NPORT-EX 2 vg_strategicsmcapequity.htm
Vanguard® Strategic Small-Cap Equity Fund
Schedule of Investments (unaudited)
As of December 31, 2023
The fund files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) for the first and third quarters of each fiscal year as an exhibit to its reports on Form N-PORT. The fund’s Form N-PORT reports are available on the SEC’s website at www.sec.gov.
    Shares Market
Value
($000)
Common Stocks (99.4%)
Communication Services (2.5%)
* Yelp Inc. 182,452 8,637
* TripAdvisor Inc. 205,953 4,434
  Iridium Communications Inc. 104,532 4,303
* ZipRecruiter Inc. Class A 296,954 4,128
* Clear Channel Outdoor Holdings Inc. 1,479,419 2,693
  Telephone and Data Systems Inc. 125,506 2,303
* Bandwidth Inc. Class A 156,419 2,263
* Vimeo Inc. 414,935 1,627
* Playtika Holding Corp. 174,223 1,519
* Cinemark Holdings Inc. 79,185 1,116
* Bumble Inc. Class A 70,215 1,035
* Lumen Technologies Inc. 506,955 928
* iHeartMedia Inc. Class A 270,942 723
* EchoStar Corp. Class A 32,436 537
* fuboTV Inc. 151,251 481
* Eventbrite Inc. Class A 42,309 354
* TechTarget Inc. 8,648 301
* Cardlytics Inc. 29,896 275
*,1 Skillz Inc. 39,070 244
      37,901
Consumer Discretionary (13.8%)
  Toll Brothers Inc. 109,211 11,226
  Boyd Gaming Corp. 141,651 8,869
* Taylor Morrison Home Corp. 164,564 8,779
* AutoNation Inc. 57,524 8,639
  KB Home 138,148 8,629
* M/I Homes Inc. 62,234 8,572
* Beazer Homes USA Inc. 251,937 8,513
  Perdoceo Education Corp. 433,979 7,621
  PVH Corp. 58,191 7,106
* Tri Pointe Homes Inc. 194,806 6,896
  Murphy USA Inc. 17,515 6,245
* Abercrombie & Fitch Co. Class A 66,144 5,835
* frontdoor Inc. 157,184 5,536
  Harley-Davidson Inc. 148,065 5,455
  Texas Roadhouse Inc. 42,690 5,218
* Everi Holdings Inc. 451,715 5,091
  Buckle Inc. 98,242 4,668
* Adient plc 125,857 4,576
  Travel & Leisure Co. 114,714 4,484
* Playa Hotels & Resorts NV 484,470 4,191
* Qurate Retail Inc. Series A 4,668,856 4,087

    Shares Market
Value
($000)
* Dave & Buster's Entertainment Inc. 68,670 3,698
  Macy's Inc. 167,477 3,370
* Cavco Industries Inc. 8,773 3,041
* Modine Manufacturing Co. 50,430 3,011
* Shake Shack Inc. Class A 40,253 2,983
* Grand Canyon Education Inc. 20,485 2,705
* Green Brick Partners Inc. 51,257 2,662
  Upbound Group Inc. 70,711 2,402
* Sally Beauty Holdings Inc. 169,437 2,250
  Dana Inc. 127,196 1,858
  Wingstop Inc. 7,121 1,827
* Carvana Co. 33,998 1,800
  Standard Motor Products Inc. 45,079 1,795
* Brinker International Inc. 41,382 1,787
* G-III Apparel Group Ltd. 50,759 1,725
* Malibu Boats Inc. Class A 31,443 1,724
* Visteon Corp. 13,737 1,716
* American Axle & Manufacturing Holdings Inc. 185,904 1,638
  Gap Inc. 74,411 1,556
* MasterCraft Boat Holdings Inc. 66,848 1,513
* Urban Outfitters Inc. 41,586 1,484
  Patrick Industries Inc. 14,627 1,468
  Monarch Casino & Resort Inc. 18,701 1,293
* Goodyear Tire & Rubber Co. 87,517 1,253
