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 assets | Value (USD) |
|---|---|---|
| Comcast Corp | 3.09% | $21.24M |
| T-Mobile US Inc | 3.08% | $21.21M |
| CVS Health Corp | 2.78% | $19.14M |
| Philip Morris International Inc | 2.49% | $17.13M |
| Intel Corp | 2.34% | $16.12M |
| Keurig Dr Pepper Inc | 1.98% | $13.61M |
| Carter's Inc | 1.95% | $13.43M |
| Raymond James Financial Inc | 1.95% | $13.41M |
| Centene Corp | 1.89% | $12.99M |
| Exelon Corp | 1.86% | $12.76M |
| Cisco Systems Inc | 1.85% | $12.72M |
| Sysco Corp | 1.79% | $12.29M |
| MetLife Inc | 1.78% | $12.23M |
| Americold Realty Trust | 1.74% | $11.94M |
| Dollar Tree Inc | 1.70% | $11.69M |
| DENTSPLY SIRONA Inc | 1.56% | $10.76M |
| VICI Properties Inc | 1.55% | $10.65M |
| Westinghouse Air Brake Technologies Corp | 1.51% | $10.41M |
| Bank of America Corp | 1.49% | $10.28M |
| General Motors Co | 1.46% | $10.05M |
| Lumentum Holdings Inc | 1.46% | $10.05M |
| TD Ameritrade Holding Corp | 1.46% | $10.04M |
| Broadcom Inc | 1.42% | $9.78M |
| VF Corp | 1.40% | $9.61M |
| Reliance Steel & Aluminum Co | 1.39% | $9.56M |
| Tyson Foods Inc | 1.32% | $9.05M |
| Samsung Electronics Co Ltd | 1.24% | $8.56M |
| Canadian Natural Resources Ltd | 1.20% | $8.22M |
| Athene Holding Ltd | 1.18% | $8.13M |
| Genpact Ltd | 1.16% | $7.98M |
| Prologis Inc | 1.14% | $7.84M |
| Iberdrola SA | 1.13% | $7.79M |
| Chubb Ltd | 1.12% | $7.73M |
| KLA Corp | 1.11% | $7.63M |
| FleetCor Technologies Inc | 1.10% | $7.58M |
| VMware Inc | 1.09% | $7.53M |
| Alphabet Inc | 1.09% | $7.47M |
| Celanese Corp | 1.07% | $7.36M |
| Raytheon Technologies Corp | 1.07% | $7.35M |
| Charles Schwab Corp/The | 1.05% | $7.23M |
| Digital Realty Trust Inc | 1.05% | $7.23M |
| Medtronic PLC | 1.02% | $6.98M |
| Middleby Corp/The | 1.01% | $6.93M |
| CNO Financial Group Inc | 0.97% | $6.64M |
| Verizon Communications Inc | 0.96% | $6.61M |
| Voya Financial Inc | 0.95% | $6.53M |
| Southwest Airlines Co | 0.92% | $6.35M |
| Equinix Inc | 0.89% | $6.13M |
| Archer-Daniels-Midland Co | 0.88% | $6.03M |
| Zions Bancorp NA | 0.86% | $5.88M |
| Concho Resources Inc | 0.85% | $5.86M |
| Amdocs Ltd | 0.85% | $5.83M |
| Duke Energy Corp | 0.85% | $5.82M |
| Sanwa Holdings Corp | 0.84% | $5.78M |
| Micron Technology Inc | 0.82% | $5.65M |
| Compass Group PLC | 0.82% | $5.62M |
| RBS Securities, Inc. | 0.81% | $5.60M |
| Las Vegas Sands Corp | 0.81% | $5.58M |
| Electronic Arts Inc | 0.81% | $5.57M |
| Crh PLC | 0.80% | $5.53M |
| AstraZeneca PLC | 0.80% | $5.52M |
| Coherent Inc | 0.80% | $5.52M |
| Bank OZK | 0.79% | $5.42M |
| Camden Property Trust | 0.77% | $5.28M |
| Global Payments Inc | 0.77% | $5.27M |
| Consolidated Edison Inc | 0.77% | $5.27M |
| Vanguard Cmt Funds-Vanguard Market Liquidity Fund | 0.75% | $5.19M |
| Expedia Group Inc | 0.73% | $5.03M |
| Diamondback Energy Inc | 0.73% | $5.02M |
| SLM Corp | 0.71% | $4.87M |
| A O Smith Corp | 0.71% | $4.86M |
| Match Group Inc | 0.70% | $4.84M |
| Anthem Inc | 0.69% | $4.73M |
| Equitable Holdings Inc | 0.67% | $4.58M |
| Steven Madden Ltd | 0.63% | $4.34M |
| London Stock Exchange Group PLC | 0.61% | $4.21M |
| Bristol-Myers Squibb Co | 0.60% | $4.10M |
| Pinnacle West Capital Corp | 0.58% | $4.01M |
| Pentair PLC | 0.58% | $4.01M |
| Western Digital Corp | 0.56% | $3.83M |
| Eli Lilly and Co | 0.50% | $3.42M |
| Regeneron Pharmaceuticals Inc | 0.49% | $3.40M |
| Herman Miller Inc | 0.46% | $3.14M |
| Unum Group | 0.45% | $3.08M |
| Airbus SE | 0.43% | $2.99M |
| Nutrien Ltd | 0.42% | $2.90M |
| Halliburton Co | 0.42% | $2.89M |
| Tenaris SA | 0.42% | $2.89M |
| Atlantic Union Bankshares Corp | 0.33% | $2.28M |
| American Tower Corp | 0.31% | $2.11M |
| Unknown | 0.09% | $642.37K |
| Unknown | 0.00% | $8.03K |
| Qorvo Inc | 0.00% | $111 |
C000007885 overview: performance, fees, allocation and SEC filings