N-CSRS 1 tm2026383d1-ncsrs.htm N-CSRS

 

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, 2020—June 30, 2020

 

 

 

 

Item 1: Reports to Shareholders

 

  

 

 

 

 

 

 
 
 
Semiannual Report  | June 30, 2020
 
 
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

 

 

About Your Fund’s Expenses 1
   
Financial Statements 4
   
Trustees Approve Advisory Arrangement 27
   
Liquidity Risk Management 29

 

 

 

 

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.

 

1

 

 

Six Months Ended June 30, 2020

 

  Beginning Ending Expenses
  Account Value Account Value Paid During
500 Index Fund 12/31/2019 6/30/2020 Period
Based on Actual Fund Return      
Investor Shares $1,000.00 $968.54 $0.69
ETF Shares 1,000.00 968.81 0.15
Admiral™ Shares 1,000.00 969.04 0.20
Institutional Select Shares 1,000.00 969.16 0.05
Based on Hypothetical 5% Yearly Return      
Investor Shares $1,000.00 $1,024.17 $0.70
ETF Shares 1,000.00 1,024.71 0.15
Admiral Shares 1,000.00 1,024.66 0.20
Institutional Select Shares 1,000.00 1,024.81 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, 0.03% 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 (182/366).

 

2

 

 

500 Index Fund

 

 

 

Fund Allocation

As of June 30, 2020

 

Communication Services 10.8%
Consumer Discretionary 10.8
Consumer Staples 7.0
Energy 2.8
Financials 10.0
Health Care 14.7
Industrials 8.0
Information Technology 27.5
Materials 2.5
Real Estate 2.8
Utilities 3.1

 

The table reflects the fund’s investments, except for short-term investments and derivatives. 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 fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.

 

 

 

 

 

 

 

 

 

 

 

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.

 

3

 

 

 

500 Index Fund

 

 

Financial Statements (unaudited)

 

Schedule of Investments 

As of June 30, 2020

 

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.

 

      Market
      Value
    Shares ($000)
Common Stocks (99.6%)    
Communication Services (10.7%)  
* Facebook Inc. Class A 49,887,347 11,327,920
* Alphabet Inc. Class A 6,193,961 8,783,346
* Alphabet Inc. Class C 6,098,742 8,621,243
  Verizon Communications Inc. 85,850,232 4,732,923
  AT&T Inc. 147,823,080 4,468,692
  Walt Disney Co. 37,474,123 4,178,740
* Netflix Inc. 9,024,514 4,106,515
  Comcast Corp. Class A 94,495,772 3,683,445
* Charter Communications Inc. Class A 3,126,800 1,594,793
* T-Mobile US Inc. 11,825,874 1,231,665
  Activision Blizzard Inc. 15,986,179 1,213,351
* Electronic Arts Inc. 5,990,045 790,985
* Twitter Inc. 16,271,091 484,716
*  Take-Two Interactive Software Inc. 2,364,271 329,981
  ViacomCBS Inc. Class B 11,218,472 261,615
  Omnicom Group Inc. 4,447,817 242,851
  CenturyLink Inc. 20,496,759 205,583
  Fox Corp. Class A 7,075,668 189,769
* DISH Network Corp. Class A 5,337,006 184,180
  Interpublic Group of Cos. Inc. 8,085,217 138,742
*  Live Nation Entertainment Inc. 2,948,051 130,687
* Discovery Inc.Class C 6,624,589 127,590
  News Corp. Class A 10,574,812 125,417
  Fox Corp. Class B 3,334,479 89,497
*,^ Discovery Inc. Class A 3,271,803 69,035
*  T-Mobile US Inc. Rights Exp. 07/27/2020 3,978,016 668
  News Corp. Class B 14,719 176
      57,314,125
Consumer Discretionary (10.8%)  
* Amazon.com Inc. 8,692,438 23,980,872
  Home Depot Inc. 22,314,163 5,589,921
  McDonald’s Corp. 15,426,370 2,845,703
  NIKE Inc. Class B 25,727,259 2,522,558
  Lowe’s Cos. Inc. 15,663,949 2,116,513
  Starbucks Corp. 24,234,302 1,783,402
* Booking Holdings Inc. 849,209 1,352,229
  TJX Cos. Inc. 24,852,312 1,256,533
  Target Corp. 10,373,702 1,244,118
  Dollar General Corp. 5,222,439 994,927
  eBay Inc. 13,703,712 718,760
  General Motors Co. 26,126,368 660,997
* O’Reilly Automotive Inc. 1,539,796 649,286
  Ross Stores Inc. 7,372,962 628,471
Chipotle Mexican Grill Inc Class A 532,248 560,117
* AutoZone Inc. 484,325 546,377
  Yum! Brands Inc. 6,244,074 542,672
  Ford Motor Co. 81,039,082 492,718
  Marriott International Inc. Class A 5,582,855 478,618
* Dollar Tree Inc. 4,920,227 456,007
  Aptiv plc 5,560,684 433,289
  Hilton Worldwide Holdings Inc. 5,751,508 422,448
  Best Buy Co. Inc. 4,714,391 411,425
  VF Corp. 6,614,449 403,085
  DR Horton Inc. 6,866,980 380,774
  Lennar Corp. Class A 5,636,911 347,346
  Las Vegas Sands Corp. 6,973,605 317,578
  Tractor Supply Co. 2,398,406 316,086
*,^ CarMax Inc. 3,376,124 302,332
  Domino’s Pizza Inc. 811,199 299,689
  Garmin Ltd. 3,013,157 293,783
  Tiffany & Co. 2,266,692 276,400
  Genuine Parts Co. 2,994,005 260,359
* Ulta Beauty Inc. 1,167,498 237,492
* NVR Inc. 71,752 233,822
  Expedia Group Inc. 2,808,607 230,868
  Advance Auto Parts Inc. 1,434,050 204,280
  Darden Restaurants Inc. 2,694,093 204,131

 

4

 

 

500 Index Fund    

 

 

      Market
      Value
    Shares ($000)
  Hasbro Inc. 2,644,301 198,190
Royal Caribbean Cruises Ltd. 3,562,821 179,210
  PulteGroup Inc. 5,231,572 178,030
  MGM Resorts International 10,233,301 171,919
  Whirlpool Corp. 1,289,920 167,083
* LKQ Corp. 6,308,005 165,270
^ Carnival Corp. 9,831,125 161,427
  BorgWarner Inc. 4,301,716 151,851
  Wynn Resorts Ltd. 2,014,966 150,095
  Newell Brands Inc. 7,921,211 125,789
* Mohawk Industries Inc. 1,234,122 125,584
  Leggett & Platt Inc. 2,744,711 96,477
*,^ Norwegian Cruise Line Holdings Ltd. 5,318,219 87,378
  Hanesbrands Inc. 7,223,046 81,548
  Tapestry Inc. 5,721,212 75,978
  L Brands Inc. 4,842,068 72,486
  Ralph Lauren Corp. Class A 991,778 71,924
  PVH Corp. 1,472,640 70,760
  Kohl’s Corp. 3,271,975 67,959
^ H&R Block Inc. 3,994,045 57,035
  Gap Inc. 4,424,751 55,840
* Under Armour Inc. Class A 3,950,521 38,478
* Under Armour Inc. Class C 4,028,773 35,614
  Lennar Corp. Class B 76,975 3,548
  Wyndham Hotels & Resorts Inc. 216 9
      57,585,468
Consumer Staples (6.9%)    
  Procter & Gamble Co. 51,363,966 6,141,589
  PepsiCo Inc. 28,786,871 3,807,352
  Coca-Cola Co. 80,195,482 3,583,134
  Walmart Inc. 29,378,757 3,518,988
  Costco Wholesale Corp. 9,160,109 2,777,437
  Philip Morris International Inc. 32,303,856 2,263,208
  Mondelez International Inc. Class A 29,616,372 1,514,285
  Altria Group Inc. 38,553,452 1,513,223
  Colgate-Palmolive Co. 17,771,228 1,301,920
  Kimberly-Clark Corp. 7,065,339 998,686
  Estee Lauder Cos. Inc. Class A 4,662,620 879,743
  General Mills Inc. 12,574,652 775,227
  Walgreens Boots Alliance Inc. 15,286,480 647,994
  Constellation Brands Inc. Class A 3,483,487 609,436
  Sysco Corp. 10,531,173 575,634
  Clorox Co. 2,595,222 569,314
* Monster Beverage Corp. 7,756,970 537,713
  Kroger Co. 15,310,636 518,265
  McCormick & Co. Inc. 2,564,302 460,061
  Archer-Daniels-Midland Co. 11,520,972 459,687
  Kraft Heinz Co. 12,932,737 412,425
  Hershey Co. 3,056,816 396,225
  Church & Dwight Co. Inc. 5,101,710 394,362
  Tyson Foods Inc. Class A 6,103,434 364,436
  Conagra Brands Inc. 10,109,142 355,539
  Kellogg Co. 5,191,407 342,944
  Hormel Foods Corp. 5,816,908 280,782
  J M Smucker Co. 2,367,213 250,475
  Brown-Forman Corp. Class B 3,784,843 240,943
  Lamb Weston Holdings Inc. 3,030,102 193,714
  Campbell Soup Co. 3,511,943 174,298
  Molson Coors Beverage Co. Class B 3,902,677 134,096
  Coty Inc. Class A 6,159,808 27,534
      37,020,669
Energy (2.8%)    
  Exxon Mobil Corp. 87,722,749 3,922,961
  Chevron Corp. 38,734,260 3,456,258
  ConocoPhillips 22,246,940 934,816
  Phillips 66 9,058,722 651,322
  Kinder Morgan Inc. 40,345,444 612,040
  EOG Resources Inc. 12,073,805 611,659
  Schlumberger Ltd. 28,800,946 529,649
  Marathon Petroleum Corp. 13,487,789 504,174
  Valero Energy Corp. 8,457,428 497,466
  Williams Cos. Inc. 25,162,810 478,597
  Occidental Petroleum Corp. 18,675,178 341,756
  Pioneer Natural Resources Co. 3,421,436 334,274
  ONEOK Inc. 9,128,781 303,258
  Hess Corp. 5,417,905 280,702
  Halliburton Co. 18,202,770 236,272
  Concho Resources Inc. 4,078,418 210,039
  Baker Hughes Co. Class A 13,593,276 209,201
  Cabot Oil & Gas Corp. 8,274,174 142,150
  Diamondback Energy Inc. 3,275,757 136,992
  Apache Corp. 7,831,954 105,731

 

5

 

 

500 Index Fund

 

 

      Market
      Value
    Shares ($000)
  Marathon Oil Corp. 16,402,378 100,383
  National Oilwell Varco Inc. 8,055,027 98,674
  HollyFrontier Corp. 3,090,791 90,251
  Devon Energy Corp. 7,941,424 90,056
  Noble Energy Inc. 9,954,236 89,190
  TechnipFMC plc 8,718,414 59,634
      15,027,505
Financials (10.0%)    
* Berkshire Hathaway Inc. Class B 39,484,310 7,048,344
  JPMorgan Chase & Co. 58,917,130 5,541,745
  Bank of America Corp. 159,998,957 3,799,975
  Citigroup Inc. 43,189,216 2,206,969
  Wells Fargo & Co. 77,406,538 1,981,607
  BlackRock Inc. 3,200,585 1,741,406
  S&P Global Inc. 4,998,075 1,646,766
  American Express Co. 13,694,437 1,303,710
  Goldman Sachs Group Inc. 6,420,827 1,268,884
  CME Group Inc. 7,439,168 1,209,162
  Morgan Stanley 24,843,615 1,199,947
  Chubb Ltd. 9,363,414 1,185,596
  Marsh & McLennan Cos. Inc. 10,584,987 1,136,510
  Truist Financial Corp. 27,955,667 1,049,735
  US Bancorp 28,441,981 1,047,234
  Intercontinental Exchange Inc. 11,354,166 1,040,042
  Progressive Corp. 12,142,460 972,732
  PNC Financial Services Group Inc. 8,801,011 925,954
  Aon plc Class A 4,794,113 923,346
  Moody’s Corp. 3,345,447 919,095
  Charles Schwab Corp. 23,770,051 802,002
  Bank of New York Mellon Corp. 16,715,186 646,042
  Allstate Corp. 6,516,654 632,050
  Travelers Cos. Inc. 5,244,981 598,190
  Capital One Financial Corp. 9,445,359 591,185
  MSCI Inc. Class A 1,763,963 588,846
  MetLife Inc. 16,003,111 584,434
  T. Rowe Price Group Inc. 4,721,097 583,056
  American International Group Inc. 17,867,254 557,101
  Aflac Inc. 14,885,977 536,342
  Willis Towers Watson plc 2,670,631 525,981
  Prudential Financial Inc. 8,194,247 499,030
  State Street Corp. 7,301,737 464,025
  MarketAxess Holdings Inc. 786,382 393,914
  Arthur J Gallagher & Co. 3,935,440 383,666
  Ameriprise Financial Inc. 2,537,784 380,769
  First Republic Bank 3,558,763 377,193
  Northern Trust Corp. 4,315,369 342,381
  Discover Financial Services 6,352,718 318,208
  Hartford Financial Services Group Inc. 7,431,694 286,492
  Fifth Third Bancorp 14,774,164 284,846
  Nasdaq Inc. 2,383,873 284,801
  M&T Bank Corp. 2,660,634 276,626
  Synchrony Financial 11,135,471 246,762
  KeyCorp 20,241,395 246,540
* SVB Financial Group 1,069,046 230,412
  E*TRADE Financial Corp. 4,581,907 227,858
  Citizens Financial Group Inc. 8,843,398 223,207
  Regions Financial Corp. 19,858,990 220,832
  Principal Financial Group Inc. 5,284,194 219,505
  Cboe Global Markets Inc. 2,274,687 212,183
  Cincinnati Financial Corp. 3,128,291 200,304
  Huntington Bancshares Inc. 21,046,370 190,154
  Loews Corp. 5,017,817 172,061
  Everest Re Group Ltd. 829,888 171,123
  W R Berkley Corp. 2,931,698 167,957
  Raymond James Financial Inc. 2,221,221 152,887
 * Berkshire Hathaway Inc. Class A 569 152,094
  Globe Life Inc. 2,033,258 150,929
  Lincoln National Corp. 4,006,814 147,411
  Assurant Inc. 1,238,605 127,936
  Franklin Resources Inc. 5,752,825 120,637
  Zions Bancorp NA 3,393,516 115,380
  Comerica Inc. 2,878,589 109,674
  People’s United Financial Inc. 8,818,236 102,027
  Invesco Ltd. 7,805,032 83,982
  Unum Group 4,220,879 70,024
      53,147,818
Health Care (14.6%)    
  Johnson & Johnson 54,660,726 7,686,938
  UnitedHealth Group Inc. 19,676,189 5,803,492
  Merck & Co. Inc. 52,367,832 4,049,604

 

6

 

 

500 Index Fund

 

 