  Movado Group Inc. 40,751 1,229
* Coursera Inc. 61,968 1,200
* ODP Corp. 20,959 1,180
* SeaWorld Entertainment Inc. 22,285 1,177
  Jack in the Box Inc. 13,169 1,075
* Stride Inc. 17,446 1,036
  Phinia Inc. 31,672 959
* BJ's Restaurants Inc. 25,767 928
* Skyline Champion Corp. 9,723 722
  Wolverine World Wide Inc. 74,291 660
  Carriage Services Inc. 23,086 577
* Chegg Inc. 35,212 400
* Warby Parker Inc. Class A 27,064 382
  Dine Brands Global Inc. 7,485 372
  Worthington Industries Inc. 5,990 345
* Valvoline Inc. 8,455 318
* Stitch Fix Inc. Class A 79,598 284
* Chuy's Holdings Inc. 7,210 276
* 2U Inc. 215,859 265
* Accel Entertainment Inc. 23,433 241
      204,421
Consumer Staples (3.4%)
  Coca-Cola Consolidated Inc. 12,832 11,913
  Energizer Holdings Inc. 136,748 4,332
  John B Sanfilippo & Son Inc. 35,131 3,620
  PriceSmart Inc. 43,543 3,300
* Simply Good Foods Co. 78,410 3,105
  Ingles Markets Inc. Class A 32,575 2,813
* Post Holdings Inc. 29,140 2,566
  Vector Group Ltd. 216,133 2,438
* USANA Health Sciences Inc. 44,140 2,366
  SpartanNash Co. 96,609 2,217
  Medifast Inc. 28,374 1,907
  Turning Point Brands Inc. 69,821 1,838

    Shares Market
Value
($000)
  Flowers Foods Inc. 70,747 1,593
* elf Beauty Inc. 7,891 1,139
* BellRing Brands Inc. 19,568 1,085
  Fresh Del Monte Produce Inc. 41,040 1,077
* Olaplex Holdings Inc. 271,566 690
  WK Kellogg Co. 49,695 653
* Hain Celestial Group Inc. 59,276 649
* Herbalife Ltd. 25,491 389
* Duckhorn Portfolio Inc. 20,254 199
      49,889
Energy (5.0%)
* Par Pacific Holdings Inc. 194,011 7,056
  SM Energy Co. 178,518 6,912
  Helmerich & Payne Inc. 185,414 6,716
  Viper Energy Inc. 212,066 6,655
  Murphy Oil Corp. 108,711 4,638
  Equitrans Midstream Corp. 418,570 4,261
* Oceaneering International Inc. 196,235 4,176
  Liberty Energy Inc. 224,463 4,072
  International Seaways Inc. 78,788 3,583
  NOV Inc. 175,002 3,549
* US Silica Holdings Inc. 275,171 3,112
  PBF Energy Inc. Class A 60,702 2,668
  Marathon Oil Corp. 96,753 2,338
  Dorian LPG Ltd. 47,011 2,062
  Select Water Solutions Inc. 210,916 1,601
* Weatherford International plc 16,096 1,575
  Vitesse Energy Inc. 71,102 1,556
  Berry Corp. 197,674 1,390
  World Kinect Corp. 50,107 1,141
* DMC Global Inc. 52,349 985
* Plains GP Holdings LP Class A 47,975 765
  Delek US Holdings Inc. 23,238 600
* REX American Resources Corp. 12,291 581
  CONSOL Energy Inc. 5,118 515
* Nabors Industries Ltd. (XNYS) 5,861 478
* ProPetro Holding Corp. 51,087 428
  Archrock Inc. 26,141 403
* Expro Group Holdings NV 11,660 186
      74,002
Financials (17.2%)
  MGIC Investment Corp. 550,887 10,627
  Essent Group Ltd. 194,241 10,244
  Affiliated Managers Group Inc. 67,577 10,232
  Popular Inc. 118,137 9,695
  OFG Bancorp 251,242 9,417
  CNO Financial Group Inc. 335,867 9,371
  SLM Corp. 475,060 9,083
  FNB Corp. 640,310 8,817
  Stifel Financial Corp. 126,312 8,734
