

Vera Bradley Inc.

305,246

2,616

*

Bridgepoint Education Inc. Class A

371,079

2,601

 

Rocky Brands Inc.

99,344

2,583

 

6


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Flexsteel Industries Inc.

116,192

2,566

*

Red Lion Hotels Corp.

305,689

2,507

*

Green Brick Partners Inc.

329,614

2,386

*

Sportsman’s Warehouse Holdings Inc.

529,933

2,321

*

Town Sports International Holdings Inc.

362,119

2,318

*

Barnes & Noble Education Inc.

534,546

2,144

*

Kirkland’s Inc.

222,422

2,120

 

Weyco Group Inc.

71,804

2,095

 

Marine Products Corp.

122,505

2,072

 

Superior Group of Cos. Inc.

116,940

2,064

*

Funko Inc. Class A

145,658

1,915

*,^

Sonos Inc.

190,780

1,873

*

Lovesac Co.

80,380

1,844

 

Hamilton Beach Brands Holding Co. Class A

75,416

1,769

*

Biglari Holdings Inc. Class B

15,491

1,759

*,^

Gaia Inc. Class A

168,153

1,742

 

Superior Industries International Inc.

326,845

1,572

 

Lifetime Brands Inc.

154,073

1,545

 

Escalade Inc.

128,577

1,472

*,^

Vuzix Corp.

305,008

1,467

*

Leaf Group Ltd.

213,647

1,463

*

J Alexander’s Holdings Inc.

174,977

1,440

*,^

Turtle Beach Corp.

100,041

1,428

*

VOXX International Corp. Class A

344,908

1,366

*

Delta Apparel Inc.

79,196

1,365

 

Libbey Inc.

350,433

1,360

 

Collectors Universe Inc.

117,632

1,336

*

Hovnanian Enterprises Inc. Class A

1,930,021

1,320

*

Shiloh Industries Inc.

207,670

1,211

 

Strattec Security Corp.

41,856

1,205

*

Container Store Group Inc.

244,308

1,165

*,^

Tuesday Morning Corp.

679,825

1,156

*

RTW RetailWinds Inc.

404,818

1,146

*

Vitamin Shoppe Inc.

241,233

1,143

 

CSS Industries Inc.

126,546

1,135

 

Bluegreen Vacations Corp.

87,757

1,135

*

Destination XL Group Inc.

512,322

1,112

*

J. Jill Inc.

198,400

1,057

*

Aspen Group Inc.

187,581

1,028

*

New Home Co. Inc.

194,068

1,015

*

Lakeland Industries Inc.

93,447

976

*,^

Fred’s Inc. Class A

499,688

944

*,^

Inspired Entertainment Inc.

195,412

938

 

Big 5 Sporting Goods Corp.

360,704

934

*

JAKKS Pacific Inc.

595,776

876

*,^

Blue Apron Holdings Inc. Class A

835,474

852

*

Universal Technical Institute Inc.

216,907

792

*

Build-A-Bear Workshop Inc.

184,011

727

 

Ark Restaurants Corp.

38,576

708

*,^

Dover Downs Gaming & Entertainment Inc.

226,028

626

*

Full House Resorts Inc.

302,969

612

*,^

Famous Dave’s of America Inc.

115,967

532

 

Educational Development Corp.

57,944

494

*,^

Centric Brands Inc.

142,689

489

*,^

Francesca’s Holdings Corp.

489,821

476

*

Tandy Leather Factory Inc.

82,294

467

*,^

Horizon Global Corp.

326,001

466

*,^

Empire Resorts Inc.

45,517

461

 

Crown Crafts Inc.

80,356

434

*,^

Stein Mart Inc.

402,522

431

*

Biglari Holdings Inc.

723

425

*

Destination Maternity Corp.

147,492

419

*,^

Remark Holdings Inc.

342,927

415

*,^

Sequential Brands Group Inc.

498,107

399

 

7


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Pier 1 Imports Inc.

1,257,734

385

 

Peak Resorts Inc.

80,901

379

*

Vince Holding Corp.

39,451

368

 

Gaming Partners International Corp.

27,699

360

*

FTD Cos. Inc.

237,504

352

 

Dover Motorsports Inc.

181,111

340

*

Lincoln Educational Services Corp.

105,855

339

*

RumbleON Inc. Class B

57,200

308

*

Papa Murphy’s Holdings Inc.

64,363

306

*

Emerson Radio Corp.

206,739

298

*,^

UQM Technologies Inc.

340,089

289

*

ONE Group Hospitality Inc.

81,906

251

*

EVINE Live Inc.

627,996

251

^

Stage Stores Inc.

338,237

250

*

Good Times Restaurants Inc.

96,730

242

*,^

Blink Charging Co.

138,197

238

*,^

Workhorse Group Inc.

443,667

234

 

AMCON Distributing Co.

2,126

212

*

Christopher & Banks Corp.

414,199

193

*

Genius Brands International Inc.

88,809

191

*

Luby’s Inc.

146,561

176

 

Flanigan’s Enterprises Inc.

6,352

163

*

US Auto Parts Network Inc.

177,435

161

*

Trans World Entertainment Corp.

247,358

156

*

Forward Industries Inc.

115,757

150

^

FAT Brands Inc.

30,200

142

 

Unique Fabricating Inc.

33,139

140

*,^

Sears Hometown and Outlet Stores Inc.

65,252

139

*

Charles & Colvard Ltd.

150,610

128

*

Dixie Group Inc.

168,576

118

*

Nevada Gold & Casinos Inc.

42,560

101

*

Diversified Restaurant Holdings Inc.

101,747

99

*,^

Arcimoto Inc.

36,630

98

*,^

Nova Lifestyle Inc.

210,360

97

*

Edison Nation Inc.

20,400

95

*,^

Kona Grill Inc.

86,359

91

*

Rave Restaurant Group Inc.

103,389

90

*

Summer Infant Inc.

85,344

90

*,^

Cool Holdings Inc.

43,500

84

*,^

Iconix Brand Group Inc.

840,129

70

*

Ascent Capital Group Inc. Class A

176,914

69

*

Sypris Solutions Inc.

85,553

67

*

Live Ventures Inc.

9,510

64

*

Cherokee Inc.

78,331

40

 

Canterbury Park Holding Corp.

2,730

38

*,^

Chanticleer Holdings Inc.

19,975

26

 

Lennar Corp. Class A

471

18

*

Lazydays Holdings Inc.

3,200

17

*

Naked Brand Group Ltd.

20,715

17

*

YogaWorks Inc.

33,800

17

*,^

XpresSpa Group Inc.

108,535

17

*

Koss Corp.

4,492

8

 

Bowl America Inc. Class A

400

6

*

CTI Industries Corp.

1,768

5

*

Monaker Group Inc.

4,200

5

*,^

Comstock Holding Cos. Inc. Class A

2,809

5

*,^

iPic Entertainment Inc. Class A

1,500

5

 

P&F Industries Inc. Class A

574

4

*

DGSE Cos. Inc.

1,900

1

*,^

ADOMANI Inc.

1,900

1

 

Lennar Corp. Class B

6

*

CDTi Advanced Materials Inc.

1

 

 

 

6,912,154

 

8


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

Consumer Staples (2.7%)

 

 

 

Bunge Ltd.

1,931,572

103,223

*

US Foods Holding Corp.

2,979,328

94,266

 

Ingredion Inc.

969,708

88,631

*

Herbalife Nutrition Ltd.

1,432,118

84,423

*

Post Holdings Inc.

912,572

81,338

 

Casey’s General Stores Inc.

502,077

64,336

 

Keurig Dr Pepper Inc.

2,480,543

63,601

 

Lancaster Colony Corp.

267,677

47,341

 

Nu Skin Enterprises Inc. Class A

761,770

46,719

 

Flowers Foods Inc.

2,517,051

46,490

*

Performance Food Group Co.

1,436,752

46,364

*

Darling Ingredients Inc.

2,249,881

43,288

*

Sprouts Farmers Market Inc.

1,748,207

41,100

*

TreeHouse Foods Inc.

765,686

38,828

 

Energizer Holdings Inc.

818,692

36,964

 

WD-40 Co.

189,829

34,788

 

J&J Snack Foods Corp.

206,036

29,791

*

Boston Beer Co. Inc. Class A

118,051

28,431

*

Edgewell Personal Care Co.

738,428

27,580

 

Sanderson Farms Inc.

275,754

27,380

 

Spectrum Brands Holdings Inc.

622,322

26,293

^

B&G Foods Inc.

901,794

26,071

*

USANA Health Sciences Inc.

187,118

22,029

*

BJ’s Wholesale Club Holdings Inc.

929,642

20,601

 

Medifast Inc.

163,409

20,429

*

Hain Celestial Group Inc.

1,220,960

19,364

*

Central Garden & Pet Co. Class A

616,405

19,263

 

Universal Corp.

343,216

18,585

 

PriceSmart Inc.

311,931

18,435

 

Cal-Maine Foods Inc.

412,931

17,467

 

Inter Parfums Inc.

240,546

15,773

^

Calavo Growers Inc.

214,100

15,621

*

Hostess Brands Inc. Class A

1,376,448

15,058

 

Vector Group Ltd.

1,481,179

14,412

 

Seaboard Corp.

3,773

13,349

*

Simply Good Foods Co.

683,591

12,920

 

National Beverage Corp.

166,857

11,975

 

Fresh Del Monte Produce Inc.

410,345

11,600

 

Coca-Cola Bottling Co. Consolidated

64,555

11,451

*

Freshpet Inc.

350,798

11,282

*

Pilgrim’s Pride Corp.

714,541

11,083

 

Andersons Inc.

370,629

11,078

 

Weis Markets Inc.

224,805

10,741

*,^

Rite Aid Corp.

14,643,599

10,372

*

Chefs’ Warehouse Inc.

314,166

10,047

 

MGP Ingredients Inc.

174,582

9,960

*

Avon Products Inc.

6,085,873

9,251

^

Tootsie Roll Industries Inc.

264,093

8,821

 

SpartanNash Co.

499,692

8,585

*

United Natural Foods Inc.

690,761

7,315

 

John B Sanfilippo & Son Inc.

122,082

6,795

*

Primo Water Corp.

464,663

6,510

 

Ingles Markets Inc. Class A

208,837

5,685

*

Landec Corp.

459,603

5,442

 

Dean Foods Co.

1,243,344

4,737

*,^

New Age Beverages Corp.

820,364

4,266

 

Limoneira Co.

202,873

3,966

*,^

22nd Century Group Inc.

1,567,796

3,904

*

Seneca Foods Corp. Class A

135,462

3,823

*

Farmer Brothers Co.

157,933

3,685

*

Central Garden & Pet Co.

96,975

3,341

*,^

Revlon Inc. Class A

127,302

3,207

 

Turning Point Brands Inc.

116,559

3,173

 

9


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Village Super Market Inc. Class A

107,734

2,881

*

elf Beauty Inc.

308,412

2,671

*

Lifevantage Corp.

173,830

2,293

*

Craft Brew Alliance Inc.

147,482

2,111

 

Natural Health Trends Corp.

103,055

1,906

*

Smart & Final Stores Inc.

400,506

1,898

 

Oil-Dri Corp. of America

65,419

1,734

*

Natural Grocers by Vitamin Cottage Inc.

112,526

1,725

*,^

Pyxus International Inc.

119,170

1,413

 

Alico Inc.

46,719

1,378

 

United-Guardian Inc.

57,149

1,048

*,^

Castle Brands Inc.

1,107,894

942

*,^

Celsius Holdings Inc.

243,733

846

 

Rocky Mountain Chocolate Factory Inc.

96,131

808

*

Veru Inc.

556,002

778

*

Nature’s Sunshine Products Inc.

91,053

742

*

Natural Alternatives International Inc.

73,591

723

*

RiceBran Technologies

235,485

706

*

Eastside Distilling Inc.

86,197

533

*

S&W Seed Co.

228,965

414

*,^

Youngevity International Inc.

60,367

345

*

Reed’s Inc.

139,267

288

*

Lifeway Foods Inc.

87,868

165

 

Mannatech Inc.

7,785

146

*,^

Orchids Paper Products Co.

132,485

125

*

Coffee Holding Co. Inc.

34,760

123

*,^

MYOS RENS Technology Inc.

48,575

69

 

Ocean Bio-Chem Inc.

19,130

63

*

Bridgford Foods Corp.

2,984

59

*

Arcadia Biosciences Inc.

18,655

59

*

HF Foods Group Inc.

3,866

51

*

Truett-Hurst Inc.

16,664

32

*

Ifresh Inc.

26,239

23

*

CCA Industries Inc.

9,900

22

*

Reliv International Inc.

4,459

17

*

Cyanotech Corp.

2,701

8

*

Willamette Valley Vineyards Inc.

533

4

 

 

 

1,601,796

Energy (3.3%)

 

 

*

Cheniere Energy Inc.

3,025,832

179,099

 

Targa Resources Corp.

3,142,284

113,185

 

EQT Corp.

3,492,662

65,976

*

WPX Energy Inc.

5,404,892

61,346

*

Parsley Energy Inc. Class A

3,605,262

57,612

*

Equitrans Midstream Corp.

2,784,570

55,747

 

PBF Energy Inc. Class A

1,645,158

53,747

 

Murphy Oil Corp.

2,231,385

52,192

*

Transocean Ltd.

6,912,713

47,974

*

Continental Resources Inc.

1,184,805

47,617

 

Core Laboratories NV

604,904

36,089

 

Delek US Holdings Inc.

1,035,169

33,653

 

Peabody Energy Corp.

1,068,111

32,556

*

CNX Resources Corp.

2,798,352

31,957

 

Patterson-UTI Energy Inc.

2,976,576

30,808

*

Centennial Resource Development Inc. Class A

2,614,679

28,814

*

Apergy Corp.

1,062,855

28,782

*

Antero Resources Corp.

3,038,275

28,529

*

Whiting Petroleum Corp.

1,245,378

28,258

*

Southwestern Energy Co.

7,977,440

27,203

 

Range Resources Corp.

2,833,935

27,121

*

PDC Energy Inc.

906,158

26,967

*,^

Chesapeake Energy Corp.

12,547,664

26,350

*

Matador Resources Co.

1,422,082

22,085

 

SM Energy Co.

1,416,028

21,920

 

10


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Arch Coal Inc. Class A

258,807

21,478

^

Ensco plc Class A

5,968,907

21,249

*

Callon Petroleum Co.

3,113,615

20,207

*

Oasis Petroleum Inc.

3,645,770

20,161

 

World Fuel Services Corp.

924,845

19,801

*

QEP Resources Inc.

3,240,157

18,242

*

Oceaneering International Inc.

1,345,934

16,286

 

McDermott International Inc.

2,471,797

16,166

*

SRC Energy Inc.

3,321,264

15,610

*

Dril-Quip Inc.

489,892

14,711

*

Rowan Cos. plc Class A

1,744,707

14,638

*

Gulfport Energy Corp.

2,155,448

14,118

*

Cactus Inc. Class A

514,580

14,105

 

CVR Energy Inc.

401,883

13,857

 

Archrock Inc.

1,789,124

13,401

*

Magnolia Oil & Gas Corp.

1,192,339

13,366

*

Kosmos Energy Ltd.

3,238,363

13,180

*

Renewable Energy Group Inc.

512,071

13,160

*

Carrizo Oil & Gas Inc.

1,162,335

13,123

 

SemGroup Corp. Class A

906,716

12,495

*

ProPetro Holding Corp.

1,011,719

12,464

*

CONSOL Energy Inc.

384,789

12,202

*

Oil States International Inc.

824,945

11,780

*

C&J Energy Services Inc.

867,711

11,714

*

California Resources Corp.

664,160

11,317

*

Denbury Resources Inc.

6,309,114

10,789

^

US Silica Holdings Inc.

1,058,245

10,773

*

Unit Corp.

746,178

10,655

*

Helix Energy Solutions Group Inc.

1,919,530

10,385

*

Penn Virginia Corp.

186,571

10,086

*,^

Tellurian Inc.

1,301,173

9,043

 

Nabors Industries Ltd.

4,431,311

8,863

*

Noble Corp. plc

3,355,094

8,790

*

SEACOR Holdings Inc.

236,928

8,766

*

Newpark Resources Inc.

1,261,782

8,668

*

Diamond Offshore Drilling Inc.

879,994

8,307

*

Tidewater Inc.

428,870

8,204

*,^

Resolute Energy Corp.

278,952

8,084

*

Exterran Corp.

446,318

7,900

 

RPC Inc.

794,646

7,843

*,^

Jagged Peak Energy Inc.

852,000

7,770

*,^

Weatherford International plc

13,666,696

7,640

*

Laredo Petroleum Inc.

2,095,554

7,586

*

KLX Energy Services Holdings Inc.

305,422

7,162

*

Superior Energy Services Inc.

2,098,158

7,029

 

Green Plains Inc.

532,805

6,985

*

International Seaways Inc.

408,122

6,873

*

Extraction Oil & Gas Inc.

1,589,825

6,820

 

Liberty Oilfield Services Inc. Class A

524,854

6,797

*

Northern Oil and Gas Inc.

3,005,101

6,792

*

Matrix Service Co.

376,607

6,756

*

Par Pacific Holdings Inc.

398,596

5,652

*

Bonanza Creek Energy Inc.

265,712

5,492

*

REX American Resources Corp.

79,554

5,418

*

Frank’s International NV

1,013,075

5,288

*

Select Energy Services Inc. Class A

825,033

5,214

*

W&T Offshore Inc.

1,254,483

5,169

*

WildHorse Resource Development Corp.

353,673

4,990

*

Talos Energy Inc.

303,595

4,955

*

Keane Group Inc.

591,323

4,837

*

Forum Energy Technologies Inc.

1,080,616

4,463

*

Contura Energy Inc.

66,900

4,398

^

Solaris Oilfield Infrastructure Inc. Class A

356,140

4,306

 

Falcon Minerals Corp.

485,700

4,128

 

11


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Ring Energy Inc.

791,167

4,019

*

Roan Resources Inc.

468,200

3,924

*

HighPoint Resources Corp.

1,520,975

3,787

 

Panhandle Oil and Gas Inc. Class A

223,317

3,461

*

SEACOR Marine Holdings Inc.

288,901

3,398

*

Clean Energy Fuels Corp.

1,970,555

3,389

*,^

Halcon Resources Corp.

1,986,305

3,377

*

SandRidge Energy Inc.

433,747

3,301

*

Nine Energy Service Inc.

143,974

3,245

*

FTS International Inc.

455,805

3,241

 

Evolution Petroleum Corp.

446,329

3,044

 

Mammoth Energy Services Inc.

167,399

3,010

*

TETRA Technologies Inc.

1,740,794

2,925

*

Natural Gas Services Group Inc.

177,302

2,915

 

NACCO Industries Inc. Class A

82,575

2,799

*,^

Uranium Energy Corp.

2,168,249

2,710

*

Midstates Petroleum Co. Inc.

354,585

2,663

*

Abraxas Petroleum Corp.

2,425,500

2,644

*

Geospace Technologies Corp.

246,892

2,545

*

Dorian LPG Ltd.

434,321

2,532

*

RigNet Inc.

184,815

2,336

*

Era Group Inc.

257,984

2,255

*

Chaparral Energy Inc. Class A

452,558

2,227

 

Berry Petroleum Corp.

244,010

2,135

*

US Well Services Inc.

328,000

2,132

*

Ultra Petroleum Corp.

2,679,494

2,037

*

SilverBow Resources Inc.

77,094

1,823

*

Gulf Island Fabrication Inc.

232,607

1,679

*,^

Alta Mesa Resources Inc. Class A

1,642,576

1,643

*

Independence Contract Drilling Inc.

481,384

1,502

*

Basic Energy Services Inc.

371,553

1,427

*,^

Covia Holdings Corp.

405,931

1,388

 

Hallador Energy Co.

269,977

1,369

*,^

Bristow Group Inc.

560,275

1,362

*,^

CARBO Ceramics Inc.

389,301

1,355

*

Earthstone Energy Inc. Class A

292,795

1,323

*

Overseas Shipholding Group Inc. Class A

783,985

1,301

*

Pioneer Energy Services Corp.

1,048,456

1,290

*

Contango Oil & Gas Co.

371,864

1,209

*

Lonestar Resources US Inc. Class A

327,678

1,196

*

VAALCO Energy Inc.

745,157

1,095

*,^

Eclipse Resources Corp.

1,017,190

1,068

 

Adams Resources & Energy Inc.

26,556

1,028

*

Isramco Inc.

7,853

931

*,^

Comstock Resources Inc.

195,841

887

*

Dawson Geophysical Co.

260,463

880

*,^

Lilis Energy Inc.

640,918

878

*

NCS Multistage Holdings Inc.

163,868

834

*,^

NextDecade Corp.

137,751

744

*

Hornbeck Offshore Services Inc.

507,761

731

*

ION Geophysical Corp.

135,646

703

*

Smart Sand Inc.

290,825

646

*

Profire Energy Inc.

441,797

641

*

Goodrich Petroleum Corp.

44,539

601

*,^

Approach Resources Inc.

688,201

600

*

Pacific Ethanol Inc.

606,815

522

*

Aspen Aerogels Inc.

229,377

489

*

EP Energy Corp. Class A

640,486

448

*

Quintana Energy Services Inc.

114,748

397

*

Cloud Peak Energy Inc.

1,058,818

388

*

TransAtlantic Petroleum Ltd.

337,879

351

*

Mitcham Industries Inc.

137,162

351

*

Ranger Energy Services Inc.

66,043

341

*,^

Sanchez Energy Corp.

1,221,336

330

 

12


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Vertex Energy Inc.

318,653

325

*,^

Torchlight Energy Resources Inc.

573,989

324

*,^

Zion Oil & Gas Inc.

765,109

319

*

Rosehill Resources Inc. Class A

125,800

281

*

PrimeEnergy Corp.

3,877

269

*

Key Energy Services Inc.

122,043

253

*,^

PHI Inc. NV

108,712

201

*,^

Gevo Inc.

88,953

174

*,^

Enservco Corp.

450,210

167

*

Centrus Energy Corp. Class A

94,105

159

*

Superior Drilling Products Inc.

91,783

107

*

Synthesis Energy Systems Inc.

138,584

100

*

Aemetis Inc.

113,906

69

*,^

PHI Inc.

30,581

69

*

Barnwell Industries Inc.

44,204

59

*,^

PEDEVCO Corp.

60,609

46

*

Tengasco Inc.

47,328

45

*,^

New Concept Energy Inc.

29,463

41

*,^

Westwater Resources Inc.

237,435

33

*,^

SAExploration Holdings Inc.

14,744

28

*

ENGlobal Corp.

44,862

26

*

US Energy Corp. Wyoming

28,339

19

*,^

Houston American Energy Corp.

93,484

18

 

Euronav NV

2,292

16

*,^

Camber Energy Inc.

7,826

9

*

Eco-Stim Energy Solutions Inc.

126,517

8

*,^

Yuma Energy Inc.

27,755

4

*

Mexco Energy Corp.

600

2

*

Bonanza Creek Energy Inc. Warrants Exp. 04/28/2020

19,019

1

*,^,§

Harvest Natural Resources Inc.

133,886

 

 

 

1,939,068

Financials (16.6%)

 

 

*

Markel Corp.

190,498

197,746

 

TD Ameritrade Holding Corp.

3,693,535

180,835

 

Annaly Capital Management Inc.

17,867,352

175,457

*

Arch Capital Group Ltd.

5,542,015

148,083

 

KKR & Co. Inc. Class A

7,262,667

142,566

 

Ally Financial Inc.

5,644,491

127,904

 

Alleghany Corp.

203,406

126,787

 

AGNC Investment Corp.

7,157,850

125,549

 

Reinsurance Group of America Inc. Class A

857,688

120,274

 

Fidelity National Financial Inc.

3,765,518

118,388

 

MarketAxess Holdings Inc.

515,185

108,864

 

FactSet Research Systems Inc.

519,827

104,033

 

WR Berkley Corp.

1,317,169

97,352

 

Brown & Brown Inc.

3,204,400

88,313

 

American Financial Group Inc.

962,641

87,148

 

East West Bancorp Inc.

1,979,730

86,178

 

Voya Financial Inc.

2,121,607

85,161

 

SEI Investments Co.

1,790,788

82,734

 

Old Republic International Corp.

3,897,251

80,166

 

Commerce Bancshares Inc.

1,365,736

76,987

 

Cullen/Frost Bankers Inc.

870,672

76,567

 

Signature Bank

732,495

75,308

 

RenaissanceRe Holdings Ltd.

552,473

73,866

 

Starwood Property Trust Inc.

3,735,033

73,618

 

LPL Financial Holdings Inc.

1,185,760

72,426

 

New Residential Investment Corp.

4,968,569

70,603

*

Athene Holding Ltd. Class A

1,737,818

69,217

 

First American Financial Corp.

1,526,378

68,138

 

Hanover Insurance Group Inc.

580,433

67,777

 

Lazard Ltd. Class A

1,774,340

65,491

 

Popular Inc.

1,375,002

64,928

*

Credit Acceptance Corp.

169,860

64,846

 

13


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

New York Community Bancorp Inc.

6,685,567

62,911

 

Webster Financial Corp.

1,262,776

62,242

 

Axis Capital Holdings Ltd.

1,141,791

58,962

 

First Horizon National Corp.

4,429,389

58,291

 

Primerica Inc.

588,821

57,534

 

Prosperity Bancshares Inc.

905,872

56,436

 

Interactive Brokers Group Inc.

1,030,734

56,330

 

Eaton Vance Corp.

1,586,770

55,823

 

Kemper Corp.

835,564

55,465

 

Assured Guaranty Ltd.

1,448,669

55,455

 

PacWest Bancorp

1,661,523

55,295

 

CIT Group Inc.

1,434,181

54,886

^

First Financial Bankshares Inc.

929,757

53,638

*

Western Alliance Bancorp

1,330,536

52,543

 

Blackstone Mortgage Trust Inc. Class A

1,639,843

52,245

*

MGIC Investment Corp.

4,962,513

51,908

*

Green Dot Corp. Class A

649,617

51,658

 

Wintrust Financial Corp.

770,911

51,258

 

Synovus Financial Corp.

1,599,331

51,163

 

Sterling Bancorp

3,064,962

50,603

 

Selective Insurance Group Inc.

810,926

49,418

 

IBERIABANK Corp.

759,866

48,844

 

Radian Group Inc.

2,932,751

47,980

 

Umpqua Holdings Corp.

3,013,693

47,918

 

Janus Henderson Group plc

2,292,995

47,511

 

First Citizens BancShares Inc. Class A

123,443

46,544

 

Pinnacle Financial Partners Inc.

1,002,728

46,226

*

Essent Group Ltd.

1,348,486

46,091

 

Glacier Bancorp Inc.

1,160,273

45,970

 

MB Financial Inc.

1,151,206

45,622

 

Chimera Investment Corp.

2,537,842

45,224

 

Associated Banc-Corp

2,266,312

44,850

 

TCF Financial Corp.

2,279,753

44,432

 

United Bankshares Inc.

1,414,683

44,011

 

FirstCash Inc.

601,040

43,485

 

FNB Corp.

4,412,394

43,418

 

Two Harbors Investment Corp.

3,375,402

43,340

 

BankUnited Inc.

1,407,059

42,127

 

Community Bank System Inc.

711,810

41,499

 

MFA Financial Inc.

6,127,309

40,930

 

Hancock Whitney Corp.

1,167,154

40,442

 

Stifel Financial Corp.

973,616

40,327

 

Valley National Bancorp

4,523,728

40,171

 

Evercore Inc. Class A

553,238

39,590

 

Bank of Hawaii Corp.

570,294

38,392

 

Bank OZK

1,653,771

37,756

 

Fulton Financial Corp.

2,438,788

37,752

 

UMB Financial Corp.

617,267

37,635

 

RLI Corp.

543,482

37,495

 

Columbia Banking System Inc.

1,012,016

36,726

 

White Mountains Insurance Group Ltd.

42,670

36,598

 

Home BancShares Inc.

2,211,806

36,141

 

Chemical Financial Corp.

981,423

35,930

 

Cathay General Bancorp

1,058,288

35,484

*

Texas Capital Bancshares Inc.

688,334

35,167

 

Erie Indemnity Co. Class A

263,727

35,157

 

Federated Investors Inc. Class B

1,313,041

34,861

*

Enstar Group Ltd.

207,910

34,839

 

American Equity Investment Life Holding Co.

1,234,455

34,491

 

Aspen Insurance Holdings Ltd.

813,819

34,172

 

Investors Bancorp Inc.

3,256,862

33,871

 

CNO Financial Group Inc.

2,246,178

33,423

 

BancorpSouth Bank

1,240,760

32,433

 

BOK Financial Corp.

441,693

32,389

 

14


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

First Financial Bancorp

1,349,817

32,018

*

Genworth Financial Inc. Class A

6,860,692

31,971

 

Old National Bancorp

2,071,378

31,899

*

SLM Corp.

3,803,604

31,608

 

Argo Group International Holdings Ltd.

466,126

31,347

 

AXA Equitable Holdings Inc.

1,822,911

30,315

 

South State Corp.

501,563

30,069

 

Simmons First National Corp. Class A

1,241,212

29,950

 

Washington Federal Inc.

1,119,682

29,907

 

ProAssurance Corp.

736,877

29,888

 

Legg Mason Inc.

1,162,694

29,660

 

CVB Financial Corp.

1,423,061

28,789

 

First Midwest Bancorp Inc.

1,439,411

28,515

 

WesBanco Inc.

767,749

28,169

 

Navient Corp.

3,156,337

27,807

 

Morningstar Inc.

252,658

27,752

 

First Hawaiian Inc.

1,231,499

27,721

 

Santander Consumer USA Holdings Inc.

1,573,937

27,686

 

Independent Bank Corp.

388,384

27,307

 

International Bancshares Corp.

761,881

26,209

 

Trustmark Corp.

916,104

26,045

 

First BanCorp

2,976,780

25,600

 

Apollo Commercial Real Estate Finance Inc.

1,527,100

25,442

*

OneMain Holdings Inc.

1,029,751

25,013

 

Northwest Bancshares Inc.

1,476,134

25,006

 

Capitol Federal Financial Inc.

1,955,244

24,968

 

Great Western Bancorp Inc.

787,232

24,601

 

United Community Banks Inc.

1,094,882

23,496

 

Union Bankshares Corp.

826,205

23,324

 

Banner Corp.

435,759

23,304

 

First Merchants Corp.

666,675

22,847

 

Virtu Financial Inc. Class A

870,606

22,427

*,^

LendingTree Inc.

101,960

22,387

 

Navigators Group Inc.

320,898

22,299

 

Invesco Mortgage Capital Inc.

1,527,720

22,121

 

Towne Bank

921,533

22,071

*

FCB Financial Holdings Inc. Class A

638,433

21,439

 

Moelis & Co. Class A

623,010

21,419

 

Horace Mann Educators Corp.

570,177

21,353

 

National General Holdings Corp.

880,805

21,324

 

NBT Bancorp Inc.

614,981

21,272

*

Eagle Bancorp Inc.

432,452

21,065

 

Provident Financial Services Inc.

872,585

21,055

 

CenterState Bank Corp.

993,618

20,906

 

Westamerica Bancorporation

374,658

20,861

 

ServisFirst Bancshares Inc.

640,283

20,406

 

Renasant Corp.

665,226

20,077

 

LegacyTexas Financial Group Inc.

620,415

19,909

 

Hope Bancorp Inc.

1,670,766

19,815

 

Waddell & Reed Financial Inc. Class A

1,075,696

19,449

 

Mercury General Corp.

372,209

19,247

 

Employers Holdings Inc.

458,431

19,240

 

BGC Partners Inc. Class A

3,715,069

19,207

*

Axos Financial Inc.

761,518

19,175

 

S&T Bancorp Inc.

492,526

18,637

 

Ladder Capital Corp. Class A

1,193,895

18,470

*

Seacoast Banking Corp. of Florida

708,191

18,427

 

Colony Credit Real Estate Inc.

1,150,940

18,173

 

Hilltop Holdings Inc.

1,003,609

17,894

 

Heartland Financial USA Inc.

403,267

17,724

 

Ameris Bancorp

557,947

17,670

 

Houlihan Lokey Inc. Class A

476,775

17,545

*

Blucora Inc.

656,899

17,500

*

PennyMac Financial Services Inc.

814,049

17,307

 

15


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Kearny Financial Corp.

1,349,516

17,301

 

Walker & Dunlop Inc.

398,626

17,241

 

Redwood Trust Inc.

1,133,258

17,078

 

Cadence BanCorp Class A

1,009,058

16,932

 

First Interstate BancSystem Inc. Class A

462,284

16,901

 

Universal Insurance Holdings Inc.

444,649

16,861

 

CNA Financial Corp.

377,586

16,670

 

First Commonwealth Financial Corp.

1,378,992

16,658

 

Safety Insurance Group Inc.

203,466

16,646

 

United Fire Group Inc.

296,155

16,422

 

WSFS Financial Corp.

431,783

16,369

*

NMI Holdings Inc. Class A

911,361

16,268

*

FGL Holdings

2,425,562

16,154

*

Cannae Holdings Inc.

930,370

15,928

 

City Holding Co.

234,575

15,855

 

Nelnet Inc. Class A

302,907

15,854

*

Pacific Premier Bancorp Inc.

619,869

15,819

 

PennyMac Mortgage Investment Trust

844,803

15,730

 

Brookline Bancorp Inc.

1,135,088

15,687

 

Park National Corp.

183,476

15,586

 

AMERISAFE Inc.

272,438

15,445

*

LendingClub Corp.

5,851,347

15,389

 

American National Insurance Co.

120,936

15,388

 

Sandy Spring Bancorp Inc.

489,510

15,341

 

Artisan Partners Asset Management Inc. Class A

692,897

15,320

 

James River Group Holdings Ltd.

419,027

15,311

 

Berkshire Hills Bancorp Inc.

567,482

15,305

 

Beneficial Bancorp Inc.

1,068,342

15,267

*

PRA Group Inc.

625,539

15,244

 

First Busey Corp.

612,606

15,033

 

Independent Bank Group Inc.

322,104

14,743

 

Kinsale Capital Group Inc.

264,932

14,720

 

Lakeland Financial Corp.

361,440

14,515

 

First Bancorp

426,224

13,920

 

Investment Technology Group Inc.

458,662

13,870

 

Southside Bancshares Inc.

434,523

13,796

 

Stewart Information Services Corp.

333,126

13,791

 

Piper Jaffray Cos.

206,976

13,627

 

Heritage Financial Corp.

458,501

13,627

 

Tompkins Financial Corp.

174,952

13,123

 

OceanFirst Financial Corp.

573,665

12,913

 

TriCo Bancshares

382,035

12,909

 

Boston Private Financial Holdings Inc.

1,187,894

12,556

 

BancFirst Corp.

249,977

12,474

 

Enterprise Financial Services Corp.

328,169

12,349

 

New York Mortgage Trust Inc.

2,081,353

12,259

 

TFS Financial Corp.

759,499

12,251

 

State Bank Financial Corp.

540,594

11,671

 

ARMOUR Residential REIT Inc.

568,307

11,650

 

Meridian Bancorp Inc.

788,552

11,292

 

National Bank Holdings Corp. Class A

362,577

11,193

*

MBIA Inc.

1,251,227

11,161

 

Granite Point Mortgage Trust Inc.

600,600

10,829

*

Ambac Financial Group Inc.

626,182

10,795

 

TPG RE Finance Trust Inc.

590,315

10,791

 

WisdomTree Investments Inc.

1,604,047

10,667

*

Flagstar Bancorp Inc.

403,456

10,651

 

United Financial Bancorp Inc.

716,859

10,538

 

Central Pacific Financial Corp.

430,482

10,482

*

Columbia Financial Inc.

684,941

10,473

 

PJT Partners Inc.

265,167

10,278

 

Cohen & Steers Inc.

297,085

10,196

 

OFG Bancorp

603,225

9,929

*

Triumph Bancorp Inc.

334,188

9,925

 

16


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Washington Trust Bancorp Inc.

208,174

9,895

*

Third Point Reinsurance Ltd.

1,021,434

9,847

 

Community Trust Bancorp Inc.

245,221

9,713

 

Bryn Mawr Bank Corp.

282,298

9,711

 

Arbor Realty Trust Inc.

963,544

9,703

 

TrustCo Bank Corp. NY

1,408,379

9,661

 

Stock Yards Bancorp Inc.

293,377

9,623

 

1st Source Corp.

237,755

9,591

 

Lakeland Bancorp Inc.

642,343

9,513

 

FBL Financial Group Inc. Class A

144,125

9,462

*

World Acceptance Corp.

92,436

9,453

 

Northfield Bancorp Inc.

695,812

9,428

 

National Western Life Group Inc. Class A

31,299

9,412

*

Enova International Inc.

474,980

9,243

 

Univest Corp. of Pennsylvania

419,724

9,053

*

eHealth Inc.

233,980

8,990

 

Hamilton Lane Inc. Class A

242,080

8,957

*,^

Trupanion Inc.

350,353

8,920

 

Carolina Financial Corp.

294,500

8,714

 

Hanmi Financial Corp.

438,188

8,632

 

Preferred Bank

194,328

8,424

 

Capstead Mortgage Corp.

1,259,117

8,398

*,^

Encore Capital Group Inc.

355,990

8,366

 

Flushing Financial Corp.

387,367

8,340

 

FB Financial Corp.

237,628

8,322

 

Horizon Bancorp Inc.

519,780

8,202

 

Blue Hills Bancorp Inc.

381,767

8,147

 

German American Bancorp Inc.

292,479

8,122

 

Fidelity Southern Corp.

311,451

8,104

*

HomeStreet Inc.

380,383

8,076

*

INTL. FCStone Inc.

219,455

8,028

 

Virtus Investment Partners Inc.

100,848

8,010

 

Oritani Financial Corp.

540,469

7,972

 

Camden National Corp.

219,944

7,911

 

Peoples Bancorp Inc.

262,039

7,887

 

ConnectOne Bancorp Inc.

426,353

7,875

*

National Commerce Corp.

216,912

7,809

 

Federal Agricultural Mortgage Corp.

128,655

7,776

 

State Auto Financial Corp.

227,720

7,752

 

KKR Real Estate Finance Trust Inc.

404,405

7,744

 

Banc of California Inc.

578,711

7,703

 

Great Southern Bancorp Inc.

163,342

7,519

 

Dime Community Bancshares Inc.

442,776

7,518

 

Guaranty Bancorp

361,433

7,500

*

Customers Bancorp Inc.

410,795

7,476

 

Meta Financial Group Inc.

382,108

7,409

*

HarborOne Bancorp Inc.

457,767

7,274

 

First Defiance Financial Corp.

295,653

7,246

 

People’s Utah Bancorp

238,457

7,189

 

Bank of Marin Bancorp

173,184

7,142

*

First Foundation Inc.

555,123

7,139

*

Focus Financial Partners Inc. Class A

267,754

7,050

 

Diamond Hill Investment Group Inc.

47,090

7,038

 

CBTX Inc.

237,225

6,974

 

Bridge Bancorp Inc.

270,819

6,903

*

Equity Bancshares Inc. Class A

195,381

6,887

 

Independent Bank Corp.

323,805

6,806

*

Veritex Holdings Inc.

318,343

6,806

 

Mercantile Bank Corp.

237,801

6,720

*

Donnelley Financial Solutions Inc.

468,056

6,567

 

Green Bancorp Inc.

382,499

6,556

 

First of Long Island Corp.

325,942

6,503

*

TriState Capital Holdings Inc.

331,443

6,450

 

HomeTrust Bancshares Inc.

245,052

6,415

 

17


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Bancorp Inc.

805,435

6,411

 

Heritage Commerce Corp.

559,592

6,346

 

AG Mortgage Investment Trust Inc.

394,214

6,280

 

Waterstone Financial Inc.

368,596

6,178

 

Arrow Financial Corp.

192,181

6,154

 

United Community Financial Corp.

692,168

6,126

 

First Community Bankshares Inc.

192,709

6,066

*

Atlantic Capital Bancshares Inc.

370,097

6,059

 

First Financial Corp.

149,957

6,021

 

QCR Holdings Inc.

185,012

5,937

 

Opus Bank

302,903

5,934

 

Peapack Gladstone Financial Corp.

230,953

5,815

 

Greenhill & Co. Inc.

236,144

5,762

 

Anworth Mortgage Asset Corp.

1,423,529

5,751

 

Financial Institutions Inc.

222,633

5,722

 

Ares Commercial Real Estate Corp.

437,138

5,700

*

EZCORP Inc. Class A

728,003

5,627

 

Midland States Bancorp Inc.

251,183

5,611

*

Allegiance Bancshares Inc.

169,836

5,498

 

Western Asset Mortgage Capital Corp.

643,890

5,370

 

Live Oak Bancshares Inc.

359,039

5,317

*

Nicolet Bankshares Inc.

107,365

5,239

 

First Bancshares Inc.

172,627

5,222

 

Old Second Bancorp Inc.

397,003

5,161

 

United Insurance Holdings Corp.

304,974

5,069

 

Farmers National Banc Corp.

396,178

5,047

*

Cowen Inc. Class A

372,673

4,971

 

HCI Group Inc.

95,748

4,865

 

Access National Corp.

227,327

4,849

 

Bar Harbor Bankshares

214,769

4,817

 

Republic Bancorp Inc. Class A

121,849

4,718

 

Macatawa Bank Corp.

487,287

4,688

 

Farmers & Merchants Bancorp Inc.

121,741

4,686

 

Exantas Capital Corp.

467,585

4,685

 

Heritage Insurance Holdings Inc.

317,704

4,677

 

PCSB Financial Corp.

238,073

4,657

 

Orchid Island Capital Inc.

725,961

4,639

*

Franklin Financial Network Inc.

175,095

4,617

 

Dynex Capital Inc.

795,789

4,552

 

Old Line Bancshares Inc.

172,626

4,544

 

Citizens & Northern Corp.

171,850

4,542

*,^

Citizens Inc. Class A

603,522

4,538

*,^

Health Insurance Innovations Inc. Class A

165,461

4,423

*

Republic First Bancorp Inc.

740,369

4,420

*

Mr Cooper Group Inc.

376,332

4,392

 

First Mid-Illinois Bancshares Inc.

137,503

4,389

^

Cambridge Bancorp

51,299

4,271

*

On Deck Capital Inc.

702,904

4,147

 

Capital City Bank Group Inc.

174,134

4,042

 

EMC Insurance Group Inc.

125,763

4,006

 

CNB Financial Corp.

174,403

4,003

 

Merchants Bancorp

197,866

3,949

 

West Bancorporation Inc.

206,778

3,947

 

Sierra Bancorp

163,708

3,934

 

Westwood Holdings Group Inc.

113,147

3,847

 

Southern National Bancorp of Virginia Inc.

289,042

3,821

 

Hingham Institution for Savings

19,268

3,810

*

BSB Bancorp Inc.

133,413

3,744

*

Byline Bancorp Inc.

224,520

3,741

 

Oppenheimer Holdings Inc. Class A

145,550

3,719

 

Cherry Hill Mortgage Investment Corp.

210,840

3,698

 

Home Bancorp Inc.

103,208

3,654

 

Western New England Bancorp Inc.

359,198

3,606

 

Global Indemnity Ltd.

98,677

3,575

 

18


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

BankFinancial Corp.

238,827

3,570

 

Investors Title Co.

20,149

3,560

 

ACNB Corp.

90,575

3,555

 

First Bancorp Inc.

132,979

3,497

*

Goosehead Insurance Inc. Class A

132,049

3,472

 

Ready Capital Corp.

249,482

3,450

 

Investar Holding Corp.

138,409

3,433

 

Ladenburg Thalmann Financial Services Inc.

1,461,822

3,406

 

Enterprise Bancorp Inc.

105,588

3,396

*

Greenlight Capital Re Ltd. Class A

391,796

3,377

 

Northrim BanCorp Inc.

101,950

3,351

*

Southern First Bancshares Inc.

103,221

3,310

 

MidWestOne Financial Group Inc.

132,737

3,296

 

Southern Missouri Bancorp Inc.

96,799

3,282

 

Territorial Bancorp Inc.

125,627

3,264

*

Regional Management Corp.

134,869

3,244

 

Civista Bancshares Inc.

180,312

3,141

 

B. Riley Financial Inc.

219,189

3,112

 

American National Bankshares Inc.

106,066

3,109

 

Century Bancorp Inc. Class A

45,509

3,082

 

Reliant Bancorp Inc.

130,657

3,010

 

Arlington Asset Investment Corp. Class A

409,790

2,967

 

FedNat Holding Co.

148,849

2,965

 

National Bankshares Inc.

81,147

2,956

 

Peoples Financial Services Corp.

66,499

2,930

*

Safeguard Scientifics Inc.

329,458

2,840

*

Select Bancorp Inc.

225,202

2,788

 

Ames National Corp.

109,242

2,777

 

Origin Bancorp Inc.

80,629

2,748

 

Business First Bancshares Inc.

112,655

2,730

 

First Northwest Bancorp

182,367

2,705

 

First Choice Bancorp

119,600

2,703

 

First Guaranty Bancshares Inc.

115,429

2,679

 

Protective Insurance Corp. Class B

160,081

2,665

 

Marlin Business Services Corp.

119,039

2,658

 

First Internet Bancorp

129,251

2,642

 

Great Ajax Corp.

216,053

2,603

 

Ares Management Corp.

145,361

2,585

 

Amalgamated Bank Class A

131,487

2,564

*

Metropolitan Bank Holding Corp.

80,811

2,493

*

Spirit of Texas Bancshares Inc.

108,987

2,483

 

MBT Financial Corp.

265,189

2,466

 

Independence Holding Co.

70,062

2,466

 

FS Bancorp Inc.

57,505

2,466

 

Crawford & Co. Class B

269,080

2,422

 

Owens Realty Mortgage Inc.

128,204

2,409

 

Codorus Valley Bancorp Inc.

112,873

2,399

 

Central Valley Community Bancorp

125,409

2,366

*

Provident Bancorp Inc.

106,583

2,311

 

First Business Financial Services Inc.

117,655

2,295

 

Bank of Commerce Holdings

206,558

2,264

 

SI Financial Group Inc.

176,685

2,249

 

Shore Bancshares Inc.

154,409

2,245

 

MutualFirst Financial Inc.

83,335

2,214

*

Entegra Financial Corp.

105,724

2,194

 

Kingstone Cos. Inc.

123,003

2,176

 

Fidelity D&D Bancorp Inc.

33,664

2,161

 

Bankwell Financial Group Inc.

75,189

2,159

 

Associated Capital Group Inc. Class A

60,888

2,145

*

Ocwen Financial Corp.

1,594,250

2,136

 

Bank of Princeton

75,810

2,115

 

Orrstown Financial Services Inc.

115,965

2,112

 

First Bank

171,522

2,079

 

ESSA Bancorp Inc.

133,034

2,077

 

19


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Victory Capital Holdings Inc. Class A

202,375

2,068

 

Premier Financial Bancorp Inc.

137,424

2,049

*

Malvern Bancorp Inc.

102,938

2,031

 

Summit Financial Group Inc.

103,787

2,004

 

LCNB Corp.

131,702

1,995

 

Middlefield Banc Corp.

47,024

1,995

 

Parke Bancorp Inc.

106,511

1,993

*

Community Bankers Trust Corp.

275,595

1,990

 

Penns Woods Bancorp Inc.

49,358

1,986

 

Pzena Investment Management Inc. Class A

224,114

1,939

 

Norwood Financial Corp.

58,227

1,922

 

Chemung Financial Corp.

46,289

1,912

 

MidSouth Bancorp Inc.

178,551

1,893

*

SmartFinancial Inc.

103,390

1,889

 

Donegal Group Inc. Class A

138,033

1,883

 

Riverview Bancorp Inc.

256,932

1,870

 

RBB Bancorp

105,544

1,854

*

NI Holdings Inc.