      Market
      Value
    Shares ($000)
  Pfizer Inc. 115,246,054 3,768,546
  AbbVie Inc. 36,564,025 3,589,856
  Abbott Laboratories 36,698,371 3,355,332
  Thermo Fisher Scientific Inc. 8,193,719 2,968,912
  Amgen Inc. 12,204,301 2,878,506
  Eli Lilly and Co. 17,473,042 2,868,724
  Bristol-Myers Squibb Co. 46,942,177 2,760,200
  Medtronic plc 27,823,268 2,551,394
  Danaher Corp. 13,055,108 2,308,535
  Gilead Sciences Inc. 26,015,199 2,001,609
  CVS Health Corp. 27,118,563 1,761,893
Vertex Pharmaceuticals Inc. 5,379,106 1,561,608
  Becton Dickinson and Co. 6,117,805 1,463,807
  Cigna Corp. 7,655,132 1,436,485
* Intuitive Surgical Inc. 2,419,537 1,378,725
  Anthem Inc. 5,230,678 1,375,564
  Zoetis Inc. 9,853,173 1,350,279
* Regeneron Pharmaceuticals Inc. 2,092,595 1,305,047
  Stryker Corp. 6,687,685 1,205,054
* Illumina Inc. 3,049,931 1,129,542
  Humana Inc. 2,742,898 1,063,559
* Boston Scientific Corp. 29,634,552 1,040,469
  Baxter International Inc. 10,556,994 908,957
* Biogen Inc. 3,385,533 905,799
* Edwards Lifesciences Corp. 12,856,100 888,485
* DexCom Inc. 1,915,100 776,382
* Centene Corp. 12,014,547 763,524
* IDEXX Laboratories Inc.   1,762,005 581,744
  ResMed Inc. 3,000,815 576,156
  Agilent Technologies Inc. 6,409,106 566,373
  HCA Healthcare Inc. 5,461,437 530,087
* IQVIA Holdings Inc. 3,686,416 523,029
  McKesson Corp. 3,357,507 515,109
* Alexion Pharmaceuticals Inc. 4,580,408 514,105
  Zimmer Biomet Holdings Inc. 4,289,281 511,969
  Cerner Corp. 6,314,310 432,846
* Align Technology Inc. 1,486,446 407,940
* Mettler-Toledo International Inc. 496,079 399,616
* Incyte Corp. 3,743,872 389,250
  Teleflex Inc. 963,549 350,713
  West Pharmaceutical Services Inc. 1,526,978 346,884
* Laboratory Corp. of America Holdings 2,017,293 335,093
  Quest Diagnostics Inc. 2,775,457 316,291
  Cardinal Health Inc. 6,054,933 316,007
  AmerisourceBergen Corp. Class A 3,079,797 310,351
* Hologic Inc. 5,355,143 305,243
  Cooper Cos. Inc. 1,018,989 289,026
  STERIS plc 1,762,696 270,468
* Waters Corp. 1,285,272 231,863
* Varian Medical Systems Inc. 1,884,712 230,915
  PerkinElmer Inc. 2,312,049 226,789
* ABIOMED Inc. 933,021 225,381
  Dentsply Sirona Inc. 4,547,563 200,366
* Bio-Rad Laboratories Inc. Class A 443,242 200,119
* Henry Schein Inc. 2,958,998 172,776
* Mylan NV 10,728,345 172,512
  Perrigo Co. plc 2,829,264 156,373
  Universal Health Services Inc. Class B 1,612,177 149,755
* DaVita Inc. 1,770,595 140,125
      77,802,101
Industrials (8.0%)    
  Union Pacific Corp. 14,078,758 2,380,296
  Honeywell International Inc. 14,561,422 2,105,436
  Boeing Co. 11,122,446 2,038,744
  Raytheon Technologies Corp. 30,512,845 1,880,202
  Lockheed Martin Corp. 5,119,700 1,868,281
  3M Co. 11,933,580 1,861,519
  United Parcel Service Inc. Class B 14,607,368 1,624,047
  Caterpillar Inc. 11,229,125 1,420,484
  General Electric Co. 181,468,277 1,239,428
  CSX Corp. 15,880,901 1,107,534
  Illinois Tool Works Inc. 5,965,509 1,043,069
  Deere & Co. 6,490,710 1,020,015
  Northrop Grumman Corp. 3,216,725 988,950
  Norfolk Southern Corp. 5,314,976 933,150
  Waste Management Inc. 8,053,886 852,987
  Roper Technologies Inc. 2,166,057 840,993
  Emerson Electric Co. 12,394,050 768,803
  L3Harris Technologies Inc. 4,479,737 760,077
  Eaton Corp. plc 8,298,442 725,948
  General Dynamics Corp. 4,820,966 720,542
  FedEx Corp. 4,985,464 699,062

 

7

 

 

 

500 Index Fund

 

 

      Market
      Value
    Shares ($000)
  IHS Markit Ltd. 8,277,000 624,913
  Verisk Analytics Inc. Class A 3,366,640 573,002
  PACCAR Inc. 7,172,078 536,830
  Cummins Inc. 3,060,630 530,285
  Johnson Controls International plc 15,432,401 526,862
  Rockwell Automation Inc. 2,402,467 511,725
  Fastenal Co. 11,883,242 509,078
  Parker-Hannifin Corp. 2,662,886 488,027
  Otis Worldwide Corp. 8,443,076 480,073
  Cintas Corp. 1,748,986 465,860
  TransDigm Group Inc. 1,043,362 461,218
  Stanley Black & Decker Inc. 3,197,691 445,694
  Trane Technologies plc 4,964,556 441,746
  Equifax Inc. 2,517,808 432,761
  AMETEK Inc. 4,761,493 425,535
  Fortive Corp. 6,147,665 415,951
  Southwest Airlines Co. 11,129,413 380,403
  Carrier Global Corp. 16,884,461 375,173
  Republic Services Inc. Class A 4,357,553 357,537
* Copart Inc. 4,288,058 357,067
  Old Dominion Freight Line Inc. 1,957,532 331,978
^ Delta Air Lines Inc. 11,778,778 330,395
  Kansas City Southern 1,970,728 294,210
  Dover Corp. 2,987,630 288,486
  WW Grainger Inc. 898,982 282,424
  Masco Corp. 5,469,555 274,626
  Expeditors International of Washington Inc. 3,451,331 262,439
  IDEX Corp. 1,564,911 247,319
  Xylem Inc. 3,734,135 242,569
Teledyne Technologies Inc. 760,484 236,472
  Jacobs Engineering Group Inc. 2,698,624 228,843
* United Rentals Inc. 1,494,351 222,718
  CH Robinson Worldwide Inc. 2,792,671 220,789
  Westinghouse Air Brake Technologies Corp. 3,750,628 215,924
  JB Hunt Transport Services Inc. 1,752,046 210,841
* Ingersoll Rand Inc. 7,175,954 201,788
  Allegion plc 1,913,849 195,634
  Fortune Brands Home & Security Inc. 2,895,041 185,080
* United Airlines Holdings Inc. 5,242,871 181,456
  Snap-on Inc. 1,128,027 156,243
  Textron Inc. 4,719,480 155,318
  Huntington Ingalls Industries Inc. 839,964 146,565
^ American Airlines Group Inc. 10,310,862 134,763
  A O Smith Corp. 2,804,731 132,159
  Pentair plc 3,440,580 130,708
  Howmet Aerospace Inc. 7,962,374 126,204
  Robert Half International Inc. 2,374,412 125,440
  Rollins Inc. 2,925,926 124,030
  Quanta Services Inc. 2,858,361 112,134
  Nielsen Holdings plc 7,397,059 109,920
  Alaska Air Group Inc. 2,539,343 92,077
  Flowserve Corp. 2,695,602 76,879
      42,495,738
Information Technology (27.4%)  
  Microsoft Corp. 157,332,283 32,018,693
  Apple Inc. 84,528,834 30,836,119
  Visa Inc. Class A 34,752,223 6,713,087
  Mastercard Inc. Class A 18,336,240 5,422,026
  Intel Corp. 87,844,271 5,255,723
  NVIDIA Corp. 12,762,191 4,848,484
* Adobe Inc. 9,995,484 4,351,134
* PayPal Holdings Inc. 24,359,825 4,244,212
  Cisco Systems Inc. 87,985,940 4,103,664
* salesforce.com Inc. 18,692,311 3,501,631
  Accenture plc Class A 13,216,432 2,837,832
  Broadcom Inc. 8,294,403 2,617,797
  Texas Instruments Inc. 19,042,521 2,417,829
  Oracle Corp. 43,179,926 2,386,554
  International Business Machines Corp. 18,420,032 2,224,587
  QUALCOMM Inc. 23,339,293 2,128,777
  Fidelity National Information Services Inc. 12,817,304 1,718,672
* ServiceNow Inc. 3,956,382 1,602,572
  Intuit Inc. 5,410,396 1,602,505
  Automatic Data Processing Inc. 8,916,273 1,327,544
* Advanced Micro Devices Inc. 24,298,142 1,278,325
* Micron Technology Inc. 23,074,170 1,188,781
  Applied Materials Inc. 19,014,140 1,149,405
* Fiserv Inc. 11,665,993 1,138,834
* Autodesk Inc. 4,547,981 1,087,832
  Global Payments Inc. 6,204,769 1,052,453
  Lam Research Corp. 3,011,522 974,107
  Analog Devices Inc. 7,643,179 937,359

 

8

 

 

 

500 Index Fund

 

 

      Market
      Value
    Shares ($000)
  Cognizant Technology Solutions Corp. Class A 11,214,323 637,198
  KLA Corp. 3,216,852 625,613
* Synopsys Inc. 3,129,646 610,281
  Amphenol Corp. Class A 6,137,745 588,057
  TE Connectivity Ltd. 6,842,834 558,033
*  Cadence Design Systems Inc. 5,793,931 555,986
^ Microchip Technology Inc. 5,089,432 535,968
* ANSYS Inc. 1,783,247 520,227
  HP Inc. 29,663,809 517,040
  Paychex Inc. 6,624,447 501,802
  Xilinx Inc. 5,044,258 496,305
  Motorola Solutions Inc. 3,527,256 494,274
  Skyworks Solutions Inc. 3,460,896 442,510
*  FleetCor Technologies Inc. 1,738,528 437,292
* VeriSign Inc. 2,108,871 436,178
  Corning Inc. 15,742,937 407,742
*  Keysight Technologies Inc. 3,881,931 391,221
* Fortinet Inc. 2,784,040 382,165
*  Akamai Technologies Inc. 3,367,646 360,641
  Citrix Systems Inc. 2,408,220 356,200
  CDW Corp. 2,951,291 342,881
  Maxim Integrated Products Inc. 5,529,607 335,149
* Paycom Software Inc. 1,000,864 309,998
  Broadridge Financial Solutions Inc. 2,382,799 300,685
  Jack Henry & Associates Inc. 1,589,687 292,550
* Tyler Technologies Inc. 824,435 285,980
*  Zebra Technologies Corp. 1,100,875 281,769
  Western Digital Corp. 6,218,239 274,535
* Qorvo Inc. 2,381,347 263,210
  Hewlett Packard Enterprise Co. 26,654,035 259,344
  Leidos Holdings Inc. 2,767,378 259,220
* Arista Networks Inc. 1,115,606 234,311
  Seagate Technology plc 4,687,625 226,928
* Gartner Inc. 1,848,783 224,313
  NortonLifeLock Inc. 11,253,155 223,150
  NetApp Inc. 4,584,336 203,407
  Western Union Co. 8,527,891 184,373
* F5 Networks Inc. 1,263,959 176,297
  Juniper Networks Inc. 6,877,895 157,229
* IPG Photonics Corp. 736,805 118,176
  FLIR Systems Inc. 2,715,966 110,187
  DXC Technology Co. 5,263,669 86,851
  Xerox Holdings Corp. 3,799,259 58,091
  Alliance Data Systems Corp. 40,000 1,805
      146,031,710
Materials (2.5%)    
  Linde plc 10,896,347 2,311,224
  Air Products & Chemicals Inc. 4,582,633 1,106,523
  Newmont Corp. 16,651,232 1,028,047
  Ecolab Inc. 5,130,403 1,020,694
  Sherwin-Williams Co. 1,676,599 968,823
  DuPont de Nemours Inc. 15,222,295 808,760
  Dow Inc. 15,364,527 626,258
  PPG Industries Inc. 4,893,190 518,972
  Ball Corp. 6,762,390 469,918
  Corteva Inc. 15,520,955 415,806
  LyondellBasell Industries NV Class A 5,332,349 350,442
  Freeport-McMoRan Inc. 30,131,780 348,625
  Amcor plc 32,657,074 333,429
  Vulcan Materials Co. 2,746,507 318,183
  International Paper Co. 8,157,438 287,223
  FMC Corp. 2,686,702 267,649
  Martin Marietta Materials Inc. 1,290,588 266,597
  Nucor Corp. 6,250,893 258,849
  Celanese Corp. Class A 2,453,810 211,862
  Avery Dennison Corp. 1,728,790 197,238
  Packaging Corp. of America 1,968,547 196,461
  Eastman Chemical Co. 2,816,048 196,110
^ International Flavors & Fragrances Inc. 1,508,696 184,755
^ Albemarle Corp. 2,206,183 170,339
  Westrock Co. 5,379,753 152,032
  CF Industries Holdings Inc. 4,437,132 124,861
  Sealed Air Corp. 3,230,183 106,111
  Mosaic Co. 7,231,415 90,465
      13,336,256
Real Estate (2.8%)    
  American Tower Corp. 9,197,066 2,377,809
  Crown Castle International Corp. 8,646,127 1,446,929
  Prologis Inc. 15,323,021 1,430,098
  Equinix Inc. 1,836,414 1,289,714
  Digital Realty Trust Inc. 5,565,617 790,930
  SBA Communications Corp. Class A 2,315,711 689,897

 

9

 

 

500 Index Fund

 

 