  Axis Capital Holdings Ltd. 150,702 8,344
  Synovus Financial Corp. 211,708 7,971
  Pathward Financial Inc. 126,740 6,708
  Unum Group 148,187 6,701
  International Bancshares Corp. 113,033 6,140
  Hancock Whitney Corp. 125,201 6,084
* NMI Holdings Inc. Class A 200,028 5,937

    Shares Market
Value
($000)
  Banner Corp. 106,234 5,690
* Affirm Holdings Inc. 112,147 5,511
* Genworth Financial Inc. Class A 778,670 5,201
  Westamerica BanCorp 88,821 5,010
* Mr Cooper Group Inc. 74,178 4,830
  BOK Financial Corp. 51,156 4,381
  Columbia Banking System Inc. 163,861 4,372
* PROG Holdings Inc. 112,771 3,486
* LendingTree Inc. 108,844 3,300
  S&T Bancorp Inc. 98,734 3,300
  Jackson Financial Inc. Class A 63,371 3,245
  Virtu Financial Inc. Class A 153,257 3,105
* Marqeta Inc. Class A 440,227 3,073
  First Financial Corp. 69,762 3,002
  First BanCorp (XNYS) 179,524 2,953
* AvidXchange Holdings Inc. 233,528 2,893
  Heartland Financial USA Inc. 69,870 2,628
  Central Pacific Financial Corp. 130,084 2,560
  New York Community Bancorp Inc. 245,116 2,508
  BankUnited Inc. 75,249 2,440
  Employers Holdings Inc. 61,825 2,436
  Old Republic International Corp. 82,766 2,433
  Radian Group Inc. 83,951 2,397
  James River Group Holdings Ltd. 251,936 2,328
  First Merchants Corp. 62,130 2,304
  Virtus Investment Partners Inc. 9,002 2,176
* Palomar Holdings Inc. 39,191 2,175
* Enova International Inc. 35,347 1,957
* Customers Bancorp Inc. 32,960 1,899
  First Financial Bancorp 78,077 1,854
  Federated Hermes Inc. 53,021 1,795
  Victory Capital Holdings Inc. Class A 50,228 1,730
* International Money Express Inc. 77,859 1,720
  Wintrust Financial Corp. 17,881 1,658
  OceanFirst Financial Corp. 83,358 1,447
  Horizon Bancorp Inc. 92,315 1,321
  Byline Bancorp Inc. 54,369 1,281
  WesBanco Inc. 38,480 1,207
  Berkshire Hills Bancorp Inc. 44,668 1,109
  Navient Corp. 50,071 932
  Janus Henderson Group plc 27,041 815
  Hilltop Holdings Inc. 22,880 806
  Simmons First National Corp. Class A 39,966 793
  Veritex Holdings Inc. 33,561 781
  Towne Bank 25,255 752
* Shift4 Payments Inc. Class A 9,106 677
* Enstar Group Ltd. 2,251 663
* LendingClub Corp. 71,931 629
  Heritage Financial Corp. 26,642 570
  Brightsphere Investment Group Inc. 29,205 560
* Open Lending Corp. Class A 65,282 556
  1st Source Corp. 9,199 505
* Green Dot Corp. Class A 46,317 459
* SiriusPoint Ltd. 34,239 397
  Heritage Commerce Corp. 39,900 396
  WSFS Financial Corp. 8,488 390
  First American Financial Corp. 5,900 380
  TrustCo Bank Corp. NY 11,695 363

    Shares Market
Value
($000)
* StoneX Group Inc. 4,804 355
  Hanmi Financial Corp. 16,111 313
* Cannae Holdings Inc. 14,647 286
      255,198
Health Care (13.6%)
* Tenet Healthcare Corp. 147,219 11,125
* Medpace Holdings Inc. 30,827 9,449
* Ultragenyx Pharmaceutical Inc. 184,468 8,821
* Alkermes plc 275,986 7,656
  Bruker Corp. 96,426 7,085