117,411

1,847

*

Howard Bancorp Inc.

127,818

1,828

 

Peoples Bancorp of North Carolina Inc.

74,425

1,820

 

Unity Bancorp Inc.

87,065

1,807

 

Maiden Holdings Ltd.

1,068,583

1,763

 

CB Financial Services Inc.

71,072

1,761

 

Mackinac Financial Corp.

128,400

1,753

*

Curo Group Holdings Corp.

183,881

1,745

 

Provident Financial Holdings Inc.

111,991

1,736

 

C&F Financial Corp.

32,575

1,733

*,^

Siebert Financial Corp.

119,039

1,721

 

Northeast Bancorp

102,005

1,707

 

Ellington Residential Mortgage REIT

165,120

1,689

 

BCB Bancorp Inc.

160,168

1,677

 

Timberland Bancorp Inc.

74,717

1,666

 

Evans Bancorp Inc.

50,787

1,651

 

Guaranty Bancshares Inc.

55,075

1,642

 

Standard AVB Financial Corp.

54,796

1,637

 

GAIN Capital Holdings Inc.

265,337

1,634

 

Ohio Valley Banc Corp.

45,934

1,626

 

First United Corp.

101,549

1,617

 

First Community Corp.

82,890

1,611

 

First Financial Northwest Inc.

103,776

1,605

*

Hallmark Financial Services Inc.

147,517

1,577

 

Luther Burbank Corp.

174,022

1,570

 

Sterling Bancorp Inc.

224,631

1,561

 

Community Financial Corp.

52,253

1,528

 

United Security Bancshares

157,636

1,510

 

Union Bankshares Inc.

31,073

1,484

 

FNCB Bancorp Inc.

174,900

1,476

 

Oak Valley Bancorp

80,206

1,468

 

Mid Penn Bancorp Inc.

63,079

1,452

 

Capstar Financial Holdings Inc.

97,496

1,436

 

SB One Bancorp

69,383

1,418

*

Bridgewater Bancshares Inc.

130,834

1,380

 

Hawthorn Bancshares Inc.

65,555

1,379

*

Meridian Corp.

82,000

1,366

*

Pacific Mercantile Bancorp

190,482

1,362

*

Atlas Financial Holdings Inc.

163,656

1,324

 

1st Constitution Bancorp

65,486

1,305

 

Tiptree Inc.

228,345

1,276

 

Two River Bancorp

83,507

1,274

*

Security National Financial Corp. Class A

243,754

1,258

 

GAMCO Investors Inc. Class A

73,819

1,247

 

County Bancorp Inc.

70,459

1,224

 

SB Financial Group Inc.

71,886

1,183

 

Colony Bankcorp Inc.

79,031

1,154

 

20


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Prudential Bancorp Inc.

65,134

1,146

*

PDL Community Bancorp

89,499

1,140

*

Nicholas Financial Inc.

107,396

1,117

 

American River Bankshares

77,554

1,070

 

MVB Financial Corp.

59,215

1,068

 

Silvercrest Asset Management Group Inc. Class A

78,526

1,039

 

DNB Financial Corp.

38,424

1,037

 

AmeriServ Financial Inc.

243,264

980

*

Esquire Financial Holdings Inc.

44,958

976

*

Baycom Corp.

41,368

955

 

Citizens Community Bancorp Inc.

86,970

948

*

HMN Financial Inc.

47,410

930

*

Elevate Credit Inc.

207,122

928

 

Old Point Financial Corp.

42,408

926

*

Great Elm Capital Group Inc.

268,787

909

 

Guaranty Federal Bancshares Inc.

38,891

849

*

Ashford Inc.

15,135

786

 

Eagle Bancorp Montana Inc.

48,474

784

 

Citizens Holding Co.

37,547

781

 

MSB Financial Corp.

42,744

763

 

Plumas Bancorp

33,088

751

 

United Bancorp Inc.

67,245

750

 

Donegal Group Inc. Class B

63,192

746

 

Sound Financial Bancorp Inc.

22,640

737

 

IF Bancorp Inc.

36,116

727

 

Federal Agricultural Mortgage Corp. Class A

12,586

717

 

Crawford & Co. Class A

78,437

698

 

Greene County Bancorp Inc.

22,100

688

*

Impac Mortgage Holdings Inc.

181,158

685

 

PB Bancorp Inc.

59,458

648

*

Consumer Portfolio Services Inc.

209,871

632

*

TheStreet Inc.

305,119

619

 

First US Bancshares Inc.

77,118

613

 

Hunt Cos. Finance Trust Inc.

203,294

581

 

Hennessy Advisors Inc.

57,467

575

 

HopFed Bancorp Inc.

42,516

565

 

Sachem Capital Corp.

143,397

561

*

Bancorp of New Jersey Inc.

42,401

552

 

First Savings Financial Group Inc.

10,547

548

 

Salisbury Bancorp Inc.

14,978

542

 

Summit State Bank

43,170

508

 

Severn Bancorp Inc.

62,961

502

 

Auburn National Bancorporation Inc.

15,758

499

 

Emclaire Financial Corp.

14,818

450

 

A-Mark Precious Metals Inc.

37,995

448

 

Community West Bancshares

43,814

439

 

Manhattan Bridge Capital Inc.

76,762

432

*

Bank7 Corp.

30,100

402

 

First Capital Inc.

10,028

398

 

Elmira Savings Bank

19,734

344

 

Central Federal Corp.

28,310

331

 

Blue Capital Reinsurance Holdings Ltd.

59,014

325

*

Atlanticus Holdings Corp.

87,924

320

 

Bank of South Carolina Corp.

15,406

281

*

Carolina Trust Bancshares Inc.

32,192

244

 

Wellesley Bank

8,528

237

 

United Bancshares Inc.

11,989

233

 

Stewardship Financial Corp.

25,341

231

*

Limestone Bancorp Inc.

15,237

210

 

Medley Management Inc. Class A

53,857

208

 

Oconee Federal Financial Corp.

8,131

202

*

Randolph Bancorp Inc.

14,039

199

 

Manning & Napier Inc.

107,926

190

^

US Global Investors Inc. Class A

159,768

176

 

21


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

First Western Financial Inc.

14,862

174

 

Landmark Bancorp Inc.

7,053

162

*

First Republic Bank

1,782

155

 

Southwest Georgia Financial Corp.

7,535

153

*

Coastal Financial Corp.

9,753

149

*,^

FlexShopper Inc.

181,219

138

 

HomeTown Bankshares Corp.

11,101

131

*

Magyar Bancorp Inc.

10,465

128

*

Tremont Mortgage Trust

13,800

125

 

Fauquier Bankshares Inc.

6,382

119

*

Hamilton Bancorp Inc.

8,570

119

 

Bank of the James Financial Group Inc.

9,047

118

*

Mid-Southern Bancorp Inc.

10,017

116

*

Capital Bancorp Inc.

9,076

104

 

Pacific City Financial Corp.

6,400

100

 

Glen Burnie Bancorp

9,237

96

*

Conifer Holdings Inc.

24,973

87

*

FFBW Inc.

8,563

86

 

Asta Funding Inc.

18,311

78

*

CBM Bancorp Inc.

5,748

72

 

Kentucky First Federal Bancorp

9,399

65

 

Bancorp 34 Inc.

4,124

59

 

Citizens First Corp.

2,642

57

*

OP Bancorp

5,800

51

 

Pathfinder Bancorp Inc.

3,621

51

 

Level One Bancorp Inc.

2,196

49

*

Community First Bancshares Inc.

3,743

44

*

Village Bank and Trust Financial Corp.

1,338

42

*

1347 Property Insurance Holdings Inc.

10,409

42

*

National Holdings Corp.

13,459

36

*

ICC Holdings Inc.

2,593

35

 

Melrose Bancorp Inc.

1,700

31

*

Broadway Financial Corp.

22,638

24

 

Patriot National Bancorp Inc.

1,479

21

 

Value Line Inc.

586

15

 

GWG Holdings Inc.

900

8

 

Ottawa Bancorp Inc.

500

7

 

Atlantic American Corp.

2,591

6

 

HV Bancorp Inc.

400

6

 

Lake Shore Bancorp Inc.

300

4

*

National Holdings Corp. Warrants Exp. 01/18/2022

7,766

4

*

FSB Bancorp Inc.

229

4

*,^

LM Funding America Inc.

2,693

3

 

Home Federal Bancorp Inc.

106

3

*

Carver Bancorp Inc.

445

1

 

Cohen & Co. Inc.

64

1

 

WCF Bancorp Inc.

21

 

 

 

9,645,931

Health Care (12.3%)

 

 

*

BioMarin Pharmaceutical Inc.

2,444,960

208,188

 

Teleflex Inc.

631,311

163,181

*

Veeva Systems Inc. Class A

1,672,131

149,355

*

DexCom Inc.

1,219,973

146,153

 

STERIS plc

1,158,593

123,796

*

Exact Sciences Corp.

1,687,944

106,509

*

Jazz Pharmaceuticals plc

825,980

102,388

*

Ionis Pharmaceuticals Inc.

1,889,935

102,170

 

West Pharmaceutical Services Inc.

1,016,744

99,671

*

Sarepta Therapeutics Inc.

910,041

99,313

*

Molina Healthcare Inc.

853,740

99,222

*

Alnylam Pharmaceuticals Inc.

1,231,484

89,788

*

Neurocrine Biosciences Inc.

1,245,649

88,952

 

Encompass Health Corp.

1,353,155

83,490

*

Seattle Genetics Inc.

1,473,048

83,463

 

22


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Hill-Rom Holdings Inc.

922,920

81,725

*

Exelixis Inc.

4,097,424

80,596

 

Bio-Techne Corp.

517,256

74,857

*

Bluebird Bio Inc.

750,891

74,488

*

Charles River Laboratories International Inc.

657,049

74,365

*

PRA Health Sciences Inc.

801,808

73,734

*

athenahealth Inc.

557,451

73,545

*

Masimo Corp.

665,622

71,468

*

Haemonetics Corp.

707,562

70,792

*

United Therapeutics Corp.

598,704

65,199

*

Insulet Corp.

810,877

64,319

*

Bio-Rad Laboratories Inc. Class A

275,351

63,942

*

Alkermes plc

2,134,700

62,995

 

Chemed Corp.

219,497

62,179

*

Catalent Inc.

1,991,637

62,099

*

Sage Therapeutics Inc.

643,831

61,673

*

LivaNova plc

668,028

61,105

*

Medidata Solutions Inc.

839,782

56,618

*

Loxo Oncology Inc.

386,012

54,069

*

ICU Medical Inc.

227,057

52,139

*

Penumbra Inc.

426,627

52,134

*

FibroGen Inc.

1,039,164

48,093

*,^

Teladoc Health Inc.

960,237

47,599

*

Amedisys Inc.

398,061

46,617

*

Globus Medical Inc.

1,040,476

45,032

*

Horizon Pharma plc

2,294,670

44,838

*

HealthEquity Inc.

742,845

44,311

*

Integra LifeSciences Holdings Corp.

972,588

43,864

*,^

TESARO Inc.

590,053

43,811

*

Wright Medical Group NV

1,596,652

43,461

*

Merit Medical Systems Inc.

752,369

41,990

*

Array BioPharma Inc.

2,926,345

41,700

 

Bruker Corp.

1,372,057

40,846

*

Neogen Corp.

713,037

40,643

*

MEDNAX Inc.

1,225,103

40,428

*,^

Ligand Pharmaceuticals Inc.

291,414

39,545

*

LHC Group Inc.

400,592

37,608

 

Cantel Medical Corp.

497,635

37,049

*

Emergent BioSolutions Inc.

616,472

36,544

*

AMN Healthcare Services Inc.

644,071

36,493

*

NuVasive Inc.

704,637

34,922

*

Immunomedics Inc.

2,351,320

33,553

*

Omnicell Inc.

543,399

33,278

*

Syneos Health Inc.

833,338

32,792

*

Blueprint Medicines Corp.

603,031

32,509

*

HMS Holdings Corp.

1,149,285

32,329

*

Agios Pharmaceuticals Inc.

693,710

31,987

*

Global Blood Therapeutics Inc.

763,981

31,361

*

Acadia Healthcare Co. Inc.

1,211,539

31,149

*

Integer Holdings Corp.

407,424

31,070

*

Intercept Pharmaceuticals Inc.

300,925

30,330

*,^

Inogen Inc.

242,037

30,054

*

Tandem Diabetes Care Inc.

788,665

29,946

*

Myriad Genetics Inc.

1,026,804

29,849

*

Avanos Medical Inc.

650,485

29,135

*

Elanco Animal Health Inc.

904,489

28,519

*

Ultragenyx Pharmaceutical Inc.

652,984

28,392

*

Repligen Corp.

534,810

28,206

*

Premier Inc. Class A

734,207

27,423

*

BioTelemetry Inc.

458,890

27,405

*

Arena Pharmaceuticals Inc.

678,624

26,432

 

Ensign Group Inc.

676,114

26,226

*

NxStage Medical Inc.

911,040

26,074

*

Glaukos Corp.

459,197

25,793

 

23


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Halozyme Therapeutics Inc.

1,735,326

25,388

*

Amicus Therapeutics Inc.

2,603,596

24,942

*

ACADIA Pharmaceuticals Inc.

1,536,505

24,845

*

Heron Therapeutics Inc.

943,953

24,486

*

Pacira Pharmaceuticals Inc.

563,379

24,237

*

Xencor Inc.

657,234

23,766

*

Supernus Pharmaceuticals Inc.

715,084

23,755

*

Quidel Corp.

481,999

23,531

*

Acceleron Pharma Inc.

532,271

23,180

*

Allscripts Healthcare Solutions Inc.

2,386,900

23,010

*

Select Medical Holdings Corp.

1,487,916

22,840

 

CONMED Corp.

355,747

22,839

*

MyoKardia Inc.

461,387

22,543

 

Patterson Cos. Inc.

1,129,433

22,205

*

PTC Therapeutics Inc.

645,743

22,162

*

Prestige Consumer Healthcare Inc.

709,483

21,909

*

Atara Biotherapeutics Inc.

624,653

21,700

*,^

Zogenix Inc.

575,619

20,987

*

iRhythm Technologies Inc.

301,395

20,941

*

AnaptysBio Inc.

314,879

20,086

*

Endo International plc

2,736,773

19,978

*

Ironwood Pharmaceuticals Inc. Class A

1,923,520

19,928

*

Evolent Health Inc. Class A

980,915

19,569

*

Tenet Healthcare Corp.

1,134,583

19,447

*

Aerie Pharmaceuticals Inc.

536,951

19,384

*

Corcept Therapeutics Inc.

1,447,609

19,340

*

Magellan Health Inc.

336,430

19,140

*

Mirati Therapeutics Inc.

445,760

18,909

*,^

Denali Therapeutics Inc.

913,257

18,868

*

Vanda Pharmaceuticals Inc.

719,301

18,795

*

Medpace Holdings Inc.

355,068

18,794

*

Genomic Health Inc.

288,525

18,584

*

Mallinckrodt plc

1,140,483

18,020

 

US Physical Therapy Inc.

174,562

17,866

*,^

Portola Pharmaceuticals Inc.

908,418

17,732

*

Spark Therapeutics Inc.

445,423

17,434

*

REGENXBIO Inc.

415,053

17,411

*

Cambrex Corp.

459,692

17,358

*

Brookdale Senior Living Inc.

2,585,965

17,326

*

Medicines Co.

901,451

17,254

*

Vocera Communications Inc.

420,336

16,540

*

Innoviva Inc.

930,629

16,239

*

Nevro Corp.

414,525

16,121

*

Sangamo Therapeutics Inc.

1,402,226

16,098

*

Natus Medical Inc.

466,892

15,888

*

Biohaven Pharmaceutical Holding Co. Ltd.

424,789

15,709

*,^

Esperion Therapeutics Inc.

337,396

15,520

*

Enanta Pharmaceuticals Inc.

216,989

15,369

*,^

OPKO Health Inc.

4,995,745

15,037

*,^

Theravance Biopharma Inc.

587,002

15,021

*

Iovance Biotherapeutics Inc.

1,689,716

14,954

*,^

Arrowhead Pharmaceuticals Inc.

1,203,039

14,942

*

Tabula Rasa HealthCare Inc.

232,667

14,835

 

Atrion Corp.

19,971

14,800

*

AtriCure Inc.

481,306

14,728

*

Amneal Pharmaceuticals Inc.

1,087,777

14,718

*

Momenta Pharmaceuticals Inc.

1,318,985

14,562

*,^

Inovalon Holdings Inc. Class A

989,892

14,037

*

Insmed Inc.

1,059,417

13,900

*

Pacific Biosciences of California Inc.

1,872,436

13,856

*

Tivity Health Inc.

556,897

13,817

*

Orthofix Medical Inc.

263,199

13,815

*

Cardiovascular Systems Inc.

477,126

13,593

*

CryoLife Inc.

476,559

13,525

 

24


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Editas Medicine Inc.

591,180

13,449

 

Luminex Corp.

573,432

13,252

*

Clovis Oncology Inc.

726,440

13,047

*

NeoGenomics Inc.

1,023,242

12,903

*

Retrophin Inc.

567,097

12,833

*

CareDx Inc.

509,448

12,808

*

Madrigal Pharmaceuticals Inc.

113,597

12,805

*

Varex Imaging Corp.

528,199

12,508

*

Aimmune Therapeutics Inc.

520,861

12,459

*

STAAR Surgical Co.

386,965

12,348

*

BioCryst Pharmaceuticals Inc.

1,509,606

12,183

*

Spectrum Pharmaceuticals Inc.

1,383,365

12,104

*

Reata Pharmaceuticals Inc. Class A

213,919

12,001

*

Intersect ENT Inc.

420,005

11,836

*

Codexis Inc.

658,681

11,000

*

R1 RCM Inc.

1,347,074

10,709

*

Fate Therapeutics Inc.

827,365

10,615

 

National HealthCare Corp.

135,081

10,597

*

Diplomat Pharmacy Inc.

781,670

10,521

*

Tactile Systems Technology Inc.

229,404

10,449

*,^

TherapeuticsMD Inc.

2,731,882

10,408

*

AngioDynamics Inc.

516,596

10,399

 

Meridian Bioscience Inc.

594,491

10,320

*

Vericel Corp.

591,020

10,284

*

Audentes Therapeutics Inc.

476,962

10,169

*

NextGen Healthcare Inc.

658,267

9,973

*

Invitae Corp.

900,205

9,956

*

OraSure Technologies Inc.

844,452

9,863

*

ImmunoGen Inc.

2,054,357

9,861

*,^

Novavax Inc.

5,254,891

9,669

*

Hanger Inc.

502,100

9,515

*

Cerus Corp.

1,866,211

9,462

*

AxoGen Inc.

461,499

9,428

*

Amphastar Pharmaceuticals Inc.

470,895

9,371

*

CytomX Therapeutics Inc.

619,074

9,348

*

Addus HomeCare Corp.

137,435

9,329

*

Radius Health Inc.

565,265

9,321

*

Providence Service Corp.

154,225

9,257

 

Phibro Animal Health Corp. Class A

282,889

9,098

*

WaVe Life Sciences Ltd.

214,604

9,022

*

Surmodics Inc.

189,723

8,966

*

Revance Therapeutics Inc.

445,162

8,961

 

HealthStream Inc.

355,199

8,578

*

Acorda Therapeutics Inc.

550,096

8,570

*

Puma Biotechnology Inc.

420,713

8,562

*

Lantheus Holdings Inc.

531,718

8,321

*

Alder Biopharmaceuticals Inc.

808,085

8,283

*

Heska Corp.

93,120

8,018

*

CorVel Corp.

129,886

8,017

*

Rhythm Pharmaceuticals Inc.

292,865

7,872

*

Intra-Cellular Therapies Inc.

657,180

7,485

*

Athenex Inc.

581,243

7,376

*

Coherus Biosciences Inc.

798,586

7,227

*

Natera Inc.

515,387

7,195

*

Dynavax Technologies Corp.

785,384

7,186

*

AMAG Pharmaceuticals Inc.

470,873

7,153

*,^

Omeros Corp.

636,186

7,087

*

Allogene Therapeutics Inc.

262,300

7,064

*

Inspire Medical Systems Inc.

166,704

7,043

*

Dicerna Pharmaceuticals Inc.

658,534

7,040

*

Anika Therapeutics Inc.

204,729

6,881

*

G1 Therapeutics Inc.

354,147

6,782

*

Collegium Pharmaceutical Inc.

393,988

6,765

*,^

Akcea Therapeutics Inc.

219,998

6,631

 

25


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Guardant Health Inc.

175,427

6,594

*

MacroGenics Inc.

519,087

6,592

*,^

Akebia Therapeutics Inc.

1,186,329

6,560

*

Karyopharm Therapeutics Inc.

686,679

6,434

*

Assembly Biosciences Inc.

283,651

6,416

*

Cymabay Therapeutics Inc.

813,660

6,404

*,^

Intrexon Corp.

976,170

6,384

*

BioScrip Inc.

1,776,680

6,343

*

Apellis Pharmaceuticals Inc.

465,983

6,146

*

Eagle Pharmaceuticals Inc.

149,942

6,041

*,^

Cara Therapeutics Inc.

463,077

6,020

*,^

Apollo Medical Holdings Inc.

302,932

6,013

*

PDL BioPharma Inc.

2,036,714

5,906

*

Kura Oncology Inc.

420,356

5,902

*,^

TransEnterix Inc.

2,589,717

5,853

*

Intellia Therapeutics Inc.

422,322

5,765

*

Prothena Corp. plc

543,859

5,602

*

Allakos Inc.

106,938

5,590

*,^

Viking Therapeutics Inc.

728,802

5,575

*

RadNet Inc.

546,142

5,554

*

Antares Pharma Inc.

2,040,243

5,549

 

Owens & Minor Inc.

860,603

5,448

*

Triple-S Management Corp. Class B

309,502

5,382

 

National Research Corp.

140,486

5,358

*,^

Solid Biosciences Inc.

198,787

5,327

*

Flexion Therapeutics Inc.

470,086

5,321

*

Epizyme Inc.

861,234

5,305

*

NanoString Technologies Inc.

355,008

5,265

*,^

Rocket Pharmaceuticals Inc.

354,879

5,259

*

PetIQ Inc. Class A

222,903

5,232

 

LeMaitre Vascular Inc.

220,172

5,205

*

Tricida Inc.

219,977

5,187

*

Fluidigm Corp.

594,107

5,121

*

ANI Pharmaceuticals Inc.

113,645

5,116

*

Rigel Pharmaceuticals Inc.

2,223,331

5,114

*

Veracyte Inc.

396,495

4,988

*

Inovio Pharmaceuticals Inc.

1,237,063

4,948

*

SIGA Technologies Inc.

621,300

4,908

*

Progenics Pharmaceuticals Inc.

1,157,536

4,862

*

Cytokinetics Inc.

761,204

4,811

*,^

ViewRay Inc.

787,164

4,778

*

Ra Pharmaceuticals Inc.

258,193

4,699

*,^

Community Health Systems Inc.

1,618,226

4,563

 

Computer Programs & Systems Inc.

181,527

4,556

*

Five Prime Therapeutics Inc.

484,849

4,509

*,^

CryoPort Inc.

407,495

4,495

*

Kindred Biosciences Inc.

409,360

4,482

*,^

Lexicon Pharmaceuticals Inc.

674,802

4,481

*

Akorn Inc.

1,291,500

4,378

*,^

MediciNova Inc.

535,480

4,375

*

Accuray Inc.

1,269,536

4,329

*

Deciphera Pharmaceuticals Inc.

203,527

4,272

*

GlycoMimetics Inc.

450,995

4,271

*,^

Accelerate Diagnostics Inc.

364,004

4,186

*

Aratana Therapeutics Inc.

678,990

4,162

*

BioSpecifics Technologies Corp.

68,334

4,141

*

Sientra Inc.

320,152

4,069

*

SeaSpine Holdings Corp.

218,519

3,986

*

GenMark Diagnostics Inc.

805,957

3,917

*

Nuvectra Corp.

238,006

3,889

*,^

Corbus Pharmaceuticals Holdings Inc.

665,693

3,888

*

Civitas Solutions Inc.

217,517

3,809

*,^

Eloxx Pharmaceuticals Inc.

315,762

3,792

*,^

TG Therapeutics Inc.

919,526

3,770

 

26


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Stemline Therapeutics Inc.

393,520

3,738

*

ArQule Inc.

1,345,475

3,727

*

Cross Country Healthcare Inc.

502,797

3,686

*

Aclaris Therapeutics Inc.

487,440

3,602

*,^

ZIOPHARM Oncology Inc.

1,920,485

3,591

 

Utah Medical Products Inc.

42,493

3,530

*

ChemoCentryx Inc.

319,317

3,484

*,^

Verastem Inc.

1,003,441

3,372

*

Dermira Inc.

466,224

3,352

*

OrthoPediatrics Corp.

95,228

3,322

*,^

Senseonics Holdings Inc.

1,273,867

3,299

*

Kiniksa Pharmaceuticals Ltd. Class A

116,974

3,286

*

Cutera Inc.

191,222

3,255

*

Assertio Therapeutics Inc.

886,664

3,201

*,^

PolarityTE Inc.

234,891

3,169

*

Albireo Pharma Inc.

129,109

3,167

*

Kadmon Holdings Inc.

1,512,207

3,145

*

Voyager Therapeutics Inc.

334,319

3,143

*,^

Abeona Therapeutics Inc.

436,549

3,117

*,^

Agenus Inc.

1,303,023

3,101

*,^

Sorrento Therapeutics Inc.

1,273,038

3,055

*

Achillion Pharmaceuticals Inc.

1,915,426

3,046

*

Concert Pharmaceuticals Inc.

239,490

3,006

*

Savara Inc.

393,472

2,979

*,^

Osiris Therapeutics Inc.

218,523

2,950

 

Simulations Plus Inc.

145,238

2,890

*

RTI Surgical Inc.

779,635

2,885

*

BioDelivery Sciences International Inc.

778,334

2,880

*

Avid Bioservices Inc.

702,354

2,880

*

Catalyst Pharmaceuticals Inc.

1,489,675

2,860

*,^

CASI Pharmaceuticals Inc.

711,485

2,860

*

CytoSorbents Corp.

353,897

2,859

*

Minerva Neurosciences Inc.

421,522

2,841

*,^

La Jolla Pharmaceutical Co.

292,229

2,756

*

Capital Senior Living Corp.

401,621

2,731

*

Homology Medicines Inc.

121,771

2,723

*

IntriCon Corp.

101,916

2,689

*,^

Athersys Inc.

1,839,055

2,648

*

KalVista Pharmaceuticals Inc.

134,012

2,647

*,^

Cellular Biomedicine Group Inc.

149,303

2,637

*,^

Crinetics Pharmaceuticals Inc.

87,687

2,630

*

American Renal Associates Holdings Inc.

226,579

2,610

*,^

Geron Corp.

2,552,248

2,552

*

Aldeyra Therapeutics Inc.

303,544

2,519

*,^

Surgery Partners Inc.

248,129

2,429

*

Krystal Biotech Inc.

116,573

2,422

*

Bovie Medical Corp.

365,205

2,367

*,^

Lannett Co. Inc.

476,770

2,365

*

Adamas Pharmaceuticals Inc.

275,507

2,353

*,^

MannKind Corp.

2,216,798

2,350

*

Zafgen Inc.

471,085

2,332

*

Tocagen Inc.

283,520

2,328

*

Adverum Biotechnologies Inc.

734,456

2,314

*

Castlight Health Inc. Class B

1,063,129

2,307

*,^

Quanterix Corp.

124,335

2,277

*,^

AVEO Pharmaceuticals Inc.

1,414,384

2,263

*

Calithera Biosciences Inc.

561,595

2,252

*,^

Rubius Therapeutics Inc.

139,349

2,241

*,^

Helius Medical Technologies Inc. Class A

234,490

2,148

*

Enzo Biochem Inc.

771,587

2,145

*

Eiger BioPharmaceuticals Inc.

208,134

2,115

*,^

Odonate Therapeutics Inc.

147,123

2,071

*,^

AcelRx Pharmaceuticals Inc.

892,568

2,062

*,^

XBiotech Inc.

397,433

2,019

 

27


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*,^

Paratek Pharmaceuticals Inc.

389,195

1,997

 

Invacare Corp.

455,774

1,960

*

Ocular Therapeutix Inc.

487,041

1,938

*

BioLife Solutions Inc.

159,639

1,920

*

Principia Biopharma Inc.

69,547

1,905

*,^

Marinus Pharmaceuticals Inc.

641,650

1,842

*

Celcuity Inc.

76,715

1,840

*

FONAR Corp.

90,717

1,836

*,^

CorMedix Inc.

1,421,479

1,834

*

Aduro Biotech Inc.

694,492

1,833

*

Harvard Bioscience Inc.

568,057

1,806

*

Proteostasis Therapeutics Inc.

549,062

1,779

*,^

Scholar Rock Holding Corp.

77,010

1,769

*

Y-mAbs Therapeutics Inc.

86,110

1,751

*

Axonics Modulation Technologies Inc.

114,378

1,728

*,^

Marker Therapeutics Inc.

309,957

1,720

*

Bellicum Pharmaceuticals Inc.

585,862

1,711

*

Spring Bank Pharmaceuticals Inc.

163,351

1,697

*,^

Dova Pharmaceuticals Inc.

223,127

1,691

*

Chimerix Inc.

643,484

1,654

*

Twist Bioscience Corp.

70,987

1,639

*,^

Tyme Technologies Inc.

442,028

1,631

*

Aeglea BioTherapeutics Inc.

213,619

1,600

*

Palatin Technologies Inc.

2,246,944

1,592

*,^

iRadimed Corp.

64,570

1,579

*

Neuronetics Inc.

81,618

1,579

*

Forty Seven Inc.

99,197

1,559

*

T2 Biosystems Inc.

514,760

1,549

*

Recro Pharma Inc.

218,028

1,548

*

Syros Pharmaceuticals Inc.

277,221

1,544

*,^

Rockwell Medical Inc.

676,909

1,530

*,^

Evolus Inc.

127,176

1,513

*

Imprimis Pharmaceuticals Inc.

264,836

1,507

*

ContraFect Corp.

958,686

1,467

*,^

Galectin Therapeutics Inc.

425,355

1,459

*

Kezar Life Sciences Inc.

60,499

1,428

*

Kala Pharmaceuticals Inc.

291,628

1,426

*,^

BioTime Inc.

1,559,489

1,424

*

Gritstone Oncology Inc.

91,924

1,420

*,^

Organovo Holdings Inc.

1,436,035

1,374

*

Aptinyx Inc.

82,449

1,364

*,^

Arcus Biosciences Inc.

125,779

1,355

*

Avrobio Inc.

80,435

1,339

*,^

Seres Therapeutics Inc.

295,653

1,336

*

Arvinas Inc.

103,565

1,331

*,^

EyePoint Pharmaceuticals Inc.

701,402

1,326

*

Acer Therapeutics Inc.

65,711

1,322

*

Catalyst Biosciences Inc.

166,714

1,315

*

Synlogic Inc.

186,329

1,306

*,^

Insys Therapeutics Inc.

370,328

1,296

*

Protagonist Therapeutics Inc.

190,330

1,281

*

SI-BONE Inc.

61,263

1,280

*,^

Xeris Pharmaceuticals Inc.

75,082

1,276

 

Psychemedics Corp.

78,603

1,247

*

Optinose Inc.

201,111

1,247

*,^

Adamis Pharmaceuticals Corp.

550,638

1,239

*,^

XOMA Corp.

96,353

1,219

*

OptimizeRx Corp.

109,854

1,205

*

Syndax Pharmaceuticals Inc.

270,598

1,204

*,^

Calyxt Inc.

114,374

1,185

*

Sesen Bio Inc.

831,849

1,181

*,^

Pulse Biosciences Inc.

102,763

1,178

*,^

Cohbar Inc.

378,132

1,176

*,^

ChromaDex Corp.

342,026

1,173

 

28


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Pfenex Inc.

359,735

1,148

*,^

UNITY Biotechnology Inc.

68,492

1,114

*

Chembio Diagnostics Inc.

196,738

1,114

*

Vapotherm Inc.

55,649

1,110

*

Quorum Health Corp.

379,043

1,095

*

LogicBio Therapeutics Inc.

103,600

1,077

*

Durect Corp.

2,198,383

1,062

*

MEI Pharma Inc.

397,761

1,050

*,^

Corindus Vascular Robotics Inc.

1,221,096

1,026

*

Endologix Inc.

1,359,221

973

*

Sensus Healthcare Inc.

130,738

969

*,^

Replimune Group Inc.

96,365

964

*,^

HTG Molecular Diagnostics Inc.

376,997

958

*,^

Cue Biopharma Inc.

202,666

953

*

Liquidia Technologies Inc.

42,737

926

*

Ardelyx Inc.

515,419

923

*,^

Eidos Therapeutics Inc.

64,948

894

*

Idera Pharmaceuticals Inc.

321,071

889

*

Catasys Inc.

94,687

887

*,^

Anavex Life Sciences Corp.

566,620

884

*,^

Teligent Inc.

642,232

880

*

Neos Therapeutics Inc.

530,752

876

*

Miragen Therapeutics Inc.

288,427

874

*

Infinity Pharmaceuticals Inc.

727,899

859

*

ElectroCore Inc.

135,647

849

*,^

CEL-SCI Corp.

295,212

847

*,^

BrainStorm Cell Therapeutics Inc.

238,368

846

*,^

Ekso Bionics Holdings Inc.

659,947

818

*

Tetraphase Pharmaceuticals Inc.

723,299

817

*,^

Anixa Biosciences Inc.

205,784

811

*,^

Evelo Biosciences Inc.

61,795

804

*

Jounce Therapeutics Inc.

237,499

800

*

Mersana Therapeutics Inc.

196,096

800

*

ADMA Biologics Inc.

333,451

797

*

Molecular Templates Inc.

195,021

788

*

IRIDEX Corp.

164,887

775

*

Spero Therapeutics Inc.

121,258

746

*

Aerpio Pharmaceuticals Inc.

426,100

724

*

Axsome Therapeutics Inc.

256,514

723

*

Aquinox Pharmaceuticals Inc.

331,503

716

*,^

Genesis Healthcare Inc.

605,622

715

*

Merrimack Pharmaceuticals Inc.

185,083

714

*,^

resTORbio Inc.

81,878

706

*

Misonix Inc.

43,884

703

*

Otonomy Inc.

377,846

699

*,^

Matinas BioPharma Holdings Inc.

1,171,741

697

*,^

Achaogen Inc.

561,451

691

*,^

Zynerba Pharmaceuticals Inc.

231,681

688

*

Osmotica Pharmaceuticals plc

83,106

644

*,^

Magenta Therapeutics Inc.

111,476

635

*

InfuSystem Holdings Inc.

183,833

632

*,^

Checkpoint Therapeutics Inc.

346,400

630

*,^

Conatus Pharmaceuticals Inc.

362,868

628

*

RA Medical Systems Inc.

78,850

627

 

Kewaunee Scientific Corp.

18,804

625

*

Verrica Pharmaceuticals Inc.

76,530

624

*

Ophthotech Corp.

516,091

619

*

Immune Design Corp.

461,740

600

*,^

Viveve Medical Inc.

570,640

599

*

Orgenesis Inc.

127,319

596

*

Icad Inc.

157,862

584

*

Urovant Sciences Ltd.

88,497

583

*

Kodiak Sciences Inc.

82,086

583

*

NewLink Genetics Corp.

382,170

581

 

29


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Corvus Pharmaceuticals Inc.

155,146

569

*,^

VBI Vaccines Inc.

353,698

566

*

Surface Oncology Inc.

132,306

561

*,^

VistaGen Therapeutics Inc.

371,814

558

*,^

VolitionRX Ltd.

307,270

556

*,^

Opiant Pharmaceuticals Inc.

38,303

553

*

Allena Pharmaceuticals Inc.

101,373

552

*

Translate Bio Inc.

73,522

551

*

KemPharm Inc.

309,384

551

*

Mustang Bio Inc.

184,807

543

*

Cumberland Pharmaceuticals Inc.

83,401

525

*,^

Ampio Pharmaceuticals Inc.

1,311,656

518

*

Applied Genetic Technologies Corp.

207,936

518

*,^

OncoSec Medical Inc.

804,959

515

*

CTI BioPharma Corp.

690,723

507

*

Cidara Therapeutics Inc.

209,686

493

*

Apollo Endosurgery Inc.

142,486

492

*

Cerecor Inc.

148,509

480

*

Sharps Compliance Corp.

144,455

474

*

Champions Oncology Inc.

59,932

468

*

AgeX Therapeutics Inc.

155,948

466

*,^

Sophiris Bio Inc.

559,915

465

*

Selecta Biosciences Inc.

171,425

456

*,^

Evoke Pharma Inc.

182,231

452

*

Aevi Genomic Medicine Inc.

631,947

442

*

NantKwest Inc.

379,861

441

*,^

Innovate Biopharmaceuticals Inc.

189,900

439

*

Provention Bio Inc.

245,215

434

*

Melinta Therapeutics Inc.

539,416

428

*

Celldex Therapeutics Inc.

2,141,825

424

*

Menlo Therapeutics Inc.

101,515

418

*,^

Trevena Inc.

966,358

416

*

Clearside Biomedical Inc.

387,364

414

*,^

Heat Biologics Inc.

416,742

408

*

Ovid therapeutics Inc.

167,892

406

 

Aceto Corp.

481,966

405

*,^

Rexahn Pharmaceuticals Inc.

427,517

398

*

Unum Therapeutics Inc.

90,293

397

*

Alphatec Holdings Inc.

163,944

375

*

Alimera Sciences Inc.

518,727

372

*

Catabasis Pharmaceuticals Inc.

85,112

372

*,^

Evofem Biosciences Inc.

87,622

367

*

Aquestive Therapeutics Inc.

58,176

367

*

Electromed Inc.

71,985

366

*

Sienna Biopharmaceuticals Inc.

155,246

360

*,^

Obalon Therapeutics Inc.

173,018

358

*,^

Millendo Therapeutics Inc.

44,973

358

*,^

Medical Transcription Billing Corp.

89,380

340

*,^

Fortress Biotech Inc.

386,717

333

*,^

Aethlon Medical Inc.

198,054

329

*,^

Zosano Pharma Corp.

153,459

325

*

Actinium Pharmaceuticals Inc.

809,392

313

*

Vical Inc.

261,746

309

*

Aravive Inc.

87,683

309

*,^

Moderna Inc.

19,997

305

*

scPharmaceuticals Inc.

80,058

301

*

Aptevo Therapeutics Inc.

232,945

296

*

Caladrius Biosciences Inc.

83,015

296

*,^

Second Sight Medical Products Inc.

327,947

290

*,^

NantHealth Inc.

530,430

289

*

Lipocine Inc.

208,893

272

*,^

Riot Blockchain Inc.

179,749

271

*

SCYNEXIS Inc.

562,798

271

*

Chiasma Inc.

86,888

270

 

30


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Conformis Inc.

720,234

258

*,^

SELLAS Life Sciences Group Inc.

206,991

255

*,^

vTv Therapeutics Inc. Class A

94,591

251

*,^

Curis Inc.

363,068

250

*,^

Equillium Inc.

30,027

245

*

IsoRay Inc.

801,772

241

*

Celsion Corp.

170,528

240

*

Neurotrope Inc.

67,260

240

*,^

Moleculin Biotech Inc.

229,179

238

*

Sutro Biopharma Inc.

26,125

236

*,^

Bellerophon Therapeutics Inc.

291,993

234

*,^

PAVmed Inc.

240,525

231

*

AAC Holdings Inc.

163,646

229

*

BioSig Technologies Inc.

52,572

224

*

CAS Medical Systems Inc.

139,814

224

*

Strata Skin Sciences Inc.

83,712

218

*,^

Genocea Biosciences Inc.

751,470

216

*

OncoMed Pharmaceuticals Inc.

287,555

215

*

Novan Inc.

255,311

212

*

Leap Therapeutics Inc.

105,558

211

 

Digirad Corp.

363,958

207

*

Asterias Biotherapeutics Inc. Class A

326,770

203

*

Entasis Therapeutics Holdings Inc.

49,097

200

*

VIVUS Inc.

89,439

199

*

Interpace Diagnostics Group Inc.

248,372

199

*

Joint Corp.

22,735

189

*

Proteon Therapeutics Inc.

81,784

186

*,^

Arsanis Inc.

79,499

184

*,^

BioPharmX Corp.

1,693,738

183

*,^

Valeritas Holdings Inc.

561,026

183

*

PhaseBio Pharmaceuticals Inc.

56,307

174

*,^

Navidea Biopharmaceuticals Inc.

1,694,430

174

*

Neon Therapeutics Inc.

33,544

169

*

Vermillion Inc.

552,188

166

*

Bioxcel Therapeutics Inc.

42,822

165

*,^

Akers Biosciences Inc.

143,770

162

*,^

Adial Pharmaceuticals Inc.

30,832

158

*

Pro-Dex Inc.

12,685

153

*

Soleno Therapeutics Inc.

88,996

152

*

Sunesis Pharmaceuticals Inc.

363,659

151

*,^

Avenue Therapeutics Inc.

27,252

147

*,^

Myomo Inc.

101,985

147

*

ENDRA Life Sciences Inc.

97,900

147

*

Advaxis Inc.

748,188

142

*

Bioanalytical Systems Inc.

111,396

141

*,^

Agile Therapeutics Inc.

241,958

139

*,^

Oragenics Inc.

160,117

138

*,^

Soligenix Inc.

158,107

136

*,^

InVivo Therapeutics Holdings Corp.

85,892

130

*

Outlook Therapeutics Inc.

258,846

129

*

Fibrocell Science Inc.

80,875

121

*,^

Capricor Therapeutics Inc.

294,197

121

*

CytRx Corp.

261,880

118

*,^

Trovagene Inc.

217,675

114

*,^

Titan Pharmaceuticals Inc.

493,805

110

*,^

GTx Inc.

141,091

110

*

Five Star Senior Living Inc.

235,990

110

*,^

Gemphire Therapeutics Inc.

129,871

101

*,^

Oncocyte Corp.

72,850

101

*

Alpine Immune Sciences Inc.

27,198

100

*,^

Pulmatrix Inc.

415,907

100

^

Biolase Inc.

97,373

96

*,^

Senestech Inc.

162,808

95

*,^

Edge Therapeutics Inc.

294,157

94

 

31


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Restoration Robotics Inc.

211,907

92

*

Tracon Pharmaceuticals Inc.

145,455

92

*,^

aTyr Pharma Inc.

177,445

88

*,^

AquaBounty Technologies Inc.

41,893

86

*,^

Yield10 Bioscience Inc.

103,390

86

*

Vital Therapies Inc.

453,231

84

*,^

DarioHealth Corp.

107,299

83

*,^

Alliqua BioMedical Inc.

41,300

77

*

NanoViricides Inc.

380,907

76

*,^

Aytu BioScience Inc.

95,268

75

*,^

Pain Therapeutics Inc.

87,959

75

*

ImmuCell Corp.

10,955

75

*

Cocrystal Pharma Inc.

20,149

73

*,^

Xtant Medical Holdings Inc.

44,170

71

*,^

Atossa Genetics Inc.

68,917

70

*,^

Co-Diagnostics Inc.

45,845

67

*,^

iBio Inc.

87,761

66

^

Altimmune Inc.

32,082

66

*

SunLink Health Systems Inc.

57,952

66

*,^

Hemispherx Biopharma Inc.

361,415

65

*

Retractable Technologies Inc.

109,240

65

*

Cyclacel Pharmaceuticals Inc.

106,172

64

*

Streamline Health Solutions Inc.

83,275

64

*,^

Precision Therapeutics Inc.

101,040

62

 

Vaxart Inc.

33,222

61

*

EyeGate Pharmaceuticals Inc.

131,610

61

*

Novus Therapeutics Inc.

37,690

60

*

CynergisTek Inc.

12,239

58

*

Fulgent Genetics Inc.

18,060

57

*,^

Xenetic Biosciences Inc.

35,393

57

*,^

Histogenics Corp.

633,789

56

*

Jaguar Health Inc.

244,300

56

*

Ligand Pharmaceuticals Inc. Rights Beta CVR

395,811

55

*,^

OpGen Inc.

41,396

54

*

Synthorx Inc.

3,072

53

*,^

Neuralstem Inc.

165,532

52

*

BioNano Genomics Inc.

9,790

51

*

AzurRx BioPharma Inc.

40,665

49

*

Constellation Pharmaceuticals Inc.

12,040

48

*,^

Onconova Therapeutics Inc.

22,579

48

*

Ohr Pharmaceutical Inc.

531,931

46

*,^

AmpliPhi Biosciences Corp.

212,113

44

*,^

Cancer Genetics Inc.

179,351

43

*

Diffusion Pharmaceuticals Inc.

21,803

43

*,^

Sonoma Pharmaceuticals Inc.

57,676

41

 

ProPhase Labs Inc.

12,637

40

*

Flex Pharma Inc.

119,407

39

*,^

Aradigm Corp.

120,486

39

*,^

Pernix Therapeutics Holdings Inc.

90,003

38

*,^

Ritter Pharmaceuticals Inc.

56,210

34

*,^

Apricus Biosciences Inc.

172,054

33

*,^

Regulus Therapeutics Inc.

32,504

30

*

Citius Pharmaceuticals Inc.

28,963

30

*,^

Dare Bioscience Inc.

41,359

29

*,^

ContraVir Pharmaceuticals Inc.

101,131

29

*

Cellectar Biosciences Inc.

16,755

26

 

Ligand Pharmaceuticals Inc. Rights Glucagon CVR

395,811

24

*

Allied Healthcare Products Inc.

11,560

23

*,^

Tonix Pharmaceuticals Holding Corp.

9,762

21

*

Aileron Therapeutics Inc.

24,778

21

*

NanoVibronix Inc.

5,700

20

*,^

Achieve Life Sciences Inc.

15,555

19

*

Regional Health Properties Inc.

139,122

18

*,^

Precipio Inc.

116,462

18

 

32


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

ARCA biopharma Inc.

50,481

17

*

Presbia plc

54,190

16

*,^

CHF Solutions Inc.

33,048

16

*

Cesca Therapeutics Inc.

58,940

16

*

Eyenovia Inc.

5,416

15

 

Diversicare Healthcare Services Inc.

6,253

15

*,^

Tenax Therapeutics Inc.

12,200

15

*,^

Attis Industries Inc.

82,465

15

*

Bio-Path Holdings Inc.

78,343

14

*,^

Cleveland BioLabs Inc.

13,546

14

*,^

Microbot Medical Inc.

7,871

14

*

American Shared Hospital Services

5,681

14

*,^

Biocept Inc.

13,911

12

*

NovaBay Pharmaceuticals Inc.

15,439

12

*,^

Synthetic Biologics Inc.

18,147

10

*

SiNtx Technologies Inc.

52,791

10

 

Daxor Corp.

1,105

9

*

NeuroMetrix Inc.

11,900

9

*,^

Phio Pharmaceuticals Corp.

26,460

9

*,^

MYnd Analytics Inc.

11,697

9

*

Biomerica Inc.

4,818

8

*

PLx Pharma Inc.

5,122

8

*,^

InspireMD Inc.

43,504

7

*,^

Nobilis Health Corp.

10,255

4

*

Micron Solutions Inc.

1,204

3

*

Cytori Therapeutics Inc.

9,598

3

*

Milestone Scientific Inc.

7,165

2

*

Ligand Pharmaceuticals Inc. Rights Roche CVR

395,811

2

*

Ligand Pharmaceuticals Inc. Rights General CVR

395,811

2

*,^

Avinger Inc.

2,800

1

 

Wright Medical Group Inc. CVR

52,493

1

*

ReShape Lifesciences Inc.

177

*

MabVax Therapeutics Holdings Inc.