      Market
      Value
    Shares ($000)
  Public Storage 3,118,612 598,430
  AvalonBay Communities Inc. 2,918,882 451,376
  Simon Property Group Inc. 6,342,197 433,679
  Equity Residential 7,254,739 426,724
  Alexandria Real Estate Equities Inc. 2,618,559 424,861
  Realty Income Corp. 7,122,084 423,764
  Welltower Inc. 8,011,402 414,590
  Weyerhaeuser Co. 15,486,112 347,818
*  CBRE Group Inc. Class A 6,952,240 314,380
  Essex Property Trust Inc. 1,357,645 311,132
  Healthpeak Properties Inc. 11,161,105 307,600
  Ventas Inc. 7,741,914 283,509
  Mid-America Apartment Communities Inc. 2,373,629 272,184
  Boston Properties Inc. 2,998,296 270,986
  Duke Realty Corp. 7,646,094 270,595
  Extra Space Storage Inc. 2,679,182 247,476
  UDR Inc. 6,119,625 228,752
  Regency Centers Corp. 3,519,500 161,510
  Host Hotels & Resorts Inc. 14,632,489 157,885
^ Iron Mountain Inc. 5,973,499 155,908
  Vornado Realty Trust 3,290,792 125,741
  Federal Realty Investment Trust 1,459,151 124,334
  Apartment Investment and Management Co. 3,082,685 116,032
  Kimco Realty Corp. 8,973,214 115,216
  SL Green Realty Corp. 1,589,574 78,350
      15,088,209
Utilities (3.1%)  
  NextEra Energy Inc. 10,154,622 2,438,836
  Dominion Energy Inc. 17,411,941 1,413,501
  Duke Energy Corp. 15,244,596 1,217,891
  Southern Co. 21,906,544 1,135,854
  American Electric Power Co. Inc. 10,281,117 818,788
  Exelon Corp. 20,213,072 733,532
  Sempra Energy 6,068,996 711,468
  Xcel Energy Inc. 10,891,853 680,741
  Eversource Energy 6,980,162 581,238
  WEC Energy Group Inc. 6,543,047 573,498
  Public Service Enterprise Group Inc. 10,487,652 515,573
  Consolidated Edison Inc. 6,929,499 498,439
  American Water Works Co. Inc. 3,756,984 483,374
  FirstEnergy Corp. 11,243,100 436,008
  DTE Energy Co. 3,997,027 429,681
  Edison International 7,839,279 425,751
  PPL Corp. 15,952,591 412,215
  Entergy Corp. 4,153,491 389,639
  Ameren Corp. 5,123,598 360,496
  CMS Energy Corp. 5,939,484 346,985
  Evergy Inc. 4,703,323 278,860
  Atmos Energy Corp. 2,537,860 252,720
  Alliant Energy Corp. 5,176,963 247,666
  CenterPoint Energy Inc. 11,294,012 210,859
  AES Corp. 13,797,590 199,927
  NiSource Inc. 7,942,453 180,611
  Pinnacle West Capital Corp. 2,334,438 171,091
  NRG Energy Inc. 5,066,274 164,958
      16,310,200
Total Common Stocks    
(Cost $350,934,690) 531,159,799
Temporary Cash Investments (0.6%)
Money Market Fund (0.6%)
1,2 Vanguard Market Liquidity Fund, 0.227% 31,842,674 3,184,267
       
    Face  
    Amount  
    ($000)  
U.S. Government and Agency Obligations (0.0%)
3 United States Cash Management Bill, 0.100%–0.103%, 7/14/20 114,000 113,995
3 United States Cash Management Bill, 0.210%, 9/15/20 46,000 45,986
3 United States Cash Management Bill, 0.135%, 10/20/20 17,000 16,992
3 United States Cash Management Bill, 0.165%, 11/3/20 5,500 5,497
3 United States Treasury Bill, 0.087%, 9/24/20 7,250 7,248
      189,718
Total Temporary Cash Investments
(Cost $3,372,782) 3,373,985
Total Investments (100.2%)  
(Cost $354,307,472) 534,533,784

 

10

 

 

500 Index Fund

 

 

  Market  
  Value  
  ($000 )
Other Assets and Liabilities—Net (-0.2%) (909,768 )
Net Assets (100%) 533,624,016  

 

Cost is in $000.

 

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 $613,493,000.
1Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
2Collateral of $645,008,000 was received for securities on loan, of which $641,408,000 is held in Vanguard Market Liquidity Fund and $3,600,000 is held in cash.
3Securities with a value of $139,827,000 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 September 2020  11,031 1,704,400 22,439

 

11

 

 

500 Index Fund

 

 

Over-the-Counter Total Return Swaps            
        Floating    
        Interest    
        Rate Value and Value and
      Notional Received Unrealized Unrealized
Termination   Amount (Paid)1 Appreciation (Depreciation)
Reference Entity Date Counterparty ($000) (%) ($000) ($000)
Bank of America Corp. 2/2/21 GSI 50,300 (0.594) (2,451)
International Flavors & Fragrances Inc. 2/2/21 GSI 90,157 (0.194) (2,930)
JPMorgan Chase & Co. 9/2/21 BOANA 418,433 (0.632) (14,181)
Kroger Co. 2/2/21 GSI 32,080 (0.194) 1,768
Netflix Inc. 9/2/20 BOANA 41,973 (0.182) 3,525
Raymond James Financial Inc. 9/2/20 BOANA 21,477 (0.583) (34)
Visa Inc. Class A 9/2/20 BOANA 48,810 (0.083) (446)
Welltower Inc. 2/2/21 GSI 36,478 (0.194) (2,843)
          5,293 (22,885)

 

1Based on 1-month USD London Interbank Offered Rate (LIBOR) as of the most recent payment date. Floating Interest payment received/paid monthly.

 

BOANA—Bank of America, N. A.

GSI—Goldman Sachs International.

 

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

 

12

 

 

500 Index Fund

 

 

Statement of Assets and Liabilities

As of June 30, 2020

 

($000s, except shares and per-share amounts) Amount  
Assets    
Investments in Securities, at Value    
Unaffiliated Issuers (Cost $351,124,404) 531,349,517  
Affiliated Issuers (Cost $3,183,068) 3,184,267  
Total Investments in Securities 534,533,784  
Investment in Vanguard 23,593  
Cash 32,846  
Cash Collateral Pledged—Over-the-Counter Swap Contracts 24,810  
Receivables for Investment Securities Sold 6,807  
Receivables for Accrued Income 415,790  
Receivables for Capital Shares Issued 1,428,527  
Variation Margin Receivable—Futures Contracts 23,342  
Unrealized Appreciation—Over-the-Counter Swap Contracts 5,293  
Total Assets 536,494,792  
Liabilities    
Payables for Investment Securities Purchased 184,299  
Collateral for Securities on Loan 645,008  
Payables for Capital Shares Redeemed 1,263,128  
Payables for Distributions 746,256  
Payables to Vanguard 9,200  
Unrealized Depreciation—Over-the-Counter Swap Contracts 22,885  
Total Liabilities 2,870,776  
Net Assets 533,624,016  

 

13

 

 

 

500 Index Fund

 

 

 

 

 

Statement of Assets and Liabilities (continued)

 

 

At June 30, 2020, net assets consisted of:  
   
($000s, except shares and per-share amounts) Amount
Paid-in Capital 346,797,736
Total Distributable Earnings (Loss) 186,826,280
Net Assets 533,624,016
   
Investor Shares—Net Assets  
Applicable to 14,553,464 outstanding $.001 par value shares of beneficial interest (unlimited authorization)  4,164,014
Net Asset Value Per Share—Investor Shares $286.12
   
ETF Shares—Net Assets  
Applicable to 520,363,819 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 147,733,916
Net Asset Value Per Share—ETF Shares $283.91
   
Admiral Shares—Net Assets  
Applicable to 1,060,509,872 outstanding $.001 par value shares of beneficial interest (unlimited authorization)  303,398,788
Net Asset Value Per Share—Admiral Shares $286.09
   
Institutional Select Shares—Net Assets  
Applicable to 516,697,252 outstanding $.001 par value shares of beneficial interest (unlimited authorization)  78,327,298
Net Asset Value Per Share—Institutional Select Shares $151.59

 

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

 

14

 

 

500 Index Fund

 

 

Statement of Operations

 

 

  Six Months Ended  
  June 30, 2020  
  ($000 )
Investment Income    
Income    
Dividends 5,039,543  
Interest1 12,826  
Securities Lending—Net 8,381  
Total Income 5,060,750  
Expenses    
The Vanguard Group—Note B    
Investment Advisory Services 5,617  
Management and Administrative—Investor Shares 2,551  
Management and Administrative—ETF Shares 13,549  
Management and Administrative—Admiral Shares 47,394  
Management and Administrative—Institutional Select Shares 2,759  
Marketing and Distribution—Investor Shares 260  
Marketing and Distribution—ETF Shares 3,811  
Marketing and Distribution—Admiral Shares 6,689  
Marketing and Distribution—Institutional Select Shares 1  
Custodian Fees 937  
Shareholders’ Reports—Investor Shares 4  
Shareholders’ Reports—ETF Shares 735  
Shareholders’ Reports—Admiral Shares 850  
Shareholders’ Reports—Institutional Select Shares  
Trustees’ Fees and Expenses 179  
Total Expenses 85,336  
Net Investment Income 4,975,414  
Realized Net Gain (Loss)    
Investment Securities Sold1,2 9,813,615  
Futures Contracts (304,802 )
Swap Contracts (22,830 )
Realized Net Gain (Loss) 9,485,983  
Change in Unrealized Appreciation (Depreciation)    
Investment Securities1 (31,446,382 )
Futures Contracts (19 )
Swap Contracts (25,379 )
Change in Unrealized Appreciation (Depreciation) (31,471,780 )
Net Increase (Decrease) in Net Assets Resulting from Operations (17,010,383 )

 

1Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $12,162,000, ($553,000), and $1,109,000, respectively. Purchases and sales are for temporary cash investment purposes.
2Includes $13,158,315,000 of net gain (loss) resulting from in-kind redemptions.

 

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

 

15

 

 

500 Index Fund

 

 

Statement of Changes in Net Assets

 

 

  Six Months Ended   Year Ended  
  June 30,   December 31,  
  2020   2019  
  ($000 ) ($000 )
Increase (Decrease) in Net Assets        
Operations        
Net Investment Income 4,975,414   9,418,480  
Realized Net Gain (Loss) 9,485,983   14,339,484  
Change in Unrealized Appreciation (Depreciation) (31,471,780 ) 103,674,742  
Net Increase (Decrease) in Net Assets Resulting from Operations (17,010,383 )  127,432,706  
Distributions1        
Investor Shares (36,276 ) (286,989 )
ETF Shares (1,324,815 ) (2,410,313 )
Admiral Shares (2,776,022 ) (5,781,068 )
Institutional Select Shares (720,808 ) (1,456,288 )
Total Distributions (4,857,921 ) (9,934,658 )
Capital Share Transactions        
Investor Shares (363,216 ) (23,241,118 )
ETF Shares 22,300,359   12,478,774  
Admiral Shares (3,151,426 ) 21,177,087  
Institutional Select Shares 401,066   7,685,397  
Net Increase (Decrease) from Capital Share Transactions 19,186,783   18,100,140  
Total Increase (Decrease) (2,681,521 ) 135,598,188  
Net Assets        
Beginning of Period 536,305,537   400,707,349  
End of Period 533,624,016   536,305,537  

 

1 Certain prior period numbers have been reclassified to conform with current period presentation.

 

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

 

16

 

 

500 Index Fund

 

 

Financial Highlights

 

 

Investor Shares

 

Six Months            
  Ended       Year Ended December 31,
For a Share Outstanding June 30,        
Throughout Each Period 2020   2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $298.16 $231.44 $246.82 $206.57 $188.48 $189.89
Investment Operations              
Net Investment Income 2.5661 4.8011 4.8961 4.2211 3.997 3.775
Net Realized and Unrealized Gain (Loss) on Investments (12.138) 67.211 (15.776) 40.205 18.069 (1.438)
Total from Investment Operations (9.572) 72.012 (10.880) 44.426 22.066 2.337
Distributions              
Dividends from Net Investment Income (2.468) (5.292) (4.500) (4.176) (3.976) (3.747)
Distributions from Realized Capital Gains  
Total Distributions (2.468) (5.292) (4.500) (4.176) (3.976) (3.747)
Net Asset Value, End of Period $286.12 $298.16 $231.44 $246.82 $206.57 $188.48
             
Total Return2 -3.15% 31.33% -4.52% 21.67% 11.82% 1.25%
             
Ratios/Supplemental Data              
Net Assets, End of Period (Millions) $4,164 $4,723 $23,162 $27,656 $26,652 $26,092
Ratio of Total Expenses to Average Net Assets 0.14% 0.14% 0.14% 0.14% 0.14% 0.16%
Ratio of Net Investment Income to Average Net Assets 1.85% 1.82% 1.95% 1.87% 2.05% 2.00%
Portfolio Turnover Rate3 2% 4% 4% 3% 4% 3%

 

The expense ratio and net investment income ratio for the current period have been annualized.

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.

 

17

 

 

500 Index Fund

 

 

Financial Highlights

 

 

ETF Shares

 

Six Months            
  Ended       Year Ended December 31,
For a Share Outstanding June 30,        
Throughout Each Period 2020   2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $295.87 $229.68 $244.94 $205.00 $187.05 $188.45
Investment Operations              
Net Investment Income 2.6901 5.2981 5.1961 4.4341 4.155 3.958
Net Realized and Unrealized Gain (Loss) on Investments (12.039) 66.463 (15.719) 39.874 17.933 (1.427)
Total from Investment Operations (9.349) 71.761 (10.523) 44.308 22.088 2.531
Distributions              
Dividends from Net Investment Income (2.611) (5.571) (4.737) (4.368) (4.138) (3.931)
Distributions from Realized Capital Gains  
Total Distributions (2.611) (5.571) (4.737) (4.368) (4.138) (3.931)
Net Asset Value, End of Period $283.91 $295.87 $229.68 $244.94 $205.00 $187.05
             
Total Return -3.12% 31.46% -4.42% 21.78% 11.93% 1.35%
             
Ratios/Supplemental Data              
Net Assets, End of Period (Millions) $147,734 $130,728 $90,639 $83,640 $56,648 $40,440
Ratio of Total Expenses to Average Net Assets 0.03% 0.03% 0.03% 0.04% 0.04% 0.05%
Ratio of Net Investment Income to Average Net Assets 1.96% 1.98% 2.06% 1.97% 2.15% 2.11%
Portfolio Turnover Rate2 2% 4% 4% 3% 4% 3%

 

The expense ratio and net investment income ratio for the current period have been annualized.

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.

 

18

 

 

 

500 Index Fund

 

 

Financial Highlights

 

 

Admiral Shares

 

Six Months                
  Ended         Year Ended December 31,  
For a Share Outstanding June 30,          
Throughout Each Period 2020   2019   2018   2017   2016   2015  
Net Asset Value, Beginning of Period $298.14   $231.44   $246.82   $206.57   $188.48   $189.89  
Investment Operations                        
Net Investment Income 2.702 1 5.319 1 5.181 1 4.458 1 4.185   3.990  
Net Realized and Unrealized Gain (Loss) on Investments (12.138 66.962   (15.808 ) 40.193   18.074   (1.439
Total from Investment Operations (9.436 ) 72.281   (10.627 ) 44.651   22.259   2.551  
Distributions                        
Dividends from Net Investment Income (2.614 (5.581 ) (4.753 ) (4.401 ) (4.169 ) (3.961
Distributions from Realized Capital Gains            
Total Distributions (2.614 (5.581 ) (4.753 ) (4.401 ) (4.169 ) (3.961
Net Asset Value, End of Period $286.09   $298.14   $231.44   $246.82   $206.57   $188.48  
                         
Total Return2 -3.10%   31.46%   -4.43%   21.79%   11.93%   1.36%  
                         
Ratios/Supplemental Data                        
Net Assets, End of Period (Millions) $303,399   $319,624   $230,375   $235,232   $181,513   $152,740  
Ratio of Total Expenses to Average Net Assets 0.04%   0.04%   0.04%   0.04%   0.04%   0.05%  
Ratio of Net Investment Income to Average Net Assets 1.95%   1.97%   2.05%   1.97%   2.15%   2.11%  
Portfolio Turnover Rate3 2%   4%   4%   3%   4%   3%  

 

The expense ratio and net investment income ratio for the current period have been annualized.