* Ionis Pharmaceuticals Inc. 138,886 7,026
*,1 Altimmune Inc. 622,194 7,000
* Option Care Health Inc. 206,020 6,941
* CorVel Corp. 26,200 6,477
* Teladoc Health Inc. 290,614 6,263
* Merit Medical Systems Inc. 77,640 5,898
* PTC Therapeutics Inc. 183,543 5,058
* Fate Therapeutics Inc. 1,231,667 4,606
* ACADIA Pharmaceuticals Inc. 144,783 4,533
* Exelixis Inc. 162,188 3,891
* Veradigm Inc. 368,620 3,867
* Health Catalyst Inc. 348,202 3,224
  HealthStream Inc. 109,311 2,955
* PetIQ Inc. 148,987 2,943
* Inspire Medical Systems Inc. 14,376 2,925
  Perrigo Co. plc 89,305 2,874
* 2seventy bio Inc. 583,671 2,492
* Addus HomeCare Corp. 26,431 2,454
  Premier Inc. Class A 108,704 2,431
* Enanta Pharmaceuticals Inc. 230,918 2,173
* Omnicell Inc. 57,548 2,166
* Zimvie Inc. 121,598 2,158
* Coherus Biosciences Inc. 635,202 2,115
* Phreesia Inc. 88,299 2,044
* GoodRx Holdings Inc. Class A 296,132 1,984
* MiMedx Group Inc. 221,065 1,939
* Haemonetics Corp. 22,530 1,927
* OraSure Technologies Inc. 232,457 1,906
* Ironwood Pharmaceuticals Inc. 164,577 1,883
*,1 Inovio Pharmaceuticals Inc. 3,657,265 1,865
* Natera Inc. 29,190 1,828
* Travere Therapeutics Inc. 202,674 1,822
* Axonics Inc. 26,232 1,632
* Vir Biotechnology Inc. 159,624 1,606
* Avanos Medical Inc. 71,224 1,598
* Nevro Corp. 72,420 1,558
* AtriCure Inc. 43,637 1,557
* Alector Inc. 185,327 1,479
* MacroGenics Inc. 153,015 1,472
*,1 Novavax Inc. 299,779 1,439
* FibroGen Inc. 1,595,237 1,414
* Integra LifeSciences Holdings Corp. 30,168 1,314
* Agenus Inc. 1,577,724 1,306
* CareDx Inc. 101,006 1,212
* BioCryst Pharmaceuticals Inc. 194,172 1,163
* Sangamo Therapeutics Inc. 2,027,619 1,102
* Vanda Pharmaceuticals Inc. 248,672 1,049
* LivaNova plc 20,235 1,047

    Shares Market
Value
($000)
* Puma Biotechnology Inc. 227,827 986
* Y-mAbs Therapeutics Inc. 143,155 976
* Pediatrix Medical Group Inc. 104,833 975
* uniQure NV 140,877 954
  Select Medical Holdings Corp. 40,330 948
* Quanterix Corp. 34,000 930
* CytomX Therapeutics Inc. 555,119 860
* Community Health Systems Inc. 271,266 849
* ANI Pharmaceuticals Inc. 14,611 806
* Arvinas Inc. 19,365 797
* Pennant Group Inc. 56,775 790
* Ventyx Biosciences Inc. 305,070 754
* Aclaris Therapeutics Inc. 706,504 742
* Deciphera Pharmaceuticals Inc. 44,898 724
* SI-BONE Inc. 33,380 701
* Nurix Therapeutics Inc. 65,684 678
* Arrowhead Pharmaceuticals Inc. 21,594 661
* Inogen Inc. 113,916 625
* Inhibrx Inc. 16,176 615
* Aldeyra Therapeutics Inc. 168,058 590
* Codexis Inc. 179,066 546
* Emergent BioSolutions Inc. 222,996 535
* Twist Bioscience Corp. 14,063 518
* Intra-Cellular Therapies Inc. 7,204 516
  Chemed Corp. 850 497
*,1 NanoString Technologies Inc. 645,601 483
* Heron Therapeutics Inc. 277,836 472
* Editas Medicine Inc. 43,327 439
* Nektar Therapeutics 763,309 431
* Amneal Pharmaceuticals Inc. 69,393 421
* AngioDynamics Inc. 51,850 407
* Pulmonx Corp. 31,362 400
* Hims & Hers Health Inc. 41,650 371