2

 

 

 

7,161,347

Industrials (13.4%)

 

 

*

CoStar Group Inc.

498,344

168,111

 

TransUnion

2,541,059

144,332

 

IDEX Corp.

1,051,665

132,783

 

Old Dominion Freight Line Inc.

895,164

110,544

 

Lennox International Inc.

494,875

108,308

 

Spirit AeroSystems Holdings Inc. Class A

1,450,684

104,580

*

Teledyne Technologies Inc.

495,465

102,596

*

Sensata Technologies Holding plc

2,247,671

100,786

*

XPO Logistics Inc.

1,742,046

99,366

 

Graco Inc.

2,282,488

95,522

*

HD Supply Holdings Inc.

2,510,784

94,205

 

KAR Auction Services Inc.

1,846,751

88,127

 

Nordson Corp.

719,069

85,821

 

Wabtec Corp.

1,175,891

82,606

 

Carlisle Cos. Inc.

816,851

82,110

 

Toro Co.

1,444,308

80,708

*

Middleby Corp.

766,548

78,747

*

WABCO Holdings Inc.

715,824

76,837

 

Donaldson Co. Inc.

1,749,570

75,914

 

Hubbell Inc. Class B

749,977

74,503

 

Dun & Bradstreet Corp.

505,684

72,181

 

Allison Transmission Holdings Inc.

1,631,274

71,629

 

Lincoln Electric Holdings Inc.

881,983

69,544

 

Hexcel Corp.

1,178,934

67,600

*

JetBlue Airways Corp.

4,179,937

67,130

 

Owens Corning

1,499,349

65,941

 

Acuity Brands Inc.

550,238

63,250

 

Curtiss-Wright Corp.

601,338

61,409

 

Watsco Inc.

440,590

61,304

 

33


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

HEICO Corp. Class A

971,650

61,214

 

Oshkosh Corp.

984,294

60,347

*

Genesee & Wyoming Inc. Class A

798,795

59,127

 

ITT Inc.

1,196,647

57,762

*

AECOM

2,140,569

56,725

 

Woodward Inc.

762,203

56,624

 

ManpowerGroup Inc.

843,836

54,681

*

Spirit Airlines Inc.

937,569

54,304

 

Landstar System Inc.

562,227

53,788

 

BWX Technologies Inc.

1,352,358

51,701

 

nVent Electric plc

2,242,492

50,366

 

AGCO Corp.

901,639

50,194

 

Crane Co.

691,883

49,940

*

Kirby Corp.

739,740

49,829

 

USG Corp.

1,159,791

49,477

 

Insperity Inc.

519,826

48,531

 

MSC Industrial Direct Co. Inc. Class A

622,768

47,903

*

Trex Co. Inc.

804,181

47,736

 

EMCOR Group Inc.

788,936

47,092

 

MSA Safety Inc.

480,036

45,253

 

Brink’s Co.

695,241

44,947

 

EnerSys

578,361

44,887

*

RBC Bearings Inc.

339,863

44,556

*

Esterline Technologies Corp.

365,098

44,341

 

HEICO Corp.

571,569

44,285

 

Knight-Swift Transportation Holdings Inc.

1,721,744

43,164

*

Stericycle Inc.

1,165,699

42,770

*

Generac Holdings Inc.

850,237

42,257

*

Proto Labs Inc.

371,896

41,946

 

Trinity Industries Inc.

2,021,191

41,616

 

Regal Beloit Corp.

591,278

41,419

 

Air Lease Corp. Class A

1,369,011

41,358

^

Healthcare Services Group Inc.

1,012,719

40,691

 

Tetra Tech Inc.

758,973

39,292

 

Armstrong World Industries Inc.

674,755

39,277

*

ASGN Inc.

716,882

39,070

 

Macquarie Infrastructure Corp.

1,053,978

38,533

 

Kennametal Inc.

1,120,337

37,285

 

GATX Corp.

515,659

36,514

 

Exponent Inc.

715,308

36,273

*

Gardner Denver Holdings Inc.

1,747,597

35,738

 

Timken Co.

946,676

35,330

*

MasTec Inc.

870,379

35,303

*

Axon Enterprise Inc.

803,593

35,157

*

FTI Consulting Inc.

526,151

35,063

 

Ryder System Inc.

723,594

34,841

*

Aerojet Rocketdyne Holdings Inc.

985,294

34,712

*

Resideo Technologies Inc.

1,688,652

34,702

 

Barnes Group Inc.

646,543

34,668

*

Clean Harbors Inc.

699,117

34,501

 

Moog Inc. Class A

444,454

34,436

 

AMERCO

104,852

34,403

 

Valmont Industries Inc.

304,553

33,790

*

Rexnord Corp.

1,432,798

32,883

 

Hillenbrand Inc.

856,265

32,478

 

SkyWest Inc.

714,633

31,780

*

Mercury Systems Inc.

665,308

31,462

 

John Bean Technologies Corp.

435,207

31,252

*

SiteOne Landscape Supply Inc.

561,278

31,022

 

Korn/Ferry International

780,217

30,850

 

Simpson Manufacturing Co. Inc.

568,219

30,758

*

WESCO International Inc.

637,789

30,614

 

UniFirst Corp.

211,933

30,321

*

Beacon Roofing Supply Inc.

936,279

29,699

 

34


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Brady Corp. Class A

671,429

29,180

 

KBR Inc.

1,919,197

29,133

 

ABM Industries Inc.

902,576

28,982

 

Applied Industrial Technologies Inc.

537,072

28,970

*

Univar Inc.

1,573,565

27,915

*

Chart Industries Inc.

426,300

27,722

*

Colfax Corp.

1,299,463

27,159

 

Granite Construction Inc.

643,178

25,907

*

TriNet Group Inc.

601,101

25,216

 

Albany International Corp.

400,986

25,034

 

Herman Miller Inc.

818,008

24,745

 

Watts Water Technologies Inc. Class A

381,733

24,633

 

Terex Corp.

889,559

24,525

 

Deluxe Corp.

633,776

24,362

 

ESCO Technologies Inc.

357,790

23,596

*

Advanced Disposal Services Inc.

981,324

23,493

*

Navistar International Corp.

895,452

23,237

*

Dycom Industries Inc.

427,916

23,125

 

Franklin Electric Co. Inc.

531,679

22,798

 

Comfort Systems USA Inc.

512,719

22,396

 

Universal Forest Products Inc.

850,360

22,075

 

Altra Industrial Motion Corp.

877,028

22,057

 

Forward Air Corp.

400,894

21,989

 

Triton International Ltd.

705,303

21,914

*

Harsco Corp.

1,100,694

21,860

 

Covanta Holding Corp.

1,607,727

21,576

 

HNI Corp.

607,054

21,508

 

Kaman Corp.

383,450

21,508

 

Cubic Corp.

393,319

21,137

*

Avis Budget Group Inc.

889,521

19,996

*

Welbilt Inc.

1,794,176

19,933

*

Aerovironment Inc.

291,920

19,836

*

Saia Inc.

353,997

19,760

*

Meritor Inc.

1,168,299

19,756

 

Mueller Water Products Inc. Class A

2,166,350

19,714

 

Mobile Mini Inc.

615,735

19,550

 

AAON Inc.

556,893

19,525

 

US Ecology Inc.

304,323

19,166

 

Matson Inc.

588,407

18,841

*

Air Transport Services Group Inc.

813,673

18,560

 

Mueller Industries Inc.

792,629

18,516

*

Arcosa Inc.

666,906

18,467

 

Werner Enterprises Inc.

609,467

18,004

 

Matthews International Corp. Class A

442,139

17,960

 

Hawaiian Holdings Inc.

677,548

17,894

*

SPX FLOW Inc.

586,421

17,839

 

Raven Industries Inc.

488,529

17,680

 

Allegiant Travel Co. Class A

176,197

17,658

 

Actuant Corp. Class A

839,999

17,632

 

Steelcase Inc. Class A

1,188,669

17,628

 

Greenbrier Cos. Inc.

445,118

17,600

 

McGrath RentCorp

336,443

17,320

*

NOW Inc.

1,486,956

17,308

*

Builders FirstSource Inc.

1,584,941

17,292

*

TriMas Corp.

632,308

17,256

 

EnPro Industries Inc.

285,589

17,164

*

Hub Group Inc. Class A

461,347

17,102

 

ICF International Inc.

262,457

17,002

*

Kratos Defense & Security Solutions Inc.

1,199,947

16,907

 

AAR Corp.

452,252

16,887

*

SPX Corp.

600,310

16,815

 

Federal Signal Corp.

833,358

16,584

*

Masonite International Corp.

365,789

16,398

 

Rush Enterprises Inc. Class A

465,316

16,044

 

35


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Huron Consulting Group Inc.

311,886

16,003

*

Gibraltar Industries Inc.

439,581

15,645

*

Casella Waste Systems Inc. Class A

540,579

15,401

*

CBIZ Inc.

772,370

15,216

 

Pitney Bowes Inc.

2,565,517

15,162

*

MRC Global Inc.

1,239,392

15,158

*,^

Upwork Inc.

822,543

14,896

*

WageWorks Inc.

545,919

14,827

 

Encore Wire Corp.

293,079

14,707

*

Atlas Air Worldwide Holdings Inc.

348,499

14,703

 

AZZ Inc.

361,571

14,593

*

BMC Stock Holdings Inc.

932,683

14,438

 

Lindsay Corp.

148,983

14,340

 

Navigant Consulting Inc.

584,872

14,066

 

Viad Corp.

280,749

14,063

 

Advanced Drainage Systems Inc.

568,860

13,795

*

JELD-WEN Holding Inc.

945,829

13,440

 

Sun Hydraulics Corp.

397,578

13,196

 

Aircastle Ltd.

763,404

13,161

 

Tennant Co.

249,953

13,025

*

Continental Building Products Inc.

506,620

12,893

*

PGT Innovations Inc.

796,205

12,620

*

TrueBlue Inc.

565,686

12,587

*

Atkore International Group Inc.

634,156

12,582

 

Kadant Inc.

151,152

12,313

 

ArcBest Corp.

353,792

12,121

 

Heartland Express Inc.

658,153

12,044

*

American Woodmark Corp.

213,778

11,903

 

Interface Inc. Class A

832,868

11,868

 

Standex International Corp.

175,906

11,817

 

Apogee Enterprises Inc.

389,026

11,612

*

Milacron Holdings Corp.

976,271

11,608

*

Sunrun Inc.

1,034,110

11,261

 

Knoll Inc.

676,948

11,156

 

Douglas Dynamics Inc.

310,514

11,144

 

Primoris Services Corp.

579,862

11,093

*

Astronics Corp.

348,545

10,613

 

Alamo Group Inc.

133,400

10,314

*

Hertz Global Holdings Inc.

750,481

10,244

 

Wabash National Corp.

781,444

10,221

*

CSW Industrials Inc.

209,866

10,147

^

ADT Inc.

1,665,301

10,008

 

Kforce Inc.

323,434

10,001

 

GrafTech International Ltd.

838,986

9,598

*

SP Plus Corp.

321,179

9,488

 

ACCO Brands Corp.

1,398,570

9,482

 

Astec Industries Inc.

313,386

9,461

*

Thermon Group Holdings Inc.

452,148

9,170

*

Patrick Industries Inc.

302,530

8,958

 

Kelly Services Inc. Class A

435,871

8,927

 

H&E Equipment Services Inc.

435,794

8,899

 

Marten Transport Ltd.

548,019

8,872

*

Tutor Perini Corp.

541,517

8,648

 

Columbus McKinnon Corp.

286,923

8,648

*

Gates Industrial Corp. plc

651,387

8,624

*

Herc Holdings Inc.

329,918

8,575

*

Vicor Corp.

220,891

8,347

 

Gorman-Rupp Co.

257,288

8,339

 

National Presto Industries Inc.

71,189

8,323

 

Hyster-Yale Materials Handling Inc.

134,112

8,310

 

Heidrick & Struggles International Inc.

265,723

8,288

*

Echo Global Logistics Inc.

393,478

7,999

 

Triumph Group Inc.

688,785

7,921

 

Global Brass & Copper Holdings Inc.

310,858

7,818

 

36


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

NV5 Global Inc.

128,494

7,780

 

Briggs & Stratton Corp.

584,981

7,652

*

Evoqua Water Technologies Corp.

796,780

7,649

 

Argan Inc.

200,048

7,570

 

Kimball International Inc. Class B

531,978

7,549

 

Schneider National Inc. Class B

388,136

7,247

*

Manitowoc Co. Inc.

490,102

7,239

*

Aegion Corp. Class A

441,623

7,207

*

Engility Holdings Inc.

253,098

7,203

 

Ennis Inc.

371,635

7,154

*

Wesco Aircraft Holdings Inc.

904,127

7,143

 

DMC Global Inc.

194,678

6,837

*

Nexeo Solutions Inc.

793,528

6,816

 

Multi-Color Corp.

193,384

6,786

*

GMS Inc.

453,702

6,742

 

Quanex Building Products Corp.

487,198

6,621

 

Essendant Inc.

519,044

6,530

*

MYR Group Inc.

230,355

6,489

 

Insteel Industries Inc.

254,548

6,180

*

TPI Composites Inc.

250,137

6,148

*

DXP Enterprises Inc.

220,567

6,141

 

Resources Connection Inc.

431,216

6,123

 

Forrester Research Inc.

135,371

6,051

*,^

Team Inc.

412,293

6,040

*

Great Lakes Dredge & Dock Corp.

887,915

5,878

*

CIRCOR International Inc.

273,513

5,826

 

Barrett Business Services Inc.

101,097

5,788

*

Ducommun Inc.

156,025

5,667

*

CAI International Inc.

232,518

5,401

 

Quad/Graphics Inc.

418,123

5,151

*

Willscot Corp. Class A

534,315

5,033

*,^

Enphase Energy Inc.

1,063,165

5,029

*

Lydall Inc.

245,731

4,991

 

Griffon Corp.

472,223

4,935

 

Systemax Inc.

203,959

4,873

*,^

KeyW Holding Corp.

726,230

4,858

 

CRA International Inc.

112,912

4,804

 

Allied Motion Technologies Inc.

103,943

4,645

*

Eagle Bulk Shipping Inc.

975,540

4,497

*

Heritage-Crystal Clean Inc.

194,270

4,470

*

Willdan Group Inc.

126,427

4,422

*

Veritiv Corp.

174,068

4,346

*

NCI Building Systems Inc.

583,040

4,227

*

Armstrong Flooring Inc.

355,801

4,213

*,^

Plug Power Inc.

3,346,592

4,150

 

Miller Industries Inc.

153,592

4,147

*

Sterling Construction Co. Inc.

360,203

3,923

*

Titan Machinery Inc.

295,874

3,891

*

Mistras Group Inc.

265,176

3,813

 

RR Donnelley & Sons Co.

959,265

3,799

 

NN Inc.

559,110

3,752

*

Franklin Covey Co.

167,632

3,743

 

Park-Ohio Holdings Corp.

121,486

3,728

*,^

Blue Bird Corp.

196,969

3,583

*

Vectrus Inc.

165,334

3,568

 

Titan International Inc.

764,034

3,560

*

Ameresco Inc. Class A

250,805

3,536

*

Covenant Transportation Group Inc. Class A

183,373

3,521

 

VSE Corp.

115,614

3,458

*

Northwest Pipe Co.

148,203

3,452

 

Spartan Motors Inc.

457,965

3,311

 

Powell Industries Inc.

127,424

3,187

 

LSC Communications Inc.

453,906

3,177

*

BlueLinx Holdings Inc.

126,289

3,121

 

37


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

BrightView Holdings Inc.

304,328

3,107

*,^

Energy Recovery Inc.

460,117

3,097

^

REV Group Inc.

404,454

3,037

 

Hurco Cos. Inc.

83,303

2,974

*

Daseke Inc.

785,932

2,892

*

GP Strategies Corp.

229,215

2,890

*

PICO Holdings Inc.

315,396

2,883

*,^

Bloom Energy Corp. Class A

287,004

2,864

*,^

American Superconductor Corp.

248,232

2,768

*

Lawson Products Inc.

86,461

2,732

*

LB Foster Co. Class A

171,765

2,731

 

Graham Corp.

118,067

2,697

*

Sparton Corp.

147,991

2,692

*

CECO Environmental Corp.

397,613

2,684

 

Omega Flex Inc.

48,216

2,607

*

Acacia Research Corp.

814,332

2,427

*

General Finance Corp.

238,390

2,410

 

BG Staffing Inc.

113,482

2,343

*

Willis Lease Finance Corp.

64,374

2,227

*,^

Vivint Solar Inc.

576,325

2,196

 

Universal Logistics Holdings Inc.

118,095

2,136

^

EVI Industries Inc.

63,665

2,123

*

Radiant Logistics Inc.

494,010

2,100

*

InnerWorkings Inc.

558,737

2,090

*

Commercial Vehicle Group Inc.

362,533

2,066

 

Eastern Co.

83,819

2,027

*

Orion Group Holdings Inc.

458,187

1,966

*

Twin Disc Inc.

130,235

1,921

*

Hill International Inc.

609,300

1,877

 

Preformed Line Products Co.

33,864

1,837

*

IES Holdings Inc.

107,279

1,668

*

Genco Shipping & Trading Ltd.

207,090

1,634

*

Foundation Building Materials Inc.

195,305

1,623

*

USA Truck Inc.

104,877

1,570

*

YRC Worldwide Inc.

462,764

1,458

*,^

Energous Corp.

249,653

1,446

*

PAM Transportation Services Inc.

36,413

1,435

*

Transcat Inc.

74,035

1,408

*

HC2 Holdings Inc.

533,069

1,407

*

FreightCar America Inc.

204,206

1,366

*

Construction Partners Inc. Class A

153,303

1,354

 

Rush Enterprises Inc. Class B

37,656

1,341

*

Infrastructure and Energy Alternatives Inc.

157,400

1,289

*

US Xpress Enterprises Inc. Class A

229,409

1,287

*

Gencor Industries Inc.

115,798

1,270

*

ARC Document Solutions Inc.

549,008

1,125

*

Manitex International Inc.

197,034

1,119

 

LSI Industries Inc.

349,060

1,107

*,^

LiqTech International Inc.

781,265

1,070

*

NRC Group Holdings Corp.

134,300

1,027

*

CPI Aerostructures Inc.

150,962

962

*,^

ExOne Co.

141,424

936

*,^

Babcock & Wilcox Enterprises Inc.

2,376,150

928

*

Tecogen Inc.

235,717

856

*

Arotech Corp.

307,745

806

*

Houston Wire & Cable Co.

159,120

805

*,^

Aqua Metals Inc.

434,030

790

*

Performant Financial Corp.

350,863

789

*

Mesa Air Group Inc.

102,044

787

 

Virco Manufacturing Corp.

163,028

699

*

Goldfield Corp.

302,912

685

*,^

FuelCell Energy Inc.

1,153,819

635

*

Alpha Pro Tech Ltd.

166,676

618

*

Ultralife Corp.

89,938

607

 

38


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Intersections Inc.

157,289

580

*

Charah Solutions Inc.

68,591

573

*

Perma-Pipe International Holdings Inc.

63,262

554

*,^

Capstone Turbine Corp.

910,478

545

*

NL Industries Inc.

135,037

474

 

Ecology and Environment Inc.

40,958

464

*,^

Red Violet Inc.

68,272

460

*,^

Hudson Technologies Inc.

511,921

456

*

Huttig Building Products Inc.

247,746

446

*

Taylor Devices Inc.

36,095

433

*

Mastech Digital Inc.

60,874

384

*

Jewett-Cameron Trading Co. Ltd.

47,428

337

 

Acme United Corp.

22,707

324

*,^

Odyssey Marine Exploration Inc.

84,811

282

*,^

Astrotech Corp.

58,922

281

*

RCM Technologies Inc.

90,641

281

*

Patriot Transportation Holding Inc.

13,915

271

*

Innovative Solutions & Support Inc.

110,868

244

*

Air T Inc.

8,896

218

*

Volt Information Sciences Inc.

98,513

212

*

Orion Energy Systems Inc.

364,891

208

*

Roadrunner Transportation Systems Inc.

411,715

204

*

Hudson Global Inc.

150,751

204

*

Perma-Fix Environmental Services

86,290

203

*

Fuel Tech Inc.

169,040

201

 

Servotronics Inc.

19,902

198

*

FTE Networks Inc.

82,837

194

*

LS Starrett Co. Class A

34,978

183

*

Broadwind Energy Inc.

137,005

178

*

Pangaea Logistics Solutions Ltd.

58,133

176

*

Jason Industries Inc.

124,202

170

*,^

Lightbridge Corp.

296,381

162

*

Polar Power Inc.

26,498

128

*

SIFCO Industries Inc.

33,067

114

*,^

Sigma Labs Inc.

70,539

106

*

DLH Holdings Corp.

20,850

99

 

Espey Manufacturing & Electronics Corp.

3,829

95

*

Pioneer Power Solutions Inc.

17,498

92

 

Chicago Rivet & Machine Co.

2,905

92

*,^

ShiftPixy Inc.

46,515

83

*

Document Security Systems Inc.

111,407

82

*

Air Industries Group

98,500

70

*,^

American Electric Technologies Inc.

80,860

69

*

Avalon Holdings Corp. Class A

25,600

68

*,^

Revolution Lighting Technologies Inc.

157,430

62

*,^

Marathon Patent Group Inc.

161,721

59

*,^

DPW Holdings Inc.

569,964

58

*

Sunworks Inc.

219,815

58

*,^

Real Goods Solar Inc. Class A

109,768

58

*,^

Spherix Inc.

88,138

57

*

ASV Holdings Inc.

27,820

56

*,^

Ocean Power Technologies Inc.

159,260

54

*

Industrial Services of America Inc.

43,054

48

*

Limbach Holdings Inc.

12,049

44

*

Cemtrex Inc.

72,541

42

*

Energy Focus Inc.

63,555

39

*,^

EnSync Inc.

211,783

38

 

CompX International Inc.

2,807

38

*,^

Staffing 360 Solutions Inc.

22,073

33

*

AMREP Corp.

5,318

32

*

SG Blocks Inc.

11,720

31

*

MICT Inc.

36,900

24

*,^

Ideal Power Inc.

95,702

23

^

AgEagle Aerial Systems Inc.

37,367

21

 

39


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*,^

GEE Group Inc.

27,339

19

*,^

Tel-Instrument Electronics Corp.

4,968

19

*

Command Security Corp.

5,565

16

*

Continental Materials Corp.

1,122

12

*

Art’s-Way Manufacturing Co. Inc.

4,243

8

*

AeroCentury Corp.

800

8

*

Quest Resource Holding Corp.

3,589

5

*

ARC Group Worldwide Inc.

4,700

5

 

 

 

7,794,222

Information Technology (17.7%)

 

 

*

ServiceNow Inc.

2,461,296

438,234

*

Workday Inc. Class A

2,000,932

319,509

*

Worldpay Inc. Class A

4,141,739

316,553

*

Palo Alto Networks Inc.

1,295,015

243,916

*

Square Inc.

4,232,818

237,419

*

Splunk Inc.

2,013,268

211,091

 

CDW Corp.

2,058,434

166,836

*

GoDaddy Inc. Class A

2,287,256

150,090

 

VMware Inc. Class A

1,037,246

142,238

 

SS&C Technologies Holdings Inc.

2,956,138

133,351

 

Marvell Technology Group Ltd.

8,131,106

131,643

*

First Data Corp. Class A

7,777,463

131,517

*

PTC Inc.

1,464,999

121,448

*

Zebra Technologies Corp.

738,547

117,599

*

Tableau Software Inc. Class A

978,855

117,463

*

Trimble Inc.

3,448,199

113,480

 

Leidos Holdings Inc.

2,053,973

108,285

*

Ultimate Software Group Inc.

427,768

104,748

*

Tyler Technologies Inc.

532,829

99,010

*

Twilio Inc. Class A

1,086,776

97,049

*

ON Semiconductor Corp.

5,775,550

95,354

 

Cognex Corp.

2,364,626

91,440

*

Guidewire Software Inc.

1,110,749

89,115

 

Booz Allen Hamilton Holding Corp. Class A

1,945,787

87,697

*

Black Knight Inc.

1,943,110

87,557

*

Dell Technologies Inc.

1,762,666

86,141

*

Integrated Device Technology Inc.

1,770,244

85,733

*

Zendesk Inc.

1,465,434

85,537

 

CDK Global Inc.

1,763,005

84,413

*

WEX Inc.

590,255

82,671

*

Arrow Electronics Inc.

1,195,965

82,462

 

Sabre Corp.

3,774,218

81,674

*

EPAM Systems Inc.

703,487

81,612

*

Paycom Software Inc.

665,579

81,500

*

Aspen Technology Inc.

968,272

79,573

*

RingCentral Inc. Class A

940,937

77,571

 

Teradyne Inc.

2,455,465

77,052

*

Fair Isaac Corp.

396,926

74,225

*

Euronet Worldwide Inc.

706,958

72,378

 

National Instruments Corp.

1,546,739

70,191

*

ARRIS International plc

2,237,989

68,415

*

Okta Inc.

1,064,025

67,885

*

Ciena Corp.

1,936,436

65,665

 

Cypress Semiconductor Corp.

4,965,694

63,164

*

HubSpot Inc.

500,580

62,938

*

Proofpoint Inc.

748,137

62,701

*

Teradata Corp.

1,621,968

62,219

 

Monolithic Power Systems Inc.

533,239

61,989

*

Cree Inc.

1,408,663

60,256

 

Littelfuse Inc.

344,380

59,054

*

Trade Desk Inc. Class A

497,104

57,694

 

LogMeIn Inc.

701,906

57,254

 

MAXIMUS Inc.

879,585

57,252

 

Avnet Inc.

1,521,527

54,927

 

40


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

^

Universal Display Corp.

581,979

54,456

 

Dolby Laboratories Inc. Class A

880,406

54,444

 

Entegris Inc.

1,941,805

54,167

*

Nuance Communications Inc.

3,936,150

52,075

 

Genpact Ltd.

1,903,357

51,372

*

New Relic Inc.

623,206

50,461

*

CACI International Inc. Class A

340,363

49,022

 

Jabil Inc.

1,975,709

48,978

*

RealPage Inc.

1,003,511

48,359

 

MKS Instruments Inc.

740,185

47,823

*

Silicon Laboratories Inc.

590,341

46,525

 

SYNNEX Corp.

569,153

46,010

*,^

ViaSat Inc.

770,696

45,433

*

Coupa Software Inc.

709,248

44,583

 

j2 Global Inc.

640,355

44,428

*

ACI Worldwide Inc.

1,592,604

44,067

*

First Solar Inc.

1,036,803

44,017

*

FireEye Inc.

2,695,017

43,686

*

CommScope Holding Co. Inc.

2,635,169

43,190

*

Nutanix Inc.

1,024,399

42,605

*

Lumentum Holdings Inc.

1,009,106

42,393

*

Tech Data Corp.

511,919

41,880

 

Blackbaud Inc.

665,277

41,846

*

Semtech Corp.

904,554

41,492

 

Versum Materials Inc.

1,496,802

41,491

*

2U Inc.

792,170

39,387

*

LiveRamp Holdings Inc.

995,211

38,445

*

Pure Storage Inc. Class A

2,362,671

37,992

*

Manhattan Associates Inc.

895,567

37,945

*

Verint Systems Inc.

892,128

37,746

*

NCR Corp.

1,629,263

37,603

 

Cabot Microelectronics Corp.

393,454

37,516

 

Science Applications International Corp.

582,896

37,130

*

Cornerstone OnDemand Inc.

731,598

36,894

*

CoreLogic Inc.

1,102,850

36,857

*

Coherent Inc.

334,421

35,352

*

Five9 Inc.

804,019

35,152

*

Finisar Corp.

1,606,251

34,695

*

Qualys Inc.

463,172

34,617

 

Perspecta Inc.

1,937,224

33,359

*

Box Inc.

1,958,849

33,065

 

Vishay Intertechnology Inc.

1,808,157

32,565

*

Viavi Solutions Inc.

3,140,848

31,565

*,^

MongoDB Inc.

376,464

31,525

*

CommVault Systems Inc.

531,753

31,421

 

InterDigital Inc.

465,534

30,925

*

Envestnet Inc.

627,062

30,845

*

Ellie Mae Inc.

476,515

29,939

*

Novanta Inc.

450,272

28,367

 

Travelport Worldwide Ltd.

1,794,745

28,034

*

Cirrus Logic Inc.

821,783

27,267

*

Conduent Inc.

2,517,565

26,762

*

II-VI Inc.

816,508

26,504

*

Paylocity Holding Corp.

434,909

26,186

^

Ubiquiti Networks Inc.

263,176

26,162

*

Fabrinet

506,025

25,964

*

Dropbox Inc. Class A

1,270,142

25,949

 

Brooks Automation Inc.

978,281

25,611

*

Imperva Inc.

451,624

25,151

*

Q2 Holdings Inc.

506,524

25,098

*

Rogers Corp.

252,606

25,023

*

Alarm.com Holdings Inc.

480,872

24,943

*

ExlService Holdings Inc.

471,209

24,795

*

EchoStar Corp. Class A

670,043

24,604

 

41


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Alteryx Inc. Class A

413,689

24,602

 

Power Integrations Inc.

402,097

24,520

 

Pegasystems Inc.

506,279

24,215

*

Bottomline Technologies DE Inc.

503,672

24,176

 

EVERTEC Inc.

828,350

23,774

*

8x8 Inc.

1,308,725

23,609

 

Belden Inc.

551,807

23,049

*

Advanced Energy Industries Inc.

529,444

22,729

*

NetScout Systems Inc.

960,853

22,705

*

Sanmina Corp.

940,256

22,623

*

NETGEAR Inc.

434,762

22,621

*

Plexus Corp.

439,779

22,464

 

Progress Software Corp.

625,832

22,211

*

Itron Inc.

460,970

21,799

*

Varonis Systems Inc.

403,271

21,333

*

Anixter International Inc.

392,720

21,329

*

SailPoint Technologies Holding Inc.

891,188

20,934

*,^

SolarEdge Technologies Inc.

592,918

20,811

*

Avaya Holdings Corp.

1,421,208

20,693

*

Everbridge Inc.

362,473

20,574

*

Blackline Inc.

501,871

20,552

*

Insight Enterprises Inc.

491,057

20,011

*

SPS Commerce Inc.

242,378

19,967

 

Badger Meter Inc.

401,624

19,764

*,^

Inphi Corp.

603,205

19,393

 

ManTech International Corp. Class A

365,431

19,110

 

Kulicke & Soffa Industries Inc.

936,598

18,985

*

Apptio Inc. Class A

497,430

18,882

*

Cloudera Inc.

1,657,648

18,334

*

SendGrid Inc.

409,237

17,667

*

Diodes Inc.

546,454

17,629

*

Synaptics Inc.

473,155

17,606

*

Rapid7 Inc.

564,456

17,588

*

OSI Systems Inc.

233,875

17,143

*,^

Ceridian HCM Holding Inc.

493,576

17,023

*

MicroStrategy Inc. Class A

130,749

16,703

*

Knowles Corp.

1,236,799

16,462

*

Instructure Inc.

435,200

16,324

*

Virtusa Corp.

382,517

16,291

*

MINDBODY Inc. Class A

443,148

16,131

 

TiVo Corp.

1,703,382

16,029

*,^

3D Systems Corp.

1,566,447

15,931

*

MaxLinear Inc.

861,564

15,164

*

LivePerson Inc.

803,910

15,162

 

Plantronics Inc.

452,575

14,980

*

Hortonworks Inc.

1,035,667

14,934

*

PROS Holdings Inc.

475,500

14,931

 

CSG Systems International Inc.

466,351

14,816

*

Acacia Communications Inc.

389,746

14,810

*

Electronics For Imaging Inc.

595,327

14,764

*

Benefitfocus Inc.

321,408

14,695

*

FormFactor Inc.

1,017,460

14,336

*

Electro Scientific Industries Inc.

470,273

14,089

*

Fitbit Inc. Class A

2,833,383

14,082

*

Sykes Enterprises Inc.

561,897

13,896

 

KEMET Corp.

790,794

13,871

*

ePlus Inc.

189,563

13,491

*

Cardtronics plc Class A

511,354

13,295

 

Ebix Inc.

311,969

13,277

 

Benchmark Electronics Inc.

604,415

12,801

*

DocuSign Inc. Class A

315,384

12,641

*

Workiva Inc.

347,776

12,482

*

TTM Technologies Inc.

1,279,448

12,449

*

Yext Inc.

837,024

12,430

 

42


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Xperi Corp.

668,423

12,292

*

Cray Inc.

563,144

12,158

*

Lattice Semiconductor Corp.

1,753,401

12,134

*

ScanSource Inc.

350,796

12,060

 

Methode Electronics Inc.

514,508

11,983

 

CTS Corp.

462,218

11,967

*

Amkor Technology Inc.

1,784,606

11,707

 

NIC Inc.

921,659

11,502

*

Rambus Inc.

1,497,167

11,483

*

Carbonite Inc.

451,554

11,406

*

Verra Mobility Corp.

1,167,436

11,394

*,^

GTT Communications Inc.

460,644

10,899

*

Cision Ltd.

930,928

10,892

*

Perficient Inc.

465,085

10,353

*,^

Appian Corp. Class A

384,546

10,271

 

AVX Corp.

665,969

10,156

*

Altair Engineering Inc. Class A

367,186

10,127

 

Mesa Laboratories Inc.

48,546

10,116

 

MTS Systems Corp.

249,749

10,022

*

Extreme Networks Inc.

1,612,930

9,839

*

FARO Technologies Inc.

241,743

9,824

*

Appfolio Inc.

159,830

9,465

*

Nanometrics Inc.

339,713

9,284

 

Monotype Imaging Holdings Inc.

587,087

9,112

*

Pivotal Software Inc. Class A

555,242

9,078

*

Rudolph Technologies Inc.

442,240

9,053

*

MACOM Technology Solutions Holdings Inc.

619,145

8,984

*

Photronics Inc.

924,088

8,945

 

Cohu Inc.

556,510

8,943

 

Cass Information Systems Inc.

167,678

8,873

*

ForeScout Technologies Inc.

318,083

8,267

*

Infinera Corp.

2,068,166

8,252

*,^

Unisys Corp.

705,233

8,202

 

Comtech Telecommunications Corp.

332,578

8,095

*

Evo Payments Inc. Class A

323,131

7,972

*

Axcelis Technologies Inc.

447,348

7,963

*

Zscaler Inc.

197,533

7,745

*

Endurance International Group Holdings Inc.

1,093,570

7,272

 

ADTRAN Inc.

672,923

7,227

*

Pluralsight Inc. Class A

296,534

6,983

*

CEVA Inc.

308,069

6,805

*,^

Elastic NV

95,105

6,798

*

CalAmp Corp.

501,657

6,527

*

Control4 Corp.

352,725

6,208

*

Calix Inc.

632,410

6,166

 

Hackett Group Inc.

378,779

6,064

*

Kimball Electronics Inc.

380,798

5,899

*

Upland Software Inc.

216,600

5,887

*

Harmonic Inc.

1,224,959

5,782

*

Anaplan Inc.

217,756

5,779

 

NVE Corp.

63,772

5,583

*

OneSpan Inc.

431,086

5,583

 

Presidio Inc.

423,872

5,532

 

QAD Inc. Class A

140,518

5,527

*

GreenSky Inc. Class A

575,669

5,509

*

Quantenna Communications Inc.

382,080

5,483

 

TTEC Holdings Inc.

191,543

5,472

*

Vishay Precision Group Inc.

173,300

5,239

 

Park Electrochemical Corp.

283,665

5,126

*,^

Ichor Holdings Ltd.

311,722

5,081

*

Mitek Systems Inc.

469,163

5,072

*

SMART Global Holdings Inc.

168,781

5,013

*

Casa Systems Inc.

378,440

4,969

*

Veeco Instruments Inc.

669,283

4,959

 

43


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Everi Holdings Inc.

954,565

4,916

*

Model N Inc.

362,229

4,792

 

PC Connection Inc.

160,770

4,780

 

Daktronics Inc.

645,627

4,778

*

MobileIron Inc.

1,025,781

4,708

*

A10 Networks Inc.

741,654

4,628

*

Smartsheet Inc. Class A

185,544

4,613

*

Zix Corp.

793,710

4,548

*

Ultra Clean Holdings Inc.

534,480

4,527

*,^

SunPower Corp. Class A

871,559

4,332

*

ChannelAdvisor Corp.

366,987

4,165

*,^

Applied Optoelectronics Inc.

262,365

4,048

*

Digi International Inc.

392,191

3,957

 

American Software Inc. Class A

376,631

3,936

*

Immersion Corp.

428,411

3,839

 

Switch Inc.

525,264

3,677

^

ConvergeOne Holdings Inc.

295,800

3,662

*

Limelight Networks Inc.

1,549,480

3,626

*

Brightcove Inc.

504,380

3,551

*

Ribbon Communications Inc.

711,079

3,427

*

PRGX Global Inc.

351,647

3,330

*

Synchronoss Technologies Inc.

541,100

3,322

*

DSP Group Inc.

293,092

3,283

*

Zuora Inc. Class A

180,029

3,266

*

Agilysys Inc.

227,407

3,261

*

ShotSpotter Inc.

104,442

3,256

*

PDF Solutions Inc.

382,661

3,226

*,^

Avalara Inc.

102,801

3,202

*

Tenable Holdings Inc.

141,766

3,146

*

USA Technologies Inc.

804,424

3,129

*

NeoPhotonics Corp.

479,694

3,108

*

PAR Technology Corp.

142,852

3,107

*

Aquantia Corp.

340,461

2,986

*

Alpha & Omega Semiconductor Ltd.

286,736

2,922

*,^

Impinj Inc.

199,541

2,903

*,^

Inseego Corp.

695,091

2,885

*

Digimarc Corp.

188,693

2,736

*

Domo Inc.

137,810

2,705

^

Diebold Nixdorf Inc.

1,074,317

2,675

*

Amber Road Inc.

324,075

2,667

*

SVMK Inc.

204,704

2,512

 

Bel Fuse Inc. Class B

133,135

2,452

*

I3 Verticals Inc. Class A

100,673

2,426

*

SecureWorks Corp. Class A

142,492

2,407

*

Rubicon Project Inc.

642,757

2,397

*

Telenav Inc.

577,942

2,346

*

AXT Inc.

537,208

2,337

*

Avid Technology Inc.

484,842

2,303

*

PCM Inc.

125,713

2,214

*

Exela Technologies Inc.

552,146

2,148

*

EMCORE Corp.

504,630

2,119

*

KVH Industries Inc.

203,900

2,098

*

Napco Security Technologies Inc.

131,365

2,069

*

CyberOptics Corp.

114,160

2,013

*,^

VirnetX Holding Corp.

766,607

1,840

*

Information Services Group Inc.

416,590

1,766

*

Carbon Black Inc.

129,246

1,734

*,^

Akoustis Technologies Inc.

336,935

1,675

*,^

Maxwell Technologies Inc.

782,531

1,620

*

eGain Corp.

245,960

1,616

*

nLight Inc.

87,265

1,552

*

Adesto Technologies Corp.

351,727

1,548

*

Aerohive Networks Inc.

460,683

1,502

*,^

Arlo Technologies Inc.

150,025

1,497

 

44


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Intevac Inc.

282,964

1,480

*

ServiceSource International Inc.

1,330,483

1,437

*,^

Digital Turbine Inc.

758,930

1,389

*

Clearfield Inc.

139,964

1,388

*

Iteris Inc.

370,320

1,381

*

International Money Express Inc.

113,968

1,363

*,^

Eastman Kodak Co.

495,475

1,263

 

AstroNova Inc.

66,674

1,250

*

Pixelworks Inc.

412,184

1,195

*,^

Park City Group Inc.

194,170

1,159

*

MoneyGram International Inc.

559,593

1,119

*

GSI Technology Inc.

213,551

1,098

*

StarTek Inc.

161,312

1,073

 

TransAct Technologies Inc.

118,987

1,068

*

PFSweb Inc.

204,650

1,050

*

Telaria Inc.

384,402

1,049

*,^

Internap Corp.

249,859

1,037

*,^

Rimini Street Inc.

200,558

1,033

 

Richardson Electronics Ltd.

116,609

1,013

*

Kopin Corp.

957,651

957

*

Frequency Electronics Inc.

90,022

954

 

Steel Connect Inc.

529,960

917

*

Airgain Inc.

91,373

905

*

Quantum Corp.

450,944

902

*

ID Systems Inc.

160,161

895

*,^

Asure Software Inc.

172,506

876

*

Key Tronic Corp.

153,764

869

*

Seachange International Inc.

679,830

857

*

SharpSpring Inc.

64,854

826

*

LRAD Corp.

324,483

818

*

NetSol Technologies Inc.

126,277

777

*,^

MicroVision Inc.

1,259,801

761

*

Amtech Systems Inc.

166,221

753

 

PC-Tel Inc.

172,629

741

 

TESSCO Technologies Inc.

57,890

695

*,^

QuickLogic Corp.

925,794

680

*

Aware Inc.

183,320

662

*

Data I/O Corp.

131,998

660

*

Everspin Technologies Inc.

115,537

648

*

RealNetworks Inc.

280,491

648

*

Computer Task Group Inc.

154,714

631

 

CSP Inc.

63,390

619

 

RF Industries Ltd.

83,949

609

*

Luna Innovations Inc.

178,386

598

*

DASAN Zhone Solutions Inc.

42,918

597

*

Finjan Holdings Inc.

230,934

580

*

Aviat Networks Inc.

41,586

551

*,^

Fusion Connect Inc.

320,791

539

*

Synacor Inc.

363,282

538

*

Identiv Inc.

146,990

529

*

Perceptron Inc.

63,502

512

*

ACM Research Inc. Class A

45,286

493

*

Lantronix Inc.

166,237

489

*,^

Veritone Inc.

123,479

469

*

IEC Electronics Corp.

77,581

444

*,^

Smith Micro Software Inc.

246,413

444

*

SolarWinds Corp.

31,998

443

 

GlobalSCAPE Inc.

95,942

430

*

eMagin Corp.

416,604

429

*,^

Research Frontiers Inc.

268,960

420

*

Wireless Telecom Group Inc.

233,098

413

*

3PEA International Inc.

114,876

404

*

LightPath Technologies Inc. Class A

267,231

398

 

QAD Inc. Class B

13,406

396

 

45


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Issuer Direct Corp.

34,425

391

*

CUI Global Inc.

317,250

390

*

LGL Group Inc.

63,393

387

*

Optical Cable Corp.

101,490

387

*

inTEST Corp.

62,522

383

*

GSE Systems Inc.

180,096

378

*

Support.com Inc.

145,787

359

*,^

Resonant Inc.

262,249

349

*,^

ClearSign Combustion Corp.

337,298

344

*

Atomera Inc.

115,195

331

*

Innodata Inc.

215,507

323

*

Alithya Group Inc. Class A

131,335

311

*

WidePoint Corp.

702,924

293

*

Inuvo Inc.

273,520

293

*

BSQUARE Corp.

186,526

289

*,^

Digital Ally Inc.

105,689

283

*,^

Net Element Inc.

44,862

257

*

Aehr Test Systems

176,801

249

*

CVD Equipment Corp.

68,981

245

*

Black Box Corp.

223,347

241

*,^

SITO Mobile Ltd.

247,815

223

*,^

Marin Software Inc.

39,568

210

*,^

Intellicheck Inc.

97,885

209

 

Network-1 Technologies Inc.

93,241

208

*

Westell Technologies Inc. Class A

109,328

207

^

Helios & Matheson Analytics Inc.

12,704,661

203

*

Image Sensing Systems Inc.

44,750

201

*,^

NXT-ID Inc.

270,096

184

 

Communications Systems Inc.

84,005

171

 

Wayside Technology Group Inc.

15,858

159

*

Majesco

22,128

157

 

BK Technologies Inc.

40,918

153

*

Qumu Corp.

80,502

153

 

ClearOne Inc.

111,210

139

 

Bel Fuse Inc. Class A

8,959

123

*

Evolving Systems Inc.

93,207

110

*

TSR Inc.

23,470

109

*

AudioEye Inc.

12,750

109

*

Intelligent Systems Corp.

7,544

97

*

Qualstar Corp.

18,492

97

*,^

Neonode Inc.

44,970

75

*

Schmitt Industries Inc.

25,576

72

*

Intermolecular Inc.

68,535

69

*

ALJ Regional Holdings Inc.

51,829

68

*,^

Applied DNA Sciences Inc.

164,238

66

*

Bio-key International Inc.

78,056

59

*,^

Payment Data Systems Inc.

34,576

57

*

MAM Software Group Inc.

7,513

56

*,^

Technical Communications Corp.

20,218

54

*

One Stop Systems Inc.

27,213

53

*,^

Boxlight Corp. Class A

41,124

49

*

Socket Mobile Inc.

27,598

41

*

BroadVision Inc.

33,951

39

*

SigmaTron International Inc.

16,060

38

*,^

CPI Card Group Inc.

15,906

37

*,^

xG Technology Inc.

114,444

36

*,^

MoSys Inc.

201,721

34

*

Nortech Systems Inc.

9,269

33

*

Dynasil Corp. of America

33,699

30

*,^

Inpixon

6,776

22

*,^

Blonder Tongue Laboratories Inc.

16,400

18

*

ADDvantage Technologies Group Inc.

9,900

14

*,^

Superconductor Technologies Inc.

10,085

13

*

Bridgeline Digital Inc.

55,633

13

 

46


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Trio-Tech International

4,900

12

*

CPS Technologies Corp.

4,074

5

*

Rubicon Technology Inc.

361

3

*

Summit Wireless Technologies Inc.

24

 

 

 

10,336,814

Materials (4.3%)

 

 

 

RPM International Inc.

1,820,642

107,017

 

Steel Dynamics Inc.

3,144,678

94,466

*

Berry Global Group Inc.

1,793,128

85,227

 

AptarGroup Inc.

854,947

80,425

*

Crown Holdings Inc.

1,854,438

77,089

 

Royal Gold Inc.

899,140

77,011

 

Sonoco Products Co.

1,367,083

72,633

 

Reliance Steel & Aluminum Co.

962,564

68,506

*

Axalta Coating Systems Ltd.

2,913,415

68,232

*

Alcoa Corp.

2,554,654

67,903

 

Chemours Co.

2,341,983

66,091

 

Ashland Global Holdings Inc.

852,930

60,524

 

WR Grace & Co.

915,187

59,405

 

Bemis Co. Inc.

1,248,597

57,311

 

Huntsman Corp.

2,942,126

56,754

 

NewMarket Corp.

122,338

50,414

 

Valvoline Inc.

2,579,153

49,907

*

Ingevity Corp.

575,147

48,134

 

Olin Corp.

2,288,067

46,013

 

Graphic Packaging Holding Co.

4,233,127

45,040

 

United States Steel Corp.

2,425,428

44,240

 

Louisiana-Pacific Corp.

1,927,844

42,837

 

Eagle Materials Inc.

641,414

39,146

*

Owens-Illinois Inc.

2,181,031

37,601

*

Allegheny Technologies Inc.

1,720,207

37,449

 

Cabot Corp.

821,456

35,273

 

Balchem Corp.

444,570

34,832

 

Scotts Miracle-Gro Co.

538,522

33,098

*

Platform Specialty Products Corp.

3,196,517

33,020

 

Westlake Chemical Corp.

496,752

32,870

 

Quaker Chemical Corp.

183,959

32,691

 

Sensient Technologies Corp.

577,900

32,276

*

Cleveland-Cliffs Inc.

4,086,774

31,427

 

PolyOne Corp.

1,090,921

31,200

 

Domtar Corp.

854,136

30,006

 

HB Fuller Co.

695,546

29,679

 

Trinseo SA

579,607

26,534

 

Commercial Metals Co.

1,610,150

25,795

 

Silgan Holdings Inc.

1,073,084

25,346

 

Minerals Technologies Inc.

