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Institutional Investment Manager
VANGUARD GROUP INC
VANGUARD GROUP INC (CIK: 0000102909) incorporated in Pennsylvania, located at 100 Vanguard Blvd, Malvern, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 4,079 holdings with a total value of $1,792,632,770,000.
#
Name
Shares
Value ($)
%
Options
Notes
301 GEORGETOWN BANCORP INC MD 15,051 389,000 0.00%
302 NOBILIS HEALTH CORP COM 187,927 394,000 0.00%
303 GORDMANS STORES INC 577,044 395,000 0.00%
304 GENERAL FIN CORP DEL 71,538 397,000 0.00%
305 AETHLON MED INC 94,890 398,000 0.00%
306 CASI PHARMACEUTICALS INC COM 346,177 398,000 0.00%
307 HUDSON GLOBAL INC 294,662 401,000 0.00%
308 UQM TECHNOLOGIES INC COM 934,771 402,000 0.00%
309 GRUPO FINANCIERO SANTANDER MEX SPON ADR SHS B 56,886 409,000 0.00%
310 ELECTROMED INC 107,560 417,000 0.00%
311 ORBOTECH LTD 12,568 420,000 0.00%
312 CYTORI THERAPEUTICS INC 280,703 424,000 0.00%
313 VANGUARD S&P MID-CAP 400 GROWTH ETF 3,788 424,000 0.00%
314 BEBE STORES INC 83,474 425,000 0.00%
315 Community Financial Corp/The 15,354 426,000 0.00%
316 Vanguard S&P Mid-Cap 400 Value Index ETF 3,892 429,000 0.00%
317 DLH HLDGS CORP 72,062 429,000 0.00%
318 Yuma Energy Inc 126,695 430,000 0.00%
319 SYROS PHARMACEUTICALS INC 35,367 430,000 0.00%
320 WECAST NETWORK INC 350,761 431,000 0.00%
321 InterOil Corp 9,100 433,000 0.00%
322 DORIAN LPG LTD 52,708 433,000 0.00%
323 GTX INC DEL COM NEW 82,825 437,000 0.00%
324 SPARK NETWORKS INC 530,834 446,000 0.00%
325 EVOKE PHARMA INC 220,943 447,000 0.00%
326 CONNECTURE INC 266,750 448,000 0.00%
327 RAND LOGISTICS INC 540,043 449,000 0.00%
328 Nivalis Therapeutics Inc 200,904 450,000 0.00%
329 TWO RIV BANCORP COM 30,251 451,000 0.00%
330 RGC RES INC 18,336 462,000 0.00%
331 IDEAL PWR INC 140,096 462,000 0.00%
332 WINS FIN HLDGS INC 2,570 463,000 0.00%
333 WILLAMETTE VY VINEYARD INC 57,895 464,000 0.00%
334 VANGUARD WORLD FDS 3,468 465,000 0.00%
335 IMATION CORP 567,617 465,000 0.00%
336 CYCLACEL PHARMACEUTICALS INC 88,191 467,000 0.00%
337 VICAL INCORPORATED COM NEW 204,993 471,000 0.00%
338 EMERSON RADIO CORP NEW 3/94 454,454 477,000 0.00%
339 CHINA BIOLOGIC PRODS INC 4,517 486,000 0.00%
340 Echelon Corp 103,554 487,000 0.00%
341 ONVIA INC 109,561 488,000 0.00%
342 BEL FUSE INC 19,276 488,000 0.00%
343 DIVERSICARE HEALTHCARE SVCS 47,293 492,000 0.00%
344 CAPSTAR FINL HLDGS INC COM 22,392 492,000 0.00%
345 PERNIX THERAPEUTICS HLDGS IN 255,559 496,000 0.00%
346 ALBIREO PHARMA INC 28,465 505,000 0.00%
347 AMREP CORP NEW 68,688 509,000 0.00%
348 IMPRIMIS PHARMACEUTICALS INC 204,872 512,000 0.00%
349 CYBERARK SOFTWARE LTD 11,305 514,000 0.00%
350 GALECTIN THERAPEUTICS INC COM 526,841 516,000 0.00%
Page 7 of 82

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-17-002379, filed 2017.02.14).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.