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

 

 

500 Index Fund

 

 

Financial Highlights

 

 

Institutional Select Shares

 

  Six Months           June 24,  
  Ended   Year Ended December 31, 20161 to  
  June 30,   Dec. 31,  
For a Share Outstanding Throughout Each Period 2020   2019   2018   2017   2016  
Net Asset Value, Beginning of Period $157.98   $122.64   $130.79   $109.45   $99.57  
Investment Operations                    
Net Investment Income 1.454 2 2.857 2 2.808 2 2.423 2 1.200  
Net Realized and Unrealized Gain (Loss) on Investments (6.436 ) 35.484   (8.400 ) 21.283   9.859  
Total from Investment Operations (4.982 ) 38.341   (5.592 ) 23.706   11.059  
Distributions                    
Dividends from Net Investment Income (1.408 ) (3.001 ) (2.558 ) (2.366 ) (1.179
Distributions from Realized Capital Gains          
Total Distributions (1.408 ) (3.001 ) (2.558 ) (2.366 ) (1.179
Net Asset Value, End of Period $151.59   $157.98   $122.64   $130.79   $109.45  
                     
Total Return -3.08%   31.49%   -4.40%   21.83%   11.12%  
                     
Ratios/Supplemental Data                    
Net Assets, End of Period (Millions) $78,327   $81,230   $56,531   $44,907   $17,753  
Ratio of Total Expenses to Average Net Assets 0.01%   0.01%   0.01%   0.01%   0.01%3  
Ratio of Net Investment Income to Average Net Assets 1.98%   2.00%   2.08%   2.00%   2.26%3  
Portfolio Turnover Rate4 2%   4%   4%   3%   4%5  

The expense ratio and net investment income ratio for the current period have been annualized.

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.

 

20

 

 

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.

 

Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.

 

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 Schedule of Investments.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Schedule of Investments. 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 gains (losses) on futures contracts.

 

During the six months ended June 30, 2020, 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.

 

21

 

 

500 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 Schedule of Investments. 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 periodic payments are made or the 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 Schedule of Investments. 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 six months ended June 30, 2020, 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, 2016–2019), and for the period ended June 30, 2020, and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

22

 

 

500 Index Fund

 

 

 

 

 

5. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis at the fiscal year-end 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. Collateral investments in Vanguard Market Liquidity Fund are subject to market appreciation or depreciation. 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 Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed 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 either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternative rate agreed to by the fund and Vanguard.

 

In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans

 

23

 

 

 

500 Index Fund

 

 

 

may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.

 

For the six months ended June 30, 2020, the fund did not utilize the credit facilities or the Interfund Lending Program.

 

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 are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. 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 and 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 June 30, 2020, the fund had contributed to Vanguard capital in the amount of $23,593,000, representing less than 0.01% of the fund’s net assets and 9.44% of Vanguard’s capital received pursuant to the FSA. 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 Schedule of Investments.

 

24

 

 

500 Index Fund

 

 

 

The following table summarizes the market value of the fund’s investments and derivatives as of June 30, 2020, based on the inputs used to value them:

 

  Level 1 Level 2 Level 3 Total  
  ($000) ($000) ($000) ($000 )
Investments          
Assets          
Common Stocks 531,159,799 531,159,799  
Temporary Cash Investments 3,184,267 189,718 3,373,985  
Total 534,344,066 189,718 534,533,784  
Derivative Financial Instruments          
Assets          
Futures Contracts1 23,342 23,342  
Swap Contracts 5,293 5,293  
Total 23,342 5,293 28,635  
Liabilities          
Swap Contracts 22,885 22,885  

 

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

 

D. As of June 30, 2020, 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 354,307,472  
Gross Unrealized Appreciation 210,814,899  
Gross Unrealized Depreciation (30,583,740 )
Net Unrealized Appreciation (Depreciation) 180,231,159  

 

The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at December 31, 2019, the fund had available capital losses totaling $3,054,001,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending December 31, 2020; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.

 

E. During the six months ended June 30, 2020, the fund purchased $46,382,242,000 of investment securities and sold $27,848,583,000 of investment securities, other than temporary cash investments. Purchases and sales include $35,203,636,000 and $18,550,937,000, 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:

 

  Six Months Ended     Year Ended  
    June 30, 2020   December 31, 2019  
  Amount Shares   Amount Shares  
  ($000) (000) ($000) (000 )
Investor Shares            
Issued 117,535 435 1,757,661 6,462  
Issued in Lieu of Cash Distributions 36,272 136 270,808 1,013  
Redeemed1 (517,023) (1,859) (25,269,587) (91,711 )
Net Increase (Decrease)—Investor Shares (363,216) (1,288) (23,241,118) (84,236 )
ETF Shares            
Issued 40,524,072 149,326 34,750,215 129,730  
Issued in Lieu of Cash Distributions    
Redeemed (18,223,713) (70,800) (22,271,441) (82,525 )
Net Increase (Decrease)—ETF Shares 22,300,359 78,526 12,478,774 47,205  
Admiral Shares            
Issued1 25,360,312 95,317 52,184,098 192,239  
Issued in Lieu of Cash Distributions 2,438,502 9,168 5,091,925 18,508  
Redeemed (30,950,240) (116,019) (36,098,936) (134,111 )
Net Increase (Decrease)—Admiral Shares (3,151,426) (11,534) 21,177,087 76,636  
Institutional Select Shares            
Issued 3,184,858 21,510 10,055,398 69,422  
Issued in Lieu of Cash Distributions 720,808 5,114 1,456,288 9,987  
Redeemed (3,504,600) (24,095) (3,826,289) (26,203 )
Net Increase (Decrease)—Institutional Select Shares  401,066  2,529  7,685,397  53,206   

 

1In November 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. As a result, all of the outstanding Investor Shares automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors. Investor Shares—Redeemed and Admiral Shares—Issued include 79,415,000 and 79,414,000 shares, respectively, in the amount of $21,905,116,000 from the conversion during the year ended December 31, 2019.

 

G. Management has determined that no events or transactions occurred subsequent to June 30, 2020, that would require recognition or disclosure in these financial statements.

 

26

 

 

Trustees Approve Advisory Arrangement

 

 

The board of trustees of Vanguard 500 Index Fund has renewed the fund’s investment advisory arrangement with The Vanguard Group, Inc. (Vanguard), through its Equity Index Group. The board determined that continuing the fund’s internalized management structure was in the best interests of the fund and its shareholders.

 

The board based its decision upon an evaluation of the advisor’s investment staff, portfolio management process, and performance. This evaluation included information provided to the board by Vanguard’s Portfolio Review Department, which is responsible for fund and advisor oversight and product management. The Portfolio Review Department met regularly with the advisor and made monthly presentations to the board during the fiscal year that directed the board’s focus to relevant information and topics.

 

The board, or an investment committee made up of board members, also received information throughout the year during advisor presentations. For each advisor presentation, the board was provided with letters and reports that included information about, among other things, the advisory firm and the advisor’s assessment of the investment environment, portfolio performance, and portfolio characteristics.

 

In addition, the board received monthly reports, which included a Market and Economic Report, a Fund Dashboard Monthly Summary, and a Fund Performance Report.

 

Prior to their meeting, the trustees were provided with a memo and materials that summarized the information they received over the course of the year. They also considered the factors discussed below, among others. However, no single factor determined whether the board approved the arrangement. Rather, it was the totality of the circumstances that drove the board’s decision.

 

Nature, extent, and quality of services

The board reviewed the quality of the fund’s investment management services over both the short and long term, and took into account the organizational depth and stability of the advisor. The board considered that Vanguard has been managing investments for more than four decades. The Equity Index Group adheres to a sound, disciplined investment management process; the team has considerable experience, stability, and depth.

 

The board concluded that Vanguard’s experience, stability, depth, and performance, among other factors, warranted continuation of the advisory arrangement.

 

Investment performance

The board considered the short- and long-term performance of the fund, including any periods of outperformance or underperformance compared with its target index and peer group. The board concluded that the performance was such that the advisory arrangement should continue.

 

Cost

The board concluded that the fund’s expense ratio was well below the average expense ratio charged by funds in its peer group and that the fund’s advisory expenses were also well below the peer-group average.

 

The board does not conduct a profitability analysis of Vanguard because of Vanguard’s unique structure. Unlike most other mutual fund management companies, Vanguard is owned by the funds it oversees.

 

27

 

 

The benefit of economies of scale

The board concluded that the fund’s arrangement with Vanguard ensures that the fund will realize economies of scale as it grows, with the cost to shareholders declining as fund assets increase.

 

The board will consider whether to renew the advisory arrangement again after a one-year period.

 

28

 

 

Liquidity Risk Management

 

Vanguard funds (except for the money market funds) have adopted and implemented a written liquidity risk management program (the “Program”) as required by Rule 22e-4 under the Investment Company Act of 1940. Rule 22e-4 requires that each fund adopt a program that

is reasonably designed to assess and manage the fund’s liquidity risk, which is the risk that the fund could not meet redemption requests without significant dilution of remaining investors’ interests in the fund.

 

Assessment and management of a fund’s liquidity risk under the Program take into consideration certain factors, such as the fund’s investment strategy and the liquidity of its portfolio investments during normal and reasonably foreseeable stressed conditions, its short- and long-term cash-flow projections during both normal and reasonably foreseeable stressed conditions, and its cash and cash-equivalent holdings and access to other funding sources. As required by the rule, the Program includes policies and procedures for classification of fund portfolio holdings in four liquidity categories, maintaining certain levels of highly liquid investments, and limiting holdings of illiquid investments.

 

The board of trustees of Vanguard Index Funds approved the appointment of liquidity risk management program administrators responsible for administering Vanguard 500 Index Fund’s Program and for carrying out the specific responsibilities set forth in the Program, including reporting to the board on at least an annual basis regarding the Program’s operation, its adequacy, and the effectiveness of its implementation for the past year (the “Program Administrator Report”). The board has reviewed the Program Administrator Report covering the period from December 1, 2018, through December 31, 2019 (the “Review Period”). The Program Administrator Report stated that during the Review Period the Program operated and was implemented effectively to manage the fund’s liquidity risk.

 

29

 

 

 

 

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.

 

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, www.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 www.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.

 

 

 

© 2020 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.

 

Q402 082020

 

 

 

 

Semiannual Report  |  June 30, 2020
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.

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.
1

Six Months Ended June 30, 2020      
  Beginning
Account Value
12/31/2019
Ending
Account Value
6/30/2020
Expenses
Paid During
Period
Based on Actual Fund Return      
Small-Cap Index Fund      
Investor Shares $1,000.00 $885.30 $0.80
ETF Shares 1,000.00 885.60 0.23
AdmiralTM Shares 1,000.00 885.80 0.23
Institutional Shares 1,000.00 885.80 0.19
Institutional Plus Shares 1,000.00 885.90 0.14
Small-Cap Growth Index Fund      
Investor Shares $1,000.00 $1,006.70 $0.95
ETF Shares 1,000.00 1,007.30 0.35
Admiral Shares 1,000.00 1,007.30 0.35
Institutional Shares 1,000.00 1,007.40 0.30
Small-Cap Value Index Fund      
Investor Shares $1,000.00 $786.10 $0.84
ETF Shares 1,000.00 786.50 0.31
Admiral Shares 1,000.00 786.60 0.31
Institutional Shares 1,000.00 786.80 0.27
Based on Hypothetical 5% Yearly Return      
Small-Cap Index Fund      
Investor Shares $1,000.00 $1,024.02 $0.86
ETF Shares 1,000.00 1,024.61 0.25
Admiral Shares 1,000.00 1,024.61 0.25
Institutional Shares 1,000.00 1,024.66 0.20
Institutional Plus Shares 1,000.00 1,024.71 0.15
Small-Cap Growth Index Fund      
Investor Shares $1,000.00 $1,023.92 $0.96
ETF Shares 1,000.00 1,024.51 0.35
Admiral Shares 1,000.00 1,024.51 0.35
Institutional Shares 1,000.00 1,024.56 0.30
Small-Cap Value Index Fund      
Investor Shares $1,000.00 $1,023.92 $0.96
ETF Shares 1,000.00 1,024.51 0.35
Admiral Shares 1,000.00 1,024.51 0.35
Institutional Shares 1,000.00 1,024.56 0.30
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 (182/366).
2

Small-Cap Index Fund
Fund Allocation
As of June 30, 2020
Basic Materials 3.6%
Consumer Goods 6.9
Consumer Services 11.2
Financials 21.9
Health Care 15.5
Industrials 20.1
Oil & Gas 2.2
Other 0.0
Technology 14.7
Telecommunications 0.6
Utilities 3.3
The table reflects the fund’s investments, except for short-term investments and derivatives. 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.
The fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.
The Industry Classification Benchmark (“ICB”) is owned by FTSE. FTSE does not accept any liability to any person for any loss or damage arising out of any error or omission in the ICB.
3

Small-Cap Index Fund
Financial Statements (unaudited)
Schedule of Investments—Investments Summary
As of June 30, 2020
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 files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) four times in each fiscal year. For the second and fourth quarters the complete list of the fund’s holdings is available on vanguard.com and on Form N-CSR, or you can have it mailed to you without charge by calling 800-662-7447. For the first and third quarters of each fiscal year, the complete list of the fund’s holdings is available as an exhibit to its reports on Form N-PORT. The fund’s Form N-CSR and Form N-PORT reports are available on the SEC’s website at www.sec.gov.
        Shares Market
Value
($000)
Percentage
of Net
Assets
Common Stocks    
Basic Materials    
  RPM International Inc.  3,242,697    243,397   0.3%
Basic Materials—Other*,1  2,838,132   3.2%
                       3,081,529   3.5%
Consumer Goods    
  Pool Corp.    950,055    258,291   0.3%
  Zynga Inc. Class A* 21,555,208    205,637   0.2%
Consumer Goods—Other*,1  5,557,842   6.4%
                       6,021,770   6.9%
Consumer Services    
  Etsy Inc.*  2,971,639    315,677   0.4%
  Peloton Interactive Inc. Class A*  4,901,384    283,153   0.3%
  Cable One Inc.    134,728    239,122   0.3%
  Trade Desk Inc. Class A*    511,993    208,125   0.2%
Consumer Services—Other*,1  8,670,768  10.0%
                       9,716,845  11.2%
Financials    
  Equity LifeStyle Properties Inc.  4,332,834    270,715   0.3%
  Apollo Global Management Inc. Class A  5,157,132    257,444   0.3%
  Medical Properties Trust Inc. 13,228,909    248,703   0.3%
  Brown & Brown Inc.  6,033,330    245,919   0.3%
  RenaissanceRe Holdings Ltd.  1,240,372    212,141   0.2%
  CyrusOne Inc.  2,884,327    209,835   0.2%
Financials—Other*,1,2 17,492,157  20.1%
                      18,936,914  21.7%
Health Care    
  Teladoc Health Inc.*  1,864,124    355,749   0.4%
  STERIS plc  2,123,395    325,814   0.4%
  Insulet Corp.*  1,638,719    318,338   0.4%
4