486,729

24,989

*

GCP Applied Technologies Inc.

992,549

24,367

 

Carpenter Technology Corp.

651,073

23,185

 

Innospec Inc.

337,721

20,858

 

Stepan Co.

281,032

20,796

 

Kaiser Aluminum Corp.

227,617

20,324

 

Compass Minerals International Inc.

464,716

19,374

 

Worthington Industries Inc.

555,571

19,356

*

Summit Materials Inc. Class A

1,534,436

19,027

*

Ferro Corp.

1,134,478

17,789

 

Greif Inc. Class A

437,041

16,219

 

Hecla Mining Co.

6,625,998

15,637

 

Warrior Met Coal Inc.

603,843

14,559

 

Neenah Inc.

232,876

13,721

 

Boise Cascade Co.

539,425

12,865

 

Materion Corp.

283,665

12,762

*

Coeur Mining Inc.

2,810,594

12,563

 

Schweitzer-Mauduit International Inc.

434,234

10,878

*

Verso Corp.

476,750

10,679

 

47


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Tronox Ltd. Class A

1,295,768

10,081

 

Chase Corp.

100,052

10,010

 

Resolute Forest Products Inc.

1,254,293

9,947

*

AdvanSix Inc.

400,890

9,758

*,^

AK Steel Holding Corp.

4,314,137

9,707

*

Kraton Corp.

441,420

9,641

 

Schnitzer Steel Industries Inc.

365,088

7,868

*,^

US Concrete Inc.

219,531

7,745

*

SunCoke Energy Inc.

897,696

7,675

 

Rayonier Advanced Materials Inc.

704,226

7,500

*

PQ Group Holdings Inc.

491,627

7,281

 

Myers Industries Inc.

460,840

6,963

 

Innophos Holdings Inc.

272,134

6,675

^

McEwen Mining Inc.

3,640,920

6,626

 

Mercer International Inc.

599,161

6,255

 

PH Glatfelter Co.

623,986

6,090

 

Tredegar Corp.

365,191

5,792

 

FutureFuel Corp.

359,677

5,705

*

Clearwater Paper Corp.

230,461

5,616

 

American Vanguard Corp.

361,393

5,490

 

Hawkins Inc.

133,329

5,460

*

Koppers Holdings Inc.

291,255

4,963

*

Century Aluminum Co.

672,188

4,914

*

TimkenSteel Corp.

541,002

4,728

 

Haynes International Inc.

175,420

4,631

*

OMNOVA Solutions Inc.

626,933

4,595

*,^

Livent Corp.

277,400

3,828

*

Intrepid Potash Inc.

1,367,241

3,555

 

Kronos Worldwide Inc.

308,254

3,551

 

Gold Resource Corp.

791,605

3,166

 

Advanced Emissions Solutions Inc.

297,996

3,144

*

Venator Materials plc

691,833

2,899

*

UFP Technologies Inc.

79,832

2,398

*,^

Amyris Inc.

593,645

1,983

 

United States Lime & Minerals Inc.

27,379

1,944

 

Olympic Steel Inc.

135,481

1,933

*

Trecora Resources

242,390

1,891

*

Universal Stainless & Alloy Products Inc.

113,815

1,845

 

Synalloy Corp.

100,662

1,670

*

LSB Industries Inc.

280,238

1,547

*

AgroFresh Solutions Inc.

396,351

1,502

*

Ryerson Holding Corp.

210,112

1,332

 

Northern Technologies International Corp.

39,445

1,167

^

Tecnoglass Inc.

122,097

985

*,^

Forterra Inc.

257,073

967

*,^

Loop Industries Inc.

113,375

881

*

Flotek Industries Inc.

770,239

840

*,§

A Schulman Inc. CVR

392,279

749

 

Core Molding Technologies Inc.

98,285

699

*

Ampco-Pittsburgh Corp.

194,616

603

*

Marrone Bio Innovations Inc.

404,260

594

 

Friedman Industries Inc.

64,580

455

*,^

Ramaco Resources Inc.

91,534

453

*,^

MagneGas Applied Technology Solutions Inc.

1,119,748

276

*

Pershing Gold Corp.

240,768

255

*

General Moly Inc.

683,377

154

*,^

Golden Minerals Co.

648,415

142

*

Paramount Gold Nevada Corp.

131,789

109

*,^

US Gold Corp.

117,799

105

*

Solitario Zinc Corp.

258,205

60

*

US Antimony Corp.

93,796

54

 

Greif Inc. Class B

999

44

*,^

Reto Eco-solutions Inc.

22,453

29

*,^

Comstock Mining Inc.

138,196

18

 

48


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Ikonics Corp.

926

8

 

 

 

2,532,921

Other (0.0%)2

 

 

*,§

Herbalife Ltd. CVR

83,162

807

*,§

Tobira Therapeutics CVR Exp. 12/31/2028

87,894

398

*

Corium CVR

370,501

67

*,§

NewStar Financial Inc. CVR

225,787

59

*,§

Media General Inc. CVR

1,202,098

47

*,§

Ambit Biosciences Corp. CVR

22,388

13

*,^,§

Social Reality Inc. Rights Exp. 12/31/2019

74,416

13

*,§

Ocera Therapeutics CVR Line

48,417

13

*,§

GenVec Inc. CPR Exp. 06/19/2020

26,612

12

*,§

Alexza Pharmaceuticals Inc. CVR

128,704

4

*,§

Seventy Seven Energy Inc. Escrow Line

3,457

*,§

Clinical Data CVR

131,308

*,§

Adolor Corp. Rights Exp. 07/01/2019

596,841

*

Kadmon Warrants Exp. 09/29/2022

105,015

*

Advaxis Inc. Warrants Exp. 09/11/2024

47,130

*,^,§

Biosante Pharmaceutical Inc. CVR

44,795

 

 

 

1,433

Real Estate (8.7%)

 

 

 

WP Carey Inc.

2,194,140

143,365

 

Sun Communities Inc.

1,181,095

120,129

 

Equity LifeStyle Properties Inc.

1,227,667

119,243

 

Camden Property Trust

1,273,754

112,154

 

National Retail Properties Inc.

2,172,697

105,398

 

Omega Healthcare Investors Inc.

2,740,200

96,318

 

VEREIT Inc.

13,169,232

94,160

 

Gaming and Leisure Properties Inc.

2,753,751

88,974

 

VICI Properties Inc.

4,693,878

88,151

 

Kilroy Realty Corp.

1,379,084

86,717

 

Liberty Property Trust

2,015,833

84,423

 

Invitation Homes Inc.

4,060,795

81,541

 

Lamar Advertising Co. Class A

1,163,827

80,514

 

Medical Properties Trust Inc.

4,980,936

80,093

 

Jones Lang LaSalle Inc.

623,883

78,984

 

American Campus Communities Inc.

1,879,083

77,775

 

CyrusOne Inc.

1,452,149

76,790

 

Douglas Emmett Inc.

2,199,382

75,065

 

STORE Capital Corp.

2,581,704

73,088

 

CubeSmart

2,546,787

73,067

 

Healthcare Trust of America Inc. Class A

2,836,664

71,796

 

Park Hotels & Resorts Inc.

2,751,673

71,488

 

American Homes 4 Rent Class A

3,525,778

69,987

 

EPR Properties

1,015,325

65,011

 

Hudson Pacific Properties Inc.

2,137,199

62,107

 

Brixmor Property Group Inc.

4,110,229

60,379

 

Life Storage Inc.

641,357

59,640

 

Highwoods Properties Inc.

1,411,859

54,625

 

Hospitality Properties Trust

2,252,742

53,795

*

Howard Hughes Corp.

537,542

52,475

 

JBG SMITH Properties

1,491,335

51,913

 

First Industrial Realty Trust Inc.

1,732,903

50,012

 

Pebblebrook Hotel Trust

1,753,313

49,636

 

Equity Commonwealth

1,651,420

49,559

 

Rayonier Inc.

1,787,957

49,509

 

Healthcare Realty Trust Inc.

1,729,249

49,180

 

Ryman Hospitality Properties Inc.

704,104

46,957

 

EastGroup Properties Inc.

494,329

45,345

 

Cousins Properties Inc.

5,720,562

45,192

 

National Health Investors Inc.

583,967

44,113

 

CoreSite Realty Corp.

501,202

43,720

 

Apple Hospitality REIT Inc.

2,934,142

41,841

 

Spirit Realty Capital Inc.

1,165,837

41,096

 

49


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Sunstone Hotel Investors Inc.

3,121,717

40,614

 

Physicians Realty Trust

2,519,915

40,394

 

Weingarten Realty Investors

1,628,089

40,393

 

Sabra Health Care REIT Inc.

2,433,012

40,096

 

RLJ Lodging Trust

2,390,149

39,198

 

Taubman Centers Inc.

837,883

38,115

 

Uniti Group Inc.

2,447,779

38,112

 

Senior Housing Properties Trust

3,247,288

38,058

 

Rexford Industrial Realty Inc.

1,264,655

37,269

 

STAG Industrial Inc.

1,485,270

36,954

 

PS Business Parks Inc.

280,742

36,777

 

Outfront Media Inc.

1,914,776

34,696

 

Paramount Group Inc.

2,761,703

34,687

 

GEO Group Inc.

1,676,021

33,018

 

Retail Properties of America Inc.

3,013,956

32,701

 

Brandywine Realty Trust

2,451,165

31,547

 

Kennedy-Wilson Holdings Inc.

1,734,218

31,511

 

Colony Capital Inc.

6,718,781

31,444

 

Corporate Office Properties Trust

1,491,962

31,376

 

Columbia Property Trust Inc.

1,615,293

31,256

 

Piedmont Office Realty Trust Inc. Class A

1,768,581

30,137

 

PotlatchDeltic Corp.

929,839

29,420

 

CoreCivic Inc.

1,627,391

29,016

 

Terreno Realty Corp.

799,865

28,131

 

Agree Realty Corp.

474,769

28,068

 

Empire State Realty Trust Inc.

1,920,935

27,335

 

Acadia Realty Trust

1,132,501

26,908

 

Xenia Hotels & Resorts Inc.

1,533,020

26,368

 

Tanger Factory Outlet Centers Inc.

1,293,919

26,163

 

Urban Edge Properties

1,561,971

25,960

 

QTS Realty Trust Inc. Class A

699,512

25,917

 

DiamondRock Hospitality Co.

2,825,664

25,657

 

Washington REIT

1,100,755

25,317

 

Retail Opportunity Investments Corp.

1,559,517

24,765

 

Four Corners Property Trust Inc.

944,252

24,739

 

Mack-Cali Realty Corp.

1,255,309

24,592

 

Lexington Realty Trust

2,988,469

24,535

^

Realogy Holdings Corp.

1,617,478

23,745

 

LTC Properties Inc.

555,905

23,170

 

American Assets Trust Inc.

562,417

22,592

 

SITE Centers Corp.

2,007,730

22,226

 

CareTrust REIT Inc.

1,143,840

21,115

 

National Storage Affiliates Trust

788,524

20,864

 

Americold Realty Trust

812,191

20,743

 

Chesapeake Lodging Trust

844,628

20,567

 

Global Net Lease Inc.

1,039,185

18,310

 

HFF Inc. Class A

540,797

17,933

^

Industrial Logistics Properties Trust

892,556

17,557

*

Alexander & Baldwin Inc.

946,125

17,390

 

Kite Realty Group Trust

1,170,428

16,491

 

Newmark Group Inc. Class A

2,047,578

16,422

 

Alexander’s Inc.

53,828

16,404

 

Monmouth Real Estate Investment Corp.

1,252,884

15,536

 

Tier REIT Inc.

745,123

15,372

 

Hannon Armstrong Sustainable Infrastructure Capital Inc.

793,446

15,115

 

Summit Hotel Properties Inc.

1,458,999

14,196

 

Getty Realty Corp.

478,343

14,068

 

RPT Realty

1,138,673

13,607

*,^

Redfin Corp.

935,721

13,474

 

Easterly Government Properties Inc.

841,966

13,202

 

Washington Prime Group Inc.

2,579,944

12,539

^

Seritage Growth Properties Class A

378,889

12,249

 

InfraREIT Inc.

553,831

11,642

 

Chatham Lodging Trust

649,906

11,490

 

50


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Independence Realty Trust Inc.

1,216,408

11,167

 

Universal Health Realty Income Trust

181,136

11,116

*

St. Joe Co.

839,487

11,056

 

Armada Hoffler Properties Inc.

784,650

11,032

 

NorthStar Realty Europe Corp.

711,820

10,350

 

NexPoint Residential Trust Inc.

291,769

10,227

*

Marcus & Millichap Inc.

290,065

9,958

^

American Finance Trust Inc.

715,940

9,536

 

Franklin Street Properties Corp.

1,525,070

9,501

^

Government Properties Income Trust

1,358,758

9,335

 

Hersha Hospitality Trust Class A

522,027

9,156

 

Select Income REIT

1,221,618

8,991

 

iStar Inc.

947,996

8,693

 

Investors Real Estate Trust

168,795

8,283

 

Urstadt Biddle Properties Inc. Class A

424,720

8,163

 

Saul Centers Inc.

165,315

7,806

 

Preferred Apartment Communities Inc. Class A

550,451

7,739

 

Gladstone Commercial Corp.

421,761

7,558

 

RE/MAX Holdings Inc. Class A

243,762

7,496

 

Community Healthcare Trust Inc.

249,369

7,189

 

Whitestone REIT

554,497

6,798

 

CorePoint Lodging Inc.

550,920

6,749

 

Essential Properties Realty Trust Inc.

471,670

6,528

 

Innovative Industrial Properties Inc.

135,083

6,131

 

Front Yard Residential Corp.

697,743

6,091

 

City Office REIT Inc.

565,349

5,795

 

UMH Properties Inc.

481,680

5,703

 

CorEnergy Infrastructure Trust Inc.

171,459

5,672

^

Pennsylvania REIT

922,780

5,481

 

Retail Value Inc.

213,005

5,451

 

One Liberty Properties Inc.

224,071

5,427

 

Jernigan Capital Inc.

268,211

5,316

 

RMR Group Inc. Class A

99,690

5,292

 

Ashford Hospitality Trust Inc.

1,240,693

4,963

 

CatchMark Timber Trust Inc. Class A

676,700

4,805

 

New Senior Investment Group Inc.

1,159,237

4,776

*

Tejon Ranch Co.

276,873

4,591

^

CBL & Associates Properties Inc.

2,369,150

4,549

 

Spirit MTA REIT

619,219

4,415

*

FRP Holdings Inc.

94,284

4,338

 

Braemar Hotels & Resorts Inc.

450,088

4,019

 

Consolidated-Tomoka Land Co.

76,098

3,995

 

Cedar Realty Trust Inc.

1,189,910

3,736

*,^

Altisource Portfolio Solutions SA

151,951

3,417

 

Bluerock Residential Growth REIT Inc. Class A

371,633

3,352

*,^

eXp World Holdings Inc.

469,319

3,323

 

MedEquities Realty Trust Inc.

471,240

3,223

 

Global Medical REIT Inc.

314,872

2,799

 

Safety Income & Growth Inc.

138,097

2,598

 

Clipper Realty Inc.

180,421

2,358

 

Gladstone Land Corp.

196,588

2,257

*

Forestar Group Inc.

162,520

2,251

 

CIM Commercial Trust Corp.

140,123

2,127

^

Farmland Partners Inc.

423,511

1,923

*

Stratus Properties Inc.

77,340

1,855

 

BRT Apartments Corp.

157,548

1,802

*

Rafael Holdings Inc. Class B

140,615

1,115

 

Sotherly Hotels Inc.

166,788

936

*

Maui Land & Pineapple Co. Inc.

87,932

872

 

Griffin Industrial Realty Inc.

26,728

853

*

Trinity Place Holdings Inc.

192,410

835

*

Transcontinental Realty Investors Inc.

22,564

639

 

Plymouth Industrial REIT Inc.

45,280

571

 

Condor Hospitality Trust Inc.

63,420

437

 

51


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

InterGroup Corp.

6,800

219

*

JW Mays Inc.

4,600

178

 

Global Self Storage Inc.

43,032

169

*

Wheeler REIT Inc.

136,025

121

*

Altisource Asset Management Corp.

2,628

78

*

American Realty Investors Inc.

5,426

65

 

HMG/Courtland Properties Inc.

1,000

14

 

Reven Housing REIT Inc.

3,347

11

 

CKX Lands Inc.

1,000

10

*

Power REIT

200

1

*

InnSuites Hospitality Trust

108

 

 

 

5,039,970

Utilities (3.2%)

 

 

 

Atmos Energy Corp.

1,604,204

148,742

 

UGI Corp.

2,379,016

126,920

*

Vistra Energy Corp.

5,398,884

123,580

 

OGE Energy Corp.

2,720,220

106,605

 

Aqua America Inc.

2,435,385

83,266

 

Vectren Corp.

1,137,161

81,853

 

IDACORP Inc.

691,776

64,377

 

MDU Resources Group Inc.

2,690,006

64,130

 

ONE Gas Inc.

724,499

57,670

 

National Fuel Gas Co.

1,112,807

56,953

 

Portland General Electric Co.

1,216,158

55,761

 

New Jersey Resources Corp.

1,209,562

55,241

 

Southwest Gas Holdings Inc.

718,781

54,987

 

Hawaiian Electric Industries Inc.

1,492,519

54,656

 

ALLETE Inc.

710,338

54,142

 

Spire Inc.

700,642

51,904

 

Black Hills Corp.

736,514

46,238

 

PNM Resources Inc.

1,095,975

45,034

 

NorthWestern Corp.

688,097

40,900

 

Avangrid Inc.

770,905

38,615

 

Avista Corp.

895,134

38,025

 

Ormat Technologies Inc.

697,894

36,500

 

American States Water Co.

507,784

34,042

 

South Jersey Industries Inc.

1,174,991

32,665

 

California Water Service Group

665,382

31,712

 

MGE Energy Inc.

481,319

28,860

 

El Paso Electric Co.

561,462

28,146

 

Otter Tail Corp.

549,327

27,269

 

Northwest Natural Holding Co.

409,494

24,758

 

Pattern Energy Group Inc. Class A

1,252,137

23,315

 

Chesapeake Utilities Corp.

228,369

18,566

 

Clearway Energy Inc.

1,066,270

18,393

 

SJW Group

313,623

17,444

 

TerraForm Power Inc. Class A

1,094,858

12,284

 

Middlesex Water Co.

228,948

12,214

 

Connecticut Water Service Inc.

169,194

11,314

 

Unitil Corp.

217,700

11,024

 

Clearway Energy Inc. Class A

412,726

6,983

 

York Water Co.

186,396

5,976

*,^

Cadiz Inc.

385,619

3,972

 

Artesian Resources Corp. Class A

110,234

3,844

*

AquaVenture Holdings Ltd.

177,931

3,361

 

RGC Resources Inc.

88,536

2,653

*

Pure Cycle Corp.

195,551

1,942

 

Genie Energy Ltd. Class B

246,631

1,487

 

Spark Energy Inc. Class A

187,650

1,394

 

Global Water Resources Inc.

120,540

1,222

 

 

 

1,850,939

Total Common Stocks (Cost $51,742,781)

 

57,690,703

 

52


 

Vanguard® Extended Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

 

Coupon

 

Shares

Market

Value

($000)

Temporary Cash Investments (3.3%)1

 

 

 

 

 

Money Market Fund (3.2%)

 

 

 

 

 

3,4

Vanguard Market Liquidity Fund

 

2.530%

 

18,977,993

1,897,799

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Maturity
Date

Face

Amount

($000)

 

U.S. Government and Agency Obligations (0.1%)

 

 

 

 

 

 

United States Treasury Bill

 

2.199%

1/24/19

2,000

1,997

 

United States Treasury Bill

 

2.294%

2/21/19

1,000

997

5

United States Treasury Bill

 

2.313%

2/28/19

2,000

1,992

5

United States Treasury Bill

 

2.349%

3/21/19

10,000

9,950

5

United States Treasury Bill

 

2.429%

4/11/19

20,000

19,869

 

 

 

 

 

 

34,805

Total Temporary Cash Investments (Cost $1,932,449)

 

 

1,932,604

Total Investments (102.3%) (Cost $53,675,230)

 

 

59,623,307

Other Assets and Liabilities—Net (-2.3%)4,6

 

 

(1,352,616)

Net Assets (100%)

 

 

58,270,691

 

*              Non-income-producing security.

^             Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $1,140,213,000.

§            Security value determined using significant unobservable inputs.

1            The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts and swap contracts. After giving effect to futures and swap investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 2.3%, respectively, of net assets.

2            “Other” represents securities that are not classified by the fund’s benchmark index.

3            Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.

4            Includes $1,243,719,000 of collateral received for securities on loan.

5            Securities with a value of $30,865,000 have been segregated as initial margin for open futures contracts.

6            Cash of $170,000 has been segregated as collateral for open over-the-counter swap contracts.

CPR—Contingent Payments Rights.

CVR—Contingent Value Rights.

REIT—Real Estate Investment Trust.

 

53


 

 

© 2019 The Vanguard Group, Inc.

 

All rights reserved.

 

Vanguard Marketing Corporation, Distributor.

 

 

 

SNA980 022019

 


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

Common Stocks (99.4%)1

 

 

Basic Materials (2.4%)

 

 

 

DowDuPont Inc.

61,298,118

3,278,223

 

Linde plc

14,721,784

2,297,187

 

Ecolab Inc.

6,944,048

1,023,205

 

Air Products & Chemicals Inc.

5,864,451

938,605

 

LyondellBasell Industries NV Class A

8,200,223

681,931

 

PPG Industries Inc.

6,409,288

655,222

 

Newmont Mining Corp.

14,232,898

493,170

 

International Paper Co.

10,824,039

436,858

 

Nucor Corp.

8,387,958

434,580

 

International Flavors & Fragrances Inc.

2,849,172

382,558

 

Freeport-McMoRan Inc.

36,741,874

378,809

 

Celanese Corp. Class A

3,567,741

320,990

 

Mosaic Co.

9,237,661

269,832

 

CF Industries Holdings Inc.

6,145,506

267,391

 

FMC Corp.

3,586,719

265,274

 

Eastman Chemical Co.

3,351,873

245,055

 

Albemarle Corp.

2,829,069

218,036

 

Avery Dennison Corp.

2,311,806

207,670

 

RPM International Inc.

3,531,561

207,585

 

Steel Dynamics Inc.

5,816,449

174,726

 

Royal Gold Inc.

1,747,958

149,713

*

Axalta Coating Systems Ltd.

5,739,583

134,421

*

Alcoa Corp.

4,967,764

132,043

 

Chemours Co.

4,556,845

128,594

 

Reliance Steel & Aluminum Co.

1,791,293

127,486

 

Ashland Global Holdings Inc.

1,659,711

117,773

 

WR Grace & Co.

1,778,425

115,438

 

Huntsman Corp.

5,442,880

104,993

 

NewMarket Corp.

227,548

93,770

*

Ingevity Corp.

1,118,268

93,588

 

Olin Corp.

4,434,033

89,168

 

United States Steel Corp.

4,697,466

85,682

 

Versum Materials Inc.

2,908,154

80,614

 

Peabody Energy Corp.

2,373,351

72,340

 

Westlake Chemical Corp.

1,035,050

68,489

 

Balchem Corp.

835,018

65,424

 

Scotts Miracle-Gro Co.

1,033,027

63,490

 

Sensient Technologies Corp.

1,123,438

62,744

 

Cabot Corp.

1,442,065

61,922

*

Cleveland-Cliffs Inc.

7,969,060

61,282

 

PolyOne Corp.

2,106,964

60,259

*

Platform Specialty Products Corp.

5,771,478

59,619

 

Domtar Corp.

1,686,688

59,253

 

Quaker Chemical Corp.

330,469

58,728

 

HB Fuller Co.

1,352,226

57,700

*

Univar Inc.

3,026,608

53,692

 

Minerals Technologies Inc.

912,356

46,840

 

Commercial Metals Co.

2,902,687

46,501

 

Carpenter Technology Corp.

1,241,169

44,198

*

GCP Applied Technologies Inc.

1,773,379

43,536

 

Innospec Inc.

633,075

39,099

 

Worthington Industries Inc.

1,101,564

38,379

 

Stepan Co.

514,484

38,072

 

Arch Coal Inc. Class A

455,279

37,784

 

Compass Minerals International Inc.

899,338

37,493

 

Kaiser Aluminum Corp.

407,069

36,347

*

Ferro Corp.

2,192,650

34,381

*

Contura Energy Inc.

488,188

32,093

 

Warrior Met Coal Inc.

1,257,944

30,329

 

Hecla Mining Co.

12,652,227

29,859

 

Neenah Inc.

434,910

25,625

 

1


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Coeur Mining Inc.

5,342,201

23,880

 

Materion Corp.

520,873

23,434

*

Codexis Inc.

1,351,787

22,575

 

US Silica Holdings Inc.

2,068,768

21,060

*

CONSOL Energy Inc.

661,195

20,967

*

Verso Corp.

897,447

20,103

*

CSW Industrials Inc.

409,872

19,817

 

Schweitzer-Mauduit International Inc.

779,149

19,518

 

Tronox Ltd. Class A

2,418,494

18,816

*,^

AK Steel Holding Corp.

8,323,817

18,729

*

AdvanSix Inc.

739,939

18,010

 

Chase Corp.

179,600

17,969

*

Kraton Corp.

817,855

17,862

*

PQ Group Holdings Inc.

1,030,089

15,256

 

Rayonier Advanced Materials Inc.

1,319,642

14,054

 

Schnitzer Steel Industries Inc.

651,464

14,039

*

SunCoke Energy Inc.

1,601,558

13,693

 

Tredegar Corp.

766,806

12,162

 

Innophos Holdings Inc.

494,050

12,119

 

Resolute Forest Products Inc.

1,492,846

11,838

 

Hawkins Inc.

270,451

11,075

 

American Vanguard Corp.

718,769

10,918

 

FutureFuel Corp.

686,758

10,892

*

Clearwater Paper Corp.

439,873

10,720

*

OMNOVA Solutions Inc.

1,143,302

8,380

*

TimkenSteel Corp.

904,096

7,902

*

Nexeo Solutions Inc.

811,968

6,975

 

Gold Resource Corp.

1,591,636

6,367

*

Energy Fuels Inc.

2,145,316

6,114

*

Intrepid Potash Inc.

2,297,802

5,974

 

Olympic Steel Inc.

365,116

5,210

*,^

Uranium Energy Corp.

4,045,072

5,056

 

Synalloy Corp.

264,123

4,382

*

Universal Stainless & Alloy Products Inc.

266,099

4,313

*

Century Aluminum Co.

504,112

3,685

*

AgroFresh Solutions Inc.

957,008

3,627

*

LSB Industries Inc.

643,806

3,554

*,^

ChromaDex Corp.

1,023,365

3,510

*

Ryerson Holding Corp.

491,768

3,118

 

Northern Technologies International Corp.

101,863

3,014

*,^

Marrone Bio Innovations Inc.

1,867,466

2,745

*,^

Ur-Energy Inc.

4,085,598

2,656

 

PH Glatfelter Co.

213,622

2,085

*

Veritiv Corp.

82,814

2,068

*,^

Ramaco Resources Inc.

243,225

1,204

 

United-Guardian Inc.

52,121

956

 

Hallador Energy Co.

179,929

912

 

Friedman Industries Inc.

125,449

884

 

Haynes International Inc.

30,937

817

 

Kronos Worldwide Inc.

38,291

441

*

General Moly Inc.

1,379,582

310

*

US Antimony Corp.

359,147

208

*

Koppers Holdings Inc.

9,399

160

*

Dynasil Corp. of America

158,073

141

*

Ampco-Pittsburgh Corp.

39,711

123

*

Pershing Gold Corp.

100,868

107

*

Solitario Zinc Corp.

101,668

24

*

Ikonics Corp.

1,996

16

*,^

Golden Minerals Co.

67,011

15

*,^

Paramount Gold Nevada Corp.

9,731

8

*

Centrus Energy Corp. Class A

2,700

5

*,^

US Gold Corp.

900

1

 

 

 

16,492,241

 

2


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

Consumer Goods (7.9%)

 

 

 

Procter & Gamble Co.

66,548,734

6,117,160

 

Coca-Cola Co.

102,283,588

4,843,128

 

PepsiCo Inc.

37,706,704

4,165,837

 

Philip Morris International Inc.

41,505,319

2,770,895

 

NIKE Inc. Class B

34,010,881

2,521,567

 

Altria Group Inc.

50,197,580

2,479,258

 

Mondelez International Inc. Class A

38,817,875

1,553,880

 

Colgate-Palmolive Co.

23,166,319

1,378,859

*,^

Tesla Inc.

3,441,048

1,145,181

 

General Motors Co.

33,937,358

1,135,205

 

Kimberly-Clark Corp.

9,251,133

1,054,074

 

Activision Blizzard Inc.

19,366,240

901,886

 

Ford Motor Co.

104,331,772

798,138

 

Estee Lauder Cos. Inc. Class A

5,874,211

764,235

 

Kraft Heinz Co.

16,283,887

700,858

 

Constellation Brands Inc. Class A

3,994,245

642,354

*

Electronic Arts Inc.

8,071,336

636,909

 

General Mills Inc.

15,927,141

620,203

 

Archer-Daniels-Midland Co.

14,963,128

613,039

 

VF Corp.

8,478,880

604,883

*

Monster Beverage Corp.

11,077,420

545,231

 

Clorox Co.

3,409,743

525,578

 

McCormick & Co. Inc.

3,251,015

452,671

 

Aptiv plc

7,042,045

433,579

 

Church & Dwight Co. Inc.

6,578,546

432,605

 

Kellogg Co.

7,416,654

422,823

 

Tyson Foods Inc. Class A

7,886,385

421,133

 

Hershey Co.

3,786,100

405,794

 

Brown-Forman Corp. Class B

7,925,403

377,091

 

Genuine Parts Co.

3,727,739

357,937

*

Lululemon Athletica Inc.

2,780,186

338,098

 

DR Horton Inc.

9,532,736

330,405

*

Take-Two Interactive Software Inc.

3,038,685

312,802

 

Lennar Corp. Class A

7,795,507

305,194

 

Hormel Foods Corp.

7,106,806

303,318

 

Lamb Weston Holdings Inc.

3,903,224

287,121

 

Conagra Brands Inc.

12,925,923

276,098

 

JM Smucker Co.

2,875,806

268,859

 

Molson Coors Brewing Co. Class B

4,687,002

263,222

 

Tapestry Inc.

7,710,012

260,213

 

Hasbro Inc.

3,036,543

246,719

*

NVR Inc.

91,712

223,501

 

Lear Corp.

1,711,878

210,321

 

Newell Brands Inc.

11,199,976

208,208

 

Garmin Ltd.

3,274,791

207,360

 

BorgWarner Inc.

5,547,494

192,720

*

LKQ Corp.

8,052,341

191,082

 

Bunge Ltd.

3,565,490

190,540

 

PVH Corp.

2,039,024

189,527

*

Mohawk Industries Inc.

1,579,566

184,746

*

US Foods Holding Corp.

5,787,005

183,101

 

Whirlpool Corp.

1,700,131

181,693

 

PulteGroup Inc.

6,740,557

175,187

 

Ingredion Inc.

1,883,111

172,116

*

Campbell Soup Co.

5,201,587

171,600

*

Herbalife Nutrition Ltd.

2,702,303

159,301

*

Middleby Corp.

1,492,130

153,287

 

Pool Corp.

1,017,798

151,296

 

Ralph Lauren Corp. Class A

1,454,289

150,461

*

Post Holdings Inc.

1,678,504

149,605

*

WABCO Holdings Inc.

1,388,770

149,071

 

Harley-Davidson Inc.

4,339,617

148,068

*

Michael Kors Holdings Ltd.

3,804,897

144,282

 

3


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Fortune Brands Home & Security Inc.

3,774,736

143,402

 

Keurig Dr Pepper Inc.

5,562,050

142,611

*,^

Wayfair Inc.

1,567,649

141,214

 

Gentex Corp.

6,978,007

141,026

 

Goodyear Tire & Rubber Co.

6,213,291

126,813

 

Jefferies Financial Group Inc.

7,299,741

126,724

 

Leggett & Platt Inc.

3,471,823

124,430

 

Hanesbrands Inc.

9,623,025

120,576

 

Polaris Industries Inc.

1,563,689

119,904

 

Toll Brothers Inc.

3,541,830

116,632

 

Brunswick Corp.

2,314,531

107,510

 

Carter’s Inc.

1,220,873

99,648

*

Deckers Outdoor Corp.

772,689

98,866

 

Valvoline Inc.

5,007,734

96,900

*

Helen of Troy Ltd.

701,710

92,050

*,^

Mattel Inc.

9,188,524

91,793

 

Lancaster Colony Corp.

512,735

90,682

 

Flowers Foods Inc.

4,775,678

88,207

*,^

Under Armour Inc. Class A

4,874,058

86,125

 

Nu Skin Enterprises Inc. Class A

1,403,196

86,058

*,^

Under Armour Inc.

5,263,730

85,115

*

Darling Ingredients Inc.

4,375,939

84,193

*

Skechers U.S.A. Inc. Class A

3,581,501

81,981

*

Zynga Inc. Class A

20,744,299

81,525

 

Coty Inc. Class A

12,024,349

78,880

 

Wolverine World Wide Inc.

2,390,761

76,241

*

TreeHouse Foods Inc.

1,495,578

75,841

 

Energizer Holdings Inc.

1,581,999

71,427

 

Thor Industries Inc.

1,334,416

69,390

 

Columbia Sportswear Co.

778,700

65,481

 

WD-40 Co.

349,024

63,962

 

Steven Madden Ltd.

2,094,308

63,374

*

Dorman Products Inc.

703,655

63,343

*

Elanco Animal Health Inc.

1,951,866

61,542

*,^

iRobot Corp.

705,705

59,096

 

J&J Snack Foods Corp.

395,829

57,233

*

Fox Factory Holding Corp.

956,740

56,323

 

Sanderson Farms Inc.

549,158

54,526

*

Edgewell Personal Care Co.

1,438,537

53,729

 

Dana Inc.

3,847,002

52,435

*

Boston Beer Co. Inc. Class A

216,747

52,201

*,^

Tempur Sealy International Inc.

1,233,824

51,080

^

B&G Foods Inc.

1,753,456

50,692

*

Taylor Morrison Home Corp. Class A

3,141,082

49,943

 

Herman Miller Inc.

1,569,324

47,472

*

Visteon Corp.

771,429

46,502

 

Spectrum Brands Holdings Inc.

1,064,106

44,958

 

KB Home

2,348,046

44,848

*

Crocs Inc.

1,691,279

43,939

 

LCI Industries

642,576

42,924

*

TRI Pointe Group Inc.

3,926,408

42,916

 

Cooper Tire & Rubber Co.

1,327,294

42,911

*

Welbilt Inc.

3,740,241

41,554

*

USANA Health Sciences Inc.

348,598

41,040

 

HNI Corp.

1,139,316

40,366

 

Callaway Golf Co.

2,520,504

38,564

*

Meritor Inc.

2,271,086

38,404

*

Gentherm Inc.

953,036

38,102

 

Tenneco Inc. Class A

1,386,284

37,970

 

Medifast Inc.

300,837

37,611

*

Hain Celestial Group Inc.

2,357,450

37,389

*

Meritage Homes Corp.

1,001,565

36,777

 

Universal Corp.

656,874

35,570

 

Tupperware Brands Corp.

1,108,469

34,994

 

4


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Nutrisystem Inc.

782,259

34,326

 

La-Z-Boy Inc.

1,234,923

34,220

 

Delphi Technologies plc

2,352,442

33,687

 

MDC Holdings Inc.

1,192,698

33,527

*

American Axle & Manufacturing Holdings Inc.

2,938,349

32,616

 

Cal-Maine Foods Inc.

759,204

32,114

 

Steelcase Inc. Class A

2,125,501

31,521

*

G-III Apparel Group Ltd.

1,108,785

30,924

 

Calavo Growers Inc.

417,628

30,470

 

Oxford Industries Inc.

422,954

30,047

*

Cooper-Standard Holdings Inc.

474,865

29,499

*

Central Garden & Pet Co. Class A

943,089

29,472

*

Cavco Industries Inc.

224,107

29,219

 

Inter Parfums Inc.

444,469

29,144

*,^

Fitbit Inc. Class A

5,759,027

28,622

*

Hostess Brands Inc. Class A

2,589,432

28,328

 

Vector Group Ltd.

2,790,836

27,155

 

Seaboard Corp.

7,661

27,105

*

Sleep Number Corp.

842,759

26,741

*

Glu Mobile Inc.

3,032,347

24,471

*

Garrett Motion Inc.

1,947,220

24,029

 

Standard Motor Products Inc.

481,114

23,300

*

American Woodmark Corp.

417,487

23,246

 

Fresh Del Monte Produce Inc.

817,358

23,107

 

Sturm Ruger & Co. Inc.

432,701

23,028

^

National Beverage Corp.

309,004

22,177

 

Interface Inc. Class A

1,540,156

21,947

 

Coca-Cola Bottling Co. Consolidated

123,089

21,834

*,^

LGI Homes Inc.

477,605

21,597

*

Freshpet Inc.

658,351

21,173

*

Pilgrim’s Pride Corp.

1,343,655

20,840

 

Knoll Inc.

1,232,030

20,304

 

MGP Ingredients Inc.

352,191

20,092

*

Malibu Boats Inc. Class A

549,619

19,127

 

Andersons Inc.

632,989

18,920

*

Fossil Group Inc.

1,183,893

18,623

 

Winnebago Industries Inc.

759,002

18,375

 

Acushnet Holdings Corp.

868,389

18,297

 

ACCO Brands Corp.

2,675,099

18,137

*

American Outdoor Brands Corp.

1,351,099

17,375

*

Stoneridge Inc.

703,841

17,350

 

Phibro Animal Health Corp. Class A

525,784

16,909

*

Vista Outdoor Inc.

1,462,740

16,602

 

National Presto Industries Inc.

137,240

16,046

^

Tootsie Roll Industries Inc.

461,425

15,412

*

M/I Homes Inc.

716,313

15,057

*

Central Garden & Pet Co.

409,355

14,102

 

Skyline Champion Corp.

954,421

14,020

*

Modine Manufacturing Co.

1,209,255

13,072

 

Lennar Corp. Class B

415,047

13,003

*

Primo Water Corp.

919,049

12,876

 

Movado Group Inc.

404,066

12,777

*,^

GoPro Inc. Class A

2,991,568

12,684

 

John B Sanfilippo & Son Inc.

218,710

12,173

 

Tower International Inc.

488,432

11,625

*

Century Communities Inc.

657,636

11,351

^

Camping World Holdings Inc. Class A

825,272

9,466

 

Dean Foods Co.

2,360,833

8,995

*

Beazer Homes USA Inc.

936,420

8,877

*

Motorcar Parts of America Inc.

525,930

8,751

*

Unifi Inc.

382,109

8,727

*

MasterCraft Boat Holdings Inc.

451,609

8,445

*

Nautilus Inc.

749,720

8,172

 

Limoneira Co.

406,752

7,952

 

5


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Hooker Furniture Corp.

292,319

7,700

*,^

22nd Century Group Inc.

3,034,920

7,557

*

ZAGG Inc.

769,717

7,528

*,^

New Age Beverages Corp.

1,331,052

6,921

*

Farmer Brothers Co.

292,855

6,832

 

Johnson Outdoors Inc. Class A

110,155

6,471

 

Clarus Corp.

638,712

6,464

*

YETI Holdings Inc.

429,469

6,373

*

Seneca Foods Corp. Class A

218,253

6,159

 

Bassett Furniture Industries Inc.

295,682

5,925

 

Turning Point Brands Inc.

210,429

5,728

 

Culp Inc.

302,422

5,716

*

Craft Brew Alliance Inc.

394,664

5,648

 

Hamilton Beach Brands Holding Co. Class A

226,804

5,321

*,^

Revlon Inc. Class A

209,831

5,286

*,^

elf Beauty Inc.

604,205

5,232

*,^

Sonos Inc.

518,489

5,092

 

Rocky Brands Inc.

193,275

5,025

 

Weyco Group Inc.

169,895

4,956

*

Lifevantage Corp.

374,459

4,939

*

Universal Electronics Inc.

194,573

4,919

 

Oil-Dri Corp. of America

161,061

4,268

 

Superior Group of Cos. Inc.

240,917

4,252

*

Lovesac Co.

165,142

3,788

 

Lifetime Brands Inc.

338,870

3,399

 

Marine Products Corp.

194,459

3,288

*,^

Vuzix Corp.

625,024

3,006

 

Strattec Security Corp.

101,820

2,932

 

Flexsteel Industries Inc.

130,005

2,871

*,^

Pyxus International Inc.

238,753

2,832

*,^

Akoustis Technologies Inc.

561,823

2,792

*

Shiloh Industries Inc.

434,285

2,532

*,^

Funko Inc. Class A

192,360

2,530

 

Alico Inc.

82,474

2,433

*

Delta Apparel Inc.

139,331

2,401

 

Escalade Inc.

203,028

2,325

*,^

Castle Brands Inc.

2,715,417

2,309

*

RiceBran Technologies

767,288

2,302

 

Titan International Inc.

484,549

2,258

*,^

Eastman Kodak Co.

882,600

2,251

*

Lakeland Industries Inc.

201,320

2,102

 

Kewaunee Scientific Corp.

57,081

1,897

*

Nature’s Sunshine Products Inc.

224,632

1,831

*

Natural Alternatives International Inc.

181,845

1,788

 

Core Molding Technologies Inc.

228,649

1,626

*,^

Celsius Holdings Inc.

447,606

1,553

 

Crown Crafts Inc.

274,576

1,483

 

Rocky Mountain Chocolate Factory Inc.

173,764

1,461

 

Ethan Allen Interiors Inc.

69,679

1,226

*

Centric Brands Inc.

348,293

1,195

*,^

Veru Inc.

812,319

1,137

*

Alpha Pro Tech Ltd.

293,460

1,089

*

New Home Co. Inc.

181,777

951

 

Acme United Corp.

60,785

866

*,^

Blink Charging Co.

470,258

809

*

Vera Bradley Inc.

94,028

806

*

Reed’s Inc.

375,034

776

*,^

S&W Seed Co.

403,039

729

*,^

Level Brands Inc.

231,989

717

*,^

Innovate Biopharmaceuticals Inc.

251,340

581

*

Tandy Leather Factory Inc.

93,919

533

 

Mannatech Inc.

25,551

480

*

Willamette Valley Vineyards Inc.

66,647

459

*,^

JAKKS Pacific Inc.

306,686

451

 

6


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

LS Starrett Co. Class A

75,368

394

*

Coffee Holding Co. Inc.

105,416

372

 

Virco Manufacturing Corp.

54,872

235

*

Bridgford Foods Corp.

10,626

211

*

Zedge Inc. Class B

85,340

209

 

Jerash Holdings US Inc.

34,954

204

 

P&F Industries Inc. Class A

19,303

149

*

Summer Infant Inc.

133,100

140

*,^

Nova Lifestyle Inc.

298,918

138

 

CompX International Inc.

7,411

101

*

Dixie Group Inc.

141,943

100

 

Ocean Bio-Chem Inc.

24,282

80

*

William Lyon Homes Class A

5,416

58

*,^

CTI Industries Corp.

14,046

42

*

Lifeway Foods Inc.

22,423

42

*

Cherokee Inc.

73,246

37

*

Koss Corp.

17,633

33

*

Emerson Radio Corp.

17,781

26

*

US Auto Parts Network Inc.

21,627

20

*

Charles & Colvard Ltd.

20,203

17

*

Hovnanian Enterprises Inc. Class B

19,300

13

*

Iconix Brand Group Inc.

53,800

4

*,^

Orchids Paper Products Co.

766

1

*

CCA Industries Inc.

147

 

 

 

53,039,561

Consumer Services (13.5%)

 

 

*

Amazon.com Inc.

11,103,329

16,676,867

 

Home Depot Inc.

30,177,998

5,185,184

 

Walt Disney Co.

37,777,614

4,142,315

 

Comcast Corp. Class A

121,287,849

4,129,851

 

McDonald’s Corp.

20,593,963

3,656,870

 

Walmart Inc.

39,123,470

3,644,351

*

Netflix Inc.

11,067,658

2,962,369

 

Costco Wholesale Corp.

11,708,026

2,385,042

 

CVS Health Corp.

34,546,444

2,263,483

*

Booking Holdings Inc.

1,237,488

2,131,474

 

Starbucks Corp.

31,484,054

2,027,573

 

Lowe’s Cos. Inc.

20,517,406

1,894,988

 

Walgreens Boots Alliance Inc.

21,511,605

1,469,888

 

TJX Cos. Inc.

31,414,950

1,405,505

 

Twenty-First Century Fox Inc. Class A

27,700,428

1,332,945

*

Charter Communications Inc. Class A

4,281,483

1,220,094

 

Target Corp.

13,940,612

921,335

 

Ross Stores Inc.

9,979,765

830,316

 

Sysco Corp.

13,195,902

826,855

 

Delta Air Lines Inc.

16,485,992

822,651

 

Dollar General Corp.

7,093,022

766,614

 

Yum! Brands Inc.

8,335,272

766,178

 

Marriott International Inc. Class A

6,838,201

742,355

*

O’Reilly Automotive Inc.

2,140,708

737,110

*

eBay Inc.

24,429,683

685,741

 

Twenty-First Century Fox Inc.

13,324,343

636,637

 

Southwest Airlines Co.

13,522,093

628,507

 

Kroger Co.

21,311,126

586,056

 

McKesson Corp.

5,220,751

576,736

*

Dollar Tree Inc.

6,357,061

574,170

*

AutoZone Inc.

682,918

572,517

 

Hilton Worldwide Holdings Inc.

7,923,665

568,919

 

Las Vegas Sands Corp.

10,472,601

545,099

 

Carnival Corp.

10,558,853

520,551

*

United Continental Holdings Inc.

6,190,343

518,317

 

Omnicom Group Inc.

5,988,453

438,594

 

Royal Caribbean Cruises Ltd.

4,470,215

437,142

 

CBS Corp. Class B

9,186,710

401,643

 

7


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Ulta Beauty Inc.

1,515,610

371,082

 

American Airlines Group Inc.

11,067,129

355,366

 

Expedia Group Inc.

3,094,179

348,559

 

Darden Restaurants Inc.

3,318,365

331,372

 

Best Buy Co. Inc.

6,161,771

326,327

*

Chipotle Mexican Grill Inc. Class A

741,270

320,073

 

AmerisourceBergen Corp. Class A

4,243,361

315,706

 

MGM Resorts International

12,636,082

306,551

 

Kohl’s Corp.

4,448,571

295,118

*

Burlington Stores Inc.

1,799,111

292,661

*

CarMax Inc.

4,660,320

292,342

 

Advance Auto Parts Inc.

1,847,635

290,929

 

Domino’s Pizza Inc.

1,106,998

274,524

 

Tractor Supply Co.

3,252,579

271,395

*

Copart Inc.

5,626,440

268,831

 

Viacom Inc. Class B

9,711,280

249,580

 

Tiffany & Co.

3,086,197

248,470

*

Norwegian Cruise Line Holdings Ltd.

5,857,004

248,278

 

Wynn Resorts Ltd.

2,462,903

243,606

 

Macy’s Inc.

8,179,692

243,591

*

Liberty Broadband Corp.

3,287,371

236,789

 

Vail Resorts Inc.

1,077,257

227,107

 

Nielsen Holdings plc

9,463,119

220,775

*

Qurate Retail Group Inc. QVC Group Class A

11,210,596

218,831

 

Interpublic Group of Cos. Inc.

10,230,355

211,052

 

FactSet Research Systems Inc.

1,012,656

202,663

 

Alaska Air Group Inc.

3,283,615

199,808

 

Gap Inc.

