C000007885 Holdings — Vanguard Capital Value Fund

All 93 reported holdings of Vanguard Capital Value Fund (C000007885) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Comcast Corp3.09%$21.24M
T-Mobile US Inc3.08%$21.21M
CVS Health Corp2.78%$19.14M
Philip Morris International Inc2.49%$17.13M
Intel Corp2.34%$16.12M
Keurig Dr Pepper Inc1.98%$13.61M
Carter's Inc1.95%$13.43M
Raymond James Financial Inc1.95%$13.41M
Centene Corp1.89%$12.99M
Exelon Corp1.86%$12.76M
Cisco Systems Inc1.85%$12.72M
Sysco Corp1.79%$12.29M
MetLife Inc1.78%$12.23M
Americold Realty Trust1.74%$11.94M
Dollar Tree Inc1.70%$11.69M
DENTSPLY SIRONA Inc1.56%$10.76M
VICI Properties Inc1.55%$10.65M
Westinghouse Air Brake Technologies Corp1.51%$10.41M
Bank of America Corp1.49%$10.28M
General Motors Co1.46%$10.05M
Lumentum Holdings Inc1.46%$10.05M
TD Ameritrade Holding Corp1.46%$10.04M
Broadcom Inc1.42%$9.78M
VF Corp1.40%$9.61M
Reliance Steel & Aluminum Co1.39%$9.56M
Tyson Foods Inc1.32%$9.05M
Samsung Electronics Co Ltd1.24%$8.56M
Canadian Natural Resources Ltd1.20%$8.22M
Athene Holding Ltd1.18%$8.13M
Genpact Ltd1.16%$7.98M
Prologis Inc1.14%$7.84M
Iberdrola SA1.13%$7.79M
Chubb Ltd1.12%$7.73M
KLA Corp1.11%$7.63M
FleetCor Technologies Inc1.10%$7.58M
VMware Inc1.09%$7.53M
Alphabet Inc1.09%$7.47M
Celanese Corp1.07%$7.36M
Raytheon Technologies Corp1.07%$7.35M
Charles Schwab Corp/The1.05%$7.23M
Digital Realty Trust Inc1.05%$7.23M
Medtronic PLC1.02%$6.98M
Middleby Corp/The1.01%$6.93M
CNO Financial Group Inc0.97%$6.64M
Verizon Communications Inc0.96%$6.61M
Voya Financial Inc0.95%$6.53M
Southwest Airlines Co0.92%$6.35M
Equinix Inc0.89%$6.13M
Archer-Daniels-Midland Co0.88%$6.03M
Zions Bancorp NA0.86%$5.88M
Concho Resources Inc0.85%$5.86M
Amdocs Ltd0.85%$5.83M
Duke Energy Corp0.85%$5.82M
Sanwa Holdings Corp0.84%$5.78M
Micron Technology Inc0.82%$5.65M
Compass Group PLC0.82%$5.62M
RBS Securities, Inc.0.81%$5.60M
Las Vegas Sands Corp0.81%$5.58M
Electronic Arts Inc0.81%$5.57M
Crh PLC0.80%$5.53M
AstraZeneca PLC0.80%$5.52M
Coherent Inc0.80%$5.52M
Bank OZK0.79%$5.42M
Camden Property Trust0.77%$5.28M
Global Payments Inc0.77%$5.27M
Consolidated Edison Inc0.77%$5.27M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.75%$5.19M
Expedia Group Inc0.73%$5.03M
Diamondback Energy Inc0.73%$5.02M
SLM Corp0.71%$4.87M
A O Smith Corp0.71%$4.86M
Match Group Inc0.70%$4.84M
Anthem Inc0.69%$4.73M
Equitable Holdings Inc0.67%$4.58M
Steven Madden Ltd0.63%$4.34M
London Stock Exchange Group PLC0.61%$4.21M
Bristol-Myers Squibb Co0.60%$4.10M
Pinnacle West Capital Corp0.58%$4.01M
Pentair PLC0.58%$4.01M
Western Digital Corp0.56%$3.83M
Eli Lilly and Co0.50%$3.42M
Regeneron Pharmaceuticals Inc0.49%$3.40M
Herman Miller Inc0.46%$3.14M
Unum Group0.45%$3.08M
Airbus SE0.43%$2.99M
Nutrien Ltd0.42%$2.90M
Halliburton Co0.42%$2.89M
Tenaris SA0.42%$2.89M
Atlantic Union Bankshares Corp0.33%$2.28M
American Tower Corp0.31%$2.11M
Unknown0.09%$642.37K
Unknown0.00%$8.03K
Qorvo Inc0.00%$111

C000007885 overview: performance, fees, allocation and SEC filings