Small-Cap Index Fund
        Shares Market
Value

($000)
Percentage
of Net
Assets
  Catalent Inc.*  4,072,014    298,479   0.4%
  Sarepta Therapeutics Inc.*  1,855,068    297,442   0.3%
  Neurocrine Biosciences Inc.*  2,325,343    283,692   0.3%
  Masimo Corp.*  1,219,327    277,994   0.3%
  PerkinElmer Inc.  2,789,101    273,583   0.3%
  Horizon Therapeutics plc*  4,776,118    265,457   0.3%
  Molina Healthcare Inc.*  1,482,597    263,873   0.3%
  Bio-Techne Corp.    956,973    252,708   0.3%
  Bio-Rad Laboratories Inc. Class A*    522,783    236,031   0.3%
  Charles River Laboratories International Inc.*  1,239,192    216,053   0.3%
  West Pharmaceutical Services Inc.    921,550    209,348   0.2%
Health Care—Other*,1,2  9,550,707  10.9%
                      13,425,268  15.4%
Industrials    
  Zebra Technologies Corp. Class A*  1,329,219    340,214   0.4%
  IDEX Corp.  1,887,759    298,341   0.3%
  Fair Isaac Corp.*    689,954    288,428   0.3%
  Teledyne Technologies Inc.*    917,892    285,419   0.3%
  Booz Allen Hamilton Holding Corp. Class A  3,454,424    268,720   0.3%
  Nordson Corp.  1,303,778    247,340   0.3%
  Allegion plc  2,308,835    236,009   0.3%
  Lennox International Inc.    909,840    211,984   0.2%
Industrials—Other*,1,3 15,178,510  17.5%
                      17,354,965  19.9%
Oil & Gas*,1 1,948,999 2.2%
Other*,2,4 2,541 0.0%
Technology    
  Coupa Software Inc.*  1,668,493    462,239   0.5%
  Teradyne Inc.  4,150,532    350,761   0.4%
  EPAM Systems Inc.*  1,323,374    333,503   0.4%
  MongoDB Inc. Class A*  1,265,890    286,522   0.3%
  Monolithic Power Systems Inc.  1,064,417    252,267   0.3%
  Avalara Inc.*  1,865,505    248,280   0.3%
  HubSpot Inc.*  1,037,980    232,871   0.3%
  Ceridian HCM Holding Inc.*  2,904,962    230,276   0.3%
  Guidewire Software Inc.*  2,075,478    230,067   0.3%
  Zendesk Inc.*  2,360,305    208,958   0.2%
  Ciena Corp.*  3,844,735    208,231   0.2%
  Alteryx Inc. Class A*  1,260,280    207,039   0.2%
Technology—Other*,1  9,462,797  10.9%
                      12,713,811  14.6%
Telecommunications*,1 490,551 0.6%
Utilities    
  Atmos Energy Corp.  3,063,042    305,018   0.4%
  Essential Utilities Inc.  6,137,307    259,240   0.3%
  PG&E Corp.*,1 23,865,073    211,683   0.2%
5

Small-Cap Index Fund
          Market
Value

($000)
Percentage
of Net
Assets
Utilities—Other*,1  2,060,919   2.4%
                       2,836,860   3.3%
Total Common Stocks (Cost $75,043,210) 86,530,053 99.3%
Preferred Stocks (Cost $2,977) 2,979 0.0%
      Coupon Shares    
Temporary Cash Investments
Money Market Fund    
  Vanguard Market Liquidity Fund5,6 0.227% 23,850,257  2,385,026   2.7%
U.S. Government and Agency Obligations7 71,025 0.1%
Total Temporary Cash Investments (Cost $2,455,606) 2,456,051 2.8%
Total Investments (Cost $77,501,793) 88,989,083 102.1%
Other Assets and Liabilities—Net (1,844,966) (2.1%)
Net Assets     87,144,117 100.0%
Cost is in $000.
See Note A in Notes to Financial Statements.
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.
* Includes non-income producing security.
1 Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $1,787,026,000.
2 Certain securities are valued using significant unobservable inputs.
3 Certain securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. At June 30, 2020, the aggregate value of these securities was $46,282,000, representing 0.1% of net assets.
4 “Other” represents securities that are not classified by the fund’s benchmark index.
5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
6 Collateral of $1,879,657,000 was received for securities on loan, of which $1,777,918,000 is held in Vanguard Market Liquidity Fund and $101,739,000 is held in cash.
7 Securities with a value of $40,704,000 have been segregated as initial margin for open futures contracts.
6

Small-Cap Index Fund

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 September 2020 2,925 210,249 6,495
E-mini S&P Mid-Cap 400 Index September 2020 1,437 255,657 3,769
        10,264
    
Over-the-Counter Total Return Swaps
Reference Entity Termination
Date
Counterparty Notional
Amount
($000)
Floating
Interest
Rate
Received
(Paid)1
(%)
Value and
Unrealized
Appreciation
($000)
Value and
Unrealized
(Depreciation)
($000)
Ollie's Bargain Outlet Holdings Inc. 2/2/21 GSI 46,405 (0.194) 2,417
VICI Properties Inc. 2/2/21 GSI 68,490 (0.194) (7,032)
Zendesk Inc. 2/2/21 GSI 40,110 (0.194) 4,152
          6,569 (7,032)
1 Based on 1-month USD London Interbank Offered Rate (LIBOR) as of the most recent payment date. Floating interest payment received/paid monthly.
GSI—Goldman Sachs International.
See accompanying Notes, which are an integral part of the Financial Statements.
7

Small-Cap Index Fund
Statement of Assets and Liabilities
As of June 30, 2020
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers (Cost $75,117,212) 86,604,057
Affiliated Issuers (Cost $2,384,581) 2,385,026
Total Investments in Securities 88,989,083
Investment in Vanguard 3,890
Cash 230,900
Cash Collateral Pledged—Over-the-Counter Swap Contracts 1,428
Receivables for Investment Securities Sold 38,377
Receivables for Accrued Income 82,672
Receivables for Capital Shares Issued 43,782
Variation Margin Receivable—Futures Contracts 5,440
Unrealized Appreciation—Over-the-Counter Swap Contracts 6,569
Total Assets 89,402,141
Liabilities  
Payables for Investment Securities Purchased 251,847
Collateral for Securities on Loan 1,879,657
Payables for Capital Shares Redeemed 117,359
Payables to Vanguard 2,129
Unrealized Depreciation—Over-the-Counter Swap Contracts 7,032
Total Liabilities 2,258,024
Net Assets 87,144,117
8

Small-Cap Index Fund
Statement of Assets and Liabilities (continued)

At June 30, 2020, net assets consisted of:  
($000s, except shares and per-share amounts) Amount
Paid-in Capital 78,844,554
Total Distributable Earnings (Loss) 8,299,563
Net Assets 87,144,117
 
Investor Shares—Net Assets  
Applicable to 8,888,883 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 621,215
Net Asset Value Per Share—Investor Shares $69.89
 
ETF Shares—Net Assets  
Applicable to 183,470,101 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 26,762,183
Net Asset Value Per Share—ETF Shares $145.87
 
Admiral Shares—Net Assets  
Applicable to 519,735,581 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 36,329,147
Net Asset Value Per Share—Admiral Shares $69.90
 
Institutional Shares—Net Assets  
Applicable to 213,460,804 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 14,920,224
Net Asset Value Per Share—Institutional Shares $69.90
 
Institutional Plus Shares—Net Assets  
Applicable to 42,188,223 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 8,511,348
Net Asset Value Per Share—Institutional Plus Shares $201.75
See accompanying Notes, which are an integral part of the Financial Statements.
9

Small-Cap Index Fund
Statement of Operations
  Six Months Ended
June 30, 2020
  ($000)
Investment Income  
Income  
Dividends 516,960
Interest1 3,827
Securities Lending—Net 28,731
Total Income 549,518
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,725
Management and Administrative—Investor Shares 466
Management and Administrative—ETF Shares 4,520
Management and Administrative—Admiral Shares 6,777
Management and Administrative—Institutional Shares 2,279
Management and Administrative—Institutional Plus Shares 937
Marketing and Distribution—Investor Shares 44
Marketing and Distribution—ETF Shares 656
Marketing and Distribution—Admiral Shares 1,091
Marketing and Distribution—Institutional Shares 216
Marketing and Distribution—Institutional Plus Shares 58
Custodian Fees 361
Shareholders’ Reports—Investor Shares 1
Shareholders’ Reports—ETF Shares 537
Shareholders’ Reports—Admiral Shares 219
Shareholders’ Reports—Institutional Shares 86
Shareholders’ Reports—Institutional Plus Shares 24
Trustees’ Fees and Expenses 32
Total Expenses 20,029
Net Investment Income 529,489
Realized Net Gain (Loss)  
Investment Securities Sold1,2 87,197
Futures Contracts (182,698)
Swap Contracts 27,052
Realized Net Gain (Loss) (68,449)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities1 (11,634,528)
Futures Contracts (2,122)
Swap Contracts (4,157)
Change in Unrealized Appreciation (Depreciation) (11,640,807)
10

Small-Cap Index Fund
Statement of Operations (continued)
  Six Months Ended
June 30, 2020
  ($000)
Net Increase (Decrease) in Net Assets Resulting from Operations (11,179,767)
1 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $3,666,000, $185,000, and $194,000, respectively. Purchases and sales are for temporary cash investment purposes.
2 Includes $2,872,793,000 of the net gain (loss) resulting from in-kind redemptions.
See accompanying Notes, which are an integral part of the Financial Statements.
11

Small-Cap Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2020
  Year Ended
December 31,
2019
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 529,489   1,349,681
Realized Net Gain (Loss) (68,449)   3,514,715
Change in Unrealized Appreciation (Depreciation) (11,640,807)   16,315,730
Net Increase (Decrease) in Net Assets Resulting from Operations (11,179,767)   21,180,126
Distributions1      
Investor Shares (3,002)   (25,052)
ETF Shares (141,757)   (376,516)
Admiral Shares (198,245)   (573,717)
Institutional Shares (81,651)   (252,735)
Institutional Plus Shares (46,274)   (127,673)
Total Distributions (470,929)   (1,355,693)
Capital Share Transactions      
Investor Shares (44,397)   (3,270,489)
ETF Shares 2,619,319   1,083,803
Admiral Shares (945,239)   2,881,296
Institutional Shares (375,057)   (806,199)
Institutional Plus Shares 775,510   (895,629)
Net Increase (Decrease) from Capital Share Transactions 2,030,136   (1,007,218)
Total Increase (Decrease) (9,620,560)   18,817,215
Net Assets      
Beginning of Period 96,764,677   77,947,462
End of Period 87,144,117   96,764,677
1 Certain prior period numbers have been reclassed to conform with current period presentation.
See accompanying Notes, which are an integral part of the Financial Statements.
12

Small-Cap Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $79.35 $63.21 $70.76 $61.75 $53.03 $55.86
Investment Operations            
Net Investment Income .3801 .8321 .9671 .8761 .843 .727
Net Realized and Unrealized Gain (Loss) on Investments (9.506) 16.319 (7.552) 9.011 8.734 (2.840)
Total from Investment Operations (9.126) 17.151 (6.585) 9.887 9.577 (2.113)
Distributions            
Dividends from Net Investment Income (.334) (1.011) (.965) (.877) (.857) (.717)
Distributions from Realized Capital Gains
Total Distributions (.334) (1.011) (.965) (.877) (.857) (.717)
Net Asset Value, End of Period $69.89 $79.35 $63.21 $70.76 $61.75 $53.03
Total Return2 -11.47% 27.22% -9.43% 16.10% 18.17% -3.78%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $621 $754 $3,332 $4,345 $4,401 $4,058
Ratio of Total Expenses to Average Net Assets 0.17% 0.17% 0.17% 0.17% 0.18% 0.20%
Ratio of Net Investment Income to Average Net Assets 1.29% 1.14% 1.34% 1.36% 1.55% 1.33%
Portfolio Turnover Rate3 8% 16% 15% 15% 14% 11%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Total 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.
3 Excludes 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.
13

Small-Cap Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $165.64 $131.94 $147.71 $128.90 $110.71 $116.61
Investment Operations            
Net Investment Income .8881 2.2981 2.2391 2.0371 1.899 1.668
Net Realized and Unrealized Gain (Loss) on Investments (19.871) 33.707 (15.808) 18.768 18.221 (5.931)
Total from Investment Operations (18.983) 36.005 (13.569) 20.805 20.120 (4.263)
Distributions            
Dividends from Net Investment Income (.787) (2.305) (2.201) (1.995) (1.930) (1.637)
Distributions from Realized Capital Gains
Total Distributions (.787) (2.305) (2.201) (1.995) (1.930) (1.637)
Net Asset Value, End of Period $145.87 $165.64 $131.94 $147.71 $128.90 $110.71
Total Return -11.44% 27.37% -9.30% 16.24% 18.31% -3.65%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $26,762 $27,442 $20,914 $21,605 $16,153 $11,478
Ratio of Total Expenses to Average Net Assets 0.05% 0.05% 0.05% 0.05% 0.06% 0.08%
Ratio of Net Investment Income to Average Net Assets 1.43% 1.49% 1.46% 1.48% 1.67% 1.45%
Portfolio Turnover Rate2 8% 16% 15% 15% 14% 11%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes 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.
14

Small-Cap Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $79.37 $63.23 $70.78 $61.77 $53.05 $55.87
Investment Operations            
Net Investment Income .4221 1.1081 1.0671 .9701 .910 .797
Net Realized and Unrealized Gain (Loss) on Investments (9.515) 16.136 (7.563) 8.997 8.733 (2.833)
Total from Investment Operations (9.093) 17.244 (6.496) 9.967 9.643 (2.036)
Distributions            
Dividends from Net Investment Income (.377) (1.104) (1.054) (.957) (.923) (.784)
Distributions from Realized Capital Gains
Total Distributions (.377) (1.104) (1.054) (.957) (.923) (.784)
Net Asset Value, End of Period $69.90 $79.37 $63.23 $70.78 $61.77 $53.05
Total Return2 -11.42% 27.37% -9.31% 16.24% 18.30% -3.64%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $36,329 $42,386 $31,382 $33,801 $27,778 $21,441
Ratio of Total Expenses to Average Net Assets 0.05% 0.05% 0.05% 0.05% 0.06% 0.08%
Ratio of Net Investment Income to Average Net Assets 1.42% 1.50% 1.46% 1.48% 1.67% 1.45%
Portfolio Turnover Rate3 8% 16% 15% 15% 14% 11%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Total 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.
3 Excludes 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.
15