7,690,398

198,105

 

Aramark

6,566,441

190,230

*

GrubHub Inc.

2,415,298

185,519

*

Discovery Communications Inc.

7,994,340

184,509

 

Service Corp. International

4,575,498

184,210

*

Live Nation Entertainment Inc.

3,628,692

178,713

*

Bright Horizons Family Solutions Inc.

1,542,416

171,902

 

KAR Auction Services Inc.

3,592,320

171,426

*,^

Sirius XM Holdings Inc.

29,650,220

169,303

 

Foot Locker Inc.

3,067,237

163,177

 

L Brands Inc.

6,229,315

159,907

 

Sabre Corp.

7,325,928

158,533

 

Altice USA Inc. Class A

9,374,075

154,860

*

Liberty Media Corp-Liberty Formula One

4,995,296

153,356

*

TripAdvisor Inc.

2,830,721

152,689

*

Liberty Media Corp-Liberty SiriusXM Class C

4,111,706

152,051

*

Five Below Inc.

1,485,067

151,952

 

Nordstrom Inc.

3,158,156

147,202

 

News Corp. Class A

12,938,905

146,857

*

Etsy Inc.

3,055,402

145,345

*

DISH Network Corp. Class A

5,819,132

145,304

 

Rollins Inc.

3,934,056

142,019

 

Dunkin’ Brands Group Inc.

2,192,313

140,571

 

Dun & Bradstreet Corp.

984,118

140,473

 

H&R Block Inc.

5,461,870

138,568

*

ServiceMaster Global Holdings Inc.

3,611,695

132,694

*

JetBlue Airways Corp.

8,139,003

130,712

*

Madison Square Garden Co. Class A

486,335

130,192

*

Planet Fitness Inc. Class A

2,351,401

126,082

 

Casey’s General Stores Inc.

975,422

124,991

*,^

Discovery Communications Inc. Class A

4,993,438

123,538

*

Grand Canyon Education Inc.

1,281,556

123,209

 

Wyndham Hotels & Resorts Inc.

2,640,153

119,784

 

Texas Roadhouse Inc. Class A

1,808,518

107,969

^

Williams-Sonoma Inc.

2,139,769

107,951

 

Six Flags Entertainment Corp.

1,912,308

106,382

*,^

Trade Desk Inc. Class A

916,222

106,337

 

8


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Cable One Inc.

128,983

105,779

*

Spirit Airlines Inc.

1,815,166

105,134

*,^

Caesars Entertainment Corp.

15,225,195

103,379

^

Cracker Barrel Old Country Store Inc.

638,435

102,060

 

Cinemark Holdings Inc.

2,806,120

100,459

 

Dolby Laboratories Inc. Class A

1,619,838

100,171

 

Tribune Media Co. Class A

2,097,287

95,175

*

Ollie’s Bargain Outlet Holdings Inc.

1,418,020

94,313

 

Nexstar Media Group Inc. Class A

1,156,081

90,914

 

Wyndham Destinations Inc.

2,466,076

88,384

 

New York Times Co. Class A

3,946,686

87,972

*

Liberty Media Corp-Liberty SiriusXM Class A

2,385,676

87,793

 

American Eagle Outfitters Inc.

4,495,215

86,893

*

Performance Food Group Co.

2,665,941

86,030

 

Marriott Vacations Worldwide Corp.

1,126,556

79,433

 

Wendy’s Co.

5,058,642

78,965

*

Chegg Inc.

2,747,924

78,096

 

Extended Stay America Inc.

5,009,948

77,654

 

World Wrestling Entertainment Inc. Class A

1,037,572

77,527

 

Aaron’s Inc.

1,830,031

76,953

*

Sprouts Farmers Market Inc.

3,233,318

76,015

*

Adtalem Global Education Inc.

1,558,522

73,749

 

Hyatt Hotels Corp. Class A

1,089,151

73,627

*

Yelp Inc. Class A

2,094,429

73,284

*

Stamps.com Inc.

460,070

71,605

 

Churchill Downs Inc.

289,262

70,563

 

Graham Holdings Co. Class B

110,097

70,526

 

AMERCO

208,958

68,561

*

Hilton Grand Vacations Inc.

2,582,217

68,145

*

Urban Outfitters Inc.

2,019,687

67,054

*

LiveRamp Holdings Inc.

1,718,727

66,394

*

AMC Networks Inc. Class A

1,198,004

65,746

*,^

RH

534,618

64,058

 

Choice Hotels International Inc.

893,194

63,935

 

Strategic Education Inc.

553,757

62,807

*

Murphy USA Inc.

815,264

62,482

 

TEGNA Inc.

5,739,825

62,392

 

Dick’s Sporting Goods Inc.

1,927,461

60,137

*

Belmond Ltd. Class A

2,323,456

58,156

 

Monro Inc.

833,983

57,336

 

SkyWest Inc.

1,283,865

57,093

 

John Wiley & Sons Inc. Class A

1,208,249

56,751

*

Liberty Expedia Holdings Inc. Class A

1,440,525

56,339

*

Penn National Gaming Inc.

2,990,434

56,310

*

Eldorado Resorts Inc.

1,548,774

56,081

 

Hillenbrand Inc.

1,476,198

55,992

*

AutoNation Inc.

1,554,479

55,495

 

Meredith Corp.

1,064,526

55,292

 

Morningstar Inc.

503,212

55,273

*

Pandora Media Inc.

6,811,876

55,108

*

Sally Beauty Holdings Inc.

3,197,197

54,512

*,^

Roku Inc.

1,741,310

53,354

*

Cargurus Inc.

1,537,995

51,877

 

Jack in the Box Inc.

654,882

50,839

 

Wingstop Inc.

774,512

49,716

*

National Vision Holdings Inc.

1,751,963

49,353

 

Sinclair Broadcast Group Inc. Class A

1,841,009

48,492

*

Weight Watchers International Inc.

1,252,881

48,299

*

frontdoor Inc.

1,787,587

47,568

 

Cheesecake Factory Inc.

1,087,050

47,298

 

Dave & Buster’s Entertainment Inc.

1,038,269

46,265

 

Lithia Motors Inc. Class A

601,944

45,946

 

DSW Inc. Class A

1,850,632

45,711

 

Brinker International Inc.

1,028,198

45,220

 

9


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Sotheby’s

1,122,248

44,598

 

Signet Jewelers Ltd.

1,390,867

44,188

*

BJ’s Wholesale Club Holdings Inc.

1,989,779

44,094

 

Boyd Gaming Corp.

2,090,967

43,450

 

PriceSmart Inc.

682,602

40,342

 

Bed Bath & Beyond Inc.

3,503,791

39,663

 

Bloomin’ Brands Inc.

2,208,607

39,512

 

Lions Gate Entertainment Corp. Class B

2,628,832

39,117

*

Cars.com Inc.

1,816,090

39,046

*

Groupon Inc. Class A

12,153,820

38,892

 

Red Rock Resorts Inc. Class A

1,856,466

37,705

 

Children’s Place Inc.

412,006

37,118

*

Avis Budget Group Inc.

1,640,668

36,882

 

Penske Automotive Group Inc.

911,647

36,758

*

Floor & Decor Holdings Inc. Class A

1,416,356

36,684

*

Laureate Education Inc. Class A

2,373,145

36,167

 

Abercrombie & Fitch Co.

1,793,668

35,963

*

Shutterfly Inc.

889,076

35,794

*

MSG Networks Inc.

1,516,164

35,721

*

Asbury Automotive Group Inc.

529,978

35,328

*,^

Michaels Cos. Inc.

2,509,182

33,974

*

Simply Good Foods Co.

1,771,453

33,480

 

Hawaiian Holdings Inc.

1,254,177

33,123

 

GameStop Corp. Class A

2,572,313

32,463

 

Matthews International Corp. Class A

797,260

32,385

 

Guess? Inc.

1,505,344

31,266

 

Big Lots Inc.

1,079,952

31,232

*

SeaWorld Entertainment Inc.

1,390,837

30,724

*,^

ANGI Homeservices Inc. Class A

1,910,688

30,705

 

Dine Brands Global Inc.

450,645

30,346

 

Allegiant Travel Co. Class A

302,417

30,308

*,^

Carvana Co. Class A

926,227

30,297

*

Gray Television Inc.

2,048,915

30,201

*

Liberty TripAdvisor Holdings Inc. Class A

1,891,202

30,051

*

Shake Shack Inc. Class A

658,252

29,898

 

Caleres Inc.

1,025,935

28,552

 

BJ’s Restaurants Inc.

558,391

28,238

 

Core-Mark Holding Co. Inc.

1,198,553

27,866

 

Viad Corp.

525,662

26,330

*

Scientific Games Corp.

1,469,503

26,275

 

International Speedway Corp. Class A

598,281

26,241

 

Gannett Co. Inc.

3,039,013

25,923

 

Lions Gate Entertainment Corp. Class A

1,602,116

25,794

 

Group 1 Automotive Inc.

488,023

25,729

*

Denny’s Corp.

1,566,924

25,400

 

Scholastic Corp.

630,074

25,367

*

Houghton Mifflin Harcourt Co.

2,780,142

24,632

*

K12 Inc.

967,512

23,985

*

Liberty Media Corp-Liberty Formula One Class A

799,896

23,773

 

Papa John’s International Inc.

587,653

23,394

*

Liberty Media Corp-Liberty Braves Class C

925,452

23,035

 

EW Scripps Co. Class A

1,445,947

22,745

*

Quotient Technology Inc.

2,110,916

22,545

*

Genesco Inc.

505,442

22,391

*

Chefs’ Warehouse Inc.

675,534

21,604

*

Rent-A-Center Inc.

1,267,156

20,515

*

Diplomat Pharmacy Inc.

1,474,123

19,842

*

Hertz Global Holdings Inc.

1,437,010

19,615

 

Marcus Corp.

493,344

19,487

^

Dillard’s Inc. Class A

316,672

19,099

*

TrueCar Inc.

2,075,397

18,803

 

Entercom Communications Corp. Class A

3,243,547

18,521

*,^

Stitch Fix Inc. Class A

1,073,618

18,348

 

Weis Markets Inc.

379,503

18,133

 

10


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Chico’s FAS Inc.

3,203,805

18,005

*,^

Trupanion Inc.

703,730

17,917

*

comScore Inc.

1,240,830

17,905

*

QuinStreet Inc.

1,100,702

17,864

*

Providence Service Corp.

297,254

17,841

*

SP Plus Corp.

574,305

16,965

 

Tailored Brands Inc.

1,243,081

16,956

 

New Media Investment Group Inc.

1,458,199

16,871

 

Ruth’s Hospitality Group Inc.

741,814

16,861

 

AMC Entertainment Holdings Inc. Class A

1,359,183

16,691

*

Herc Holdings Inc.

641,053

16,661

*

Liberty Broadband Corp. Class A

223,832

16,073

*

Party City Holdco Inc.

1,533,160

15,301

*

Regis Corp.

880,203

14,919

 

SpartanNash Co.

867,814

14,909

^

Buckle Inc.

769,911

14,890

*

United Natural Foods Inc.

1,369,355

14,501

*

Care.com Inc.

716,002

13,826

*

PlayAGS Inc.

595,468

13,696

*

MarineMax Inc.

700,995

12,835

*

America’s Car-Mart Inc.

175,489

12,714

*

Boot Barn Holdings Inc.

746,272

12,709

^

PetMed Express Inc.

506,482

11,781

 

National CineMedia Inc.

1,803,937

11,690

*

American Public Education Inc.

390,828

11,123

*

Monarch Casino & Resort Inc.

284,298

10,843

*

Ascena Retail Group Inc.

4,295,186

10,781

 

Shoe Carnival Inc.

312,690

10,478

 

Winmark Corp.

63,833

10,149

*

Career Education Corp.

859,636

9,817

*

Zumiez Inc.

496,232

9,513

 

Ingles Markets Inc. Class A

348,858

9,496

*

Express Inc.

1,818,554

9,293

*,^

Conn’s Inc.

489,045

9,223

*

Lindblad Expeditions Holdings Inc.

683,537

9,200

 

Carriage Services Inc. Class A

560,718

8,691

*

Carrols Restaurant Group Inc.

853,161

8,395

*

Fiesta Restaurant Group Inc.

532,247

8,255

 

Haverty Furniture Cos. Inc.

437,988

8,225

*

El Pollo Loco Holdings Inc.

540,963

8,206

 

Cato Corp. Class A

561,140

8,007

*,^

Lumber Liquidators Holdings Inc.

797,105

7,588

*

Upwork Inc.

412,105

7,463

*

Hibbett Sports Inc.

516,617

7,388

*

Titan Machinery Inc.

560,175

7,366

*,^

Duluth Holdings Inc.

291,583

7,357

*

1-800-Flowers.com Inc. Class A

600,047

7,339

*

Golden Entertainment Inc.

455,869

7,303

*

Del Taco Restaurants Inc.

726,097

7,254

*

Bojangles’ Inc.

435,698

7,006

*

Del Frisco’s Restaurant Group Inc.

950,191

6,794

 

Citi Trends Inc.

333,045

6,791

*

Liberty Media Corp-Liberty Braves Class A

266,340

6,643

 

RCI Hospitality Holdings Inc.

295,309

6,594

*

Habit Restaurants Inc. Class A

620,402

6,514

 

News Corp. Class B

558,819

6,454

 

Office Depot Inc.

2,481,203

6,402

*

Drive Shack Inc.

1,629,434

6,387

*

Century Casinos Inc.

847,042

6,260

*

Clean Energy Fuels Corp.

3,446,186

5,927

 

Nathan’s Famous Inc.

88,568

5,885

*,^

Daily Journal Corp.

24,964

5,842

*

Potbelly Corp.

702,516

5,655

*

Reading International Inc. Class A

386,999

5,627

 

11


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Tile Shop Holdings Inc.

1,013,318

5,553

 

Tilly’s Inc. Class A

510,057

5,539

*

TechTarget Inc.

450,373

5,499

 

Clear Channel Outdoor Holdings Inc. Class A

1,056,412

5,483

*

Bridgepoint Education Inc. Class A

776,825

5,446

 

Entravision Communications Corp. Class A

1,828,760

5,322

*

Red Lion Hotels Corp.

640,254

5,250

*

Avid Technology Inc.

1,085,188

5,155

*,^

Boston Omaha Corp. Class A

218,549

5,114

 

Village Super Market Inc. Class A

187,961

5,026

*,^

GNC Holdings Inc. Class A

2,114,623

5,012

*

Hemisphere Media Group Inc. Class A

410,074

4,978

*

Tribune Publishing Co.

436,424

4,949

*

PCM Inc.

278,137

4,898

 

Sonic Automotive Inc. Class A

344,780

4,744

*

Sportsman’s Warehouse Holdings Inc.

1,019,460

4,465

 

Speedway Motorsports Inc.

271,158

4,412

^

Natural Health Trends Corp.

238,051

4,402

*

At Home Group Inc.

231,762

4,325

*,^

Noodles & Co. Class A

608,247

4,252

*

Natural Grocers by Vitamin Cottage Inc.

276,338

4,236

*

MDC Partners Inc. Class A

1,600,204

4,177

*

Kirkland’s Inc.

420,434

4,007

 

Saga Communications Inc. Class A

117,114

3,892

*

Red Robin Gourmet Burgers Inc.

136,465

3,646

*,^

Digital Turbine Inc.

1,961,674

3,590

*,^

Overstock.com Inc.

258,584

3,512

*,^

Lands’ End Inc.

239,935

3,409

*

J Alexander’s Holdings Inc.

404,654

3,330

*

Gaia Inc. Class A

318,477

3,299

*,^

HF Foods Group Inc.

245,871

3,270

*

Leaf Group Ltd.

470,537

3,223

*

Rubicon Project Inc.

832,277

3,104

*,^

Fluent Inc.

851,887

3,067

*

Lee Enterprises Inc.

1,404,374

2,963

*,^

Global Eagle Entertainment Inc.

1,236,770

2,758

*

Liquidity Services Inc.

418,992

2,585

*

TheStreet Inc.

1,209,974

2,456

*

Mesa Air Group Inc.

314,455

2,424

*

Biglari Holdings Inc.

3,736

2,196

*

Container Store Group Inc.

459,557

2,192

*

RTW RetailWinds Inc.

742,939

2,103

*

Town Sports International Holdings Inc.

297,132

1,902

*

Destination XL Group Inc.

789,746

1,714

*

Biglari Holdings Inc. Class B

15,063

1,711

 

A-Mark Precious Metals Inc.

140,198

1,653

 

Peak Resorts Inc.

339,567

1,589

*

RealNetworks Inc.

662,352

1,530

*

Vitamin Shoppe Inc.

316,832

1,502

*

Full House Resorts Inc.

633,724

1,280

*,^

Papa Murphy’s Holdings Inc.

266,958

1,268

*,^

Dover Downs Gaming & Entertainment Inc.

434,538

1,204

*

J. Jill Inc.

197,755

1,054

 

Educational Development Corp.

121,378

1,035

*

Eastside Distilling Inc.

167,117

1,033

*,^

Fred’s Inc. Class A

536,413

1,014

*

Travelzoo

100,611

989

 

Gaming Partners International Corp.

74,546

969

*

Urban One Inc.

584,263

941

^

Chicken Soup For The Soul Entertainment Inc.

117,602

884

*

Good Times Restaurants Inc.

350,979

877

*

ONE Group Hospitality Inc.

280,313

861

 

Dover Motorsports Inc.

442,500

832

 

Marchex Inc. Class B

301,676

799

 

12


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*,^

Select Interior Concepts Inc. Class A

105,442

793

*,^

McClatchy Co. Class A

101,542

777

 

Ark Restaurants Corp.

42,303

777

 

AH Belo Corp. Class A

227,017

765

*,^

Remark Holdings Inc.

625,505

757

*

Nevada Gold & Casinos Inc.

316,555

753

 

CSS Industries Inc.

77,281

693

*,^

VistaGen Therapeutics Inc.

382,270

573

*

Smart & Final Stores Inc.

117,503

557

*,^

JC Penney Co. Inc.

524,500

545

*,^

Famous Dave’s of America Inc.

117,953

541

*,^

Interpace Diagnostics Group Inc.

622,538

498

*

Waitr Holdings Inc.

43,849

489

*,^

Net Element Inc.

84,460

483

*

Chuy’s Holdings Inc.

25,839

458

 

Salem Media Group Inc. Class A

215,388

450

*,^

Valeritas Holdings Inc.

1,380,580

449

*

Emmis Communications Corp. Class A

139,651

446

 

Canterbury Park Holding Corp.

31,705

441

*

Destination Maternity Corp.

135,486

385

 

Barnes & Noble Inc.

54,038

383

 

Collectors Universe Inc.

30,516

347

*,^

Youngevity International Inc.

59,632

341

*

Build-A-Bear Workshop Inc.

82,050

324

*,^

Tuesday Morning Corp.

190,533

324

 

Townsquare Media Inc. Class A

78,884

322

*,^

Sears Hometown and Outlet Stores Inc.

143,195

305

*,^

Social Reality Inc.

148,260

302

 

Value Line Inc.

9,238

240

*,^

Stein Mart Inc.

193,531

207

*

Diversified Restaurant Holdings Inc.

188,200

183

*,^

Purple Innovation Inc.

27,138

160

*,^

Genius Brands International Inc.

68,896

148

*

Cumulus Media Inc. Class A

12,241

132

*

Profire Energy Inc.

80,670

117

^

Stage Stores Inc.

130,030

96

*

BioHiTech Global Inc.

41,922

68

*,^

Kona Grill Inc.

61,343

64

^

FAT Brands Inc.

12,218

57

*

EVINE Live Inc.

136,245

54

 

Harte-Hanks Inc.

12,046

29

*

Dolphin Entertainment Inc.

37,619

29

 

Haverty Furniture Cos. Inc. Class A

1,375

26

*

SG Blocks Inc.

8,584

23

*

Inspired Entertainment Inc.

4,644

22

*,^

LiveXLive Media Inc.

4,009

20

*

Insignia Systems Inc.

9,210

14

*,^

National American University Holdings Inc.

69,425

13

*,^

Spark Networks SE ADR

1,099

9

 

Viacom Inc. Class A

300

8

*,§

Universal Travel Group

42,843

7

*

Live Ventures Inc.

812

5

*

Urban One Inc. Class A

950

2

*

YogaWorks Inc.

3,300

2

*

DGSE Cos. Inc.

2,900

1

*

Ascent Capital Group Inc. Class A

2,801

1

 

 

 

90,710,181

Financials (19.3%)

 

 

*

Berkshire Hathaway Inc. Class B

50,508,373

10,312,800

 

JPMorgan Chase & Co.

88,872,039

8,675,688

 

Visa Inc. Class A

47,014,765

6,203,128

 

Bank of America Corp.

236,065,255

5,816,648

 

Wells Fargo & Co.

113,207,525

5,216,603

 

Mastercard Inc. Class A

24,548,873

4,631,145

 

13


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Citigroup Inc.

65,271,677

3,398,044

 

American Tower Corp.

11,767,132

1,861,443

 

CME Group Inc.

9,556,227

1,797,717

 

US Bancorp

38,911,037

1,778,234

 

American Express Co.

18,261,147

1,740,653

 

Chubb Ltd.

11,698,938

1,511,269

 

Goldman Sachs Group Inc.

8,942,253

1,493,803

 

Simon Property Group Inc.

8,262,497

1,388,017

 

Morgan Stanley

34,464,743

1,366,527

 

Charles Schwab Corp.

32,482,855

1,349,013

 

PNC Financial Services Group Inc.

11,116,783

1,299,663

 

Crown Castle International Corp.

11,081,733

1,203,809

 

BlackRock Inc.

2,950,064

1,158,844

 

Intercontinental Exchange Inc.

15,214,805

1,146,131

 

S&P Global Inc.

6,703,499

1,139,193

 

Bank of New York Mellon Corp.

23,771,507

1,118,925

 

Marsh & McLennan Cos. Inc.

13,460,764

1,073,496

 

Prologis Inc.

16,825,574

987,998

 

Capital One Financial Corp.

12,655,544

956,633

 

Progressive Corp.

15,585,809

940,292

 

Aon plc

6,437,938

935,819

 

American International Group Inc.

23,638,813

931,606

 

Aflac Inc.

20,342,560

926,807

 

Prudential Financial Inc.

11,040,115

900,321

 

BB&T Corp.

20,643,623

894,282

 

Travelers Cos. Inc.

7,076,477

847,408

 

MetLife Inc.

19,780,238

812,177

 

Public Storage

3,959,722

801,487

 

Allstate Corp.

9,204,293

760,551

 

Equinix Inc.

2,147,782

757,222

 

Welltower Inc.

10,035,012

696,530

 

Equity Residential

9,838,544

649,442

 

AvalonBay Communities Inc.

3,691,741

642,548

 

Moody’s Corp.

4,352,054

609,462

 

State Street Corp.

9,634,615

607,655

 

SunTrust Banks Inc.

12,042,206

607,409

 

Digital Realty Trust Inc.

5,511,180

587,216

 

T. Rowe Price Group Inc.

6,113,127

564,364

 

Ventas Inc.

9,521,907

557,889

 

Discover Financial Services

8,981,964

529,756

 

Realty Income Corp.

7,873,536

496,348

*

SBA Communications Corp. Class A

3,026,443

489,951

 

M&T Bank Corp.

3,394,585

485,867

 

Northern Trust Corp.

5,623,070

470,032

 

Boston Properties Inc.

4,128,446

464,657

*

IHS Markit Ltd.

9,472,664

454,404

 

Weyerhaeuser Co.

20,028,509

437,823

 

Essex Property Trust Inc.

1,764,407

432,650

 

Hartford Financial Services Group Inc.

9,594,955

426,496

 

Fifth Third Bancorp

17,622,562

414,659

 

KeyCorp

27,736,874

409,951

 

Synchrony Financial

17,296,864

405,784

 

Ameriprise Financial Inc.

3,722,859

388,555

*

First Republic Bank

4,419,133

384,023

 

Citizens Financial Group Inc.

12,566,128

373,591

 

Regions Financial Corp.

27,719,617

370,888

 

TD Ameritrade Holding Corp.

7,527,371

368,540

*

Markel Corp.

352,708

366,129

 

Arthur J Gallagher & Co.

4,909,929

361,862

 

HCP Inc.

12,555,001

350,661

*

CBRE Group Inc. Class A

8,634,713

345,734

 

Annaly Capital Management Inc.

34,966,461

343,371

 

Huntington Bancshares Inc.

28,533,672

340,121

 

Principal Financial Group Inc.

7,560,379

333,942

 

14


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Alexandria Real Estate Equities Inc.

2,874,902

331,304

 

Host Hotels & Resorts Inc.

19,795,220

329,986

 

MSCI Inc. Class A

2,231,938

329,055

 

Cincinnati Financial Corp.

4,138,669

320,416

*

Berkshire Hathaway Inc. Class A

1,034

316,404

 

Loews Corp.

6,733,676

306,517

 

Equifax Inc.

3,223,623

300,216

 

Comerica Inc.

4,355,109

299,152

 

E*TRADE Financial Corp.

6,786,071

297,773

 

Cboe Global Markets Inc.

2,993,922

292,895

 

Lincoln National Corp.

5,706,649

292,808

 

Mid-America Apartment Communities Inc.

3,039,549

290,885

 

UDR Inc.

7,338,767

290,762

 

Extra Space Storage Inc.

3,203,870

289,886

 

Vornado Realty Trust

4,583,164

284,294

 

WP Carey Inc.

4,282,862

279,842

*

Arch Capital Group Ltd.

10,274,873

274,545

*

SVB Financial Group

1,422,106

270,086

 

KKR & Co. Inc. Class A

13,394,309

262,930

 

Raymond James Financial Inc.

3,435,383

255,627

 

Regency Centers Corp.

4,294,881

252,024

 

Nasdaq Inc.

3,062,951

249,845

 

Ally Financial Inc.

10,988,664

249,003

 

Duke Realty Corp.

9,553,632

247,439

 

Iron Mountain Inc.

7,623,179

247,067

 

AGNC Investment Corp.

13,997,697

245,520

 

Everest Re Group Ltd.

1,082,637

235,755

 

Alleghany Corp.

376,736

234,827

 

Reinsurance Group of America Inc. Class A

1,674,537

234,820

 

Federal Realty Investment Trust

1,971,226

232,684

 

Franklin Resources Inc.

7,519,550

223,030

 

Sun Communities Inc.

2,185,010

222,237

 

Fidelity National Financial Inc.

6,975,126

219,298

 

Camden Property Trust

2,474,396

217,871

 

Zions Bancorp NA

5,162,224

210,309

 

Equity LifeStyle Properties Inc.

2,155,119

209,327

 

National Retail Properties Inc.

4,220,276

204,726

 

MarketAxess Holdings Inc.

953,862

201,561

 

Western Union Co.

11,772,763

200,843

 

Torchmark Corp.

2,690,220

200,502

 

Omega Healthcare Investors Inc.

5,331,748

187,411

 

VEREIT Inc.

25,647,463

183,379

 

Invesco Ltd.

10,949,349

183,292

 

SL Green Realty Corp.

2,315,568

183,115

 

WR Berkley Corp.

2,451,565

181,195

 

Apartment Investment & Management Co.

4,128,767

181,170

 

Brown & Brown Inc.

6,343,043

174,814

 

Gaming and Leisure Properties Inc.

5,405,229

174,643

 

Kilroy Realty Corp.

2,749,841

172,910

 

SEI Investments Co.

3,738,465

172,717

 

Unum Group

5,831,434

171,328

 

East West Bancorp Inc.

3,924,260

170,823

*

Black Knight Inc.

3,788,035

170,689

 

Voya Financial Inc.

4,145,388

166,396

*

Athene Holding Ltd. Class A

4,174,883

166,286

 

Liberty Property Trust

3,928,282

164,516

 

Macerich Co.

3,756,259

162,571

 

American Financial Group Inc.

1,790,027

162,051

 

Old Republic International Corp.

7,679,716

157,972

 

Lamar Advertising Co. Class A

2,265,390

156,720

 

Kimco Realty Corp.

10,659,151

156,157

 

Medical Properties Trust Inc.

9,674,348

155,564

 

Invitation Homes Inc.

7,656,328

153,739

 

Jones Lang LaSalle Inc.

1,212,308

153,478

 

15


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Commerce Bancshares Inc.

2,705,003

152,481

 

American Campus Communities Inc.

3,651,196

151,123

 

CyrusOne Inc.

2,820,968

149,173

 

People’s United Financial Inc.

10,294,052

148,543

 

Douglas Emmett Inc.

4,311,756

147,160

 

VICI Properties Inc.

7,820,577

146,870

 

RenaissanceRe Holdings Ltd.

1,076,431

143,919

 

STORE Capital Corp.

5,071,543

143,575

 

CubeSmart

4,958,530

142,260

 

Signature Bank

1,363,407

140,172

 

Healthcare Trust of America Inc. Class A

5,518,689

139,678

 

Park Hotels & Resorts Inc.

5,348,655

138,958

 

Cullen/Frost Bankers Inc.

1,567,127

137,813

 

New Residential Investment Corp.

9,687,978

137,666

 

Affiliated Managers Group Inc.

1,406,739

137,073

 

Starwood Property Trust Inc.

6,940,996

136,807

 

LPL Financial Holdings Inc.

2,197,158

134,202

 

American Homes 4 Rent Class A

6,677,704

132,552

 

Hanover Insurance Group Inc.

1,131,738

132,153

*

Credit Acceptance Corp.

335,533

128,093

 

Lazard Ltd. Class A

3,452,586

127,435

 

Popular Inc.

2,695,858

127,298

 

First American Financial Corp.

2,828,918

126,283

 

EPR Properties

1,968,188

126,023

 

Assurant Inc.

1,406,416

125,790

 

Webster Financial Corp.

2,497,931

123,123

 

Hudson Pacific Properties Inc.

4,167,705

121,114

 

Brixmor Property Group Inc.

7,986,589

117,323

 

New York Community Bancorp Inc.

12,439,089

117,052

 

First Horizon National Corp.

8,799,075

115,796

 

Life Storage Inc.

1,238,394

115,158

 

Prosperity Bancshares Inc.

1,821,700

113,492

 

Primerica Inc.

1,146,902

112,064

 

PacWest Bancorp

3,293,140

109,596

 

CIT Group Inc.

2,856,739

109,327

 

Axis Capital Holdings Ltd.

2,113,911

109,162

*

GCI Liberty Inc. Class A

2,615,041

107,635

 

Highwoods Properties Inc.

2,742,684

106,114

*

Howard Hughes Corp.

1,078,901

105,322

 

Interactive Brokers Group Inc.

1,907,551

104,248

 

Eaton Vance Corp.

2,956,508

104,010

 

Assured Guaranty Ltd.

2,693,231

103,097

 

Wintrust Financial Corp.

1,544,673

102,705

*

Western Alliance Bancorp

2,588,074

102,203

*

MGIC Investment Corp.

9,694,361

101,403

^

First Financial Bankshares Inc.

1,753,151

101,139

 

JBG SMITH Properties

2,896,303

100,820

*

Green Dot Corp. Class A

1,261,550

100,318

 

Sterling Bancorp

6,041,480

99,745

 

Hospitality Properties Trust

4,157,694

99,286

 

Pebblebrook Hotel Trust

3,503,683

99,189

*

Brighthouse Financial Inc.

3,173,589

96,731

 

Blackstone Mortgage Trust Inc. Class A

3,012,233

95,970

 

First Industrial Realty Trust Inc.

3,316,269

95,708

 

Umpqua Holdings Corp.

5,989,758

95,237

 

Healthcare Realty Trust Inc.

3,335,446

94,860

 

Rayonier Inc.

3,403,494

94,243

 

Selective Insurance Group Inc.

1,536,887

93,658

 

IBERIABANK Corp.

1,456,092

93,598

 

Radian Group Inc.

5,717,991

93,546

 

AXA Equitable Holdings Inc.

5,616,247

93,398

 

Janus Henderson Group plc

4,496,295

93,163

 

Synovus Financial Corp.

2,890,102

92,454

 

Equity Commonwealth

3,055,359

91,691

 

16


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Kemper Corp.

1,379,100

91,545

 

Pinnacle Financial Partners Inc.

1,964,539

90,565

 

Associated Banc-Corp

4,528,389

89,617

 

FNB Corp.

8,963,502

88,201

 

Cousins Properties Inc.

11,090,943

87,618

 

Erie Indemnity Co. Class A

643,555

85,792

*

Essent Group Ltd.

2,496,961

85,346

 

CoreSite Realty Corp.

975,731

85,113

 

Glacier Bancorp Inc.

2,147,769

85,095

 

Two Harbors Investment Corp.

6,568,457

84,339

 

EastGroup Properties Inc.

916,200

84,043

 

MB Financial Inc.

2,115,187

83,825

*,^

Zillow Group Inc.

2,653,133

83,786

 

BankUnited Inc.

2,791,482

83,577

 

Chimera Investment Corp.

4,680,216

83,401

 

United Bankshares Inc.

2,654,042

82,567

 

Apple Hospitality REIT Inc.

5,766,668

82,233

 

Ryman Hospitality Properties Inc.

1,228,598

81,935

 

National Health Investors Inc.

1,066,541

80,567

 

Weingarten Realty Investors

3,234,714

80,253

 

Spirit Realty Capital Inc.

2,273,985

80,158

 

FirstCash Inc.

1,107,896

80,156

 

TCF Financial Corp.

4,090,535

79,725

 

Community Bank System Inc.

1,359,878

79,281

 

MFA Financial Inc.

11,863,564

79,249

 

Hancock Whitney Corp.

2,282,968

79,105

 

Sunstone Hotel Investors Inc.

6,064,451

78,899

 

Sabra Health Care REIT Inc.

4,726,543

77,893

 

Physicians Realty Trust

4,835,677

77,516

 

Bank of Hawaii Corp.

1,140,504

76,779

 

RLJ Lodging Trust

4,658,890

76,406

 

Valley National Bancorp

8,569,268

76,095

 

Bank OZK

3,287,283

75,049

 

RLI Corp.

1,087,121

75,000

 

Fulton Financial Corp.

4,829,812

74,765

 

UMB Financial Corp.

1,215,226

74,092

 

Senior Housing Properties Trust

6,304,534

73,889

 

Stifel Financial Corp.

1,777,851

73,639

 

Rexford Industrial Realty Inc.

2,461,319

72,535

 

STAG Industrial Inc.

2,878,977

71,629

 

Cathay General Bancorp

2,116,004

70,950

 

Paramount Group Inc.

5,611,958

70,486

 

Columbia Banking System Inc.

1,940,264

70,412

 

Uniti Group Inc.

4,516,529

70,322

 

Taubman Centers Inc.

1,541,219

70,110

 

Chemical Financial Corp.

1,910,059

69,927

*

Texas Capital Bancshares Inc.

1,354,364

69,194

 

Home BancShares Inc.

4,220,120

68,957

 

Investors Bancorp Inc.

6,569,047

68,318

 

BancorpSouth Bank

2,594,962

67,832

*

Zillow Group Inc. Class A

2,149,800

67,568

 

Outfront Media Inc.

3,720,999

67,425

 

First Hawaiian Inc.

2,973,726

66,939

 

Aspen Insurance Holdings Ltd.

1,583,410

66,487

 

PS Business Parks Inc.

506,727

66,381

 

CNO Financial Group Inc.

4,398,178

65,445

 

Evercore Inc. Class A

913,987

65,405

 

Empire State Realty Trust Inc.

4,590,678

65,325

 

White Mountains Insurance Group Ltd.

75,921

65,117

 

Americold Realty Trust

2,541,984

64,922

 

Federated Investors Inc. Class B

2,402,666

63,791

 

American Equity Investment Life Holding Co.

2,276,532

63,606

 

Old National Bancorp

4,051,838

62,398

*

SLM Corp.

7,490,119

62,243

 

17


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

CVB Financial Corp.

3,068,595

62,078

*

Genworth Financial Inc. Class A

13,316,927

62,057

 

Retail Properties of America Inc.

5,718,205

62,043

 

Corporate Office Properties Trust

2,896,215

60,907

 

GEO Group Inc.

3,088,094

60,835

 

Brandywine Realty Trust

4,707,895

60,591

 

BOK Financial Corp.

826,095

60,578

 

Piedmont Office Realty Trust Inc. Class A

3,548,577

60,468

 

Navient Corp.

6,846,902

60,321

 

Washington Federal Inc.

2,252,960

60,177

 

Kennedy-Wilson Holdings Inc.

3,298,677

59,937

 

First Citizens BancShares Inc. Class A

158,917

59,920

 

Columbia Property Trust Inc.

3,079,602

59,590

 

South State Corp.

986,294

59,128

 

Apollo Commercial Real Estate Finance Inc.

3,523,469

58,701

 

First Financial Bancorp

2,456,549

58,269

 

Legg Mason Inc.

2,277,568

58,101

 

Colony Capital Inc.

12,368,946

57,887

 

Brookfield Property REIT Inc. Class A

3,503,648

56,409

 

Argo Group International Holdings Ltd.

838,709

56,403

 

ProAssurance Corp.

1,388,892

56,333

 

CoreCivic Inc.

3,155,625

56,265

 

Terreno Realty Corp.

1,571,005

55,252

 

First Midwest Bancorp Inc.

2,767,871

54,832

 

PotlatchDeltic Corp.

1,711,986

54,167

 

Simmons First National Corp. Class A

2,244,504

54,160

 

Acadia Realty Trust

2,168,556

51,525

 

CenterState Bank Corp.

2,435,121

51,235

 

International Bancshares Corp.

1,486,462

51,134

 

Xenia Hotels & Resorts Inc.

2,966,857

51,030

 

Agree Realty Corp.

862,302

50,979

 

Santander Consumer USA Holdings Inc.

2,896,954

50,957

 

First BanCorp

5,871,087

50,491

 

QTS Realty Trust Inc. Class A

1,356,968

50,276

 

Tanger Factory Outlet Centers Inc.

2,476,338

50,072

 

DiamondRock Hospitality Co.

5,464,242

49,615

 

Great Western Bancorp Inc.

1,583,239

49,476

 

Independent Bank Corp.

701,594

49,329

*

OneMain Holdings Inc.

2,006,609

48,741

 

Trustmark Corp.

1,711,688

48,663

 

WesBanco Inc.

1,324,828

48,608

 

Washington REIT

2,105,002

48,415

 

Urban Edge Properties

2,896,238

48,135

 

Four Corners Property Trust Inc.

1,823,570

47,778

 

Union Bankshares Corp.

1,690,089

47,711

 

Retail Opportunity Investments Corp.

2,994,187

47,548

 

Navigators Group Inc.

679,411

47,212

 

Lexington Realty Trust

5,666,525

46,522

^

Realogy Holdings Corp.

3,156,803

46,342

 

Banner Corp.

864,965

46,258

*,^

LendingTree Inc.

206,515

45,345

 

Mack-Cali Realty Corp.

2,270,447

44,478

*

Eagle Bancorp Inc.

898,518

43,767

 

United Community Banks Inc.

2,023,002

43,414

 

Virtu Financial Inc. Class A

1,684,529

43,393

 

LTC Properties Inc.

1,040,001

43,347

 

First Merchants Corp.

1,258,999

43,146

 

Invesco Mortgage Capital Inc.

2,905,926

42,078

 

Moelis & Co. Class A

1,214,021

41,738

*

Enstar Group Ltd.

247,912

41,543

 

SITE Centers Corp.

3,751,130

41,525

*

FCB Financial Holdings Inc. Class A

1,230,864

41,332

 

Northwest Bancshares Inc.

2,433,551

41,224

 

CareTrust REIT Inc.

2,218,950

40,962

 

18


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Capitol Federal Financial Inc.

3,180,231

40,612

 

Hope Bancorp Inc.

3,394,979

40,264

 

National Storage Affiliates Trust

1,502,218

39,749

 

National General Holdings Corp.

1,638,542

39,669

*

Pacific Premier Bancorp Inc.

1,554,159

39,662

 

LegacyTexas Financial Group Inc.

1,232,263

39,543

 

Chesapeake Lodging Trust

1,607,829

39,151

 

Towne Bank

1,625,892

38,940

 

American Assets Trust Inc.

963,867

38,719

 

Horace Mann Educators Corp.

1,024,132

38,354

 

Mercury General Corp.

737,736

38,148

 

Renasant Corp.

1,257,880

37,963

 

Ladder Capital Corp. Class A

2,450,821

37,914

 

ServisFirst Bancshares Inc.

1,174,768

37,440

 

Westamerica Bancorporation

672,288

37,433

 

BGC Partners Inc. Class A

7,156,912

37,001

*

Axos Financial Inc.

1,467,554

36,953

 

NBT Bancorp Inc.

1,047,300

36,226

 

Ameris Bancorp

1,132,497

35,866

 

Provident Financial Services Inc.

1,486,039

35,858

 

Waddell & Reed Financial Inc. Class A

1,980,960

35,816

 

Heartland Financial USA Inc.

804,597

35,362

 

Global Net Lease Inc.

1,999,516

35,231

 

Cadence BanCorp Class A

2,091,215

35,091

 

Ares Management Corp.

1,951,115

34,691

 

Colony Credit Real Estate Inc.

2,147,454

33,908

^

Industrial Logistics Properties Trust

1,714,265

33,720

 

Employers Holdings Inc.

799,874

33,571

 

Walker & Dunlop Inc.

774,072

33,479

 

Hilltop Holdings Inc.

1,877,119

33,469

*

PennyMac Financial Services Inc.

1,542,073

32,784

*

Alexander & Baldwin Inc.

1,775,193

32,628

 

First Commonwealth Financial Corp.

2,699,557

32,611

 

Redwood Trust Inc.

2,144,819

32,322

 

Houlihan Lokey Inc. Class A

869,858

32,011

 

S&T Bancorp Inc.

841,135

31,829

 

First Interstate BancSystem Inc. Class A

866,707

31,687

 

HFF Inc. Class A

946,781

31,395

 

WSFS Financial Corp.

827,969

31,388

*

Seacoast Banking Corp. of Florida

1,204,699

31,346

 

Newmark Group Inc. Class A

3,896,210

31,248

 

Clearway Energy Inc.

1,793,789

30,943

*

NMI Holdings Inc. Class A

1,729,880

30,878

 

Universal Insurance Holdings Inc.

808,354

30,653

 

Kite Realty Group Trust

2,162,014

30,463

 

Kearny Financial Corp.

2,372,114

30,411

 

United Fire Group Inc.

538,827

29,878

 

Hannon Armstrong Sustainable Infrastructure Capital Inc.

1,564,396

29,802

*

Cannae Holdings Inc.

1,729,439

29,608

 

Artisan Partners Asset Management Inc. Class A

1,327,743

29,356

 

Tier REIT Inc.

1,422,108

29,338

 

Safety Insurance Group Inc.

356,620

29,175

 

Park National Corp.

337,344

28,657

 

PennyMac Mortgage Investment Trust

1,527,296

28,438

 

Monmouth Real Estate Investment Corp.

2,290,363

28,401

 

City Holding Co.

410,240

27,728

*

LendingClub Corp.

10,506,764

27,633

 

American National Insurance Co.

217,119

27,626

*

PRA Group Inc.

1,129,523

27,526

^

American Finance Trust Inc.

2,064,094

27,494

 

AMERISAFE Inc.

481,971

27,323

 

Tompkins Financial Corp.

364,055

27,308

^

Seritage Growth Properties Class A

837,465

27,075

 

Kinsale Capital Group Inc.

486,748

27,044

 

19


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Berkshire Hills Bancorp Inc.

995,476

26,848

 

First Busey Corp.

1,082,806

26,572

 

James River Group Holdings Ltd.

714,694

26,115

 

Summit Hotel Properties Inc.

2,674,055

26,019

 

Heritage Financial Corp.

868,083

25,799

 

Getty Realty Corp.

873,351

25,685

 

Sandy Spring Bancorp Inc.

818,984

25,667

 

Easterly Government Properties Inc.

1,629,223

25,546

 

Brookline Bancorp Inc.

1,837,756

25,398

*

Cushman & Wakefield plc

1,740,911

25,191

 

Investment Technology Group Inc.

825,024

24,949

 

Beneficial Bancorp Inc.

1,711,563

24,458

 

TFS Financial Corp.

1,510,619

24,366

 

Southside Bancshares Inc.

766,872

24,348

 

Lakeland Financial Corp.

604,133

24,262

 

First Bancorp

741,741

24,225

 

Piper Jaffray Cos.

365,127

24,040

*,^

Redfin Corp.

1,647,740

23,727

*

FGL Holdings

3,558,951

23,703

 

RPT Realty

1,981,988

23,685

 

Washington Prime Group Inc.

4,868,688

23,662

 

Stewart Information Services Corp.

566,785

23,465

 

New York Mortgage Trust Inc.

3,964,674

23,352

 

TPG RE Finance Trust Inc.

1,262,700

23,082

 

Boston Private Financial Holdings Inc.

2,163,262

22,866

 

TriCo Bancshares

673,886

22,771

 

OceanFirst Financial Corp.

988,702

22,256

 

WisdomTree Investments Inc.

3,345,205

22,246

 

Independent Bank Group Inc.

485,735

22,232

*

Mr Cooper Group Inc.

1,899,690

22,169

 

National Bank Holdings Corp. Class A

714,991

22,072

 

BancFirst Corp.

438,680

21,890

 

Independence Realty Trust Inc.

2,363,367

21,696

 

Chatham Lodging Trust

1,217,811

21,531

 

State Bank Financial Corp.

997,262

21,531

 

OFG Bancorp

1,306,532

21,506

 

InfraREIT Inc.

1,022,899

21,501

*

Third Point Reinsurance Ltd.

2,220,374

21,404

 

ARMOUR Residential REIT Inc.

1,032,618

21,169

 

Enterprise Financial Services Corp.

544,461

20,488

*

Ambac Financial Group Inc.

1,184,413

20,419

*

Flagstar Bancorp Inc.

770,112

20,331

*,^

MBIA Inc.

2,272,557

20,271

 

Universal Health Realty Income Trust

324,715

19,928

 

Granite Point Mortgage Trust Inc.

1,079,663

19,466

 

PJT Partners Inc.

487,972

18,914

 

Armada Hoffler Properties Inc.

1,339,711

18,836

 

Arbor Realty Trust Inc.

1,866,357

18,794

*

World Acceptance Corp.

182,351

18,647

*

Marcus & Millichap Inc.

540,305

18,549

 

United Financial Bancorp Inc.

1,256,563

18,471

*

eHealth Inc.

480,153

18,447

*,^

Encore Capital Group Inc.

770,303

18,102

 

Cohen & Steers Inc.

526,316

18,063

 

Nelnet Inc. Class A

337,635

17,672

 

Central Pacific Financial Corp.

724,000

17,629

 

NexPoint Residential Trust Inc.

502,471

17,612

 

Meta Financial Group Inc.

901,297

17,476

*

Triumph Bancorp Inc.

586,990

17,434

 

Meridian Bancorp Inc.

1,211,930

17,355

 

Select Income REIT

2,357,859

17,354

 

Hersha Hospitality Trust Class A

979,960

17,189

 

Alexander’s Inc.

55,943

17,048

 

Lakeland Bancorp Inc.

1,148,531

17,010

 

20


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Clearway Energy Inc. Class A

997,692

16,881

 

Stock Yards Bancorp Inc.

511,307

16,771

 

Washington Trust Bancorp Inc.

352,140

16,737

 

National Western Life Group Inc. Class A

55,028

16,547

 

Bryn Mawr Bank Corp.

478,581

16,463

 

FBL Financial Group Inc. Class A

249,643

16,389

 

Carolina Financial Corp.

545,284

16,135

*

Columbia Financial Inc.

1,054,952

16,130

 

Amalgamated Bank Class A

826,909

16,125

 

Hamilton Lane Inc. Class A

430,049

15,912

 

Capstead Mortgage Corp.

2,385,028

15,908

 

TrustCo Bank Corp. NY

2,303,079

15,799

 

Investors Real Estate Trust

319,112

15,659

*

National Commerce Corp.