* iRhythm Technologies Inc. 3,429 367
* Morphic Holding Inc. 11,903 344
* Surmodics Inc. 7,625 277
* STAAR Surgical Co. 8,657 270
* NGM Biopharmaceuticals Inc. 302,301 260
* Supernus Pharmaceuticals Inc. 8,798 255
* Agios Pharmaceuticals Inc. 10,867 242
* Joint Corp. 22,122 213
* Atara Biotherapeutics Inc. 404,425 207
*,1 Vaxart Inc. 361,973 207
* Computer Programs and Systems Inc. 18,021 202
* Atea Pharmaceuticals Inc. 64,273 196
* Precision BioSciences Inc. 500,660 183
* Assembly Biosciences Inc. 212,676 174
* Mural Oncology plc 27,598 163
* Scilex Holding Co. (XNCM) 74,374 152
* Cara Therapeutics Inc. 172,765 128
      201,589
Industrials (18.6%)
* GMS Inc. 129,902 10,708
  Ryder System Inc. 88,589 10,193
  Griffon Corp. 161,066 9,817
  Applied Industrial Technologies Inc. 55,524 9,588
  Allison Transmission Holdings Inc. 164,266 9,552
* Beacon Roofing Supply Inc. 105,231 9,157

    Shares Market
Value
($000)
* Upwork Inc. 528,100 7,853
  Watts Water Technologies Inc. Class A 36,886 7,685
  EMCOR Group Inc. 35,482 7,644
  H&E Equipment Services Inc. 139,969 7,323
  Apogee Enterprises Inc. 133,569 7,134
  UFP Industries Inc. 56,425 7,084
  Terex Corp. 112,577 6,469
* Kirby Corp. 81,021 6,359
* Atkore Inc. 35,413 5,666
* Legalzoom.com Inc. 491,899 5,558
* ExlService Holdings Inc. 175,685 5,420
  Brady Corp. Class A 90,258 5,297
* JELD-WEN Holding Inc. 273,342 5,161
  Ennis Inc. 224,288 4,914
* Manitowoc Co. Inc. 292,662 4,885
* American Woodmark Corp. 50,445 4,684
  Alamo Group Inc. 22,103 4,646
  Acuity Brands Inc. 19,465 3,987
  Steelcase Inc. Class A 282,003 3,813
  Comfort Systems USA Inc. 17,750 3,651
* Masterbrand Inc. 244,237 3,627
* Cimpress plc 45,129 3,613
  Valmont Industries Inc. 14,871 3,473
* MRC Global Inc. 308,280 3,394
  Heidrick & Struggles International Inc. 114,094 3,369
  Curtiss-Wright Corp. 14,565 3,245
* Sterling Infrastructure Inc. 35,942 3,160
  Herc Holdings Inc. 20,770 3,092
* Alaska Air Group Inc. 75,492 2,949
* Thermon Group Holdings Inc. 90,032 2,932
* SkyWest Inc. 55,590 2,902
  EnerSys 27,204 2,746
  Arcosa Inc. 32,524 2,688
  AGCO Corp. 21,834 2,651
* NOW Inc. 227,944 2,580
  Flowserve Corp. 61,036 2,516
* Hub Group Inc. Class A 26,645 2,450
  Brink's Co. 27,293 2,400
  Vertiv Holdings Co. Class A 49,693 2,387
  Wabash National Corp. 90,866 2,328
  Dun & Bradstreet Holdings Inc. 194,546 2,276
  Enerpac Tool Group Corp. 71,613 2,226
* Huron Consulting Group Inc. 21,257 2,185
* Enviri Corp. 236,949 2,133
  ManpowerGroup Inc. 23,194 1,843
  Interface Inc. 130,013 1,641
  Powell Industries Inc. 18,505 1,636
* MYR Group Inc. 11,211 1,621
  Marten Transport Ltd. 75,991 1,594
* Liquidity Services Inc. 87,884 1,512
* DXP Enterprises Inc. 44,791 1,509
  Air Lease Corp. 35,742 1,499
  ACCO Brands Corp. 236,170 1,436
  Woodward Inc. 10,166 1,384
  Hyster-Yale Materials Handling Inc. 21,848 1,359