Small-Cap Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $79.37 $63.22 $70.78 $61.77 $53.05 $55.87
Investment Operations            
Net Investment Income .4251 1.1011 1.0761 .9751 .915 .803
Net Realized and Unrealized Gain (Loss) on Investments (9.515) 16.161 (7.575) 8.998 8.734 (2.834)
Total from Investment Operations (9.090) 17.262 (6.499) 9.973 9.649 (2.031)
Distributions            
Dividends from Net Investment Income (.380) (1.112) (1.061) (.963) (.929) (.789)
Distributions from Realized Capital Gains
Total Distributions (.380) (1.112) (1.061) (.963) (.929) (.789)
Net Asset Value, End of Period $69.90 $79.37 $63.22 $70.78 $61.77 $53.05
Total Return -11.42% 27.40% -9.32% 16.25% 18.32% -3.63%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $14,920 $17,337 $14,454 $15,352 $13,030 $10,036
Ratio of Total Expenses to Average Net Assets 0.04% 0.04% 0.04% 0.04% 0.05% 0.07%
Ratio of Net Investment Income to Average Net Assets 1.43% 1.49% 1.47% 1.49% 1.68% 1.46%
Portfolio Turnover Rate2 8% 16% 15% 15% 14% 11%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes 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
Institutional Plus Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $229.09 $182.49 $204.30 $178.28 $153.11 $161.27
Investment Operations            
Net Investment Income 1.2461 3.1861 3.1021 2.8351 2.660 2.353
Net Realized and Unrealized Gain (Loss) on Investments (27.478) 46.645 (21.825) 25.980 25.213 (8.203)
Total from Investment Operations (26.232) 49.831 (18.723) 28.815 27.873 (5.850)
Distributions            
Dividends from Net Investment Income (1.108) (3.231) (3.087) (2.795) (2.703) (2.310)
Distributions from Realized Capital Gains
Total Distributions (1.108) (3.231) (3.087) (2.795) (2.703) (2.310)
Net Asset Value, End of Period $201.75 $229.09 $182.49 $204.30 $178.28 $153.11
Total Return -11.41% 27.40% -9.30% 16.27% 18.33% -3.62%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $8,511 $8,846 $7,866 $9,531 $8,080 $6,925
Ratio of Total Expenses to Average Net Assets 0.03% 0.03% 0.03% 0.03% 0.04% 0.05%
Ratio of Net Investment Income to Average Net Assets 1.45% 1.49% 1.48% 1.50% 1.69% 1.48%
Portfolio Turnover Rate2 8% 16% 15% 15% 14% 11%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes 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
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.
Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.
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 Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Schedule of Investments. 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 gains (losses) on futures contracts.
18

Small-Cap Index Fund
During the six months ended June 30, 2020, 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 Schedule of Investments. 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 periodic payments are made or the 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's 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 Schedule of Investments. 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 six months ended June 30, 2020, 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.
19

Small-Cap Index Fund
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, 2016–2019), and for the period ended June 30, 2020, 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 at the fiscal year-end 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. Collateral investments in Vanguard Market Liquidity Fund are subject to market appreciation or depreciation. 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 Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group ("Vanguard") participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed 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 either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternative rate agreed to by the fund and Vanguard.
In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund
20

Small-Cap Index Fund
Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.
For the six months ended June 30, 2020, the fund did not utilize the credit facilities or the Interfund Lending Program.
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 are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. 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 and 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 June 30, 2020, the fund had contributed to Vanguard capital in the amount of $3,890,000, representing less than 0.01% of the fund’s net assets and 1.56% of Vanguard’s capital received pursuant to the FSA. 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 Schedule of Investments.
21

Small-Cap Index Fund
The following table summarizes the market value of the fund's investments and derivatives as of June 30, 2020, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 86,527,499 2,554 86,530,053
Preferred Stocks 2,979 2,979
Temporary Cash Investments 2,385,026 71,025 2,456,051
Total 88,915,504 71,025 2,554 88,989,083
Derivative Financial Instruments        
Assets        
Futures Contracts1 5,440 5,440
Swap Contracts 6,569 6,569
Total 5,440 6,569 12,009
Liabilities        
Swap Contracts 7,032 7,032
1 Represents variation margin on the last day of the reporting period.
D. As of June 30, 2020, 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 77,633,286
Gross Unrealized Appreciation 24,660,104
Gross Unrealized Depreciation (13,294,506)
Net Unrealized Appreciation (Depreciation) 11,365,598
The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at December 31, 2019, the fund had available capital losses totaling $3,162,458,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending December 31, 2020; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.
E. During the six months ended June 30, 2020, the fund purchased $13,892,431,000 of investment securities and sold $11,484,728,000 of investment securities, other than temporary cash investments. Purchases and sales include $6,361,570,000 and $4,913,088,000, 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 six months ended June 30, 2020, such purchases and sales were $2,420,870,000 and $841,794,000,
22

Small-Cap Index Fund
respectively; these amounts, other than temporary cash investments, are included in the purchases and sales of investment securities noted above.
F. Capital share transactions for each class of shares were:
    
  Six Months Ended
June 30, 2020
  Year Ended
December 31, 2019
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 29,844 467   137,396 1,894
Issued in Lieu of Cash Distributions 3,002 46   23,964 325
Redeemed1 (77,243) (1,121)   (3,431,849) (45,436)
Net Increase (Decrease)—Investor Shares (44,397) (608)   (3,270,489) (43,217)
ETF Shares          
Issued 7,489,547 51,121   10,788,650 69,540
Issued in Lieu of Cash Distributions  
Redeemed (4,870,228) (33,325)   (9,704,847) (62,375)
Net Increase (Decrease)—ETF Shares 2,619,319 17,796   1,083,803 7,165
Admiral Shares          
Issued1 4,062,528 62,787   8,928,336 119,825
Issued in Lieu of Cash Distributions 176,552 2,718   511,551 6,752
Redeemed (5,184,319) (79,788)   (6,558,591) (88,898)
Net Increase (Decrease)—Admiral Shares (945,239) (14,283)   2,881,296 37,679
Institutional Shares          
Issued 1,705,059 25,864   2,619,998 35,784
Issued in Lieu of Cash Distributions 76,864 1,183   238,753 3,158
Redeemed (2,156,980) (32,014)   (3,664,950) (49,122)
Net Increase (Decrease)—Institutional Shares (375,057) (4,967)   (806,199) (10,180)
Institutional Plus Shares          
Issued 1,334,134 6,442   1,280,843 6,003
Issued in Lieu of Cash Distributions 46,271 247   127,673 585
Redeemed (604,895) (3,116)   (2,304,145) (11,075)
Net Increase (Decrease)—Institutional Plus Shares 775,510 3,573   (895,629) (4,487)
1 In November 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. As a result, all of the outstanding Investor Shares automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors. Investor Shares—Redeemed and Admiral Shares—Issued include 39,859,000 and 39,843,000 shares, respectively, in the amount of $2,917,816,000 from the conversion during the year ended December 31, 2019.
G. Management has determined that no events or transactions occurred subsequent to June 30, 2020, that would require recognition or disclosure in these financial statements.
23

Small-Cap Growth Index Fund
Fund Allocation
As of June 30, 2020
Basic Materials 1.2%
Consumer Goods 5.5
Consumer Services 12.3
Financials 12.3
Health Care 24.6
Industrials 18.0
Oil & Gas 1.7
Other 0.0
Technology 23.2
Telecommunications 0.6
Utilities 0.6
The table reflects the fund’s investments, except for short-term investments and derivatives. 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.
The fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.
The Industry Classification Benchmark (“ICB”) is owned by FTSE. FTSE does not accept any liability to any person for any loss or damage arising out of any error or omission in the ICB.
24

Small-Cap Growth Index Fund
Financial Statements (unaudited)
Schedule of Investments—Investments Summary
As of June 30, 2020
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 files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) four times in each fiscal year. For the second and fourth quarters the complete list of the fund’s holdings is available on vanguard.com and on Form N-CSR, or you can have it mailed to you without charge by calling 800-662-7447. For the first and third quarters of each fiscal year, the complete list of the fund’s holdings is available as an exhibit to its reports on Form N-PORT. The fund’s Form N-CSR and Form N-PORT reports are available on the SEC’s website at www.sec.gov.
        Shares Market
Value
($000)
Percentage
of Net
Assets
Common Stocks    
Basic Materials    
  Royal Gold Inc.    996,406    123,873   0.5%
Basic Materials—Other*    195,236   0.7%
                         319,109   1.2%
Consumer Goods    
  Pool Corp.    576,391    156,703   0.6%
  Zynga Inc. Class A* 13,078,083    124,765   0.5%
Consumer Goods—Other*,1  1,142,991   4.4%
                       1,424,459   5.5%
Consumer Services    
  Etsy Inc.*  1,803,051    191,538   0.7%
  Cable One Inc.     81,761    145,114   0.6%
  Trade Desk Inc. Class A*    310,663    126,285   0.5%
  Chegg Inc.*  1,784,588    120,031   0.5%
  Bright Horizons Family Solutions Inc.*    916,421    107,405   0.4%
Consumer Services—Other*,1  2,465,799   9.5%
                       3,156,172  12.2%
Financials    
  Equity LifeStyle Properties Inc.  2,628,996    164,260   0.6%
  CyrusOne Inc.  1,750,176    127,325   0.5%
  Zillow Group Inc. Class C*,1  2,019,982    116,371   0.5%
  Americold Realty Trust  3,042,764    110,452   0.4%
Financials—Other*,1  2,642,171  10.2%
                       3,160,579  12.2%
Health Care    
  Teladoc Health Inc.*  1,131,124    215,864   0.8%
  Insulet Corp.*    994,406    193,173   0.8%
  Catalent Inc.*  2,471,087    181,131   0.7%
  Sarepta Therapeutics Inc.*  1,125,605    180,480   0.7%
25

Small-Cap Growth Index Fund
        Shares Market
Value

($000)
Percentage
of Net
Assets
  Neurocrine Biosciences Inc.*  1,410,849    172,124   0.7%
  Masimo Corp.*    739,933    168,697   0.7%
  Horizon Therapeutics plc*  2,898,457    161,096   0.6%
  Bio-Techne Corp.    580,726    153,352   0.6%
  Bio-Rad Laboratories Inc. Class A*    317,273    143,246   0.6%
  West Pharmaceutical Services Inc.    559,194    127,032   0.5%
  Quidel Corp.*    542,362    121,348   0.5%
  Ionis Pharmaceuticals Inc.*  2,010,814    118,558   0.5%
  Immunomedics Inc.*  3,157,169    111,890   0.4%
  Exelixis Inc.*  4,658,918    110,603   0.4%
  Chemed Corp.    241,148    108,775   0.4%
Health Care—Other*,1  4,077,197  15.7%
                       6,344,566  24.6%
Industrials    
  Zebra Technologies Corp. Class A*    806,597    206,448   0.8%
  Fair Isaac Corp.*    418,612    174,997   0.7%
  Teledyne Technologies Inc.*    557,056    173,217   0.7%
  Nordson Corp.    791,131    150,085   0.6%
  Lennox International Inc.    551,993    128,609   0.5%
  Graco Inc.  2,531,127    121,469   0.5%
  Trex Co. Inc.*    878,908    114,320   0.4%
  WEX Inc.*    661,035    109,077   0.4%
  Toro Co.  1,625,333    107,825   0.4%
  Jack Henry & Associates Inc.    581,986    107,103   0.4%
Industrials—Other*,1,2  3,240,032  12.6%
                       4,633,182  18.0%
Oil & Gas*,1 429,134 1.7%
Other*,3,4 1,210 0.0%
Technology    
  Coupa Software Inc.*  1,012,440    280,486   1.1%
  Teradyne Inc.  2,518,247    212,817   0.8%
  EPAM Systems Inc.*    803,042    202,375   0.8%
  MongoDB Inc. Class A*    768,131    173,859   0.7%
  Zendesk Inc.*  1,735,417    153,636   0.6%
  Monolithic Power Systems Inc.    645,725    153,037   0.6%
  HubSpot Inc.*    629,677    141,268   0.6%
  Ceridian HCM Holding Inc.*  1,761,355    139,623   0.5%
  Guidewire Software Inc.*  1,259,273    139,590   0.5%
  Ciena Corp.*  2,332,297    126,317   0.5%
  PTC Inc.*  1,581,986    123,063   0.5%
  Entegris Inc.  2,045,008    120,758   0.5%
  Zscaler Inc.*  1,080,840    118,352   0.5%
Technology—Other*,1  3,895,191  15.0%
                       5,980,372  23.2%
Telecommunications*,1 159,458 0.6%
Utilities* 145,579 0.6%
Total Common Stocks (Cost $19,927,395) 25,753,820 99.8%
26

Small-Cap Growth Index Fund
      Coupon Shares Market
Value

($000)
Percentage
of Net
Assets
Temporary Cash Investments
Money Market Fund    
  Vanguard Market Liquidity Fund5,6 0.227%  4,885,806    488,581   1.9%
U.S. Government and Agency Obligations7 5,798 0.0%
Total Temporary Cash Investments (Cost $494,265) 494,379 1.9%
Total Investments (Cost $20,421,660) 26,248,199 101.7%
Other Assets and Liabilities—Net (444,892) (1.7%)
Net Assets     25,803,307 100.0%
Cost is in $000.
See Note A in Notes to Financial Statements.
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.
* Includes non-income producing security.
1 Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $444,758,000.
2 Certain securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. At June 30, 2020, the aggregate value of these securities was $14,061,000, representing 0.1% of net assets.
3 “Other” represents securities that are not classified by the fund’s benchmark index.
4 Certain securities are valued using significant unobservable inputs.
5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
6 Collateral of $464,582,000 was received for securities on loan, of which $464,404,000 is held in Vanguard Market Liquidity Fund and $178,000 is held in cash.
7 Securities with a value of $2,005,000 have been segregated as initial margin for open futures contracts.
27

Small-Cap Growth Index Fund

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 September 2020 310 22,283 614
    
Over-the-Counter Total Return Swaps
Reference Entity Termination
Date
Counterparty Notional
Amount
($000)
Floating
Interest
Rate
Received
(Paid)1
(%)
Value and
Unrealized
Appreciation
($000)
Value and
Unrealized
(Depreciation)
($000)
Alteryx Inc. 2/2/21 GSI 27,159 (0.194) 4,053
Penumbra Inc. 2/2/21 GSI 11,213 (0.194) 410
          4,463
1 Based on 1-month USD London Interbank Offered Rate (LIBOR) as of the most recent payment date. Floating interest payment received/paid monthly.
GSI—Goldman Sachs International.
At June 30, 2020, counterparties had deposited in a segregated account securities with a value of $3,719,000 in connection with open over-the-counter swap contracts.
See accompanying Notes, which are an integral part of the Financial Statements.
28

Small-Cap Growth Index Fund
Statement of Assets and Liabilities
As of June 30, 2020
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers (Cost $19,933,193) 25,759,618
Affiliated Issuers (Cost $488,467) 488,581
Total Investments in Securities 26,248,199
Investment in Vanguard 1,137
Cash 14,978
Receivables for Investment Securities Sold 13,485
Receivables for Accrued Income 13,223
Receivables for Capital Shares Issued 7,104
Variation Margin Receivable—Futures Contracts 223
Unrealized Appreciation—Over-the-Counter Swap Contracts 4,463
Total Assets 26,302,812
Liabilities  
Payables for Investment Securities Purchased 14,524
Collateral for Securities on Loan 464,582
Payables for Capital Shares Redeemed 19,473
Payables to Vanguard 926
Total Liabilities 499,505
Net Assets 25,803,307
29