431,113

15,520

 

Saul Centers Inc.

325,533

15,372

 

Urstadt Biddle Properties Inc. Class A

796,328

15,305

 

Banc of California Inc.

1,144,952

15,239

*

Enova International Inc.

782,084

15,219

 

Hanmi Financial Corp.

766,901

15,108

 

Preferred Apartment Communities Inc. Class A

1,054,708

14,829

 

Univest Corp. of Pennsylvania

686,652

14,811

 

Community Trust Bancorp Inc.

373,578

14,797

*

Allegiance Bancshares Inc.

456,248

14,769

 

iStar Inc.

1,609,964

14,763

 

State Auto Financial Corp.

430,615

14,658

 

Gladstone Commercial Corp.

809,849

14,513

 

Oritani Financial Corp.

982,982

14,499

 

Community Healthcare Trust Inc.

500,584

14,432

 

Fidelity Southern Corp.

552,164

14,367

 

Flushing Financial Corp.

658,776

14,183

 

Virtus Investment Partners Inc.

177,557

14,103

 

Dynex Capital Inc.

2,462,819

14,087

 

ConnectOne Bancorp Inc.

762,036

14,075

 

Northfield Bancorp Inc.

1,036,121

14,039

 

Horizon Bancorp Inc.

888,504

14,021

 

German American Bancorp Inc.

492,994

13,690

 

KKR Real Estate Finance Trust Inc.

712,122

13,637

 

Cherry Hill Mortgage Investment Corp.

776,802

13,625

 

RE/MAX Holdings Inc. Class A

442,364

13,603

*

Customers Bancorp Inc.

744,019

13,541

 

FB Financial Corp.

385,596

13,504

*

INTL. FCStone Inc.

368,484

13,479

*

HomeStreet Inc.

634,778

13,476

*

Focus Financial Partners Inc. Class A

507,971

13,375

 

Camden National Corp.

368,066

13,239

*

St. Joe Co.

972,227

12,804

 

Bank of Marin Bancorp

308,750

12,733

 

Blue Hills Bancorp Inc.

590,770

12,607

 

Great Southern Bancorp Inc.

273,528

12,591

 

Dime Community Bancshares Inc.

739,946

12,564

 

Whitestone REIT

1,020,362

12,510

 

Peoples Bancorp Inc.

412,804

12,425

*

TriState Capital Holdings Inc.

637,142

12,399

*

Veritex Holdings Inc.

575,911

12,313

 

Essential Properties Realty Trust Inc.

881,248

12,196

 

Jernigan Capital Inc.

611,049

12,111

 

People’s Utah Bancorp

400,875

12,086

 

Diamond Hill Investment Group Inc.

80,537

12,036

^

CBTX Inc.

408,356

12,006

*

Willscot Corp. Class A

1,270,417

11,967

 

Guaranty Bancorp

573,556

11,901

*

Equity Bancshares Inc. Class A

336,170

11,850

 

First Community Bankshares Inc.

368,033

11,586

 

Exantas Capital Corp.

1,141,934

11,442

 

21


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

^

Innovative Industrial Properties Inc.

251,136

11,399

 

Federal Agricultural Mortgage Corp.

188,345

11,384

*

First Foundation Inc.

876,479

11,272

 

Western New England Bancorp Inc.

1,112,193

11,166

 

Bridge Bancorp Inc.

436,514

11,127

 

RMR Group Inc. Class A

207,064

10,991

 

AG Mortgage Investment Trust Inc.

687,937

10,959

 

Green Bancorp Inc.

638,053

10,936

 

First Defiance Financial Corp.

442,359

10,842

 

Opus Bank

553,005

10,833

 

Independent Bank Corp.

512,551

10,774

 

First of Long Island Corp.

538,407

10,741

 

Heritage Commerce Corp.

942,902

10,693

 

Mercantile Bank Corp.

378,059

10,684

 

HomeTrust Bancshares Inc.

406,983

10,655

 

HCI Group Inc.

208,584

10,598

 

CorEnergy Infrastructure Trust Inc.

320,047

10,587

 

City Office REIT Inc.

1,031,536

10,573

 

First Financial Corp.

261,780

10,510

 

QCR Holdings Inc.

327,012

10,494

 

UMH Properties Inc.

886,061

10,491

 

Waterstone Financial Inc.

624,171

10,461

 

Retail Value Inc.

405,762

10,383

 

Ashford Hospitality Trust Inc.

2,534,507

10,138

 

Arrow Financial Corp.

316,211

10,125

 

Preferred Bank

231,072

10,017

*

Bancorp Inc.

1,252,482

9,970

 

United Community Financial Corp.

1,125,899

9,964

*

BSB Bancorp Inc.

351,369

9,859

 

Anworth Mortgage Asset Corp.

2,436,383

9,843

^

Orchid Island Capital Inc.

1,539,246

9,836

 

Peapack Gladstone Financial Corp.

389,882

9,817

 

Midland States Bancorp Inc.

437,049

9,764

 

One Liberty Properties Inc.

401,408

9,722

 

United Insurance Holdings Corp.

584,456

9,714

^

Cambridge Bancorp

115,395

9,607

*

Southern First Bancshares Inc.

296,967

9,524

 

Republic Bancorp Inc. Class A

245,355

9,500

*

Nicolet Bankshares Inc.

192,766

9,407

 

First Mid-Illinois Bancshares Inc.

294,415

9,398

 

PCSB Financial Corp.

480,397

9,397

*

Atlantic Capital Bancshares Inc.

573,091

9,382

*

EZCORP Inc. Class A

1,197,858

9,259

 

Ares Commercial Real Estate Corp.

708,994

9,245

 

Live Oak Bancshares Inc.

623,479

9,234

 

Old Second Bancorp Inc.

709,190

9,219

 

Braemar Hotels & Resorts Inc.

1,015,681

9,070

 

CatchMark Timber Trust Inc. Class A

1,269,530

9,014

 

Financial Institutions Inc.

347,800

8,938

 

Territorial Bancorp Inc.

341,380

8,869

 

Southern Missouri Bancorp Inc.

258,149

8,751

*

Cowen Inc. Class A

655,726

8,747

 

First Bancshares Inc.

286,724

8,673

 

BBX Capital Corp. Class A

1,513,491

8,672

 

BankFinancial Corp.

575,378

8,602

 

Old Line Bancshares Inc.

326,703

8,599

 

Spirit MTA REIT

1,197,115

8,535

 

Consolidated-Tomoka Land Co.

162,227

8,517

*,^

Citizens Inc. Class A

1,116,397

8,395

*

On Deck Capital Inc.

1,413,073

8,337

 

Farmers & Merchants Bancorp Inc.

216,124

8,319

 

Heritage Insurance Holdings Inc.

553,840

8,153

^

CBL & Associates Properties Inc.

4,212,984

8,089

*

Franklin Financial Network Inc.

306,056

8,071

 

22


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Byline Bancorp Inc.

483,477

8,055

*

Baycom Corp.

348,485

8,047

 

Global Indemnity Ltd.

220,630

7,993

 

Merchants Bancorp

399,396

7,972

 

CNB Financial Corp.

346,111

7,943

*

FRP Holdings Inc.

171,184

7,876

 

Bar Harbor Bankshares

346,732

7,777

 

Farmers National Banc Corp.

597,818

7,616

 

Oppenheimer Holdings Inc. Class A

297,174

7,593

 

EMC Insurance Group Inc.

233,713

7,444

 

FedNat Holding Co.

373,411

7,438

 

Civista Bancshares Inc.

418,560

7,291

*

Republic First Bancorp Inc.

1,211,736

7,234

 

Bluerock Residential Growth REIT Inc. Class A

799,024

7,207

 

Northrim BanCorp Inc.

218,280

7,175

 

1st Source Corp.

175,467

7,078

 

Access National Corp.

331,100

7,062

*,^

Health Insurance Innovations Inc. Class A

264,035

7,058

 

Sierra Bancorp

293,688

7,057

 

Peoples Financial Services Corp.

159,880

7,044

 

Citizens & Northern Corp.

264,000

6,978

 

MedEquities Realty Trust Inc.

1,019,784

6,975

*,^

Goosehead Insurance Inc. Class A

262,558

6,903

 

Arlington Asset Investment Corp. Class A

952,620

6,897

 

Shore Bancshares Inc.

465,697

6,771

 

Gladstone Land Corp.

588,497

6,756

 

Bankwell Financial Group Inc.

234,973

6,746

 

MidWestOne Financial Group Inc.

270,149

6,708

 

Hingham Institution for Savings

33,805

6,685

 

Westwood Holdings Group Inc.

194,695

6,620

 

First Internet Bancorp

320,945

6,560

 

SB One Bancorp

319,900

6,539

*

Select Bancorp Inc.

522,733

6,471

 

Enterprise Bancorp Inc.

200,848

6,459

 

Business First Bancshares Inc.

264,332

6,405

*

SmartFinancial Inc.

349,521

6,386

*

Regional Management Corp.

264,565

6,363

 

Home Bancorp Inc.

179,670

6,360

 

ACNB Corp.

161,936

6,356

 

Ready Capital Corp.

454,902

6,291

 

First Bancorp Inc.

238,426

6,271

 

Global Medical REIT Inc.

705,290

6,270

 

Marlin Business Services Corp.

280,788

6,270

 

West Bancorporation Inc.

328,083

6,263

 

Investar Holding Corp.

251,947

6,248

 

Guaranty Bancshares Inc.

208,525

6,218

 

Great Ajax Corp.

514,449

6,199

 

Reliant Bancorp Inc.

268,083

6,177

 

Origin Bancorp Inc.

179,690

6,124

*

Howard Bancorp Inc.

427,766

6,117

 

American National Bankshares Inc.

208,585

6,114

 

Capital City Bank Group Inc.

261,754

6,075

 

Safety Income & Growth Inc.

317,882

5,979

 

First Choice Bancorp

264,120

5,969

 

Protective Insurance Corp. Class B

345,870

5,759

 

National Bankshares Inc.

157,368

5,733

 

Southern National Bancorp of Virginia Inc.

433,287

5,728

 

Ladenburg Thalmann Financial Services Inc.

2,456,137

5,723

 

SI Financial Group Inc.

448,844

5,714

*

HarborOne Bancorp Inc.

357,784

5,685

*

Safeguard Scientifics Inc.

655,108

5,647

*,^

Spirit of Texas Bancshares Inc.

245,117

5,584

 

First Bank

459,654

5,571

 

Clipper Realty Inc.

425,846

5,566

 

23


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Bridgewater Bancshares Inc.

524,934

5,538

 

Macatawa Bank Corp.

573,928

5,521

 

Investors Title Co.

31,018

5,480

 

Kingstone Cos. Inc.

309,465

5,474

 

FS Bancorp Inc.

125,760

5,393

 

Central Valley Community Bancorp

284,721

5,373

*,^

National Energy Services Reunited Corp.

612,134

5,301

 

Bank of Commerce Holdings

459,361

5,035

 

MidSouth Bancorp Inc.

472,475

5,008

 

First Business Financial Services Inc.

256,678

5,008

 

Ellington Residential Mortgage REIT

489,405

5,007

 

Bank of Princeton

177,186

4,943

 

Owens Realty Mortgage Inc.

260,122

4,888

 

Tiptree Inc.

870,801

4,868

 

Codorus Valley Bancorp Inc.

227,696

4,839

 

Century Bancorp Inc. Class A

70,240

4,757

 

Riverview Bancorp Inc.

646,850

4,709

 

Summit Financial Group Inc.

242,956

4,691

 

Penns Woods Bancorp Inc.

113,486

4,567

 

RBB Bancorp

258,037

4,534

 

MBT Financial Corp.

486,591

4,525

 

First Northwest Bancorp

305,012

4,523

*

Metropolitan Bank Holding Corp.

143,434

4,425

 

Independence Holding Co.

123,853

4,360

*,^

Altisource Portfolio Solutions SA

193,772

4,358

 

Unity Bancorp Inc.

207,745

4,313

 

MutualFirst Financial Inc.

161,725

4,297

 

LCNB Corp.

282,576

4,281

*

Ocwen Financial Corp.

3,166,342

4,243

*

NI Holdings Inc.

268,788

4,228

 

C&F Financial Corp.

79,292

4,219

*

Hallmark Financial Services Inc.

391,289

4,183

*

Elevate Credit Inc.

930,380

4,168

 

Timberland Bancorp Inc.

184,382

4,112

 

ESSA Bancorp Inc.

262,351

4,095

*

Entegra Financial Corp.

194,247

4,031

^

GAIN Capital Holdings Inc.

651,798

4,015

*

Community Bankers Trust Corp.

550,711

3,976

 

Orrstown Financial Services Inc.

218,245

3,974

 

Norwood Financial Corp.

118,780

3,920

 

MVB Financial Corp.

216,592

3,907

 

Evans Bancorp Inc.

119,309

3,879

*

Stratus Properties Inc.

160,875

3,858

 

Premier Financial Bancorp Inc.

257,163

3,834

 

Capstar Financial Holdings Inc.

254,210

3,745

 

Parke Bancorp Inc.

199,568

3,735

^

CB Financial Services Inc.

149,258

3,699

 

Fidelity D&D Bancorp Inc.

57,373

3,682

*

Malvern Bancorp Inc.

183,699

3,624

 

Chemung Financial Corp.

87,097

3,598

 

Community Financial Corp.

123,044

3,598

*

Forestar Group Inc.

259,719

3,597

 

BCB Bancorp Inc.

341,862

3,579

 

Pzena Investment Management Inc. Class A

408,696

3,535

 

Northeast Bancorp

210,446

3,521

 

Donegal Group Inc. Class A

257,465

3,513

 

First Community Corp.

178,613

3,470

*

PICO Holdings Inc.

373,096

3,410

*

Pacific Mercantile Bancorp

474,007

3,389

 

Silvercrest Asset Management Group Inc. Class A

255,027

3,374

 

First Financial Northwest Inc.

212,473

3,287

 

Prudential Bancorp Inc.

185,091

3,258

 

Western Asset Mortgage Capital Corp.

389,847

3,251

 

Union Bankshares Inc.

66,943

3,197

 

24


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Mackinac Financial Corp.

230,769

3,150

*

Victory Capital Holdings Inc. Class A

297,907

3,045

 

Standard AVB Financial Corp.

101,063

3,020

 

1st Constitution Bancorp

149,612

2,982

 

Middlefield Banc Corp.

68,882

2,923

 

First Guaranty Bancshares Inc.

124,659

2,893

 

Ohio Valley Banc Corp.

78,843

2,790

 

United Security Bancshares

290,105

2,779

*

Esquire Financial Holdings Inc.

127,152

2,759

 

Peoples Bancorp of North Carolina Inc.

108,980

2,666

 

BRT Apartments Corp.

232,769

2,663

^

Greene County Bancorp Inc.

84,740

2,637

 

Griffin Industrial Realty Inc.

82,237

2,623

*

Trinity Place Holdings Inc.

588,293

2,553

 

Provident Financial Holdings Inc.

161,855

2,509

 

GAMCO Investors Inc. Class A

142,988

2,415

 

Federal Agricultural Mortgage Corp. Class A

41,769

2,380

*

Ashford Inc.

45,407

2,357

*

International Money Express Inc.

194,144

2,322

 

First United Corp.

145,173

2,311

*

Provident Bancorp Inc.

106,602

2,311

 

Hawthorn Bancshares Inc.

109,873

2,311

 

SB Financial Group Inc.

137,713

2,265

*

MoneyGram International Inc.

1,115,485

2,231

 

Sotherly Hotels Inc.

395,197

2,217

 

Two River Bancorp

140,881

2,150

 

Associated Capital Group Inc. Class A

60,841

2,143

*

Aspen Group Inc.

380,422

2,085

 

DNB Financial Corp.

75,391

2,036

 

Luther Burbank Corp.

221,229

1,995

*

Rafael Holdings Inc. Class B

251,529

1,995

*

PDL Community Bancorp

156,180

1,990

 

Old Point Financial Corp.

91,136

1,990

 

Plumas Bancorp

85,785

1,948

*

Tejon Ranch Co.

117,405

1,947

*

Maui Land & Pineapple Co. Inc.

192,941

1,914

*

Randolph Bancorp Inc.

134,594

1,905

 

Level One Bancorp Inc.

84,245

1,890

 

Greenhill & Co. Inc.

74,717

1,823

 

American River Bankshares

131,277

1,812

*

OP Bancorp

198,037

1,757

 

MSB Financial Corp.

96,420

1,721

*

Coastal Financial Corp.

111,724

1,702

 

AmeriServ Financial Inc.

417,649

1,683

*

Greenlight Capital Re Ltd. Class A

193,563

1,669

 

First Savings Financial Group Inc.

29,281

1,521

*

Atlas Financial Holdings Inc.

179,526

1,452

 

PB Bancorp Inc.

131,822

1,437

 

Global Self Storage Inc.

353,584

1,386

 

Plymouth Industrial REIT Inc.

107,097

1,351

*

Nicholas Financial Inc.

124,786

1,298

 

Pacific City Financial Corp.

82,828

1,296

 

Hunt Cos. Finance Trust Inc.

444,984

1,273

*

Intersections Inc.

341,144

1,259

 

Severn Bancorp Inc.

154,641

1,234

 

IF Bancorp Inc.

60,847

1,224

 

Sterling Bancorp Inc.

173,902

1,209

 

Hennessy Advisors Inc.

116,940

1,171

 

Manhattan Bridge Capital Inc.

203,559

1,146

*

Consumer Portfolio Services Inc.

380,395

1,145

 

County Bancorp Inc.

64,508

1,121

*,^

Siebert Financial Corp.

74,860

1,082

 

Sound Financial Bancorp Inc.

32,075

1,044

 

Condor Hospitality Trust Inc.

142,071

979

 

25


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Urstadt Biddle Properties Inc.

64,362

972

 

Summit State Bank

78,215

921

 

Elmira Savings Bank

51,975

907

*

Transcontinental Realty Investors Inc.

30,783

872

^

Manning & Napier Inc.

483,786

851

*

Security National Financial Corp. Class A

161,655

834

 

Cedar Realty Trust Inc.

255,503

802

 

Bank of South Carolina Corp.

42,728

778

 

United Bancorp Inc.

68,932

769

 

Eagle Bancorp Montana Inc.

47,123

762

*

Bank7 Corp.

56,400

753

*

FVCBankcorp Inc.

41,458

730

*

Limestone Bancorp Inc.

52,082

717

*,^

Tremont Mortgage Trust

78,746

713

*

Meridian Corp.

42,029

700

 

Sachem Capital Corp.

174,987

684

 

Pathfinder Bancorp Inc.

48,152

681

^

Pennsylvania REIT

112,447

668

 

Bancorp 34 Inc.

44,556

642

*

Jason Industries Inc.

457,558

627

§

Winthrop Realty Trust

562,609

613

 

Citizens Community Bancorp Inc.

53,090

579

 

Ames National Corp.

22,078

561

*

FFBW Inc.

55,772

559

 

Bank of the James Financial Group Inc.

39,730

516

 

Citizens First Corp.

23,929

513

 

Central Federal Corp.

39,191

458

*

Community First Bancshares Inc.

38,486

448

^

HV Bancorp Inc.

25,024

375

 

Ottawa Bancorp Inc.

27,075

361

 

Blue Capital Reinsurance Holdings Ltd.

59,170

325

*

Altisource Asset Management Corp.

10,419

309

*

Broadway Financial Corp.

291,623

306

*

Eagle Financial Bancorp Inc.

19,339

293

§

New York REIT Liquidating LLC

19,100

267

*

National Holdings Corp.

94,636

256

*

Carolina Trust Bancshares Inc.

33,555

254

*

First Western Financial Inc.

20,324

238

 

First US Bancshares Inc.

28,987

230

*

Capital Bancorp Inc.

16,948

193

 

WVS Financial Corp.

11,313

167

 

HopFed Bancorp Inc.

12,079

161

*

HMN Financial Inc.

8,012

157

 

Front Yard Residential Corp.

16,487

144

*

JW Mays Inc.

3,714

144

*

Income Opportunity Realty Investors Inc.

12,550

134

*

InterGroup Corp.

4,086

131

*

1347 Property Insurance Holdings Inc.

32,428

130

 

Southwest Georgia Financial Corp.

6,366

129

 

HomeTown Bankshares Corp.

10,388

123

*

ICC Holdings Inc.

8,802

120

*

FSB Bancorp Inc.

3,139

53

*

CBM Bancorp Inc.

3,789

47

*

National Holdings Corp. Warrants Exp. 01/18/2022

92,151

46

 

Asta Funding Inc.

9,729

41

*,^

CPI Card Group Inc.

16,009

37

*

FlexShopper Inc.

41,840

32

 

Reven Housing REIT Inc.

8,896

29

 

Glen Burnie Bancorp

857

9

*

Novume Solutions Inc.

5,300

3

 

GWG Holdings Inc.

300

3

*

Unico American Corp.

2

*,^

Ditech Holding Corp. Warrants 01/31/2028

43,103

*,^,§

Ditech Holding Corp. Series B Warrants 01/31/2028

34,201

 

 

 

129,920,412

 

26


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

Health Care (13.8%)

 

 

 

Johnson & Johnson

71,605,522

9,240,693

 

Pfizer Inc.

154,420,822

6,740,469

 

UnitedHealth Group Inc.

25,701,378

6,402,727

 

Merck & Co. Inc.

69,465,748

5,307,878

 

AbbVie Inc.

40,166,516

3,702,951

 

Abbott Laboratories

46,919,307

3,393,673

 

Amgen Inc.

17,024,650

3,314,189

 

Medtronic plc

35,956,531

3,270,606

 

Eli Lilly & Co.

25,470,396

2,947,434

 

Thermo Fisher Scientific Inc.

10,751,926

2,406,174

 

Bristol-Myers Squibb Co.

43,606,623

2,266,672

 

Gilead Sciences Inc.

34,562,485

2,161,883

*

Cigna Corp.

10,172,353

1,931,933

 

Anthem Inc.

6,908,853

1,814,472

*

Biogen Inc.

5,383,717

1,620,068

 

Becton Dickinson and Co.

7,164,357

1,614,273

*

Intuitive Surgical Inc.

3,051,625

1,461,484

*

Boston Scientific Corp.

36,970,544

1,306,539

 

Stryker Corp.

7,997,316

1,253,579

 

Allergan plc

9,010,592

1,204,356

*

Celgene Corp.

18,686,460

1,197,615

*

Illumina Inc.

3,978,369

1,193,232

*

Vertex Pharmaceuticals Inc.

6,830,221

1,131,836

 

Zoetis Inc.

12,837,361

1,098,108

 

Humana Inc.

3,664,849

1,049,906

 

HCA Healthcare Inc.

7,354,905

915,318

 

Baxter International Inc.

13,501,401

888,662

*

Edwards Lifesciences Corp.

5,585,591

855,545

*

Regeneron Pharmaceuticals Inc.

2,131,171

795,992

*

Centene Corp.

5,212,611

601,014

 

Zimmer Biomet Holdings Inc.

5,447,613

565,026

*

Alexion Pharmaceuticals Inc.

5,666,022

551,644

*

IQVIA Holdings Inc.

4,546,838

528,206

 

ResMed Inc.

3,800,873

432,805

*

IDEXX Laboratories Inc.

2,304,463

428,676

*

Align Technology Inc.

2,028,317

424,790

*

BioMarin Pharmaceutical Inc.

4,762,145

405,497

*

ABIOMED Inc.

1,142,019

371,202

*

Mylan NV

13,073,647

358,218

 

Cardinal Health Inc.

7,956,181

354,846

*

Laboratory Corp. of America Holdings

2,696,555

340,737

 

Cooper Cos. Inc.

1,310,589

333,545

*

Henry Schein Inc.

4,066,395

319,293

 

Teleflex Inc.

1,228,601

317,569

*

Hologic Inc.

7,712,857

316,998

*

WellCare Health Plans Inc.

1,333,573

314,843

*

Incyte Corp.

4,831,281

307,221

 

Quest Diagnostics Inc.

3,636,150

302,782

*

DexCom Inc.

2,370,916

284,036

*

Varian Medical Systems Inc.

2,425,028

274,780

 

Universal Health Services Inc. Class B

2,268,892

264,462

 

STERIS plc

2,250,941

240,513

 

Dentsply Sirona Inc.

5,925,357

220,483

*

Exact Sciences Corp.

3,280,796

207,018

*

Sarepta Therapeutics Inc.

1,787,400

195,059

 

West Pharmaceutical Services Inc.

1,973,102

193,423

*

Jazz Pharmaceuticals plc

1,525,406

189,089

*

Molina Healthcare Inc.

1,582,038

183,864

*

Ionis Pharmaceuticals Inc.

3,295,568

178,158

*

Alnylam Pharmaceuticals Inc.

2,421,355

176,541

*

Neurocrine Biosciences Inc.

2,417,791

172,654

 

27


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

DaVita Inc.

3,316,773

170,681

 

Hill-Rom Holdings Inc.

1,790,045

158,508

*

Seattle Genetics Inc.

2,774,935

157,228

*

Exelixis Inc.

7,983,594

157,037

 

Encompass Health Corp.

2,500,834

154,301

*

Nektar Therapeutics Class A

4,615,075

151,698

 

Bio-Techne Corp.

1,003,939

145,290

*

Charles River Laboratories International Inc.

1,282,751

145,182

*

Bluebird Bio Inc.

1,460,355

144,867

*

PRA Health Sciences Inc.

1,558,010

143,275

*

Haemonetics Corp.

1,376,653

137,734

*

Masimo Corp.

1,269,076

136,261

*

Bio-Rad Laboratories Inc. Class A

563,021

130,745

 

Perrigo Co. plc

3,261,057

126,366

*

Insulet Corp.

1,577,098

125,095

*

Alkermes plc

4,145,299

122,328

 

Chemed Corp.

426,039

120,688

*

United Therapeutics Corp.

1,107,490

120,606

*

Catalent Inc.

3,867,110

120,576

*

ICU Medical Inc.

519,622

119,321

*

Sage Therapeutics Inc.

1,187,102

113,712

*

Loxo Oncology Inc.

733,031

102,676

*

Penumbra Inc.

825,478

100,873

*

Amedisys Inc.

852,491

99,835

*

FibroGen Inc.

2,033,470

94,109

*

HealthEquity Inc.

1,577,603

94,104

*

Wright Medical Group NV

3,335,471

90,792

*,^

Teladoc Health Inc.

1,775,225

87,998

*

Globus Medical Inc.

2,017,623

87,323

*

Horizon Pharma plc

4,465,780

87,261

*

Syneos Health Inc.

2,194,211

86,342

*

Integra LifeSciences Holdings Corp.

1,813,280

81,779

*

Array BioPharma Inc.

5,676,501

80,890

 

Bruker Corp.

2,713,121

80,770

^

Healthcare Services Group Inc.

1,965,716

78,982

*

Merit Medical Systems Inc.

1,385,806

77,342

*,^

TESARO Inc.

1,023,522

75,997

*

MEDNAX Inc.

2,274,266

75,051

*

LHC Group Inc.

790,662

74,227

*

Neogen Corp.

1,298,761

74,029

*,^

Ligand Pharmaceuticals Inc.

539,705

73,238

 

Cantel Medical Corp.

946,748

70,485

*

Emergent BioSolutions Inc.

1,153,015

68,351

*

NuVasive Inc.

1,363,090

67,555

*

Novocure Ltd.

1,980,786

66,317

*

HMS Holdings Corp.

2,229,576

62,718

*

Immunomedics Inc.

4,300,482

61,368

*

Omnicell Inc.

999,239

61,193

*

Agios Pharmaceuticals Inc.

1,319,458

60,840

*,^

Inogen Inc.

484,765

60,193

*

Acadia Healthcare Co. Inc.

2,337,952

60,109

*

Blueprint Medicines Corp.

1,112,494

59,975

*

Intercept Pharmaceuticals Inc.

590,185

59,485

*

Myriad Genetics Inc.

1,993,178

57,942

*

Avanos Medical Inc.

1,258,848

56,384

*

Repligen Corp.

1,046,206

55,177

*

Global Blood Therapeutics Inc.

1,335,655

54,829

*

Ultragenyx Pharmaceutical Inc.

1,215,699

52,859

*

Tandem Diabetes Care Inc.

1,376,852

52,279

*

Glaukos Corp.

911,108

51,177

*

Arena Pharmaceuticals Inc.

1,312,509

51,122

 

Ensign Group Inc.

1,312,664

50,918

*

Halozyme Therapeutics Inc.

3,439,206

50,316

*

NxStage Medical Inc.

1,752,275

50,150

 

28


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

BioTelemetry Inc.

838,416

50,070

*

Heron Therapeutics Inc.

1,877,691

48,707

*

ACADIA Pharmaceuticals Inc.

3,006,124

48,609

*

Amicus Therapeutics Inc.

5,054,788

48,425

*

Tenet Healthcare Corp.

2,731,936

46,825

*

Acceleron Pharma Inc.

1,045,281

45,522

*

Xencor Inc.

1,253,822

45,338

*

Pacira Pharmaceuticals Inc.

1,046,125

45,004

 

CONMED Corp.

699,434

44,904

*

Aerie Pharmaceuticals Inc.

1,213,794

43,818

*

Supernus Pharmaceuticals Inc.

1,314,378

43,664

*

MyoKardia Inc.

892,480

43,607

*

PTC Therapeutics Inc.

1,270,262

43,595

*

Quidel Corp.

885,117

43,211

*

Select Medical Holdings Corp.

2,799,775

42,977

 

Patterson Cos. Inc.

2,153,418

42,336

*

Prestige Consumer Healthcare Inc.

1,365,134

42,155

*

iRhythm Technologies Inc.

575,688

39,999

*

Endo International plc

5,393,029

39,369

*

Ironwood Pharmaceuticals Inc. Class A

3,755,123

38,903

*,^

Zogenix Inc.

1,064,486

38,811

*

Amneal Pharmaceuticals Inc.

2,851,013

38,574

*

Medpace Holdings Inc.

704,306

37,279

*

STAAR Surgical Co.

1,161,134

37,052

*

Genomic Health Inc.

574,945

37,032

*,^

Corcept Therapeutics Inc.

2,766,950

36,966

*

Magellan Health Inc.

646,685

36,790

*

REGENXBIO Inc.

863,173

36,210

*

Atara Biotherapeutics Inc.

1,032,865

35,882

*

Mallinckrodt plc

2,221,839

35,105

*

Vanda Pharmaceuticals Inc.

1,319,418

34,476

*

Medicines Co.

1,775,874

33,990

*

AnaptysBio Inc.

532,673

33,979

 

US Physical Therapy Inc.

330,515

33,828

*,^

Denali Therapeutics Inc.

1,637,147

33,823

*

Cambrex Corp.

892,400

33,697

*

Spark Therapeutics Inc.

854,648

33,451

*

Brookdale Senior Living Inc.

4,973,654

33,323

*,^

Portola Pharmaceuticals Inc.

1,695,900

33,104

*

Mirati Therapeutics Inc.

775,681

32,904

*

Sangamo Therapeutics Inc.

2,694,131

30,929

*

Innoviva Inc.

1,771,272

30,909

*,^

Theravance Biopharma Inc.

1,172,832

30,013

*

NeoGenomics Inc.

2,338,951

29,494

*

AtriCure Inc.

963,248

29,475

*

Nevro Corp.

757,908

29,475

*,^

Esperion Therapeutics Inc.

639,839

29,433

*

Natus Medical Inc.

842,426

28,668

*

WageWorks Inc.

1,044,706

28,374

*

Momenta Pharmaceuticals Inc.

2,517,257

27,791

*

Pacific Biosciences of California Inc.

3,723,343

27,553

*

Enanta Pharmaceuticals Inc.

383,667

27,175

*

Iovance Biotherapeutics Inc.

3,062,190

27,100

 

Atrion Corp.

36,501

27,050

*

Insmed Inc.

2,016,978

26,463

*

Tivity Health Inc.

1,063,706

26,391

*

Reata Pharmaceuticals Inc. Class A

467,977

26,254

*,^

Arrowhead Pharmaceuticals Inc.

2,097,105

26,046

*

Aimmune Therapeutics Inc.

1,087,990

26,025

*

Editas Medicine Inc.

1,134,307

25,805

 

Luminex Corp.

1,115,973

25,790

*

Madrigal Pharmaceuticals Inc.

226,838

25,569

*

Orthofix Medical Inc.

474,284

24,895

*

Cardiovascular Systems Inc.

868,081

24,732

 

29


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*,^

OPKO Health Inc.

8,166,325

24,581

*

Retrophin Inc.

1,082,347

24,494

*

CryoLife Inc.

861,936

24,462

*,^

Clovis Oncology Inc.

1,340,670

24,078

*

Varex Imaging Corp.

994,260

23,544

*

BioCryst Pharmaceuticals Inc.

2,865,749

23,127

*

Spectrum Pharmaceuticals Inc.

2,508,536

21,950

*

CareDx Inc.

868,091

21,824

*

Intersect ENT Inc.

760,126

21,420

*

Invitae Corp.

1,853,293

20,497

*

Vericel Corp.

1,136,862

19,781

*,^

Radius Health Inc.

1,198,216

19,759

 

National HealthCare Corp.

249,103

19,542

*

AngioDynamics Inc.

968,801

19,502

*

Revance Therapeutics Inc.

966,975

19,465

*

Acorda Therapeutics Inc.

1,247,713

19,439

*

Audentes Therapeutics Inc.

907,372

19,345

*

OraSure Technologies Inc.

1,605,501

18,752

*

ImmunoGen Inc.

3,896,604

18,704

*

Tactile Systems Technology Inc.

409,526

18,654

 

Meridian Bioscience Inc.

1,067,715

18,536

*,^

TherapeuticsMD Inc.

4,856,609

18,504

*,^

Novavax Inc.

10,014,525

18,427

*

R1 RCM Inc.

2,307,869

18,348

*

Cerus Corp.

3,567,573

18,088

*

Amphastar Pharmaceuticals Inc.

905,151

18,013

*

Puma Biotechnology Inc.

875,767

17,822

*

AxoGen Inc.

861,207

17,594

*

Addus HomeCare Corp.

258,595

17,553

*,^

Allogene Therapeutics Inc.

636,393

17,138

*

Hanger Inc.

878,938

16,656

*

Rhythm Pharmaceuticals Inc.

615,839

16,554

*

Inspire Medical Systems Inc.

388,653

16,421

 

HealthStream Inc.

666,662

16,100

*

Natera Inc.

1,145,560

15,992

*

Surmodics Inc.

336,417

15,899

*

Heska Corp.

180,506

15,542

*

Fate Therapeutics Inc.

1,201,647

15,417

*

Alder Biopharmaceuticals Inc.

1,501,172

15,387

*,^

Dynavax Technologies Corp.

1,659,735

15,187

*

Lantheus Holdings Inc.

962,664

15,066

*

CorVel Corp.

238,067

14,693

*

Dicerna Pharmaceuticals Inc.

1,317,647

14,086

*,^

Omeros Corp.

1,251,908

13,946

*

MacroGenics Inc.

1,072,034

13,615

*,^

Athenex Inc.

1,069,068

13,566

*

Coherus Biosciences Inc.

1,486,189

13,450

*

Guardant Health Inc.

354,325

13,319

*

Intra-Cellular Therapies Inc.

1,152,383

13,126

*

AMAG Pharmaceuticals Inc.

842,524

12,798

*

BioScrip Inc.

3,537,123

12,628

*

Collegium Pharmaceutical Inc.

728,760

12,513

*

Cymabay Therapeutics Inc.

1,584,195

12,468

*

Eagle Pharmaceuticals Inc.

308,516

12,430

*,^

ViewRay Inc.

2,008,559

12,192

*,^

Akebia Therapeutics Inc.

2,203,476

12,185

*

Anika Therapeutics Inc.

361,395

12,146

*

Kura Oncology Inc.

855,015

12,004

*,^

Intrexon Corp.

1,806,499

11,815

*

Ra Pharmaceuticals Inc.

636,790

11,590

*,^

Apollo Medical Holdings Inc.

581,536

11,543

*

Veracyte Inc.

913,280

11,489

*,^

Allakos Inc.

219,089

11,452

*,^

Cara Therapeutics Inc.

871,372

11,328

 

30


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

PDL BioPharma Inc.

3,859,491

11,193

*

Intellia Therapeutics Inc.

802,918

10,960

*,^

SIGA Technologies Inc.

1,381,634

10,915

*,^

Akcea Therapeutics Inc.

350,053

10,551

*

G1 Therapeutics Inc.

542,256

10,384

*

PetIQ Inc. Class A

442,206

10,379

*

RadNet Inc.

1,008,011

10,251

*

NanoString Technologies Inc.

688,635

10,212

 

Owens & Minor Inc.

1,592,040

10,078

*

Triple-S Management Corp. Class B

573,946

9,981

*

Antares Pharma Inc.

3,624,936

9,860

 

LeMaitre Vascular Inc.

412,954

9,762

*

BioSpecifics Technologies Corp.

160,625

9,734

 

Utah Medical Products Inc.

116,705

9,696

*

ANI Pharmaceuticals Inc.

211,204

9,508

*,^

Flexion Therapeutics Inc.

837,678

9,483

*

ChemoCentryx Inc.

859,605

9,378

*,^

Rocket Pharmaceuticals Inc.

631,991

9,366

*

Inovio Pharmaceuticals Inc.

2,333,947

9,336

*

OrthoPediatrics Corp.

259,351

9,046

*

Kindred Biosciences Inc.

815,382

8,928

*,^

Viking Therapeutics Inc.

1,157,904

8,858

*

GlycoMimetics Inc.

921,551

8,727

*

Apellis Pharmaceuticals Inc.

648,906

8,559

*

Fluidigm Corp.

991,696

8,548

*,^

Accelerate Diagnostics Inc.

729,004

8,384

*

Akorn Inc.

2,447,255

8,296

*

Cytokinetics Inc.

1,295,539

8,188

*

Aratana Therapeutics Inc.

1,335,173

8,185

*

Deciphera Pharmaceuticals Inc.

389,636

8,178

*

Kiniksa Pharmaceuticals Ltd. Class A

289,216

8,124

*,^

UNITY Biotechnology Inc.

499,394

8,120

*

Tricida Inc.

339,342

8,002

*,^

Corbus Pharmaceuticals Holdings Inc.

1,326,754

7,748

*,^

Senseonics Holdings Inc.

2,979,621

7,717

*

Assembly Biosciences Inc.

338,933

7,667

*

GenMark Diagnostics Inc.

1,562,781

7,595

*,^

Arcus Biosciences Inc.

704,031

7,582

*

Sientra Inc.

586,573

7,455

*

Civitas Solutions Inc.

418,033

7,320

*

SeaSpine Holdings Corp.

398,127

7,262

*

Concert Pharmaceuticals Inc.

575,573

7,223

*,^

Osiris Therapeutics Inc.

528,043

7,129

*

Stemline Therapeutics Inc.

739,542

7,026

*

Cutera Inc.

408,450

6,952

*

RTI Surgical Inc.

1,867,810

6,911

*,^

MediciNova Inc.

831,085

6,790

*,^

Homology Medicines Inc.

296,849

6,638

*

Assertio Therapeutics Inc.

1,762,414

6,362

*,^

CytoSorbents Corp.

763,056

6,165

*

Kadmon Holdings Inc.

2,916,260

6,066

*

Voyager Therapeutics Inc.

643,742

6,051

*,^

Verastem Inc.

1,768,068

5,941

*

BioDelivery Sciences International Inc.

1,599,854

5,919

*

Minerva Neurosciences Inc.

877,166

5,912

*,^

Eloxx Pharmaceuticals Inc.

483,525

5,807

*

ArQule Inc.

2,091,210

5,793

*

Avid Bioservices Inc.

1,407,602

5,771

*,^

Scholar Rock Holding Corp.

245,953

5,650

*

Bovie Medical Corp.

847,416

5,491

*

Aldeyra Therapeutics Inc.

659,883

5,477

*,^

Adamas Pharmaceuticals Inc.

630,847

5,387

*

Catalyst Pharmaceuticals Inc.

2,759,205

5,298

*

Capital Senior Living Corp.

778,459

5,294

 

31


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Savara Inc.

699,205

5,293

*,^

Surgery Partners Inc.

527,837

5,168

*,^

AVEO Pharmaceuticals Inc.

3,173,033

5,077

*

MEI Pharma Inc.

1,882,379

4,969

*

Eiger BioPharmaceuticals Inc.

479,978

4,877

*,^

Rubius Therapeutics Inc.

302,654

4,867

*,^

MannKind Corp.

4,576,191

4,851

*,^

CASI Pharmaceuticals Inc.

1,169,325

4,701

*,^

Athersys Inc.

3,197,519

4,604

*

Karyopharm Therapeutics Inc.

490,070

4,592

*,^

Quanterix Corp.

247,992

4,541

*,^

Solid Biosciences Inc.

167,543

4,490

*,^

Crinetics Pharmaceuticals Inc.

146,505

4,394

*

Zafgen Inc.

870,696

4,310

*

Tocagen Inc.

522,588

4,290

 

Invacare Corp.

997,707

4,290

*

BioLife Solutions Inc.

355,892

4,281

*,^

iRadimed Corp.

172,166

4,211

*

Krystal Biotech Inc.

201,532

4,188

*,^

AcelRx Pharmaceuticals Inc.

1,810,242

4,182

*,^

Tyme Technologies Inc.

1,132,311

4,178

*,^

Abeona Therapeutics Inc.

578,165

4,128

*

American Renal Associates Holdings Inc.

352,593

4,062

*,^

Helius Medical Technologies Inc. Class A

424,314

3,887

*,^

Palatin Technologies Inc.

5,467,412

3,873

*,^

Marinus Pharmaceuticals Inc.

1,298,222

3,726

*

KalVista Pharmaceuticals Inc.

186,785

3,689

*

FONAR Corp.

175,855

3,559

*

Harvard Bioscience Inc.

1,111,685

3,535

*

Ocular Therapeutix Inc.

885,023

3,522

*

Celcuity Inc.

145,249

3,485

*

Aeglea BioTherapeutics Inc.

462,631

3,465

*

Acer Therapeutics Inc.

171,875

3,458

*

Principia Biopharma Inc.

123,505

3,383

*

Imprimis Pharmaceuticals Inc.

588,605

3,349

*

Neuronetics Inc.

172,213

3,332

*,^

Xeris Pharmaceuticals Inc.

194,322

3,303

*

SI-BONE Inc.

157,259

3,285

*

Aduro Biotech Inc.

1,241,088

3,276

*

Synlogic Inc.

465,764

3,265

*

Proteostasis Therapeutics Inc.

994,884

3,223

*

Recro Pharma Inc.

452,913

3,216

*,^

PolarityTE Inc.

238,053

3,211

*,^

EyePoint Pharmaceuticals Inc.

1,692,820

3,199

*

Spring Bank Pharmaceuticals Inc.

307,487

3,195

*,^

CorMedix Inc.

2,470,211

3,187

*

Bellicum Pharmaceuticals Inc.

1,088,148

3,177

*,^

Galectin Therapeutics Inc.

915,093

3,139

*,^

Optinose Inc.

492,665

3,055

*,^

Marker Therapeutics Inc.

549,528

3,050

*

Calithera Biosciences Inc.

749,087

3,004

*,^

Amyris Inc.

894,783

2,989

*,^

Gritstone Oncology Inc.

192,414

2,973

*

Kala Pharmaceuticals Inc.

605,169

2,959

*

Protagonist Therapeutics Inc.

434,340

2,923

*,^

Aptinyx Inc.

172,817

2,858

*

Misonix Inc.

173,618

2,780

*

Y-mAbs Therapeutics Inc.

135,814

2,762

*,^

Evelo Biosciences Inc.

211,239

2,748

*,^

XOMA Corp.

216,177

2,735

*

Arvinas Inc.

209,205

2,688

*

Liquidia Technologies Inc.

123,671

2,679

*

ContraFect Corp.

1,678,529

2,568

*,^

Organovo Holdings Inc.

2,645,999

2,532

 

32


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Twist Bioscience Corp.

108,304

2,501

*,^

Sesen Bio Inc.

1,729,774

2,456

*

Chembio Diagnostics Inc.

429,204

2,429

*

Verrica Pharmaceuticals Inc.

289,364

2,358

*

Axonics Modulation Technologies Inc.

152,300

2,301

*,^

Pulse Biosciences Inc.

195,729

2,243

*

Syndax Pharmaceuticals Inc.

496,673

2,210

*

Sensus Healthcare Inc.

291,443

2,160

*,^

Eidos Therapeutics Inc.

154,566

2,127

 

Psychemedics Corp.

133,274

2,115

*

Ardelyx Inc.

1,166,408

2,088

*

Translate Bio Inc.

272,842

2,046

*

Joint Corp.

245,068

2,039

*,^

ADMA Biologics Inc.

841,538

2,011

*,^

Replimune Group Inc.

195,662

1,957

*

Forty Seven Inc.

122,975

1,933

*

Adverum Biotechnologies Inc.

613,546

1,933

*

Endologix Inc.

2,671,901

1,913

*

Rigel Pharmaceuticals Inc.

808,634

1,860

*

CytomX Therapeutics Inc.

120,727

1,823

*

Progenics Pharmaceuticals Inc.

427,645

1,796

*,^

Kezar Life Sciences Inc.

76,019

1,794

*,^

Sorrento Therapeutics Inc.

743,332

1,784

*,^

Community Health Systems Inc.

630,643

1,778

*,^

Seres Therapeutics Inc.

386,810

1,748

*,^

HTG Molecular Diagnostics Inc.

684,696

1,739

*,^

La Jolla Pharmaceutical Co.

183,499

1,730

*,^

Moderna Inc.

112,563

1,719

*,^

Cohbar Inc.

528,170

1,643

*,^

CEL-SCI Corp.

571,200

1,639

*

Molecular Templates Inc.

396,021

1,600

*

Aquestive Therapeutics Inc.

253,890

1,600

*,^

Anixa Biosciences Inc.

395,301

1,557

*,^

Infinity Pharmaceuticals Inc.

1,310,605

1,547

*,^

resTORbio Inc.

178,693

1,540

*

Pfenex Inc.

481,944

1,537

*

Cidara Therapeutics Inc.

638,301

1,500

*

Durect Corp.

3,064,822

1,481

*,^

BrainStorm Cell Therapeutics Inc.

415,593

1,475

*,^

TG Therapeutics Inc.

351,572

1,441

*

Allena Pharmaceuticals Inc.

261,352

1,424

*

Champions Oncology Inc.

175,385

1,370

*,^

Genesis Healthcare Inc.

1,133,847

1,338

*,^

Rockwell Medical Inc.

587,579

1,328

*

Alphatec Holdings Inc.

578,466

1,325

*

InfuSystem Holdings Inc.

378,907

1,303

*

Strata Skin Sciences Inc.

484,735

1,260

*

Cumberland Pharmaceuticals Inc.

198,124

1,248

*,^

Catasys Inc.

132,873

1,245

*,^

RA Medical Systems Inc.

141,588

1,126

*,^

Lexicon Pharmaceuticals Inc.

166,208

1,104

*,^

Opiant Pharmaceuticals Inc.

76,262

1,102

*,^

Viveve Medical Inc.

1,048,461

1,101

*

Achillion Pharmaceuticals Inc.

685,471

1,090

*

Dermira Inc.

145,810

1,048

*

Chiasma Inc.

327,524

1,019

*

Kodiak Sciences Inc.

142,615

1,013

*

Electromed Inc.

191,336

974

*,^

Ampio Pharmaceuticals Inc.

2,382,232

941

*,^

Adamis Pharmaceuticals Corp.

410,505

924

*,^

Actinium Pharmaceuticals Inc.

2,318,153

897

*,^

Rexahn Pharmaceuticals Inc.

954,334

888

*

Cocrystal Pharma Inc.

246,168

886

*

NantKwest Inc.