  Boise Cascade Co. 9,840 1,273
* Masonite International Corp. 14,274 1,208
  Allegiant Travel Co. 14,215 1,174

    Shares Market
Value
($000)
* Gates Industrial Corp. plc 87,187 1,170
* Gibraltar Industries Inc. 14,365 1,135
* Forrester Research Inc. 40,497 1,086
  Standex International Corp. 6,427 1,018
* TrueBlue Inc. 66,078 1,014
  Franklin Electric Co. Inc. 9,085 878
  Tennant Co. 8,674 804
* Core & Main Inc. Class A 19,726 797
  CSG Systems International Inc. 13,898 739
* TaskUS Inc. Class A 53,062 694
* SPX Technologies Inc. 6,654 672
  nVent Electric plc 9,193 543
* Sun Country Airlines Holdings Inc. 32,033 504
* Blue Bird Corp. 15,429 416
  Resources Connection Inc. 28,836 409
  Columbus McKinnon Corp. 9,876 385
  TTEC Holdings Inc. 16,189 351
* OPENLANE Inc. 22,870 339
* Janus International Group Inc. 24,521 320
  WESCO International Inc. 1,716 298
  Encore Wire Corp. 1,324 283
* Proto Labs Inc. 6,970 272
      276,386
Information Technology (11.5%)
* Blackline Inc. 129,951 8,114
* SMART Global Holdings Inc. 415,071 7,857
* Cirrus Logic Inc. 89,326 7,431
* Pure Storage Inc. Class A 192,733 6,873
* CommVault Systems Inc. 85,754 6,847
* Manhattan Associates Inc. 27,907 6,009
* RingCentral Inc. Class A 169,617 5,758
* CommScope Holding Co. Inc. 1,999,354 5,638
* MaxLinear Inc. 206,292 4,904
* BigCommerce Holdings Inc. Series 1 493,855 4,805
* Rapid7 Inc. 80,442 4,593
* Q2 Holdings Inc. 98,975 4,296
* Nutanix Inc. Class A 84,785 4,043
* Domo Inc. Class B 387,951 3,992
* NETGEAR Inc. 272,875 3,979
* Itron Inc. 51,051 3,855
* Sanmina Corp. 71,384 3,667
* Zuora Inc. Class A 385,399 3,623
  Pegasystems Inc. 73,242 3,579
* Kyndryl Holdings Inc. 160,148 3,328
* LiveRamp Holdings Inc. 81,836 3,100
  Amkor Technology Inc. 91,380 3,040
* Diodes Inc. 37,552 3,024
* Arlo Technologies Inc. 309,354 2,945
* ePlus Inc. 36,091 2,882
* Teradata Corp. 63,536 2,764
* Everbridge Inc. 112,650 2,739
* ACM Research Inc. Class A 128,634 2,514
* Yext Inc. 421,783 2,484
  Benchmark Electronics Inc. 79,054 2,185
* ScanSource Inc. 55,008 2,179
* FARO Technologies Inc. 96,356 2,171
* Infinera Corp. 436,203 2,072
* Unisys Corp. 357,304 2,008

    Shares Market
Value
($000)
* Smartsheet Inc. Class A 39,218 1,875
* Axcelis Technologies Inc. 13,995 1,815
  Xerox Holdings Corp. 98,705 1,809
* TTM Technologies Inc. 106,505 1,684
* Fabrinet 8,704 1,657
* LivePerson Inc. 411,480 1,560
* PDF Solutions Inc. 42,703 1,372
  Jabil Inc. 10,356 1,319
* Tenable Holdings Inc. 27,554 1,269
* Weave Communications Inc. 103,654 1,189
* Magnachip Semiconductor Corp. 132,842 996
* Cohu Inc. 25,946 918
* Ultra Clean Holdings Inc. 26,136 892
* Olo Inc. Class A 143,144 819
* Upland Software Inc. 182,511 772
* Ribbon Communications Inc. 259,000 751
* nLight Inc. 54,922 741
* Marathon Digital Holdings Inc. 30,172 709
* CS Disco Inc. 92,165 700
* Synaptics Inc. 4,946 564
* SecureWorks Corp. Class A 76,277 563