Small-Cap Growth Index Fund
Statement of Assets and Liabilities (continued)

At June 30, 2020, net assets consisted of:  
($000s, except shares and per-share amounts) Amount
Paid-in Capital 20,830,956
Total Distributable Earnings (Loss) 4,972,351
Net Assets 25,803,307
 
Investor Shares—Net Assets  
Applicable to 2,821,500 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 158,503
Net Asset Value Per Share—Investor Shares $56.18
 
ETF Shares—Net Assets  
Applicable to 52,271,717 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 10,439,074
Net Asset Value Per Share—ETF Shares $199.71
 
Admiral Shares—Net Assets  
Applicable to 175,777,754 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 12,344,325
Net Asset Value Per Share—Admiral Shares $70.23
 
Institutional Shares—Net Assets  
Applicable to 50,877,795 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 2,861,405
Net Asset Value Per Share—Institutional Shares $56.24
See accompanying Notes, which are an integral part of the Financial Statements.
30

Small-Cap Growth Index Fund
Statement of Operations
  Six Months Ended
June 30, 2020
  ($000)
Investment Income  
Income  
Dividends 62,960
Interest1 219
Securities Lending—Net 7,551
Total Income 70,730
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,162
Management and Administrative—Investor Shares 125
Management and Administrative—ETF Shares 2,328
Management and Administrative—Admiral Shares 3,001
Management and Administrative—Institutional Shares 598
Marketing and Distribution—Investor Shares 11
Marketing and Distribution—ETF Shares 210
Marketing and Distribution—Admiral Shares 345
Marketing and Distribution—Institutional Shares 41
Custodian Fees 102
Shareholders’ Reports—Investor Shares
Shareholders’ Reports—ETF Shares 214
Shareholders’ Reports—Admiral Shares 70
Shareholders’ Reports—Institutional Shares 33
Trustees’ Fees and Expenses 9
Total Expenses 8,249
Expenses Paid Indirectly (43)
Net Expenses 8,206
Net Investment Income 62,524
Realized Net Gain (Loss)  
Investment Securities Sold1,2 900,114
Futures Contracts (20,588)
Swap Contracts 8,790
Realized Net Gain (Loss) 888,316
Change in Unrealized Appreciation (Depreciation)  
Investment Securities1 (769,212)
Futures Contracts (29)
Swap Contracts 4,463
Change in Unrealized Appreciation (Depreciation) (764,778)
Net Increase (Decrease) in Net Assets Resulting from Operations 186,062
    
31

Small-Cap Growth Index Fund
1 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $199,000, $100,000, and $64,000, respectively. Purchases and sales are for temporary cash investment purposes.
2 Includes $1,359,003,000 of the net gain (loss) resulting from in-kind redemptions.
See accompanying Notes, which are an integral part of the Financial Statements.
32

Small-Cap Growth Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2020
  Year Ended
December 31,
2019
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 62,524   153,179
Realized Net Gain (Loss) 888,316   1,874,382
Change in Unrealized Appreciation (Depreciation) (764,778)   4,483,283
Net Increase (Decrease) in Net Assets Resulting from Operations 186,062   6,510,844
Distributions1      
Investor Shares (218)   (3,662)
ETF Shares (19,116)   (55,954)
Admiral Shares (23,700)   (70,366)
Institutional Shares (5,630)   (19,599)
Total Distributions (48,664)   (149,581)
Capital Share Transactions      
Investor Shares (11,745)   (1,668,248)
ETF Shares 468,439   219,981
Admiral Shares (362,144)   1,358,659
Institutional Shares (368,719)   (496,162)
Net Increase (Decrease) from Capital Share Transactions (274,169)   (585,770)
Total Increase (Decrease) (136,771)   5,775,493
Net Assets      
Beginning of Period 25,940,078   20,164,585
End of Period 25,803,307   25,940,078
1 Certain prior period numbers have been reclassed to conform with current period presentation.
See accompanying Notes, which are an integral part of the Financial Statements.
33

Small-Cap Growth Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $55.89 $42.36 $45.24 $37.43 $34.18 $35.40
Investment Operations            
Net Investment Income .1031 .1781 .2741 .3151 .355 .292
Net Realized and Unrealized Gain (Loss) on Investments .261 13.617 (2.879) 7.814 3.257 (1.225)
Total from Investment Operations .364 13.795 (2.605) 8.129 3.612 (.933)
Distributions            
Dividends from Net Investment Income (.074) (.265) (.275) (.319) (.362) (.287)
Distributions from Realized Capital Gains
Total Distributions (.074) (.265) (.275) (.319) (.362) (.287)
Net Asset Value, End of Period $56.18 $55.89 $42.36 $45.24 $37.43 $34.18
Total Return2 0.67% 32.60% -5.80% 21.78% 10.61% -2.64%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $159 $171 $1,461 $1,816 $1,850 $1,986
Ratio of Total Expenses to Average Net Assets 0.19% 0.19% 0.19% 0.19% 0.19% 0.20%
Ratio of Net Investment Income to Average Net Assets 0.52% 0.35% 0.58% 0.78% 1.03% 0.82%
Portfolio Turnover Rate3 6% 18% 22% 19% 27% 23%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Total 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.
3 Excludes 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.
34

Small-Cap Growth Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $198.68 $150.57 $160.81 $133.07 $121.53 $125.88
Investment Operations            
Net Investment Income .4881 1.1751 1.2141 1.3201 1.416 1.202
Net Realized and Unrealized Gain (Loss) on Investments .920 48.077 (10.263) 27.731 11.563 (4.362)
Total from Investment Operations 1.408 49.252 (9.049) 29.051 12.979 (3.160)
Distributions            
Dividends from Net Investment Income (.378) (1.142) (1.191) (1.311) (1.439) (1.190)
Distributions from Realized Capital Gains
Total Distributions (.378) (1.142) (1.191) (1.311) (1.439) (1.190)
Net Asset Value, End of Period $199.71 $198.68 $150.57 $160.81 $133.07 $121.53
Total Return 0.73% 32.75% -5.68% 21.90% 10.74% -2.51%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $10,439 $9,833 $7,286 $6,981 $5,328 $4,422
Ratio of Total Expenses to Average Net Assets 0.07% 0.07% 0.07% 0.07% 0.07% 0.08%
Ratio of Net Investment Income to Average Net Assets 0.65% 0.64% 0.70% 0.90% 1.15% 0.94%
Portfolio Turnover Rate2 6% 18% 22% 19% 27% 23%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes 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.
35

Small-Cap Growth Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $69.87 $52.95 $56.55 $46.79 $42.73 $44.26
Investment Operations            
Net Investment Income .1691 .4191 .4231 .4651 .496 .421
Net Realized and Unrealized Gain (Loss) on Investments .324 16.902 (3.605) 9.755 4.069 (1.534)
Total from Investment Operations .493 17.321 (3.182) 10.220 4.565 (1.113)
Distributions            
Dividends from Net Investment Income (.133) (.401) (.418) (.460) (.505) (.417)
Distributions from Realized Capital Gains
Total Distributions (.133) (.401) (.418) (.460) (.505) (.417)
Net Asset Value, End of Period $70.23 $69.87 $52.95 $56.55 $46.79 $42.73
Total Return2 0.73% 32.76% -5.68% 21.92% 10.73% -2.52%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $12,344 $12,717 $8,560 $8,729 $6,648 $5,933
Ratio of Total Expenses to Average Net Assets 0.07% 0.07% 0.07% 0.07% 0.07% 0.08%
Ratio of Net Investment Income to Average Net Assets 0.64% 0.65% 0.70% 0.90% 1.15% 0.94%
Portfolio Turnover Rate3 6% 18% 22% 19% 27% 23%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Total 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.
3 Excludes 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.
36

Small-Cap Growth Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $55.95 $42.40 $45.29 $37.47 $34.22 $35.45
Investment Operations            
Net Investment Income .1381 .3271 .3351 .3751 .401 .341
Net Realized and Unrealized Gain (Loss) on Investments .261 13.550 (2.886) 7.818 3.257 (1.234)
Total from Investment Operations .399 13.877 (2.551) 8.193 3.658 (.893)
Distributions            
Dividends from Net Investment Income (.109) (.327) (.339) (.373) (.408) (.337)
Distributions from Realized Capital Gains
Total Distributions (.109) (.327) (.339) (.373) (.408) (.337)
Net Asset Value, End of Period $56.24 $55.95 $42.40 $45.29 $37.47 $34.22
Total Return 0.74% 32.77% -5.69% 21.94% 10.74% -2.52%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $2,861 $3,218 $2,858 $3,690 $2,969 $2,793
Ratio of Total Expenses to Average Net Assets 0.06% 0.06% 0.06% 0.06% 0.06% 0.07%
Ratio of Net Investment Income to Average Net Assets 0.65% 0.64% 0.71% 0.91% 1.16% 0.95%
Portfolio Turnover Rate2 6% 18% 22% 19% 27% 23%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes 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
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.
Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.
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 Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Schedule of Investments. 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 gains (losses) on futures contracts.
38

Small-Cap Growth Index Fund
During the six months ended June 30, 2020, 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 Schedule of Investments. 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 periodic payments are made or the 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's 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 Schedule of Investments. 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 six months ended June 30, 2020, 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.
39

Small-Cap Growth Index Fund
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, 2016–2019), and for the period ended June 30, 2020, 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 at the fiscal year-end 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. Collateral investments in Vanguard Market Liquidity Fund are subject to market appreciation or depreciation. 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 Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group ("Vanguard") participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed 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 either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternative rate agreed to by the fund and Vanguard.
In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund
40

Small-Cap Growth Index Fund
Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.
For the six months ended June 30, 2020, the fund did not utilize the credit facilities or the Interfund Lending Program.
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 are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. 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 and 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 June 30, 2020, the fund had contributed to Vanguard capital in the amount of $1,137,000, representing less than 0.01% of the fund’s net assets and 0.45% of Vanguard’s capital received pursuant to the FSA. 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 six months ended June 30, 2020, custodian fee offset arrangements reduced the fund’s expenses by $43,000 (an annual rate of less than 0.01% 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.).
41

Small-Cap Growth Index Fund
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 Schedule of Investments.
The following table summarizes the market value of the fund's investments and derivatives as of June 30, 2020, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 25,752,610 1,210 25,753,820
Temporary Cash Investments 488,581 5,798 494,379
Total 26,241,191 5,798 1,210 26,248,199
Derivative Financial Instruments        
Assets        
Futures Contracts1 223 223
Swap Contracts 4,463 4,463
Total 223 4,463 4,686
1 Represents variation margin on the last day of the reporting period.
E. As of June 30, 2020, 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 20,436,101
Gross Unrealized Appreciation 8,184,610
Gross Unrealized Depreciation (2,367,435)
Net Unrealized Appreciation (Depreciation) 5,817,175
The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at December 31, 2019, the fund had available capital losses totaling $1,758,188,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending December 31, 2020; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.
F. During the six months ended June 30, 2020, the fund purchased $3,565,033,000 of investment securities and sold $3,720,148,000 of investment securities, other than temporary cash investments. Purchases and sales include $1,705,063,000 and $2,287,479,000, 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 six months ended June 30, 2020, such purchases and sales were $276,844,000 and $813,769,000,
42

Small-Cap Growth Index Fund
respectively; these amounts, other than temporary cash investments, are included in the purchases and sales of investment securities noted above.
G. Capital share transactions for each class of shares were:
    
  Six Months Ended
June 30, 2020
  Year Ended
December 31, 2019
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 11,494 223   341,286 6,457
Issued in Lieu of Cash Distributions 218 4   3,457 68
Redeemed1 (23,457) (469)   (2,012,991) (37,953)
Net Increase (Decrease)—Investor Shares (11,745) (242)   (1,668,248) (31,428)
ETF Shares          
Issued 2,556,501 13,580   4,498,039 24,355
Issued in Lieu of Cash Distributions  
Redeemed (2,088,062) (10,800)   (4,278,058) (23,250)
Net Increase (Decrease)—ETF Shares 468,439 2,780   219,981 1,105
Admiral Shares          
Issued1 1,268,955 20,142   3,425,464 52,593
Issued in Lieu of Cash Distributions 21,451 350   64,077 968
Redeemed (1,652,550) (26,740)   (2,130,882) (33,212)
Net Increase (Decrease)—Admiral Shares (362,144) (6,248)   1,358,659 20,349
Institutional Shares          
Issued 250,823 5,017   517,209 10,047
Issued in Lieu of Cash Distributions 5,236 107   18,501 351
Redeemed (624,778) (11,764)   (1,031,872) (20,274)
Net Increase (Decrease)—Institutional Shares (368,719) (6,640)   (496,162) (9,876)
1 In November 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. As a result, all of the outstanding Investor Shares automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors. Investor Shares—Redeemed and Admiral Shares—Issued include 28,587,000 and 22,871,000 shares, respectively, in the amount of $1,526,396,000 from the conversion during the year ended December 31, 2019.
H. Management has determined that no events or transactions occurred subsequent to June 30, 2020, that would require recognition or disclosure in these financial statements.
43

Small-Cap Value Index Fund
Fund Allocation
As of June 30, 2020
Basic Materials 5.8%
Consumer Goods 8.3
Consumer Services 10.3
Financials 31.2
Health Care 6.7
Industrials 22.0
Oil & Gas 2.8
Other 0.0
Technology 6.5
Telecommunications 0.5
Utilities 5.9
The table reflects the fund’s investments, except for short-term investments and derivatives. 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.
The fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.
The Industry Classification Benchmark (“ICB”) is owned by FTSE. FTSE does not accept any liability to any person for any loss or damage arising out of any error or omission in the ICB.
44

Small-Cap Value Index Fund
Financial Statements (unaudited)
Schedule of Investments—Investments Summary
As of June 30, 2020
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 files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) four times in each fiscal year. For the second and fourth quarters the complete list of the fund’s holdings is available on vanguard.com and on Form N-CSR, or you can have it mailed to you without charge by calling 800-662-7447. For the first and third quarters of each fiscal year, the complete list of the fund’s holdings is available as an exhibit to its reports on Form N-PORT. The fund’s Form N-CSR and Form N-PORT reports are available on the SEC’s website at www.sec.gov.
        Shares Market
Value
($000)
Percentage
of Net
Assets
Common Stocks    
Basic Materials    
  RPM International Inc.  1,945,281    146,013   0.6%
  Reliance Steel & Aluminum Co.    954,741     90,634   0.3%
Basic Materials—Other*,1  1,297,449   4.9%
                       1,534,096   5.8%
Consumer Goods    
  Thor Industries Inc.    787,778     83,922   0.3%
  Polaris Inc.    874,407     80,926   0.3%
  Ingredion Inc.    955,971     79,346   0.3%
Consumer Goods—Other*,1  1,960,736   7.4%
                       2,204,930   8.3%
Consumer Services    
  Peloton Interactive Inc. Class A*  2,941,396    169,924   0.6%
  Service Corp. International  2,542,628     98,883   0.4%
  Williams-Sonoma Inc.  1,160,206     95,148   0.4%
  New York Times Co. Class A  2,243,097     94,277   0.4%
Consumer Services—Other*,1  2,281,585   8.5%
                       2,739,817  10.3%
Financials    
  Medical Properties Trust Inc.  7,936,249    149,201   0.6%
  Brown & Brown Inc.  3,618,697    147,498   0.6%
  RenaissanceRe Holdings Ltd.    744,177    127,277   0.5%
  VICI Properties Inc.  6,039,946    121,946   0.5%
  Gaming and Leisure Properties Inc.  3,111,499    107,658   0.4%
  LPL Financial Holdings Inc.  1,184,960     92,901   0.4%
  Assurant Inc.    896,136     92,562   0.3%
  National Retail Properties Inc.  2,583,556     91,665   0.3%
  Commerce Bancshares Inc.  1,508,009     89,681   0.3%
  Apartment Investment & Management Co. Class A  2,236,316     84,175   0.3%
45