745,549

865

 

33


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*,^

Equillium Inc.

104,447

852

*,^

Matinas BioPharma Holdings Inc.

1,428,048

850

*

Syros Pharmaceuticals Inc.

150,406

838

*

LogicBio Therapeutics Inc.

78,230

814

*

AgeX Therapeutics Inc.

271,093

811

*,^

Evoke Pharma Inc.

324,399

805

*,^

Insys Therapeutics Inc.

227,514

796

*

Applied Genetic Technologies Corp.

310,344

773

*

Celldex Therapeutics Inc.

3,866,873

765

*,^

Evofem Biosciences Inc.

181,644

761

*,^

Ekso Bionics Holdings Inc.

574,330

712

*,^

Alimera Sciences Inc.

984,969

707

*,^

Second Sight Medical Products Inc.

796,734

706

*

Catabasis Pharmaceuticals Inc.

157,546

688

*

Enzo Biochem Inc.

246,742

686

*

Sutro Biopharma Inc.

75,677

683

*

CAS Medical Systems Inc.

424,399

679

*

Orgenesis Inc.

143,507

672

*

Pro-Dex Inc.

53,314

644

*

Evolus Inc.

52,845

629

*,^

VIVUS Inc.

281,422

628

*,^

Heat Biologics Inc.

628,229

616

*,^

Sophiris Bio Inc.

725,699

602

*

BioSig Technologies Inc.

140,393

599

*

Aptevo Therapeutics Inc.

451,771

574

*,^

Corindus Vascular Robotics Inc.

604,138

507

*

Vapotherm Inc.

25,409

507

*

Aerpio Pharmaceuticals Inc.

296,248

504

*

Tracon Pharmaceuticals Inc.

779,786

491

*

Avrobio Inc.

29,363

489

*,^

Arsanis Inc.

204,842

475

*,^

SELLAS Life Sciences Group Inc.

376,042

463

*

Cerecor Inc.

140,306

453

*,^

Moleculin Biotech Inc.

431,314

449

*

ImmuCell Corp.

65,054

444

*,^

BioPharmX Corp.

4,086,853

441

*,^

Xtant Medical Holdings Inc.

271,844

438

*

Fortress Biotech Inc.

496,613

427

*,^

ZIOPHARM Oncology Inc.

223,238

417

*,^

Curis Inc.

576,377

398

*,^

Celsion Corp.

274,103

386

*

CTI BioPharma Corp.

512,182

376

*,^

KemPharm Inc.

207,600

370

*,^

Titan Pharmaceuticals Inc.

1,614,133

360

*

PhaseBio Pharmaceuticals Inc.

114,517

354

*

Caladrius Biosciences Inc.

97,507

347

*

Vical Inc.

292,178

345

*,^

Oncocyte Corp.

247,018

341

*,^

Fulgent Genetics Inc.

107,237

340

*,^

SCYNEXIS Inc.

705,187

340

*

Provention Bio Inc.

189,923

336

*,^

Lannett Co. Inc.

65,361

324

*

Quorum Health Corp.

108,392

313

*

Bellerophon Therapeutics Inc.

387,969

311

*

Accuray Inc.

90,051

307

*

Mustang Bio Inc.

104,424

307

*,^

Aethlon Medical Inc.

184,467

306

*,^

T2 Biosystems Inc.

99,177

299

*

Proteon Therapeutics Inc.

127,689

290

*

Alpine Immune Sciences Inc.

72,695

268

*

Agile Therapeutics Inc.

362,750

209

*,^

scPharmaceuticals Inc.

55,200

208

*,^

Hancock Jaffe Laboratories Inc.

143,398

202

*

Avenue Therapeutics Inc.

36,127

195

 

34


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Vaccinex Inc.

51,814

195

*

IsoRay Inc.

597,951

179

*,^

Navidea Biopharmaceuticals Inc.

1,699,516

174

*

ENDRA Life Sciences Inc.

114,676

172

*,^

Checkpoint Therapeutics Inc.

94,345

172

*

Advaxis Inc.

887,326

169

*

Soleno Therapeutics Inc.

94,777

162

*,^

Regulus Therapeutics Inc.

173,709

162

*

Standard Diversified Inc.

10,576

157

^

Altimmune Inc.

73,246

151

*,^

PAVmed Inc.

151,390

146

*

Catalyst Biosciences Inc.

18,087

143

*

Ovid therapeutics Inc.

53,281

129

*

Constellation Pharmaceuticals Inc.

31,790

127

*

PLx Pharma Inc.

80,502

123

*

Soligenix Inc.

140,021

120

*,^

Genocea Biosciences Inc.

412,724

118

*

Eyenovia Inc.

38,852

111

*,^

Myomo Inc.

76,279

110

*

Synthorx Inc.

5,764

100

*,^

Histogenics Corp.

1,113,347

98

*

Aravive Inc.

26,500

93

*,^

Cleveland BioLabs Inc.

91,596

93

*

Axsome Therapeutics Inc.

30,500

86

 

ProPhase Labs Inc.

25,381

80

*

Dynatronics Corp.

27,747

76

*

Fibrocell Science Inc.

47,901

72

*,^

Akers Biosciences Inc.

59,629

67

*

aTyr Pharma Inc.

119,600

59

*,^

Trovagene Inc.

112,756

59

*

Outlook Therapeutics Inc.

117,453

59

*

Retractable Technologies Inc.

98,504

59

*

Idera Pharmaceuticals Inc.

19,628

54

*

Agenus Inc.

22,449

53

*,^

Vermillion Inc.

177,741

53

*

NanoViricides Inc.

254,789

51

*

Bioanalytical Systems Inc.

36,675

47

*

Aridis Pharmaceuticals Inc.

4,070

45

*

Millendo Therapeutics Inc.

5,676

45

*

Aileron Therapeutics Inc.

53,500

45

*

Diffusion Pharmaceuticals Inc.

21,707

43

*,^

Pulmatrix Inc.

178,611

43

*

Adial Pharmaceuticals Inc.

8,150

42

*

Leap Therapeutics Inc.

15,286

31

*,^

Cue Biopharma Inc.

6,352

30

*

NanoVibronix Inc.

7,510

26

*,^

XBiotech Inc.

4,768

24

*,^

Selecta Biosciences Inc.

8,686

23

*

Citius Pharmaceuticals Inc.

22,052

23

*

Precision Therapeutics Inc.

37,306

23

*

Milestone Scientific Inc.

69,031

23

*

AquaBounty Technologies Inc.

8,850

18

*

Biomerica Inc.

10,523

18

*

Pain Therapeutics Inc.

20,219

17

*

Xenetic Biosciences Inc.

10,312

17

*,^

Teligent Inc.

11,824

16

*

Genprex Inc.

14,698

16

*

Gemphire Therapeutics Inc.

18,400

14

*,^

Achieve Life Sciences Inc.

11,135

13

*

Hemispherx Biopharma Inc.

68,925

12

*

American Shared Hospital Services

4,591

11

*

Synergy Pharmaceuticals Inc.

86,515

10

*

NovaBay Pharmaceuticals Inc.

11,471

9

*

Synthetic Biologics Inc.

13,386

7

 

35


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*,^

Novan Inc.

8,672

7

*,^

Neuralstem Inc.

18,234

6

*

Geron Corp.

5,685

6

 

Vaxart Inc.

2,300

4

 

Diversicare Healthcare Services Inc.

1,605

4

^

Wright Medical Group Inc. CVR

288,011

4

*

Bio-Path Holdings Inc.

19,033

3

 

Biolase Inc.

45

*

Onconova Therapeutics Inc.

14

*,^

Microbot Medical Inc.

2

*

Galena Biopharma Inc Warrants Exp. 03/18/2020

157,500

*

Sunesis Pharmaceuticals Inc.

2

*

CytRx Corp.

1

 

 

 

92,996,696

Industrials (12.9%)

 

 

 

Boeing Co.

14,412,662

4,648,083

 

3M Co.

15,557,202

2,964,269

 

Union Pacific Corp.

19,683,934

2,720,910

 

Honeywell International Inc.

19,774,557

2,612,614

*

PayPal Holdings Inc.

29,900,604

2,514,342

 

Accenture plc Class A

17,053,344

2,404,692

 

United Technologies Corp.

21,889,917

2,330,838

 

Caterpillar Inc.

15,767,358

2,003,558

 

United Parcel Service Inc. Class B

18,574,212

1,811,543

 

General Electric Co.

232,375,831

1,759,085

 

Danaher Corp.

16,847,463

1,737,310

 

Lockheed Martin Corp.

6,458,184

1,691,011

 

Automatic Data Processing Inc.

11,109,023

1,456,615

 

CSX Corp.

21,430,832

1,331,498

 

Deere & Co.

8,594,443

1,282,033

 

Raytheon Co.

7,600,390

1,165,520

 

Northrop Grumman Corp.

4,637,571

1,135,741

*

Norfolk Southern Corp.

7,275,842

1,088,029

 

General Dynamics Corp.

6,723,468

1,056,996

 

FedEx Corp.

6,336,498

1,022,267

 

Waste Management Inc.

11,388,584

1,013,470

 

Illinois Tool Works Inc.

7,979,144

1,010,878

 

Emerson Electric Co.

16,724,825

999,308

 

Fidelity National Information Services Inc.

8,744,822

896,781

 

Sherwin-Williams Co.

2,250,887

885,634

 

Eaton Corp. plc

11,570,475

794,429

*

Fiserv Inc.

10,641,615

782,052

 

Roper Technologies Inc.

2,763,673

736,574

 

Johnson Controls International plc

24,709,735

732,644

 

TE Connectivity Ltd.

9,161,876

692,913

 

Amphenol Corp. Class A

8,048,560

652,094

*

Worldpay Inc. Class A

8,064,710

616,386

 

Ingersoll-Rand plc

6,562,921

598,735

 

Agilent Technologies Inc.

8,490,865

572,794

 

Paychex Inc.

8,634,549

562,541

 

Cummins Inc.

4,075,989

544,715

 

Fortive Corp.

8,028,485

543,207

 

PACCAR Inc.

9,338,173

533,583

 

Parker-Hannifin Corp.

3,537,283

527,550

 

Willis Towers Watson plc

3,473,568

527,496

 

Waste Connections Inc.

7,044,101

523,024

 

Rockwell Automation Inc.

3,226,016

485,451

 

Stanley Black & Decker Inc.

4,038,439

483,563

*

Verisk Analytics Inc. Class A

4,174,899

455,231

*

FleetCor Technologies Inc.

2,370,245

440,202

*

Square Inc.

7,818,971

438,566

 

Global Payments Inc.

4,228,031

436,037

*

TransDigm Group Inc.

1,265,716

430,419

 

AMETEK Inc.

6,203,481

419,976

 

36


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Ball Corp.

9,057,387

416,459

 

Republic Services Inc. Class A

5,638,801

406,501

 

Fastenal Co.

7,663,568

400,728

 

Cintas Corp.

2,284,107

383,707

*

Mettler-Toledo International Inc.

669,357

378,575

 

L3 Technologies Inc.

2,098,968

364,507

*

Waters Corp.

1,921,642

362,518

 

WW Grainger Inc.

1,277,442

360,699

 

Total System Services Inc.

4,387,381

356,650

 

Vulcan Materials Co.

3,524,950

348,265

*

CoStar Group Inc.

972,140

327,942

 

Xylem Inc.

4,797,042

320,059

 

Expeditors International of Washington Inc.

4,616,823

314,359

 

CH Robinson Worldwide Inc.

3,675,570

309,079

*

Keysight Technologies Inc.

4,974,712

308,830

 

Broadridge Financial Solutions Inc.

3,114,266

299,748

 

Martin Marietta Materials Inc.

1,672,959

287,531

 

TransUnion

4,933,847

280,243

 

Dover Corp.

3,891,920

276,132

 

Textron Inc.

5,829,068

268,079

 

Jack Henry & Associates Inc.

2,059,746

260,599

 

IDEX Corp.

2,045,942

258,321

 

Kansas City Southern

2,706,019

258,290

 

Westrock Co.

6,828,915

257,860

 

Old Dominion Freight Line Inc.

1,965,687

242,743

*

First Data Corp. Class A

14,280,131

241,477

 

Masco Corp.

8,141,551

238,059

 

PerkinElmer Inc.

2,966,960

233,055

*

Zebra Technologies Corp.

1,432,521

228,100

 

Lennox International Inc.

1,021,975

223,669

*

United Rentals Inc.

2,164,074

221,882

 

Jacobs Engineering Group Inc.

3,787,769

221,433

*

Trimble Inc.

6,696,129

220,370

 

Huntington Ingalls Industries Inc.

1,144,117

217,737

 

Snap-on Inc.

1,496,539

217,432

 

JB Hunt Transport Services Inc.

2,325,677

216,381

 

Packaging Corp. of America

2,515,838

209,972

 

Spirit AeroSystems Holdings Inc. Class A

2,836,259

204,466

 

Allegion plc

2,539,492

202,423

*

Sensata Technologies Holding plc

4,376,624

196,248

 

Arconic Inc.

11,599,507

195,568

*

XPO Logistics Inc.

3,383,451

192,992

*

Teledyne Technologies Inc.

912,887

189,032

 

Graco Inc.

4,445,938

186,062

 

Alliance Data Systems Corp.

1,232,840

185,025

 

Robert Half International Inc.

3,071,672

175,700

 

Pentair plc

4,623,753

174,685

*

HD Supply Holdings Inc.

4,654,585

174,640

 

Cognex Corp.

4,363,178

168,724

*

Berry Global Group Inc.

3,486,272

165,702

 

AO Smith Corp.

3,846,557

164,248

 

Wabtec Corp.

2,319,434

162,940

 

Booz Allen Hamilton Holding Corp. Class A

3,599,810

162,243

*

WEX Inc.

1,147,751

160,754

 

HEICO Corp. Class A

2,548,378

160,548

 

FLIR Systems Inc.

3,683,637

160,386

*

Arrow Electronics Inc.

2,320,385

159,991

 

Carlisle Cos. Inc.

1,588,465

159,672

 

Nordson Corp.

1,325,418

158,189

 

AptarGroup Inc.

1,673,612

157,437

 

National Instruments Corp.

3,352,887

152,154

 

Allison Transmission Holdings Inc.

3,458,355

151,856

*

Crown Holdings Inc.

3,604,595

149,843

 

Toro Co.

2,674,007

149,424

 

37


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Donaldson Co. Inc.

3,414,666

148,162

 

Sealed Air Corp.

4,175,857

145,487

 

Hubbell Inc. Class B

1,456,543

144,693

 

Sonoco Products Co.

2,659,002

141,273

*

Fair Isaac Corp.

732,930

137,058

*

Euronet Worldwide Inc.

1,305,639

133,671

 

Flowserve Corp.

3,498,466

133,012

 

Hexcel Corp.

2,293,822

131,528

 

Lincoln Electric Holdings Inc.

1,632,586

128,729

 

Owens Corning

2,925,079

128,645

 

MDU Resources Group Inc.

5,227,316

124,619

 

Acuity Brands Inc.

1,069,518

122,941

 

Fluor Corp.

3,755,152

120,916

 

Watsco Inc.

854,894

118,950

 

Oshkosh Corp.

1,914,228

117,361

 

Quanta Services Inc.

3,894,232

117,216

*

Genesee & Wyoming Inc. Class A

1,552,846

114,942

 

ITT Inc.

2,334,894

112,705

*

AECOM

4,207,608

111,502

 

MAXIMUS Inc.

1,708,524

111,208

 

Bemis Co. Inc.

2,417,588

110,967

 

Woodward Inc.

1,484,055

110,250

 

Littelfuse Inc.

636,508

109,148

 

Avnet Inc.

2,988,487

107,884

 

ManpowerGroup Inc.

1,661,308

107,653

 

Curtiss-Wright Corp.

1,050,381

107,265

 

Xerox Corp.

5,394,124

106,588

^

Universal Display Corp.

1,131,465

105,871

*

IPG Photonics Corp.

926,630

104,978

 

Landstar System Inc.

1,095,122

104,770

 

Genpact Ltd.

3,804,037

102,671

 

BWX Technologies Inc.

2,641,570

100,987

 

Jabil Inc.

3,948,398

97,881

 

Crane Co.

1,345,917

97,148

 

nVent Electric plc

4,301,823

96,619

*

Kirby Corp.

1,430,657

96,369

 

USG Corp.

2,235,637

95,372

*

Esterline Technologies Corp.

780,192

94,754

 

AGCO Corp.

1,683,863

93,741

 

Insperity Inc.

1,003,200

93,659

 

MSC Industrial Direct Co. Inc. Class A

1,209,050

93,000

*

Trex Co. Inc.

1,565,194

92,910

 

EMCOR Group Inc.

1,531,960

91,443

*

Stericycle Inc.

2,407,180

88,319

 

Graphic Packaging Holding Co.

8,263,233

87,921

 

EnerSys

1,124,484

87,271

 

MSA Safety Inc.

915,899

86,342

*

RBC Bearings Inc.

644,004

84,429

 

Louisiana-Pacific Corp.

3,750,175

83,329

 

Brink’s Co.

1,283,602

82,985

*

Generac Holdings Inc.

1,653,604

82,184

 

Knight-Swift Transportation Holdings Inc.

3,244,643

81,343

 

Regal Beloit Corp.

1,151,058

80,632

 

Air Lease Corp. Class A

2,625,886

79,328

*

Proto Labs Inc.

688,072

77,608

 

Tetra Tech Inc.

1,477,683

76,500

 

Armstrong World Industries Inc.

1,260,753

73,388

 

Kennametal Inc.

2,187,554

72,802

*

Owens-Illinois Inc.

4,217,043

72,702

*

Allegheny Technologies Inc.

3,338,446

72,678

 

Eagle Materials Inc.

1,188,238

72,518

*

ASGN Inc.

1,323,591

72,136

*

CoreLogic Inc.

2,141,928

71,583

 

Macquarie Infrastructure Corp.

1,930,900

70,594

 

38


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Gardner Denver Holdings Inc.

3,446,468

70,480

*

AMN Healthcare Services Inc.

1,243,372

70,449

 

GATX Corp.

984,848

69,737

 

Barnes Group Inc.

1,288,232

69,075

 

Exponent Inc.

1,361,329

69,033

*

Coherent Inc.

649,462

68,655

 

Timken Co.

1,838,217

68,602

*

FTI Consulting Inc.

1,020,998

68,039

 

Trinity Industries Inc.

3,301,933

67,987

*

MasTec Inc.

1,673,546

67,879

 

Ryder System Inc.

1,404,880

67,645

*

Resideo Technologies Inc.

3,276,926

67,341

*

Clean Harbors Inc.

1,347,226

66,486

*

Aerojet Rocketdyne Holdings Inc.

1,874,459

66,037

 

Moog Inc. Class A

850,530

65,899

*

Integer Holdings Corp.

861,931

65,731

*

Axon Enterprise Inc.

1,472,652

64,429

 

Vishay Intertechnology Inc.

3,528,357

63,546

*

Rexnord Corp.

2,764,897

63,454

 

Valmont Industries Inc.

559,021

62,023

 

John Bean Technologies Corp.

843,772

60,591

 

Simpson Manufacturing Co. Inc.

1,118,608

60,550

*

Cimpress NV

579,523

59,934

*

SiteOne Landscape Supply Inc.

1,083,744

59,899

*

WESCO International Inc.

1,241,222

59,579

 

UniFirst Corp.

403,530

57,733

*

Beacon Roofing Supply Inc.

1,814,837

57,567

*

Mercury Systems Inc.

1,209,898

57,216

 

Korn/Ferry International

1,441,890

57,012

 

KBR Inc.

3,730,178

56,624

 

ABM Industries Inc.

1,751,145

56,229

*

Novanta Inc.

867,011

54,622

 

Applied Industrial Technologies Inc.

1,009,736

54,465

 

Brady Corp. Class A

1,234,554

53,654

 

Otter Tail Corp.

1,060,380

52,637

*

II-VI Inc.

1,619,273

52,562

*

Paylocity Holding Corp.

851,065

51,243

*

Conduent Inc.

4,818,160

51,217

 

Granite Construction Inc.

1,253,224

50,480

*

Imperva Inc.

888,960

49,506

 

Terex Corp.

1,792,334

49,415

 

Silgan Holdings Inc.

2,037,204

48,119

 

Deluxe Corp.

1,244,482

47,838

*

TriNet Group Inc.

1,138,217

47,748

*

Rogers Corp.

479,477

47,497

*

Fabrinet

923,989

47,410

 

Watts Water Technologies Inc. Class A

731,188

47,184

 

Albany International Corp.

752,815

46,998

*

Advanced Disposal Services Inc.

1,883,239

45,085

 

Belden Inc.

1,074,293

44,873

*

ExlService Holdings Inc.

852,221

44,844

 

EVERTEC Inc.

1,552,357

44,553

*

Plexus Corp.

855,183

43,683

 

Franklin Electric Co. Inc.

1,011,717

43,382

 

Altra Industrial Motion Corp.

1,717,530

43,196

 

Triton International Ltd.

1,385,415

43,045

 

Comfort Systems USA Inc.

975,502

42,610

*

Dycom Industries Inc.

787,929

42,580

*

Harsco Corp.

2,139,270

42,486

*

Colfax Corp.

2,026,939

42,363

*

TopBuild Corp.

933,250

41,996

 

Covanta Holding Corp.

3,127,482

41,971

 

ESCO Technologies Inc.

632,884

41,739

 

Forward Air Corp.

759,820

41,676

 

39


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Cubic Corp.

774,637

41,629

*

Itron Inc.

877,045

41,475

*

Sanmina Corp.

1,715,022

41,263

 

Kaman Corp.

724,085

40,614

 

Universal Forest Products Inc.

1,558,440

40,457

*

Anixter International Inc.

732,146

39,763

 

HEICO Corp.

508,953

39,434

*

MINDBODY Inc. Class A

1,083,292

39,432

*

Aerovironment Inc.

569,090

38,670

 

Mueller Water Products Inc. Class A

4,186,606

38,098

*

Saia Inc.

675,834

37,725

 

Badger Meter Inc.

753,717

37,090

 

Mobile Mini Inc.

1,164,443

36,971

*

Summit Materials Inc. Class A

2,977,386

36,920

 

Werner Enterprises Inc.

1,242,265

36,696

 

World Fuel Services Corp.

1,694,212

36,273

 

US Ecology Inc.

574,402

36,176

 

AAON Inc.

1,025,331

35,948

 

Matson Inc.

1,107,225

35,453

 

Schneider National Inc. Class B

1,893,676

35,355

 

ManTech International Corp. Class A

675,356

35,318

*

Evolent Health Inc. Class A

1,753,398

34,980

*

Navistar International Corp.

1,324,129

34,361

 

Greenbrier Cos. Inc.

865,938

34,239

 

Raven Industries Inc.

939,653

34,006

 

Mueller Industries Inc.

1,432,745

33,469

*

Builders FirstSource Inc.

3,060,768

33,393

*

Air Transport Services Group Inc.

1,457,990

33,257

 

Actuant Corp. Class A

1,577,741

33,117

 

Rush Enterprises Inc. Class A

955,821

32,957

*

Masonite International Corp.

731,057

32,773

 

EnPro Industries Inc.

543,251

32,649

*

SPX FLOW Inc.

1,069,507

32,534

 

AAR Corp.

868,649

32,435

*

Knowles Corp.

2,414,681

32,139

*

TriMas Corp.

1,166,900

31,845

*

OSI Systems Inc.

433,541

31,779

*

Hub Group Inc. Class A

839,822

31,132

 

McGrath RentCorp

604,383

31,114

 

Federal Signal Corp.

1,533,613

30,519

 

ICF International Inc.

470,548

30,482

*

Kratos Defense & Security Solutions Inc.

2,155,316

30,368

*

SPX Corp.

1,082,250

30,314

*

Huron Consulting Group Inc.

586,973

30,118

*

Gibraltar Industries Inc.

843,143

30,007

*

Casella Waste Systems Inc. Class A

1,048,009

29,858

 

Greif Inc. Class A

789,980

29,316

*,^

Ambarella Inc.

823,403

28,803

 

Navigant Consulting Inc.

1,167,886

28,088

 

AZZ Inc.

671,303

27,094

 

Lindsay Corp.

281,044

27,050

*

CBIZ Inc.

1,370,127

26,991

 

Benchmark Electronics Inc.

1,231,518

26,084

*

BMC Stock Holdings Inc.

1,683,867

26,066

*

Pluralsight Inc. Class A

1,091,991

25,716

*

Electro Scientific Industries Inc.

858,248

25,713

*

Sykes Enterprises Inc.

1,035,291

25,603

*

Atlas Air Worldwide Holdings Inc.

604,951

25,523

*

JELD-WEN Holding Inc.

1,793,480

25,485

*,^

Inovalon Holdings Inc. Class A

1,796,859

25,479

*

Cardtronics plc Class A

977,419

25,413

 

Encore Wire Corp.

504,762

25,329

 

Boise Cascade Co.

1,042,310

24,859

*

Continental Building Products Inc.

976,578

24,854

 

40


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Sun Hydraulics Corp.

737,075

24,464

*

Atkore International Group Inc.

1,228,299

24,369

 

Aircastle Ltd.

1,400,193

24,139

 

KEMET Corp.

1,371,997

24,065

*

Verra Mobility Corp.

2,439,800

23,812

 

Advanced Drainage Systems Inc.

978,901

23,738

*

TTM Technologies Inc.

2,414,417

23,492

*

PGT Innovations Inc.

1,457,305

23,098

*

TrueBlue Inc.

1,030,124

22,920

 

Kadant Inc.

280,234

22,828

 

Tennant Co.

431,615

22,491

 

Heartland Express Inc.

1,200,076

21,961

 

ArcBest Corp.

640,406

21,940

 

Apogee Enterprises Inc.

725,282

21,650

*

Milacron Holdings Corp.

1,819,072

21,629

 

Standex International Corp.

318,261

21,381

 

Methode Electronics Inc.

916,338

21,342

 

Primoris Services Corp.

1,065,872

20,390

 

AVX Corp.

1,325,010

20,206

*

Installed Building Products Inc.

580,126

19,544

 

Douglas Dynamics Inc.

533,862

19,160

 

Kforce Inc.

615,060

19,018

 

CTS Corp.

718,354

18,598

 

Wabash National Corp.

1,420,648

18,582

 

Maxar Technologies Ltd.

1,547,928

18,513

 

GrafTech International Ltd.

1,610,669

18,426

 

Mesa Laboratories Inc.

87,324

18,197

*

Astronics Corp.

597,165

18,184

*

Vicor Corp.

480,517

18,159

 

MTS Systems Corp.

452,070

18,142

*

FARO Technologies Inc.

439,263

17,852

 

Alamo Group Inc.

230,635

17,833

 

Cass Information Systems Inc.

335,547

17,757

*,^

MACOM Technology Solutions Holdings Inc.

1,204,795

17,482

 

Gorman-Rupp Co.

528,589

17,132

 

H&E Equipment Services Inc.

837,846

17,109

*

Patrick Industries Inc.

572,818

16,961

*

Tutor Perini Corp.

1,052,195

16,804

 

Columbus McKinnon Corp.

552,359

16,648

 

Astec Industries Inc.

551,052

16,636

*

Thermon Group Holdings Inc.

817,108

16,571

 

Kelly Services Inc. Class A

804,273

16,472

*

SEACOR Holdings Inc.

420,248

15,549

*

NV5 Global Inc.

256,442

15,528

*

Gates Industrial Corp. plc

1,169,306

15,482

 

Marten Transport Ltd.

950,214

15,384

*

Evo Payments Inc. Class A

623,366

15,378

 

Hyster-Yale Materials Handling Inc.

244,576

15,154

*,^

US Concrete Inc.

419,838

14,812

 

Argan Inc.

388,590

14,704

 

Heidrick & Struggles International Inc.

470,577

14,677

 

Triumph Group Inc.

1,236,161

14,216

*

Echo Global Logistics Inc.

694,980

14,129

*

Engility Holdings Inc.

485,605

13,820

*

Manitowoc Co. Inc.

923,440

13,639

 

Briggs & Stratton Corp.

1,023,156

13,383

 

Global Brass & Copper Holdings Inc.

526,608

13,244

 

DMC Global Inc.

370,109

12,998

 

Kimball International Inc. Class B

915,360

12,989

*

Aegion Corp. Class A

772,491

12,607

 

Quanex Building Products Corp.

925,744

12,581

 

Ennis Inc.

651,478

12,541

 

Myers Industries Inc.

804,543

12,157

*

Control4 Corp.

677,747

11,928

 

41


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Insteel Industries Inc.

490,926

11,920

*

Donnelley Financial Solutions Inc.

841,113

11,801

*,^

Team Inc.

792,619

11,612

*

DXP Enterprises Inc.

401,573

11,180

 

National Research Corp.

289,778

11,052

*

CAI International Inc.

474,091

11,013

*

Ducommun Inc.

303,154

11,011

*

MYR Group Inc.

390,071

10,988

 

Resources Connection Inc.

761,653

10,815

 

Essendant Inc.

851,883

10,717

 

Park Electrochemical Corp.

586,069

10,590

 

NVE Corp.

119,611

10,471

*

Great Lakes Dredge & Dock Corp.

1,577,589

10,444

 

Barrett Business Services Inc.

182,268

10,435

 

TTEC Holdings Inc.

359,368

10,267

 

Quad/Graphics Inc.

808,240

9,958

*

Heritage-Crystal Clean Inc.

423,201

9,738

*

Kimball Electronics Inc.

626,636

9,707

*

Willdan Group Inc.

273,086

9,553

*

International Seaways Inc.

541,935

9,126

 

Miller Industries Inc.

336,376

9,082

 

Daktronics Inc.

1,216,874

9,005

*

Veeco Instruments Inc.

1,213,128

8,989

*,^

CryoPort Inc.

807,045

8,902

 

Allied Motion Technologies Inc.

199,138

8,899

*

Sterling Construction Co. Inc.

797,204

8,682

*

Landec Corp.

719,371

8,517

 

CRA International Inc.

195,182

8,305

 

Graham Corp.

351,213

8,022

*

UFP Technologies Inc.

261,648

7,860

*,^

Livent Corp.

567,839

7,836

*

Vishay Precision Group Inc.

258,080

7,802

 

NN Inc.

1,152,697

7,735

*

Cross Country Healthcare Inc.

1,036,334

7,596

*

Nuvectra Corp.

445,301

7,276

 

B. Riley Financial Inc.

508,674

7,223

*

Armstrong Flooring Inc.

606,011

7,175

 

Multi-Color Corp.

200,788

7,046

 

Hurco Cos. Inc.

194,786

6,954

*

Franklin Covey Co.

303,613

6,780

 

Powell Industries Inc.

269,908

6,750

*,^

Energy Recovery Inc.

999,797

6,729

 

VSE Corp.

222,438

6,653

*

Blue Bird Corp.

364,293

6,626

*

Eagle Bulk Shipping Inc.

1,428,322

6,585

 

Advanced Emissions Solutions Inc.

622,187

6,564

*

PRGX Global Inc.

685,615

6,493

*

Northwest Pipe Co.

273,289

6,365

 

Park-Ohio Holdings Corp.

206,719

6,344

*

IntriCon Corp.

239,580

6,320

*,^

BlueLinx Holdings Inc.

253,321

6,260

 

Spartan Motors Inc.

857,118

6,197

*

Information Services Group Inc.

1,427,047

6,051

*

Mistras Group Inc.

420,304

6,044

*

Covenant Transportation Group Inc. Class A

302,080

5,800

*

CECO Environmental Corp.

840,101

5,671

*

Twin Disc Inc.

380,026

5,605

*

Era Group Inc.

632,959

5,532

 

BG Staffing Inc.

267,691

5,528

*

InnerWorkings Inc.

1,431,173

5,353

*

GP Strategies Corp.

421,245

5,312

*

Napco Security Technologies Inc.

336,052

5,293

*

Sparton Corp.

280,551

5,103

*

Lydall Inc.

243,505

4,946

 

42


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Omega Flex Inc.

91,330

4,938

 

Bel Fuse Inc. Class B

266,476

4,908

*

ShotSpotter Inc.

154,978

4,832

*

Commercial Vehicle Group Inc.

817,175

4,658

*

Everi Holdings Inc.

893,033

4,599

 

Griffon Corp.

439,398

4,592

*

Radiant Logistics Inc.

1,061,854

4,513

 

EVI Industries Inc.

134,817

4,496

*

Willis Lease Finance Corp.

128,860

4,459

*

LB Foster Co. Class A

278,605

4,430

*

Daseke Inc.

1,202,357

4,425

 

Eastern Co.

180,832

4,373

*

Acacia Research Corp.

1,435,005

4,276

*

Intevac Inc.

751,302

3,929

*

Lawson Products Inc.

120,622

3,812

*,^

Energous Corp.

652,950

3,781

*

CyberOptics Corp.

212,407

3,745

*

USA Truck Inc.

249,697

3,738

*

Gencor Industries Inc.

332,187

3,644

*

Orion Group Holdings Inc.

841,239

3,609

*,^

Turtle Beach Corp.

248,034

3,539

 

NACCO Industries Inc. Class A

101,152

3,429

 

Universal Logistics Holdings Inc.

187,298

3,388

*

Transcat Inc.

176,375

3,355

*,^

Cardlytics Inc.

309,483

3,352

 

United States Lime & Minerals Inc.

47,159

3,348

 

Crawford & Co. Class A

367,479

3,271

*

IES Holdings Inc.

209,645

3,260

*

Foundation Building Materials Inc.

381,771

3,173

 

Crawford & Co. Class B

350,182

3,152

*

General Finance Corp.

305,932

3,093

 

Global Water Resources Inc.

295,043

2,992

*

Iteris Inc.

792,279

2,955

 

Richardson Electronics Ltd.

339,072

2,947

*

ServiceSource International Inc.

2,650,656

2,863

*

OptimizeRx Corp.

258,343

2,834

*

PAM Transportation Services Inc.

65,281

2,573

*,^

Maxwell Technologies Inc.

1,219,253

2,524

*

Houston Wire & Cable Co.

465,712

2,356

*,^

Asure Software Inc.

452,640

2,299

*

StarTek Inc.

338,150

2,249

*

Luna Innovations Inc.

659,902

2,211

*

Ultralife Corp.

324,252

2,189

*,^

Forterra Inc.

565,451

2,126

*

Universal Technical Institute Inc.

564,724

2,061

*

Frequency Electronics Inc.

191,069

2,025

*,^

ExOne Co.

303,438

2,009

*

3PEA International Inc.

564,546

1,987

*

DHI Group Inc.

1,254,116

1,906

*

Arotech Corp.

717,564

1,880

*

Perceptron Inc.

207,487

1,672

*

CIRCOR International Inc.

73,933

1,575

*

Patriot Transportation Holding Inc.

80,602

1,571

*,^

Aqua Metals Inc.

841,348

1,531

*,^

MicroVision Inc.

2,514,638

1,519

 

RF Industries Ltd.

201,049

1,460

 

Steel Connect Inc.

822,121

1,422

*

CPI Aerostructures Inc.

222,135

1,415

*

NCI Building Systems Inc.

191,859

1,391

*

Goldfield Corp.

599,302

1,354

*

Lincoln Educational Services Corp.

420,738

1,346

*

Wesco Aircraft Holdings Inc.

156,685

1,238

*

Perma-Pipe International Holdings Inc.

139,330

1,219

*

Sharps Compliance Corp.

345,073

1,132

 

43


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

IEC Electronics Corp.

195,868

1,120

 

LSI Industries Inc.

337,386

1,070

*,^

Horizon Global Corp.

692,184

990

*,^

eMagin Corp.

941,638

970

*

FreightCar America Inc.

136,294

912

 

Espey Manufacturing & Electronics Corp.

36,513

910

*

NRC Group Holdings Corp.

115,588

884

*

Hudson Global Inc.

612,530

827

*

Taylor Devices Inc.

67,427

809

 

Issuer Direct Corp.

68,008

772

*

Charah Solutions Inc.

91,860

767

 

RR Donnelley & Sons Co.

189,623

751

*,^

LightPath Technologies Inc. Class A

479,513

714

*

Tecogen Inc.

168,227

611

 

AMCON Distributing Co.

6,102

609

*,^

Medical Transcription Billing Corp.

158,438

602

^

ADT Inc.

100,100

602

*

PFSweb Inc.

110,737

568

*

Wireless Telecom Group Inc.

316,572

560

*,^

Odyssey Marine Exploration Inc.

166,648

555

*

Air T Inc.

21,726

532

*

SIFCO Industries Inc.

152,452

526

 

Greif Inc. Class B

11,156

495

*,^

Lightbridge Corp.

754,234

411

*

ARC Document Solutions Inc.

193,400

396

 

Ecology and Environment Inc.

34,432

390

*

ALJ Regional Holdings Inc.

287,886

377

 

Chicago Rivet & Machine Co.

11,328

357

*

Image Sensing Systems Inc.

78,888

355

*

UQM Technologies Inc.

411,473

350

*

Manitex International Inc.

60,530

344

*

Perma-Fix Environmental Services

140,143

329

*

CUI Global Inc.

250,700

308

 

Rush Enterprises Inc. Class B

7,149

254

*

DLH Holdings Corp.

52,984

251

*,^

Digital Ally Inc.

92,198

247

*

AMREP Corp.

41,229

245

*

Fuel Tech Inc.

195,916

233

*

Ballantyne Strong Inc.

174,184

200

*,^

Workhorse Group Inc.

376,786

199

*

Rubicon Technology Inc.

24,849

196

*

Command Security Corp.

69,851

196

*,^

Capstone Turbine Corp.

312,203

187

*

Vertex Energy Inc.

175,910

179

*

Broadwind Energy Inc.

134,882

175

*

Black Box Corp.

161,725

175

*,^

Applied DNA Sciences Inc.

423,983

170

*

Coda Octopus Group Inc.

28,445

166

*

Jewett-Cameron Trading Co. Ltd.

21,200

151

*

Summit Wireless Technologies Inc.

40,430

138

 

LSC Communications Inc.

17,799

125

*,^

Revolution Lighting Technologies Inc.

294,100

116

*

Pioneer Power Solutions Inc.

19,717

104

*

Continental Materials Corp.

8,941

97

*

US Xpress Enterprises Inc. Class A

15,500

87

*,^

DPW Holdings Inc.

643,967

66

*,^

Research Frontiers Inc.

41,627

65

*

AeroCentury Corp.

6,716

64

*,^

Marathon Patent Group Inc.

165,563

60

*

Huttig Building Products Inc.

32,919

59

*

Volt Information Sciences Inc.

27,105

58

*

Payment Data Systems Inc.

30,184

50

 

Servotronics Inc.

4,914

49

*

LGL Group Inc.

7,908

48

 

44


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

ENGlobal Corp.

79,627

45

*

Bio-key International Inc.

54,321

41

 

Bel Fuse Inc. Class A

2,773

38

*

ASV Holdings Inc.

15,986

32

*

Energy Focus Inc.

40,994

25

*

Industrial Services of America Inc.

22,612

25

*

Sypris Solutions Inc.

31,729

25

*

Air Industries Group

30,824

22

*

EnSync Inc.

102,372

18

*

Professional Diversity Network Inc.

17,285

17

*,^

Boxlight Corp. Class A

12,500

15

*,^

Hudson Technologies Inc.

8,677

8

*

Quest Resource Holding Corp.

2,760

4

*

Polar Power Inc.

700

3

*,§

Patriot National Inc.

129,819

3

*

Cemtrex Inc.

820

*

Dorian LPG Ltd.

20

 

 

 

86,436,752

Oil & Gas (5.0%)

 

 

 

Exxon Mobil Corp.

113,056,417

7,709,317

 

Chevron Corp.

51,040,764

5,552,725

 

ConocoPhillips

30,760,203

1,917,899

 

EOG Resources Inc.

15,497,769

1,351,560

 

Schlumberger Ltd.

36,975,353

1,334,071

 

Occidental Petroleum Corp.

20,171,504

1,238,127

 

Marathon Petroleum Corp.

18,457,340

1,089,168

 

Phillips 66

11,703,920

1,008,293

 

Valero Energy Corp.

11,335,926

849,854

 

Kinder Morgan Inc.

50,105,568

770,624

 

Williams Cos. Inc.

32,337,588

713,044

 

Pioneer Natural Resources Co.

4,556,092

599,217

 

ONEOK Inc.

10,991,047

592,967

 

Anadarko Petroleum Corp.

13,476,858

590,825

 

Halliburton Co.

22,199,445

590,061

*

Concho Resources Inc.

5,352,480

550,181

 

Diamondback Energy Inc.

4,378,462

405,883

*

Cheniere Energy Inc.

6,170,562

365,236

 

Marathon Oil Corp.

22,197,527

318,313

 

Hess Corp.

7,519,580

304,543

 

Baker Hughes a GE Co. Class A

13,693,897

294,419

 

Devon Energy Corp.

11,848,957

267,075

 

Apache Corp.

10,109,289

265,369

 

National Oilwell Varco Inc.

10,202,203

262,197

 

Cabot Oil & Gas Corp.

11,481,265

256,606

 

Noble Energy Inc.

12,791,605

239,971

 

HollyFrontier Corp.

4,617,898

236,067

 

Targa Resources Corp.

6,105,872

219,934

 

OGE Energy Corp.

5,318,413

208,429

 

Cimarex Energy Co.

2,547,695

157,065

 

Helmerich & Payne Inc.

2,760,341

132,331

 

EQT Corp.

6,787,163

128,210

*

WPX Energy Inc.

11,203,775

127,163

*

Parsley Energy Inc. Class A

7,071,139

112,997

*

Equitrans Midstream Corp.

5,440,902

108,927

 

Murphy Oil Corp.

4,387,074

102,614

*,^

Transocean Ltd.

14,642,727

101,621

*

Continental Resources Inc.

2,514,265

101,048

 

PBF Energy Inc. Class A

3,042,241

99,390

*

First Solar Inc.

1,948,143

82,708

*

Newfield Exploration Co.

5,324,204

78,053

 

Delek US Holdings Inc.

2,177,124

70,778

^

Core Laboratories NV

1,179,549

70,372

 

Range Resources Corp.

6,658,366

63,721

*

Antero Resources Corp.

6,736,496

63,256

 

45


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Patterson-UTI Energy Inc.

5,507,827

57,006

*

Apergy Corp.

2,057,251

55,710

*

Whiting Petroleum Corp.

2,438,185

55,322

*

Centennial Resource Development Inc. Class A

4,922,809

54,249

*

Chart Industries Inc.

830,226

53,990

*

Southwestern Energy Co.

15,412,202

52,556

*

PDC Energy Inc.

1,750,731

52,102

*,^

Chesapeake Energy Corp.

23,229,804

48,783

*

Oasis Petroleum Inc.

8,455,703

46,760

 

SM Energy Co.

2,982,827

46,174

*

Matador Resources Co.

2,804,401

43,552

^

Ensco plc Class A

11,629,243

41,400

*

CNX Resources Corp.

3,547,881

40,517

*

Callon Petroleum Co.

6,009,298

39,000

*

QEP Resources Inc.

6,246,965

35,170

*

NOW Inc.

2,883,349

33,562

*

Oceaneering International Inc.

2,597,896

31,435

*

Arcosa Inc.

1,116,144

30,906

*

SRC Energy Inc.

6,445,257

30,293

 

McDermott International Inc.

4,578,887

29,946

*

Magnolia Oil & Gas Corp.

2,648,968

29,695

*

Dril-Quip Inc.

983,182

29,525

 

SemGroup Corp. Class A

2,082,876

28,702

*

Rowan Cos. plc Class A

3,369,041

28,266

 

CVR Energy Inc.

808,421

27,874

*

MRC Global Inc.

2,274,688

27,819

*

ProPetro Holding Corp.

2,203,673

27,149

*

Cactus Inc. Class A

989,173

27,113

*

Gulfport Energy Corp.

3,916,155

25,651

 

Archrock Inc.

3,419,375

25,611

*

Carrizo Oil & Gas Inc.

2,213,803

24,994

*

Renewable Energy Group Inc.

899,589

23,119

*

C&J Energy Services Inc.

1,596,149

21,548

*

Denbury Resources Inc.

12,273,735

20,988

*

Oil States International Inc.

1,422,310

20,311

*

Helix Energy Solutions Group Inc.

3,694,700

19,988

*

Unit Corp.

1,319,209

18,838

*

Penn Virginia Corp.

338,966

18,325

*

Northern Oil and Gas Inc.

8,059,585

18,215

 

Nabors Industries Ltd.

8,967,801

17,936

*,^

Tellurian Inc.

2,544,628

17,685

*

California Resources Corp.

1,003,419

17,098

*

Laredo Petroleum Inc.

4,689,527

16,976

*

Noble Corp. plc

6,424,982

16,833

*

TPI Composites Inc.

639,958

15,730

*

Tidewater Inc.

813,318

15,559

*

Newpark Resources Inc.

2,242,222

15,404

*,^

Diamond Offshore Drilling Inc.

1,618,029

15,274

*

Exterran Corp.

850,875

15,060

 

RPC Inc.

1,430,113

14,115

*

Superior Energy Services Inc.

4,184,455

14,018

 

Green Plains Inc.

1,032,886

13,541

*

WildHorse Resource Development Corp.

945,861

13,346

*,^

Resolute Energy Corp.

457,673

13,263

*,^

Jagged Peak Energy Inc.

1,429,558

13,038

*

Par Pacific Holdings Inc.

845,220

11,985

*

KLX Energy Services Holdings Inc.

509,580

11,950

*

Matrix Service Co.

658,160

11,807

 

Liberty Oilfield Services Inc. Class A

908,424

11,764

*,^

Enphase Energy Inc.

2,166,590

10,248

*

REX American Resources Corp.

145,927

9,939

*

Keane Group Inc.

1,203,078

9,841

*

Bonanza Creek Energy Inc.

469,584

9,706

*

W&T Offshore Inc.

2,333,453

9,614

 

46


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Nine Energy Service Inc.

392,059

8,837

*

Forum Energy Technologies Inc.

2,128,461

8,791

*,^

SunPower Corp. Class A

1,633,340

8,118

*

Roan Resources Inc.

954,515

7,999

*

Talos Energy Inc.

487,490

7,956

^

Solaris Oilfield Infrastructure Inc. Class A

655,269

7,922

*

HighPoint Resources Corp.

2,836,688

7,063

*

Natural Gas Services Group Inc.

408,122

6,710

*

Ameresco Inc. Class A

472,549

6,663

 

Panhandle Oil and Gas Inc. Class A

420,425

6,517

 

Mammoth Energy Services Inc.

341,448

6,139

*

TETRA Technologies Inc.

3,516,988

5,909

*

FTS International Inc.

828,010

5,887

 

Evolution Petroleum Corp.

850,210

5,798

*

Abraxas Petroleum Corp.

4,689,560

5,112

*,^

American Superconductor Corp.

424,134

4,729

*

Trecora Resources

598,320

4,667

*

SilverBow Resources Inc.

195,058

4,611

*

Green Brick Partners Inc.

624,917

4,524

*

Independence Contract Drilling Inc.

1,382,906

4,315

*

SEACOR Marine Holdings Inc.

336,561

3,958

*,^

Legacy Reserves Inc.

2,558,847

3,941

*

Chaparral Energy Inc. Class A

763,888

3,758

*

Goodrich Petroleum Corp.

265,176

3,580

*,^

Plug Power Inc.

2,389,426

2,963

*

Geospace Technologies Corp.

271,004

2,794

 

Berry Petroleum Corp.

319,148

2,793

*,^

Bristow Group Inc.

1,026,587

2,495

*

Gulf Island Fabrication Inc.

342,749

2,475

*

Infrastructure and Energy Alternatives Inc.

296,274

2,426

*

Contango Oil & Gas Co.

694,493

2,257

*,^

Comstock Resources Inc.

469,715

2,128

 

Adams Resources & Energy Inc.

52,702

2,040

*

Isramco Inc.