* Xperi Inc. 50,448 556
* Ouster Inc. 72,467 556
* NetScout Systems Inc. 24,807 545
* Alpha & Omega Semiconductor Ltd. 20,729 540
* Squarespace Inc. Class A 15,694 518
  A10 Networks Inc. 38,434 506
* FormFactor Inc. 11,371 474
  ON24 Inc. 57,424 452
  PC Connection Inc. 6,356 427
  Napco Security Technologies Inc. 12,047 413
* Semtech Corp. 17,427 382
* Aeva Technologies Inc. 444,352 337
* 8x8 Inc. 88,280 334
  Avnet Inc. 5,912 298
* OneSpan Inc. 27,516 295
* CEVA Inc. 11,962 272
* Brightcove Inc. 86,508 224
* Digital Turbine Inc. 30,419 209
* Sprinklr Inc. Class A 16,588 200
      170,810
Materials (4.8%)
  Eagle Materials Inc. 57,810 11,726
  Commercial Metals Co. 164,587 8,236
  SunCoke Energy Inc. 709,819 7,624
  Ryerson Holding Corp. 152,829 5,300
  Warrior Met Coal Inc. 81,469 4,967
* Axalta Coating Systems Ltd. 130,542 4,435
  Chemours Co. 127,485 4,021
  Innospec Inc. 27,599 3,401
  AdvanSix Inc. 97,862 2,932
  NewMarket Corp. 4,918 2,684
* Ecovyst Inc. 274,038 2,677
  Koppers Holdings Inc. 47,223 2,419
  Trinseo plc 252,664 2,115
  Carpenter Technology Corp. 20,407 1,445
* O-I Glass Inc. 66,480 1,089
  TriMas Corp. 41,348 1,047

    Shares Market
Value
($000)
  Myers Industries Inc. 53,067 1,038
  Greif Inc. Class A 15,302 1,004
  Hawkins Inc. 9,500 669
  Materion Corp. 4,537 590
  Schnitzer Steel Industries Inc. Class A 18,037 544
  Sonoco Products Co. 8,262 462
  Orion SA 12,861 357
  Element Solutions Inc. 14,754 341
* Worthington Steel Inc. 11,046 310
* LSB Industries Inc. 30,847 287
      71,720
Real Estate (6.6%)
  Cousins Properties Inc. 393,237 9,575
  Park Hotels & Resorts Inc. 621,765 9,513
  Brixmor Property Group Inc. 408,254 9,500
  RLJ Lodging Trust 794,233 9,308
  Kilroy Realty Corp. 182,876 7,286
  Kite Realty Group Trust 289,563 6,619
  American Assets Trust Inc. 184,841 4,161
  EPR Properties 83,785 4,059
* Opendoor Technologies Inc. 768,893 3,445
* Forestar Group Inc. 95,288 3,151
  Universal Health Realty Income Trust 71,461 3,091
  DiamondRock Hospitality Co. 304,183 2,856
  Xenia Hotels & Resorts Inc. 172,249 2,346
* Redfin Corp. 221,146 2,282
  Acadia Realty Trust 123,404 2,097
  Highwoods Properties Inc. 66,515 1,527
  Armada Hoffler Properties Inc. 113,473 1,404
  RE/MAX Holdings Inc. Class A 94,859 1,264
  Summit Hotel Properties Inc. 172,525 1,159
  Chatham Lodging Trust 106,553 1,142
  Vornado Realty Trust 39,976 1,129
  Broadstone Net Lease Inc. 63,701 1,097
  Equity Commonwealth 56,126 1,078
* Anywhere Real Estate Inc. 130,082 1,055
  Piedmont Office Realty Trust Inc. Class A 140,387 998
  Alexander & Baldwin Inc. 52,436 997
  SITE Centers Corp. 66,726 910
  Newmark Group Inc. Class A 77,615 851
  One Liberty Properties Inc. 37,488 821
  Plymouth Industrial REIT Inc. 30,650 738
* Compass Inc. Class A 180,724 680
  Tanger Inc. 23,810 660
  Elme Communities 33,272 486
  Brandywine Realty Trust 88,800 480