17,203

2,039

*

Earthstone Energy Inc. Class A

446,981

2,020

*

Dawson Geophysical Co.

580,779

1,963

*

Altus Midstream Co. Class A

240,505

1,859

*

NCS Multistage Holdings Inc.

323,026

1,644

*

Lonestar Resources US Inc. Class A

442,746

1,616

*,^

FuelCell Energy Inc.

2,644,061

1,456

*,^

EP Energy Corp. Class A

1,635,435

1,145

*

Ring Energy Inc.

188,279

956

*,^

US Well Services Inc.

139,200

905

*

Ranger Energy Services Inc.

174,110

900

*

Quintana Energy Services Inc.

240,859

833

*

SandRidge Energy Inc.

107,291

816

*

VAALCO Energy Inc.

518,252

762

*,^

Approach Resources Inc.

543,177

474

*

Hornbeck Offshore Services Inc.

304,438

438

*

Superior Drilling Products Inc.

341,897

400

*

Pioneer Energy Services Corp.

322,269

396

*

ION Geophysical Corp.

71,876

372

*,^

Torchlight Energy Resources Inc.

496,202

280

*

Mitcham Industries Inc.

103,443

265

*

Rosehill Resources Inc. Class A

83,245

186

*,^

Talos Energy Inc. Warrants Exp. 02/28/2021

116,107

131

*,^

Zion Oil & Gas Inc.

264,857

111

*,^

Enservco Corp.

243,940

90

*,^

PHI Inc.

38,724

87

*,^

Ideal Power Inc.

94,214

23

*

Flotek Industries Inc.

16,578

18

*

Tidewater Inc. Warrants Series A

8,839

15

*

Tidewater Inc. Warrants Series B

9,555

13

*

PEDEVCO Corp.

8,400

6

 

47


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*,^

SAExploration Holdings Inc.

1,505

3

*

PrimeEnergy Corp.

17

1

*,^

Bonanza Creek Energy Inc. Warrants Exp. 04/28/2020

33,839

1

*

Jones Energy Inc. Class A

782

*

Basic Energy Services Inc. Warrants Exp. 12/23/2023

4,640

*,§

Rex Energy Corp.

302

*,^

Covia Holdings Corp.

1

*,^,§

Harvest Natural Resources Inc.

51,829

 

 

 

33,574,222

Other (0.0%)2

 

 

*,§

Herbalife Ltd. CVR

234,057

2,270

*,§

A Schulman Inc. CVR

659,182

1,259

*,^,§

Tobira Therapeutics CVR Exp. 12/31/2028

201,001

911

*,^,§

Ocera Therapeutics CVR Line

653,477

176

*,§

NewStar Financial Inc. CVR

551,185

143

*

Corium CVR

782,067

141

*,§

Ambit Biosciences Corp. CVR

201,330

121

*,§

Media General Inc. CVR

2,351,934

91

*,§

Omthera Pharmaceuticals Inc. CVR

121,311

73

*,§

Social Reality Inc. Rights Exp. 12/31/2019

148,260

27

*,§

Alexza Pharmaceuticals Inc. CVR

327,391

11

*,§

Seventy Seven Energy Inc. Escrow Line

7,222

1

*,§

Clinical Data CVR

216,285

*,§

Adolor Corp. Rights Exp. 07/01/2019

592,629

*,^,§

Biosante Pharmaceutical Inc. CVR

253,823

*

Kadmon Warrants Exp. 09/29/2022

169,257

*,§

NuPathe Inc. CVR

158,681

*

Advaxis Inc. Warrants Exp. 09/11/2024

157,659

 

 

 

5,224

Technology (19.3%)

 

 

 

Microsoft Corp.

206,471,453

20,971,305

 

Apple Inc.

114,093,756

17,997,149

*

Facebook Inc. Class A

64,181,484

8,413,551

*

Alphabet Inc. Class A

7,987,157

8,346,260

*

Alphabet Inc. Class C

7,938,287

8,220,969

 

Intel Corp.

121,924,450

5,721,914

 

Cisco Systems Inc.

120,089,777

5,203,490

 

Oracle Corp.

70,840,246

3,198,437

*

Adobe Inc.

13,040,518

2,950,287

 

International Business Machines Corp.

24,277,551

2,759,629

 

Broadcom Inc.

10,493,014

2,668,164

*

salesforce.com Inc.

19,415,586

2,659,353

 

Texas Instruments Inc.

25,658,297

2,424,709

 

NVIDIA Corp.

15,482,119

2,066,863

 

QUALCOMM Inc.

32,379,778

1,842,733

 

Intuit Inc.

6,585,915

1,296,437

 

Cognizant Technology Solutions Corp. Class A

15,470,283

982,054

*

Micron Technology Inc.

30,300,271

961,428

 

HP Inc.

42,246,996

864,374

 

Applied Materials Inc.

26,262,362

859,830

*

ServiceNow Inc.

4,790,815

853,005

 

Analog Devices Inc.

9,883,224

848,277

*

Red Hat Inc.

4,715,235

828,184

*

Autodesk Inc.

5,840,730

751,176

 

Corning Inc.

21,388,016

646,132

*

Workday Inc. Class A

3,981,782

635,811

 

Xilinx Inc.

6,760,219

575,768

 

Lam Research Corp.

4,145,768

564,529

*

Twitter Inc.

18,308,384

526,183

 

Hewlett Packard Enterprise Co.

39,301,372

519,171

 

Motorola Solutions Inc.

4,363,663

501,996

*

Advanced Micro Devices Inc.

25,377,737

468,473

^

Microchip Technology Inc.

6,319,140

454,473

*

Palo Alto Networks Inc.

2,394,181

450,944

 

48


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Cerner Corp.

8,366,529

438,741

*

VeriSign Inc.

2,907,099

431,094

 

Harris Corp.

3,138,824

422,643

*

Splunk Inc.

3,913,358

410,316

 

NetApp Inc.

6,716,627

400,781

 

DXC Technology Co.

7,486,678

398,067

*

IAC/InterActiveCorp

2,073,642

379,559

 

Maxim Integrated Products Inc.

7,400,696

376,325

 

KLA-Tencor Corp.

4,084,860

365,554

 

Citrix Systems Inc.

3,415,481

349,950

*

Synopsys Inc.

3,971,071

334,523

*

Cadence Design Systems Inc.

7,546,303

328,113

 

CDW Corp.

4,011,628

325,142

*

ANSYS Inc.

2,230,098

318,770

 

Skyworks Solutions Inc.

4,747,702

318,191

 

Symantec Corp.

16,196,458

306,032

*

Arista Networks Inc.

1,409,656

297,014

*

Gartner Inc.

2,302,312

294,328

*

Veeva Systems Inc. Class A

3,253,391

290,593

 

VMware Inc. Class A

2,027,441

278,023

*

GoDaddy Inc. Class A

4,231,820

277,692

*

Fortinet Inc.

3,854,252

271,455

 

SS&C Technologies Holdings Inc.

5,999,489

270,637

 

Western Digital Corp.

7,317,660

270,534

 

Marvell Technology Group Ltd.

16,647,560

269,524

 

Seagate Technology plc

6,854,022

264,497

*

F5 Networks Inc.

1,612,967

261,349

*

Akamai Technologies Inc.

4,119,734

251,633

 

Juniper Networks Inc.

9,182,752

247,108

*

PTC Inc.

2,842,753

235,664

*

Tableau Software Inc. Class A

1,905,859

228,703

 

Leidos Holdings Inc.

3,995,734

210,655

*

Qorvo Inc.

3,326,026

201,990

*

Ultimate Software Group Inc.

790,269

193,513

*

ON Semiconductor Corp.

11,208,426

185,051

*

Tyler Technologies Inc.

980,923

182,275

*,^

Twilio Inc. Class A

2,003,301

178,895

*

Guidewire Software Inc.

2,157,588

173,103

*

Dell Technologies Inc.

3,409,565

166,625

*

Integrated Device Technology Inc.

3,438,371

166,520

 

CDK Global Inc.

3,428,010

164,133

*

Paycom Software Inc.

1,329,799

162,834

*

EPAM Systems Inc.

1,369,194

158,840

*

Zendesk Inc.

2,714,375

158,438

*

Okta Inc.

2,463,128

157,148

*

Aspen Technology Inc.

1,882,954

154,741

 

Teradyne Inc.

4,764,000

149,494

*

Nutanix Inc.

3,580,677

148,920

*

RingCentral Inc. Class A

1,735,872

143,105

*

athenahealth Inc.

1,079,610

142,433

*

ARRIS International plc

4,390,261

134,210

*

Ciena Corp.

3,798,120

128,794

*

HubSpot Inc.

993,712

124,939

 

Monolithic Power Systems Inc.

1,073,106

124,749

 

Cypress Semiconductor Corp.

9,655,741

122,821

*

Proofpoint Inc.

1,454,947

121,939

*

Teradata Corp.

3,160,109

121,222

*

Cree Inc.

2,737,593

117,101

 

LogMeIn Inc.

1,363,275

111,202

 

Entegris Inc.

3,763,959

104,996

*

Medidata Solutions Inc.

1,548,084

104,372

*

Nuance Communications Inc.

7,672,139

101,502

*

RealPage Inc.

1,998,908

96,327

*

CACI International Inc. Class A

658,939

94,907

 

49


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

MKS Instruments Inc.

1,438,555

92,945

*

Coupa Software Inc.

1,470,969

92,465

*

New Relic Inc.

1,138,300

92,168

*

DocuSign Inc. Class A

2,292,219

91,872

*

Silicon Laboratories Inc.

1,148,594

90,521

*,^

ViaSat Inc.

1,509,327

88,975

 

SYNNEX Corp.

1,090,506

88,156

*

Pure Storage Inc. Class A

5,478,283

88,091

*,^

Snap Inc.

15,675,511

86,372

 

j2 Global Inc.

1,243,142

86,249

*

CommScope Holding Co. Inc.

5,123,208

83,969

*

Lumentum Holdings Inc.

1,987,966

83,514

*

Tech Data Corp.

1,019,712

83,423

*

Dropbox Inc. Class A

4,032,912

82,392

 

Blackbaud Inc.

1,296,397

81,543

*

ACI Worldwide Inc.

2,926,934

80,988

*

FireEye Inc.

4,988,070

80,857

*

Semtech Corp.

1,752,484

80,386

*

Manhattan Associates Inc.

1,742,409

73,826

*

Verint Systems Inc.

1,728,595

73,137

*

2U Inc.

1,464,509

72,815

*

NCR Corp.

3,140,685

72,487

 

Science Applications International Corp.

1,129,585

71,955

*

Cornerstone OnDemand Inc.

1,399,426

70,573

 

Cabot Microelectronics Corp.

724,725

69,103

*

Finisar Corp.

3,135,149

67,719

*

Qualys Inc.

894,855

66,881

*

CommVault Systems Inc.

1,113,345

65,788

*

Five9 Inc.

1,482,752

64,826

 

Perspecta Inc.

3,726,073

64,163

*

Premier Inc. Class A

1,696,211

63,353

 

InterDigital Inc.

925,169

61,459

*

Viavi Solutions Inc.

6,053,510

60,838

*,^

MongoDB Inc.

709,395

59,405

*

Ellie Mae Inc.

929,898

58,425

^

Match Group Inc.

1,355,756

57,986

*

Box Inc.

3,403,874

57,457

*

Envestnet Inc.

1,158,002

56,962

*

Alteryx Inc. Class A

949,855

56,488

*

Bottomline Technologies DE Inc.

1,144,216

54,922

*

Cirrus Logic Inc.

1,603,790

53,214

*

Zscaler Inc.

1,295,250

50,787

 

Cogent Communications Holdings Inc.

1,112,411

50,292

 

Pegasystems Inc.

1,047,138

50,085

*

Alarm.com Holdings Inc.

955,378

49,555

 

Brooks Automation Inc.

1,880,571

49,233

*

Q2 Holdings Inc.

972,269

48,176

*

EchoStar Corp. Class A

1,297,555

47,646

*

NetScout Systems Inc.

1,985,633

46,920

*

SailPoint Technologies Holding Inc.

1,985,698

46,644

 

Power Integrations Inc.

737,494

44,972

*

Allscripts Healthcare Solutions Inc.

4,643,594

44,764

*

Advanced Energy Industries Inc.

1,028,729

44,163

*

Avaya Holdings Corp.

2,911,682

42,394

 

Progress Software Corp.

1,182,936

41,982

*

NETGEAR Inc.

796,714

41,453

*

Everbridge Inc.

710,477

40,327

*

Varonis Systems Inc.

747,796

39,558

*

Apptio Inc. Class A

1,022,286

38,806

*

Blackline Inc.

941,136

38,540

*

SPS Commerce Inc.

465,388

38,339

^

Ubiquiti Networks Inc.

384,083

38,182

*,^

Ceridian HCM Holding Inc.

1,106,454

38,162

*

Insight Enterprises Inc.

935,948

38,140

 

50


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Cloudera Inc.

3,279,391

36,270

*,^

Inphi Corp.

1,104,989

35,525

*

Synaptics Inc.

915,242

34,056

*

Diodes Inc.

1,034,307

33,367

*

SendGrid Inc.

761,723

32,884

*

Rapid7 Inc.

1,027,744

32,024

*

Instructure Inc.

838,016

31,434

*

Blucora Inc.

1,172,050

31,223

*

MicroStrategy Inc. Class A

240,400

30,711

*

Acacia Communications Inc.

799,153

30,368

*

Vocera Communications Inc.

766,727

30,171

*

Virtusa Corp.

707,449

30,130

 

Plantronics Inc.

900,208

29,797

*,^

3D Systems Corp.

2,903,549

29,529

 

Pitney Bowes Inc.

4,964,771

29,342

 

TiVo Corp.

3,084,039

29,021

*

Electronics For Imaging Inc.

1,159,795

28,763

*

LivePerson Inc.

1,503,108

28,349

*

MaxLinear Inc.

1,601,262

28,182

*

FormFactor Inc.

1,960,792

27,628

*

Hortonworks Inc.

1,895,500

27,333

*

Tabula Rasa HealthCare Inc.

428,501

27,321

 

CSG Systems International Inc.

847,606

26,928

*

Zuora Inc. Class A

1,460,971

26,502

*

PROS Holdings Inc.

838,957

26,343

*

Workiva Inc.

718,304

25,780

 

Ebix Inc.

586,970

24,981

*

ePlus Inc.

349,545

24,877

*

Pivotal Software Inc. Class A

1,521,496

24,876

*

Appfolio Inc.

404,016

23,926

*,^

Benefitfocus Inc.

518,045

23,685

 

Xperi Corp.

1,273,879

23,427

*

Cray Inc.

1,068,029

23,059

*

Boingo Wireless Inc.

1,115,106

22,938

*

Cision Ltd.

1,927,388

22,550

*

ScanSource Inc.

655,509

22,536

*

Altair Engineering Inc. Class A

801,848

22,115

*

Lattice Semiconductor Corp.

3,185,055

22,041

*

Carbonite Inc.

853,682

21,564

*

Yext Inc.

1,435,784

21,321

*

NextGen Healthcare Inc.

1,368,007

20,725

 

NIC Inc.

1,637,460

20,435

*

ForeScout Technologies Inc.

780,249

20,279

*

Infinera Corp.

4,725,157

18,853

*

Extreme Networks Inc.

3,059,283

18,662

*

Perficient Inc.

827,035

18,410

*,^

Appian Corp. Class A

677,843

18,105

 

Shutterstock Inc.

500,507

18,023

*

Photronics Inc.

1,748,545

16,926

*

Nanometrics Inc.

617,655

16,880

 

Monotype Imaging Holdings Inc.

1,039,885

16,139

 

Cohu Inc.

1,001,961

16,101

*

Unisys Corp.

1,331,348

15,484

*

Rudolph Technologies Inc.

754,852

15,452

*

Amkor Technology Inc.

2,353,828

15,441

*

Axcelis Technologies Inc.

799,789

14,236

 

Comtech Telecommunications Corp.

563,804

13,723

*,^

Elastic NV

188,937

13,505

 

ADTRAN Inc.

1,238,362

13,300

*

Anaplan Inc.

495,938

13,162

*

Calix Inc.

1,276,368

12,445

 

Presidio Inc.

952,452

12,429

*

Upland Software Inc.

454,865

12,363

*

CEVA Inc.

545,479

12,050

 

51


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

Loral Space & Communications Inc.

322,342

12,007

 

Forrester Research Inc.

265,275

11,858

*

Bandwidth Inc. Class A

287,780

11,727

*

Endurance International Group Holdings Inc.

1,692,086

11,252

*

Mitek Systems Inc.

1,023,377

11,063

*

CalAmp Corp.

844,747

10,990

*

OneSpan Inc.

842,468

10,910

*

Rosetta Stone Inc.

640,427

10,503

*

Harmonic Inc.

2,173,682

10,260

 

Computer Programs & Systems Inc.

401,466

10,077

 

QAD Inc. Class A

255,442

10,047

*,^

Ichor Holdings Ltd.

607,864

9,908

 

Hackett Group Inc.

614,538

9,839

^

ConvergeOne Holdings Inc.

783,126

9,695

 

Systemax Inc.

392,738

9,382

*

ChannelAdvisor Corp.

816,737

9,270

*

Quantenna Communications Inc.

634,332

9,103

 

PC Connection Inc.

302,975

9,007

*

Casa Systems Inc.

684,167

8,983

*

Zix Corp.

1,526,903

8,749

*

Meet Group Inc.

1,845,370

8,544

*

KeyW Holding Corp.

1,268,967

8,489

 

Switch Inc.

1,212,436

8,487

*

Smartsheet Inc. Class A

334,021

8,304

*,^

Eventbrite Inc. Class A

298,372

8,298

*

Agilysys Inc.

578,517

8,296

*

Digi International Inc.

816,590

8,239

*

Tenable Holdings Inc.

363,299

8,062

*

Vectrus Inc.

369,581

7,976

*

Brightcove Inc.

1,127,529

7,938

*,^

TransEnterix Inc.

3,435,475

7,764

 

American Software Inc. Class A

734,558

7,676

*

DSP Group Inc.

658,069

7,370

*

Ooma Inc.

523,409

7,265

*

NeoPhotonics Corp.

1,102,569

7,145

*

Immersion Corp.

780,419

6,993

 

Simulations Plus Inc.

344,555

6,857

*

Amber Road Inc.

828,513

6,819

*

PDF Solutions Inc.

796,508

6,715

*

Alpha & Omega Semiconductor Ltd.

647,896

6,602

*

Ribbon Communications Inc.

1,344,720

6,482

*

Limelight Networks Inc.

2,677,555

6,265

*

USA Technologies Inc.

1,583,185

6,159

*,^

SVMK Inc.

491,275

6,028

*

PAR Technology Corp.

271,140

5,897

*

Model N Inc.

445,201

5,890

*

KVH Industries Inc.

533,364

5,488

^

Diebold Nixdorf Inc.

2,174,945

5,416

*

I3 Verticals Inc. Class A

224,048

5,400

*,^

Inseego Corp.

1,281,857

5,320

*,^

Domo Inc.

259,987

5,104

*

Aquantia Corp.

537,227

4,711

*

AXT Inc.

1,021,165

4,442

*

Telenav Inc.

1,064,501

4,322

*

Aerohive Networks Inc.

1,301,751

4,244

 

Preformed Line Products Co.

77,646

4,212

 

AstroNova Inc.

221,491

4,153

*

SecureWorks Corp. Class A

236,021

3,986

*

MobileIron Inc.

856,575

3,932

*

A10 Networks Inc.

606,164

3,782

*,^

VirnetX Holding Corp.

1,536,400

3,687

*

Ultra Clean Holdings Inc.

422,797

3,581

*

RigNet Inc.

260,354

3,291

*

eGain Corp.

486,960

3,199

 

52


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*,^

Adesto Technologies Corp.

716,531

3,153

*

EMCORE Corp.

727,792

3,057

*

Clearfield Inc.

305,057

3,026

*

Telaria Inc.

1,104,370

3,015

*

Tucows Inc. Class A

49,142

2,951

*,^

Internap Corp.

679,210

2,819

*

VOXX International Corp. Class A

703,399

2,785

*

Rambus Inc.

362,634

2,781

*

Pixelworks Inc.

954,893

2,769

*

Exela Technologies Inc.

711,591

2,768

*

DASAN Zhone Solutions Inc.

188,838

2,627

*

GSI Technology Inc.

465,560

2,393

*

SharpSpring Inc.

185,762

2,365

*

ID Systems Inc.

417,726

2,335

*,^

Airgain Inc.

223,147

2,211

*,^

Park City Group Inc.

368,561

2,200

*

Great Elm Capital Group Inc.

624,106

2,109

*

ACM Research Inc. Class A

193,846

2,109

*,^

Applied Optoelectronics Inc.

132,326

2,042

 

TESSCO Technologies Inc.

159,219

1,911

 

TransAct Technologies Inc.

211,460

1,899

*,^

Everspin Technologies Inc.

322,450

1,809

*,^

Fusion Connect Inc.

1,071,837

1,801

*

Amtech Systems Inc.

385,770

1,748

*

Key Tronic Corp.

304,070

1,718

*

NetSol Technologies Inc.

277,534

1,707

 

GlobalSCAPE Inc.

378,890

1,697

*

Rimini Street Inc.

325,063

1,674

*

Computer Task Group Inc.

407,746

1,664

*

LRAD Corp.

644,065

1,623

*

Aviat Networks Inc.

122,447

1,622

*

Finjan Holdings Inc.

639,801

1,606

*

RumbleON Inc. Class B

295,778

1,591

*

inTEST Corp.

241,044

1,478

*

Aware Inc.

406,847

1,469

*

Support.com Inc.

561,252

1,381

*,^

Impinj Inc.

90,225

1,313

*

Seachange International Inc.

1,040,931

1,312

*

Synacor Inc.

885,396

1,310

*,^

QuickLogic Corp.

1,644,442

1,207

 

QAD Inc. Class B

39,531

1,167

*

Majesco

157,868

1,119

*

Identiv Inc.

308,510

1,111

*,^

Veritone Inc.

270,146

1,027

*

Innodata Inc.

643,214

965

*

Lantronix Inc.

311,918

917

*

WideOpenWest Inc.

125,680

896

*

Data I/O Corp.

173,820

869

*,^

Smith Micro Software Inc.

471,123

848

 

Wayside Technology Group Inc.

83,158

832

*,^

Atomera Inc.

284,266

816

*

Alithya Group Inc. Class A

326,419

774

*,^

nLight Inc.

41,105

731

*

Intelligent Systems Corp.

52,948

684

*

Aehr Test Systems

428,242

604

*,^

Red Violet Inc.

87,451

589

*

CynergisTek Inc.

110,248

523

*

Mastech Digital Inc.

82,130

517

*

RCM Technologies Inc.

159,911

496

 

BK Technologies Inc.

131,368

493

*

WidePoint Corp.

1,141,609

476

*

Kopin Corp.

475,143

475

*

Neurotrope Inc.

132,689

474

 

CSP Inc.

46,940

459

 

53


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*

GSE Systems Inc.

209,878

441

*,^

Intellicheck Inc.

196,842

421

*,^

SITO Mobile Ltd.

442,391

398

*

Icad Inc.

102,068

378

*

Avalara Inc.

11,995

374

 

Network-1 Technologies Inc.

160,430

358

*

BSQUARE Corp.

220,173

341

*

Inuvo Inc.

275,566

295

*

Intermolecular Inc.

237,326

240

 

ClearOne Inc.

190,824

239

*

Optical Cable Corp.

54,796

209

*

Castlight Health Inc. Class B

94,575

205

*,^

Ominto Inc.

265,206

183

*

FTE Networks Inc.

76,480

179

*,^

Gogo Inc.

53,600

160

*

One Stop Systems Inc.

82,010

159

*

Digimarc Corp.

9,978

145

*

AudioEye Inc.

14,532

124

*,^

NXT-ID Inc.

175,954

120

*

CVD Equipment Corp.

21,000

75

*

Xcel Brands Inc.

38,685

44

*

ADDvantage Technologies Group Inc.

29,519

41

*

Trio-Tech International

15,252

38

*

Qumu Corp.

15,217

29

*

BroadVision Inc.

20,868

24

*

Qualstar Corp.

4,300

23

*

Quantum Corp.

6,550

13

*

Streamline Health Solutions Inc.

16,133

12

*

SilverSun Technologies Inc.

2,301

5

 

Sigma Designs Inc.

33,890

5

*,^

Neonode Inc.

1

 

 

 

129,856,855

Telecommunications (2.0%)

 

 

 

Verizon Communications Inc.

110,381,847

6,205,667

 

AT&T Inc.

194,426,250

5,548,925

*

T-Mobile US Inc.

7,923,046

503,985

 

CenturyLink Inc.

25,951,362

393,163

*

Zayo Group Holdings Inc.

5,364,348

122,522

*,^

Sprint Corp.

16,251,487

94,584

 

Telephone & Data Systems Inc.

2,527,027

82,229

 

Shenandoah Telecommunications Co.

1,240,394

54,887

*

Vonage Holdings Corp.

5,774,774

50,414

*

Intelsat SA

2,197,609

47,007

*

Iridium Communications Inc.

2,518,809

46,472

*

8x8 Inc.

2,427,820

43,798

*,^

GTT Communications Inc.

1,169,509

27,671

*

United States Cellular Corp.

418,682

21,759

 

ATN International Inc.

273,281

19,548

*

ORBCOMM Inc.

1,999,068

16,512

*

pdvWireless Inc.

336,231

12,572

 

Spok Holdings Inc.

648,636

8,601

*,^

Pareteum Corp.

2,327,685

3,934

 

Consolidated Communications Holdings Inc.

387,885

3,832

*

HC2 Holdings Inc.

1,293,005

3,414

 

IDT Corp. Class B

458,358

2,837

^

Windstream Holdings Inc.

1,198,699

2,505

*

Alaska Communications Systems Group Inc.

1,208,737

1,741

*

Otelco Inc. Class A

54,117

875

*

CPS Technologies Corp.

97,017

115

*

Cincinnati Bell Inc.

2,660

21

 

 

 

13,319,590

Utilities (3.3%)

 

 

 

NextEra Energy Inc.

12,766,495

2,219,072

 

Duke Energy Corp.

19,038,397

1,643,014

 

54


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

 

Dominion Energy Inc.

17,543,347

1,253,648

 

Southern Co.

27,095,393

1,190,030

 

Exelon Corp.

25,778,869

1,162,627

 

American Electric Power Co. Inc.

13,165,344

983,978

 

Sempra Energy

6,944,944

751,373

 

Public Service Enterprise Group Inc.

13,503,550

702,860

 

Xcel Energy Inc.

13,709,331

675,459

 

Consolidated Edison Inc.

8,685,562

664,098

 

WEC Energy Group Inc.

8,426,412

583,613

 

Eversource Energy

8,463,740

550,482

 

PPL Corp.

19,227,679

544,720

 

DTE Energy Co.

4,855,381

535,548

 

FirstEnergy Corp.

13,657,268

512,830

 

Edison International

8,708,798

494,398

 

American Water Works Co. Inc.

4,823,296

437,811

 

Ameren Corp.

6,515,787

425,025

 

Entergy Corp.

4,824,531

415,247

 

Evergy Inc.

7,100,082

403,072

 

CenterPoint Energy Inc.

13,389,768

377,993

 

CMS Energy Corp.

7,555,427

375,127

*

PG&E Corp.

13,844,520

328,807

 

NRG Energy Inc.

7,341,722

290,732

 

Atmos Energy Corp.

2,991,182

277,342

*

Alliant Energy Corp.

6,280,486

265,351

 

AES Corp.

17,613,693

254,694

 

Pinnacle West Capital Corp.

2,977,580

253,690

 

NiSource Inc.

9,849,815

249,693

 

UGI Corp.

4,662,022

248,719

*

Vistra Energy Corp.

10,751,315

246,098

 

SCANA Corp.

3,735,180

178,467

 

Aqua America Inc.

4,742,100

162,132

 

Vectren Corp.

2,207,935

158,927

 

IDACORP Inc.

1,346,799

125,333

 

ONE Gas Inc.

1,399,718

111,418

 

New Jersey Resources Corp.

2,388,996

109,105

 

Portland General Electric Co.

2,373,720

108,835

 

Hawaiian Electric Industries Inc.

2,908,845

106,522

 

ALLETE Inc.

1,370,566

104,465

 

National Fuel Gas Co.

2,010,727

102,909

 

Southwest Gas Holdings Inc.

1,331,482

101,858

 

Black Hills Corp.

1,596,779

100,246

 

Spire Inc.

1,301,899

96,445

 

PNM Resources Inc.

2,126,465

87,376

 

Avangrid Inc.

1,683,599

84,331

 

NorthWestern Corp.

1,339,214

79,603

 

Avista Corp.

1,747,366

74,228

 

American States Water Co.

966,006

64,761

 

South Jersey Industries Inc.

2,288,870

63,631

 

California Water Service Group

1,270,275

60,541

 

Ormat Technologies Inc.

1,077,708

56,364

 

MGE Energy Inc.

932,888

55,936

 

El Paso Electric Co.

1,088,153

54,549

 

Pattern Energy Group Inc. Class A

2,615,141

48,694

 

Northwest Natural Holding Co.

773,167

46,746

 

SJW Group

650,990

36,208

 

Chesapeake Utilities Corp.

417,582

33,949

*

Sunrun Inc.

2,510,364

27,338

 

Middlesex Water Co.

412,408

22,002

 

Connecticut Water Service Inc.

322,275

21,550

 

Unitil Corp.

390,136

19,756

 

TerraForm Power Inc. Class A

1,676,182

18,807

*

Evoqua Water Technologies Corp.

1,810,184

17,378

 

York Water Co.

349,426

11,203

 

Artesian Resources Corp. Class A

240,336

8,380

 

55


 

Vanguard® Total Stock Market Index Fund

Schedule of Investments

December 31, 2018

 

 

 

Shares

Market

Value

($000)

*,^

Cadiz Inc.

799,055

8,230

*

Atlantic Power Corp.

3,317,157

7,198

*

AquaVenture Holdings Ltd.

354,799

6,702

 

RGC Resources Inc.

176,687

5,294

*

Pure Cycle Corp.

497,626

4,941

*,^

Bloom Energy Corp. Class A

458,981

4,581

*,^

Vivint Solar Inc.

1,081,504

4,121

 

Spark Energy Inc. Class A

334,801

2,488

 

Genie Energy Ltd. Class B

383,069

2,310

 

 

 

21,923,009

Total Common Stocks (Cost $473,160,255)

 

668,274,743

 

 

 

 

 

 

 

 

Coupon

 

 

 

Temporary Cash Investments (0.9%)1

 

 

 

 

Money Market Fund (0.9%)

 

 

 

 

3,4

Vanguard Market Liquidity Fund

2.530%

 

56,919,051

5,691,905

 

 

 

 

 

 

 

 

 

Maturity
Date

Face

Amount

($000)

 

U.S. Government and Agency Obligations (0.0%)

 

 

 

5

United States Treasury Bill

2.350%-2.361%

3/21/19

80,000

79,598

5

United States Treasury Bill

2.432%-2.451%

4/18/19

70,000

69,509

 

United States Treasury Bill

2.077%

1/3/19

40,000

39,998

 

United States Treasury Bill

2.374%

3/7/19

35,000

34,853

5

United States Treasury Bill

2.292%

2/28/19

30,000

29,888

5

United States Treasury Bill

2.292%

2/21/19

10,000

9,967

 

 

 

 

 

263,813

Total Temporary Cash Investments (Cost $5,955,110)

 

 

5,955,718

Total Investments (100.3%) (Cost $479,115,365)

 

 

 

674,230,461

Other Assets and Liabilities—Net (-0.3%)4,6

 

 

 

(2,034,797)

Net Assets (100%)

 

 

 

672,195,664

 

*

Non-income-producing security.

^

Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $2,480,929,000.

§

Security value determined using significant unobservable inputs.

1

The fund invests a portion of its cash reserves in equity markets through the use of index futures contracts and swap contracts. After giving effect to futures and swap investments, the fund’s effective common stock and temporary cash investment positions represent 100.0% and 0.3%, respectively, of net assets.

2

“Other” represents securities that are not classified by the fund’s benchmark index.

3

Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.

4

Includes $2,633,559,000 of collateral received for securities on loan.

5

Securities with a value of $186,579,000 have been segregated as initial margin for open futures contracts.

6

Cash with a value of $2,650,000 has been segregated as collateral for open over-the-counter swap contracts.

 

ADR—American Depositary Receipt.

 

CVR—Contingent Value Rights.

 

REIT—Real Estate Investment Trust.

 

56


 

 

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© 2018 The Vanguard Group, Inc.

 

All rights reserved.

 

Vanguard Marketing Corporation, Distributor.

 

 

 

SNA850 022019

 


 

 

Report of Independent Registered Public Accounting Firm

 

To the Board of Trustees of Vanguard Index Funds and Shareholders of Vanguard Small-Cap Index Fund, Vanguard Small-Cap Growth Index Fund and Vanguard Small-Cap Value Index Fund

 

Opinions on the Financial Statements

 

We have audited the accompanying statements of net assets—investments summary of Vanguard Small-Cap Index Fund, Vanguard Small-Cap Growth Index Fund and Vanguard Small-Cap Value Index Fund (three of the funds constituting Vanguard Index Funds, hereafter collectively referred to as the “Funds”) as of December 31, 2018, the related statements of operations for the year ended December 31, 2018, the statements of changes in net assets for each of the two years in the period ended December 31, 2018, including the related notes, and the financial highlights for each of the five years in the period ended December 31, 2018 (included in Item 1 of this Form N-CSR) and the schedules of investments (included in Item 6 of this Form N-CSR) as of December 31, 2018 (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of each of the Funds as of December 31, 2018, the results of each of their operations for the year then ended, the changes in each of their net assets for each of the two years in the period ended December 31, 2018 and each of the financial highlights for each of the five years in the period ended December 31, 2018 in conformity with accounting principles generally accepted in the United States of America.

 

Basis for Opinions

 

These financial statements are the responsibility of the Funds’ management. Our responsibility is to express an opinion on the Funds’ financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Funds in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

 

We conducted our audits of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of December 31, 2018 by correspondence with the custodians and brokers and by agreement to the underlying ownership records of the transfer agent; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinions.

 

 

February 14, 2019

 

We have served as the auditor of one or more investment companies in The Vanguard Group of Funds since 1975.

 

PricewaterhouseCoopers LLP, Two Commerce Square, Suite 1800, 2001 Market Street, Philadelphia, PA 19103-7042 T: (267) 330 3000, F: (267) 330 3300, www.pwc.com/us

 


 

 

Report of Independent Registered Public Accounting Firm

 

To the Board of Trustees of Vanguard Index Funds and Shareholders of Vanguard Extended Market Index Fund

 

Opinion on the Financial Statements

 

We have audited the accompanying statement of net assets—investments summary of Vanguard Extended Market Index Fund (one of the funds constituting Vanguard Index Funds, referred to hereafter as the “Fund”) as of December 31, 2018, the related statement of operations for the year ended December 31, 2018, the statement of changes in net assets for each of the two years in the period ended December 31, 2018, including the related notes, and the financial highlights for each of the periods indicated therein (included in Item 1 of this Form N-CSR) and the schedule of investments (included in Item 6 of this Form N-CSR) as of December 31, 2018 (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of the Fund as of December 31, 2018, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period ended December 31, 2018 and the financial highlights for each of the periods indicated therein in conformity with accounting principles generally accepted in the United States of America.

 

Basis for Opinion

 

These financial statements are the responsibility of the Fund’s management. Our responsibility is to express an opinion on the Fund’s financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Fund in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

 

We conducted our audits of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of December 31, 2018 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinion.

 

 

February 13, 2019

 

We have served as the auditor of one or more investment companies in The Vanguard Group of Funds since 1975.

 

PricewaterhouseCoopers LLP, Two Commerce Square, Suite 1800, 2001 Market Street, Philadelphia, PA 19103-7042 T: (267) 330 3000, F: (267) 330 3300, www.pwc.com/us

 


 

 

Report of Independent Registered Public Accounting Firm

 

To the Board of Trustees of Vanguard Index Funds and Shareholders of Vanguard Total Stock Market Index Fund

 

Opinion on the Financial Statements

 

We have audited the accompanying statement of net assets—investments summary of Vanguard Total Stock Market Index Fund (one of the funds constituting Vanguard Index Funds, referred to hereafter as the “Fund”) as of December 31, 2018, the related statement of operations for the year ended December 31, 2018, the statement of changes in net assets for each of the two years in the period ended December 31, 2018, including the related notes, and the financial highlights for each of the periods indicated therein (included in Item 1 of this Form N-CSR) and the schedule of investments (included in Item 6 of this Form N-CSR) as of December 31, 2018 (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of the Fund as of December 31, 2018, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period ended December 31, 2018 and the financial highlights for each of the periods indicated therein in conformity with accounting principles generally accepted in the United States of America.

 

Basis for Opinion

 

These financial statements are the responsibility of the Fund’s management. Our responsibility is to express an opinion on the Fund’s financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Fund in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

 

We conducted our audits of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of December 31, 2018 by correspondence with the custodian and brokers and by agreement to the underlying ownership records of the transfer agent; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinion.

 

 

February 13, 2019

 

We have served as the auditor of one or more investment companies in The Vanguard Group of Funds since 1975.

 

PricewaterhouseCoopers LLP, Two Commerce Square, Suite 1800, 2001 Market Street, Philadelphia, PA 19103-7042 T: (267) 330 3000, F: (267) 330 3300, www.pwc.com/us

 


 

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 Registrants 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 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) Code of Ethics.

(b) Certifications.

 

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 INDEX FUNDS

 

 

BY:

/s/ MORTIMER J. BUCKLEY*

 

 

 

 

 

     MORTIMER J. BUCKLEY

 

 

CHIEF EXECUTIVE OFFICER

 

 

Date:  February 19, 2019

 

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 INDEX FUNDS

 

 

BY:

/s/ MORTIMER J. BUCKLEY *

 

 

 

 

 

     MORTIMER J. BUCKLEY

 

 

CHIEF EXECUTIVE OFFICER

 

 

Date:  February 19, 2019

 

 

VANGUARD INDEX FUNDS

 

 

BY:

/s/ THOMAS J. HIGGINS*

 

 

 

 

 

     THOMAS J. HIGGINS

 

 

CHIEF FINANCIAL OFFICER

 

 

 

Date:  February 19, 2019

 

 

* By: /s/ Anne E. Robinson

 

Anne E. Robinson, pursuant to a Power of Attorney filed on January 18, 2018 see file Number 33-32216, Incorporated by Reference.

 


EX-99.CODEETH 2 a19-2847_1ex99dcodeeth.htm EX-99.CODEETH

Exhibit 99.CODEETH

 

THE VANGUARD FUNDS’
CODE OF ETHICS FOR
SENIOR EXECUTIVE AND FINANCIAL OFFICERS

 

I.                                      Introduction

 

The Board of Trustees (the “Fund Board”) of each registered investment company that is managed, sponsored, and distributed by The Vanguard Group, Inc. (“VGI”) or its subsidiaries (each, a “Vanguard Fund” and collectively, the “Vanguard Funds”) has adopted this code of ethics (the “Code”) as required by Section 406 of the Sarbanes-Oxley Act. The Code applies to the individuals in positions listed on Exhibit A (the “Covered Officers”). All Covered Officers, along with employees of VGI, are subject to separate and distinct obligations from this Code under a Code of Ethics adopted pursuant to Rule 17j-1 under the Investment Company Act of 1940 (“17j-1 Code of Ethics”), policies to prevent the misuse of non-public information, and other internal compliance guidelines and policies that may be in effect from time to time.

 

This Code is designed to promote:

 

·                  Honest and ethical conduct, including the ethical handling of conflicts of interest;

 

·                  Full, fair, accurate, timely, and understandable disclosure in reports and documents that a Vanguard Fund files with, or submits to, the U.S. Securities and Exchange Commission (“SEC”), and in other public communications made by the Vanguard Funds or VGI;

 

·                  Compliance with applicable laws, governmental rules, and regulations;

 

·                  Prompt internal reporting to those identified in the Code of violations of the Code; and

 

·                  Accountability for adherence to the Code.

 

II.                                  Actual or Apparent Conflicts of Interest

 

A.           Covered Officers should conduct all activities in accordance with the following principles:

 

1.             Clients’ interests come first. In the course of fulfilling their duties and responsibilities to VGI clients, Covered Officers must at all times place the interests of VGI clients first. In particular, Covered Officers must avoid serving their own personal interests ahead of the interests of VGI clients.

 

2.             Conflicts of interest must be avoided. Covered Officers must avoid any situation involving an actual or potential conflict of interest or possible impropriety with respect to their duties and responsibilities to VGI clients. Covered Officers must disclose and report at least annually any situation that may present the potential for a conflict of interest to Vanguard’s Compliance Department, consistent with the 17j-1 Code of Ethics.

 


 

3.             Compromising situations must be avoided. Covered Officers must not take advantage of their position of trust and responsibility. Covered Officers must avoid any situation that might compromise or call into question their exercise of full independent judgment in the best interests of VGI clients.

 

All activities of Covered Officers should be guided by and adhere to these fiduciary standards regardless of whether the activity is specifically described in this Code.

 

B.           Restricted Activities include the following:

 

1.             Prohibition on secondary employment. Covered Officers are prohibited from accepting or serving in any form of secondary employment. Secondary employment that does not create a potential conflict of interest may be approved by the General Counsel of VGI.

 

2.             Prohibition on service as director or public official. Unless approved by the General Counsel of VGI, Covered Officers are prohibited from serving on the board of directors of any publicly traded company or in an official capacity for any federal, state, or local government (or governmental agency or instrumentality).

 

3.             Prohibition on misuse of Vanguard time or property. Covered Officers are prohibited from making use of time, equipment, services, personnel or property of any Vanguard entity for any purposes other than the performance of their duties and responsibilities in connection with the Vanguard Funds or other Vanguard-related entities.

 

III.                              Disclosure and Compliance

 

A.           Each Covered Officer should be familiar with the disclosure requirements generally applicable to the Vanguard Funds.

 

B.           Each Covered Officer should not knowingly misrepresent, or cause others to misrepresent, facts about the Vanguard Funds to others, including to the Vanguard Funds’ directors and auditors, or to government regulators and self-regulatory organizations.

 

C.           Each Covered Officer should, to the extent appropriate within the Covered Officer’s area of responsibility, consult with other officers and employees of VGI and advisors to a Vanguard Fund with the goal of promoting full, fair, accurate, timely and understandable disclosure in the reports and documents the Vanguard Fund files with, or submits to, the SEC and in other public communications made by a Vanguard Fund.

 

D.          It is the responsibility of each Covered Officer to promote compliance with the standards and restrictions imposed by applicable laws, rules, regulations, and the 17j-1 Code of Ethics.

 

IV.                             Reporting and Accountability

 

A.           Each Covered Officer must:

 


 

1.             Upon adoption or amendment of the Code (or thereafter as applicable, upon becoming a Covered Officer), affirm in writing that he or she has received, read, and understands the Code;

 

2.             Affirm at least annually in writing that he or she has complied with the requirements of the Code;

 

3.             Not retaliate against any other Covered Officer or any employee of VGI for reports of potential violations of the Code that are made in good faith; and

 

4.             Notify the General Counsel of VGI promptly if the Covered Officer knows of any violations of this Code.

 

B.           The Vanguard Funds will use the following procedures in investigating and enforcing this Code:

 

1.           The General Counsel of VGI is responsible for applying this Code to specific situations and has the authority to interpret this Code in any particular situation. The General Counsel will report on an as-needed basis to the Fund Board regarding activities subject to the Code.

 

2.           The General Counsel will take all appropriate action to investigate any potential violations of the Code that are reported to him or her.

 

3.           If, after investigation, the General Counsel believes that no material violation of the Code has occurred, the General Counsel is not required to take any further action.

 

4.           Any matter that the General Counsel believes is a material violation of the Code will be reported to the Chief Compliance Officer and the Fund Board.

 

5.           If the Fund Board concurs that a material violation of the Code has occurred, the Fund Board will consider appropriate action. Appropriate action may include reassignment, suspension, or dismissal of the applicable Covered Officer(s), or any other sanctions the Fund Board deems appropriate. Appropriate action may also include review of, and appropriate modifications to, applicable policies and procedures.

 

6.           Any changes to or waiver of this Code will, to the extent required, be disclosed as provided by SEC rules.

 


 

Other Policies and Procedures

 

This Code shall be the sole code of conduct adopted by the Vanguard Funds for purposes of Section 406 of the Sarbanes-Oxley Act and the rules and forms applicable to registered investment companies thereunder. Insofar as other policies or procedures of the Vanguard Funds, VGI, or other service providers govern or purport to govern the behavior or activities of the Covered Officers, they are superseded by this Code to the extent that they overlap or conflict with the provisions of this Code.

 

VGI’s and the Vanguard Funds’ 17j-1 Code of Ethics, policies to prevent the misuse of non-public information, and other internal compliance guidelines and policies that may be in effect from time to time are separate requirements applying to the Covered Officers and others, and are not part of this Code.

 

VI.                             Amendments

 

This Code may not be materially amended except by the approval of a majority vote of the independent trustees of the Fund Board. Non-material, technical, and administrative revisions of the Code do not have to be approved by the Fund Board. Amendments must be in writing and communicated promptly to the Covered Officers, who shall affirm receipt of the amended Code in accordance with Section IV. A. 1.

 

VII.                         Confidentiality

 

All reports and records prepared or maintained pursuant to this Code shall be considered confidential and shall be maintained and protected accordingly. Except as otherwise required by law or this Code, such matters shall not be disclosed to anyone other than the Fund Board, VGI’s General Counsel and the Chief Compliance Officer of VGI and the Vanguard Funds.

 

 

 

Last Reviewed: July 28, 2018

 


EX-99.CERT 3 a19-2847_1ex99dcert.htm EX-99.CERT

Exhibit 99.CERT

 

CERTIFICATIONS

 

I, Mortimer J. Buckley, certify that:

 

1. I have reviewed this report on Form N-CSR of Vanguard Index Funds;

 

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

 

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date:  February 19, 2019

 

/s/ Mortimer J. Buckley

 

 

Mortimer J. Buckley

 

 

Chief Executive Officer

 

 


 

CERTIFICATIONS

 

I, Thomas J. Higgins, certify that:

 

1. I have reviewed this report on Form N-CSR of Vanguard Index Funds;

 

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

 

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date:   February 19, 2019

 

 

/s/ Thomas J. Higgins

 

 

Thomas J. Higgins

 

 

Chief Financial Officer

 

 


 

EX-99.906CERT 4 a19-2847_1ex99d906cert.htm EX-99.906CERT

Exhibit 99.906CERT

 

Certification Pursuant to 18 U.S.C. Section 1350,

As Adopted Pursuant to

Section 906 of the Sarbanes-Oxley Act of 2002

 

 

Name of Issuer: Vanguard Index Funds

 

In connection with the Report on Form N-CSR of the above-named issuer that is accompanied by this certification, the undersigned hereby certifies, to his knowledge, that:

 

1.        The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

2.        The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the issuer.

 

 

Date:    February 19, 2019

 

 

/s/ Mortimer J. Buckley

 

 

Mortimer J. Buckley

 

 

Chief Executive Officer

 

 


 

 

Certification Pursuant to 18 U.S.C. Section 1350,

As Adopted Pursuant to

Section 906 of the Sarbanes-Oxley Act of 2002

 

 

Name of Issuer:  Vanguard Index Funds

 

In connection with the Report on Form N-CSR of the above-named issuer that is accompanied by this certification, the undersigned hereby certifies, to his knowledge, that:

 

1. The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

2. The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the issuer.

 

 

Date:    February 19, 2019

 

 

/s/ Thomas J. Higgins

 

 

Thomas J. Higgins

 

 

Chief Financial Officer

 

 


 

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