  LXP Industrial Trust 38,288 380
  Paramount Group Inc. 70,905 367
      98,512
Utilities (2.4%)
  National Fuel Gas Co. 171,179 8,588
  Black Hills Corp. 154,873 8,355
  New Jersey Resources Corp. 128,500 5,729
  ALLETE Inc. 89,338 5,464
  Unitil Corp. 83,684 4,399
  MGE Energy Inc. 21,977 1,589

    Shares Market
Value
($000)
  Avista Corp. 31,948 1,142
      35,266
Total Common Stocks (Cost $1,252,921) 1,475,694
Temporary Cash Investments (1.0%)
Money Market Fund (1.0%)
2,3 Vanguard Market Liquidity Fund, 5.435% (Cost$14,275) 142,781 14,275
Total Investments (100.4%) (Cost $1,267,196) 1,489,969
Other Assets and Liabilities—Net (-0.4%) (5,586)
Net Assets (100%) 1,484,383
Cost is in $000.
* Non-income-producing security.
1 Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $5,442,000.
2 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
3 Collateral of $6,187,000 was received for securities on loan.
  REIT—Real Estate Investment Trust.

Derivative Financial Instruments Outstanding as of Period End

Futures Contracts
      ($000)
  Expiration Number of
Long (Short)
Contracts
Notional
Amount
Value and
Unrealized
Appreciation
(Depreciation)
Long Futures Contracts        
E-mini Russell 2000 Index March 2024 80 8,191 130
A. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Equity securities are valued at the latest quoted sales prices or official closing prices taken from the primary market in which each security trades; such securities not traded on the valuation date are valued at the mean of the latest quoted bid and asked prices. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued by methods deemed by the valuation designee to represent fair value and subject to oversight by the board of trustees. Investments in Vanguard Market Liquidity Fund are valued at that fund's net asset value. 
B. Futures Contracts: The fund uses index futures contracts to a limited extent, with the objective of maintaining full exposure to the stock market while maintaining liquidity. The fund may purchase or sell futures contracts to achieve a desired level of investment, whether to accommodate portfolio turnover or cash flows from capital share transactions. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of stocks held by the fund and the prices of futures contracts, and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract. Any securities pledged as initial margin for open contracts are noted in the Schedule of Investments.

Futures contracts are valued at their quoted daily settlement prices. Fluctuations in the value of the contracts are recorded as an asset (liability).
C.  Various inputs may be used to determine the value of the fund’s investments and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
At December 31, 2023, 100% of the market value of the fund’s investments and derivatives was determined based on Level 1 inputs.