Small-Cap Value Index Fund
        Shares Market
Value

($000)
Percentage
of Net
Assets
  Signature Bank    770,582     82,391   0.3%
  Jones Lang LaSalle Inc.    775,829     80,267   0.3%
Financials—Other*,1,2  6,987,503  26.3%
                       8,254,725  31.1%
Health Care    
  PerkinElmer Inc.  1,673,158    164,120   0.6%
  Molina Healthcare Inc.*    889,538    158,320   0.6%
  STERIS plc    636,909     97,727   0.4%
  Encompass Health Corp.  1,494,986     92,584   0.4%
Health Care—Other*,1,2  1,258,211   4.7%
                       1,770,962   6.7%
Industrials    
  IDEX Corp.  1,132,586    178,994   0.7%
  Booz Allen Hamilton Holding Corp. Class A  2,071,909    161,174   0.6%
  Allegion plc  1,385,267    141,602   0.5%
  Generac Holdings Inc.*    941,583    114,807   0.4%
  AptarGroup Inc.    964,218    107,973   0.4%
  Carlisle Cos. Inc.    825,077     98,737   0.4%
  Howmet Aerospace Inc.  5,897,613     93,477   0.4%
  Owens Corning  1,619,873     90,324   0.3%
  Donaldson Co. Inc.  1,904,799     88,611   0.3%
  Robert Half International Inc.  1,635,230     86,389   0.3%
  AECOM*  2,284,717     85,860   0.3%
  HD Supply Holdings Inc.*  2,433,726     84,329   0.3%
  Arrow Electronics Inc.*  1,185,273     81,416   0.3%
  Quanta Services Inc.  2,067,674     81,115   0.3%
  CoreLogic Inc.  1,192,963     80,191   0.3%
  Knight-Swift Transportation Holdings Inc. Class A  1,913,355     79,806   0.3%
Industrials—Other*,1,3  4,179,651  15.8%
                       5,834,456  21.9%
Oil & Gas*,1 745,311 2.8%
Other*,2,4 257 0.0%
Technology    
  Avalara Inc.*  1,119,451    148,988   0.6%
  ON Semiconductor Corp.*  6,160,602    122,103   0.5%
  Nuance Communications Inc.*  4,225,645    106,930   0.4%
  Leidos Holdings Inc.  1,066,554     99,904   0.4%
  CACI International Inc. Class A*    376,804     81,721   0.3%
Technology—Other*,1,2  1,150,828   4.2%
                       1,710,474   6.4%
Telecommunications* 136,776 0.5%
Utilities    
  Atmos Energy Corp.  1,837,533    182,981   0.7%
  Essential Utilities Inc.  3,681,384    155,502   0.6%
  PG&E Corp.*,1 14,321,422    127,031   0.5%
  UGI Corp.  3,129,902     99,531   0.4%
46

Small-Cap Value Index Fund
          Market
Value

($000)
Percentage
of Net
Assets
Utilities—Other    993,546   3.7%
                       1,558,591   5.9%
Total Common Stocks (Cost $27,206,538) 26,490,395 99.7%
Preferred Stocks (Cost $1,812) 1,813 0.0%
      Coupon Shares    
Temporary Cash Investments
Money Market Fund    
  Vanguard Market Liquidity Fund5,6 0.227%  4,889,620    488,962   1.8%
U.S. Government and Agency Obligations7 5,138 0.0%
Total Temporary Cash Investments (Cost $494,039) 494,100 1.8%
Total Investments (Cost $27,702,389) 26,986,308 101.5%
Other Assets and Liabilities—Net (405,565) (1.5%)
Net Assets     26,580,743 100.0%
Cost is in $000.
See Note A in Notes to Financial Statements.
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.
* Includes non-income producing security.
1 Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $384,902,000.
2 Certain securities are valued using significant unobservable inputs.
3 Certain securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. At June 30, 2020, the aggregate value of these securities was $13,952,000, representing 0.1% of net assets.
4 “Other” represents securities that are not classified by the fund’s benchmark index.
5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
6 Collateral of $415,898,000 was received for securities on loan, of which $408,466,000 is held in Vanguard Market Liquidity Fund and $7,432,000 is held in cash.
7 Securities with a value of $5,138,000 have been segregated as initial margin for open futures contracts.
47

Small-Cap Value Index Fund

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 September 2020 560 40,253 295
E-mini S&P Mid-Cap 400 Index September 2020 100 17,791 254
        549
    
Over-the-Counter Total Return Swaps
Reference Entity Termination
Date
Counterparty Notional
Amount
($000)
Floating
Interest
Rate
Received
(Paid)1
(%)
Value and
Unrealized
Appreciation
($000)
Value and
Unrealized
(Depreciation)
($000)
VICI Properties Inc. 2/2/21 GSI 22,830 (0.194) (2,344)
1 Based on 1-month USD London Interbank Offered Rate (LIBOR) as of the most recent payment date. Floating interest payment received/paid monthly.
GSI—Goldman Sachs International.
See accompanying Notes, which are an integral part of the Financial Statements.
48

Small-Cap Value Index Fund
Statement of Assets and Liabilities
As of June 30, 2020
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers (Cost $27,213,488) 26,497,346
Affiliated Issuers (Cost $488,901) 488,962
Total Investments in Securities 26,986,308
Investment in Vanguard 1,184
Cash 111,779
Cash Collateral Pledged—Over-the-Counter Swap Contracts 2,780
Receivables for Investment Securities Sold 23,222
Receivables for Accrued Income 37,288
Receivables for Capital Shares Issued 13,540
Variation Margin Receivable—Futures Contracts 635
Total Assets 27,176,736
Liabilities  
Payables for Investment Securities Purchased 162,793
Collateral for Securities on Loan 415,898
Payables for Capital Shares Redeemed 14,002
Payables to Vanguard 956
Unrealized Depreciation—Over-the-Counter Swap Contracts 2,344
Total Liabilities 595,993
Net Assets 26,580,743
49

Small-Cap Value Index Fund
Statement of Assets and Liabilities (continued)

At June 30, 2020, net assets consisted of:  
($000s, except shares and per-share amounts) Amount
Paid-in Capital 29,319,054
Total Distributable Earnings (Loss) (2,738,311)
Net Assets 26,580,743
 
Investor Shares—Net Assets  
Applicable to 7,360,094 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 188,663
Net Asset Value Per Share—Investor Shares $25.63
 
ETF Shares—Net Assets  
Applicable to 117,838,850 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 12,597,179
Net Asset Value Per Share—ETF Shares $106.90
 
Admiral Shares—Net Assets  
Applicable to 238,344,542 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 10,948,227
Net Asset Value Per Share—Admiral Shares $45.93
 
Institutional Shares—Net Assets  
Applicable to 110,872,864 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 2,846,674
Net Asset Value Per Share—Institutional Shares $25.68
See accompanying Notes, which are an integral part of the Financial Statements.
50

Small-Cap Value Index Fund
Statement of Operations
  Six Months Ended
June 30, 2020
  ($000)
Investment Income  
Income  
Dividends 249,778
Interest1 385
Securities Lending—Net 9,295
Total Income 259,458
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,191
Management and Administrative—Investor Shares 165
Management and Administrative—ETF Shares 3,031
Management and Administrative—Admiral Shares 2,931
Management and Administrative—Institutional Shares 647
Marketing and Distribution—Investor Shares 14
Marketing and Distribution—ETF Shares 281
Marketing and Distribution—Admiral Shares 356
Marketing and Distribution—Institutional Shares 51
Custodian Fees 126
Shareholders’ Reports—Investor Shares 1
Shareholders’ Reports—ETF Shares 437
Shareholders’ Reports—Admiral Shares 84
Shareholders’ Reports—Institutional Shares 30
Trustees’ Fees and Expenses 11
Total Expenses 9,356
Net Investment Income 250,102
Realized Net Gain (Loss)  
Investment Securities Sold1,2 (689,600)
Futures Contracts (17,219)
Swap Contracts (3,053)
Realized Net Gain (Loss) (709,872)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities1 (6,384,908)
Futures Contracts 301
Swap Contracts (3,592)
Change in Unrealized Appreciation (Depreciation) (6,388,199)
Net Increase (Decrease) in Net Assets Resulting from Operations (6,847,969)
1 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $368,000, $52,000, and $23,000, respectively. Purchases and sales are for temporary cash investment purposes.
2 Includes $553,021,000 of the net gain (loss) resulting from in-kind redemptions.
See accompanying Notes, which are an integral part of the Financial Statements.
51

Small-Cap Value Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2020
  Year Ended
December 31,
2019
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 250,102   660,205
Realized Net Gain (Loss) (709,872)   79,349
Change in Unrealized Appreciation (Depreciation) (6,388,199)   5,267,109
Net Increase (Decrease) in Net Assets Resulting from Operations (6,847,969)   6,006,663
Distributions1      
Investor Shares (1,457)   (17,224)
ETF Shares (102,050)   (296,491)
Admiral Shares (90,765)   (272,117)
Institutional Shares (23,485)   (75,237)
Total Distributions (217,757)   (661,069)
Capital Share Transactions      
Investor Shares (11,334)   (1,486,208)
ETF Shares 966,383   877,303
Admiral Shares 111,691   1,629,545
Institutional Shares (21,912)   (69,319)
Net Increase (Decrease) from Capital Share Transactions 1,044,828   951,321
Total Increase (Decrease) (6,020,898)   6,296,915
Net Assets      
Beginning of Period 32,601,641   26,304,726
End of Period 26,580,743   32,601,641
1 Certain prior period numbers have been reclassed to conform with current period presentation.
See accompanying Notes, which are an integral part of the Financial Statements.
52

Small-Cap Value Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $32.86 $27.35 $31.82 $29.00 $23.69 $25.34
Investment Operations            
Net Investment Income .2291 .5431 .6031 .5341 .477 .431
Net Realized and Unrealized Gain (Loss) on Investments (7.262) 5.608 (4.471) 2.820 5.315 (1.643)
Total from Investment Operations (7.033) 6.151 (3.868) 3.354 5.792 (1.212)
Distributions            
Dividends from Net Investment Income (.197) (.641) (.602) (.534) (.482) (.438)
Distributions from Realized Capital Gains
Total Distributions (.197) (.641) (.602) (.534) (.482) (.438)
Net Asset Value, End of Period $25.63 $32.86 $27.35 $31.82 $29.00 $23.69
Total Return2 -21.39% 22.61% -12.34% 11.67% 24.65% -4.78%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $189 $255 $1,501 $2,060 $2,357 $1,972
Ratio of Total Expenses to Average Net Assets 0.19% 0.19% 0.19% 0.19% 0.19% 0.20%
Ratio of Net Investment Income to Average Net Assets 1.97% 1.76% 1.92% 1.82% 1.96% 1.78%
Portfolio Turnover Rate3 11% 19% 18% 19% 18% 16%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Total 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.
3 Excludes 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.
53

Small-Cap Value Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $137.05 $114.05 $132.71 $120.95 $98.81 $105.71
Investment Operations            
Net Investment Income 1.0341 2.8401 2.7201 2.4271 2.119 1.933
Net Realized and Unrealized Gain (Loss) on Investments (30.292) 22.984 (18.702) 11.709 22.159 (6.870)
Total from Investment Operations (29.258) 25.824 (15.982) 14.136 24.278 (4.937)
Distributions            
Dividends from Net Investment Income (.892) (2.824) (2.678) (2.376) (2.138) (1.963)
Distributions from Realized Capital Gains
Total Distributions (.892) (2.824) (2.678) (2.376) (2.138) (1.963)
Net Asset Value, End of Period $106.90 $137.05 $114.05 $132.71 $120.95 $98.81
Total Return -21.35% 22.76% -12.22% 11.79% 24.80% -4.67%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $12,597 $14,808 $11,560 $12,650 $10,042 $5,679
Ratio of Total Expenses to Average Net Assets 0.07% 0.07% 0.07% 0.07% 0.07% 0.08%
Ratio of Net Investment Income to Average Net Assets 2.12% 2.19% 2.04% 1.94% 2.08% 1.90%
Portfolio Turnover Rate2 11% 19% 18% 19% 18% 16%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes 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.
54

Small-Cap Value Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $58.89 $49.01 $57.02 $51.97 $42.46 $45.42
Investment Operations            
Net Investment Income .4421 1.2301 1.1651 1.0391 .911 .830
Net Realized and Unrealized Gain (Loss) on Investments (13.019) 9.863 (8.024) 5.032 9.518 (2.947)
Total from Investment Operations (12.577) 11.093 (6.859) 6.071 10.429 (2.117)
Distributions            
Dividends from Net Investment Income (.383) (1.213) (1.151) (1.021) (.919) (.843)
Distributions from Realized Capital Gains
Total Distributions (.383) (1.213) (1.151) (1.021) (.919) (.843)
Net Asset Value, End of Period $45.93 $58.89 $49.01 $57.02 $51.97 $42.46
Total Return2 -21.34% 22.76% -12.23% 11.80% 24.78% -4.65%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $10,948 $13,907 $10,167 $11,278 $9,469 $6,467
Ratio of Total Expenses to Average Net Assets 0.07% 0.07% 0.07% 0.07% 0.07% 0.08%
Ratio of Net Investment Income to Average Net Assets 2.10% 2.21% 2.04% 1.94% 2.08% 1.90%
Portfolio Turnover Rate3 11% 19% 18% 19% 18% 16%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Total 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.
3 Excludes 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.
55

Small-Cap Value Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $32.92 $27.39 $31.87 $29.05 $23.73 $25.39
Investment Operations            
Net Investment Income .2491 .6841 .6511 .5871 .510 .465
Net Realized and Unrealized Gain (Loss) on Investments (7.273) 5.527 (4.485) 2.808 5.324 (1.652)
Total from Investment Operations (7.024) 6.211 (3.834) 3.395 5.834 (1.187)
Distributions            
Dividends from Net Investment Income (.216) (.681) (.646) (.575) (.514) (.473)
Distributions from Realized Capital Gains
Total Distributions (.216) (.681) (.646) (.575) (.514) (.473)
Net Asset Value, End of Period $25.68 $32.92 $27.39 $31.87 $29.05 $23.73
Total Return -21.32% 22.81% -12.23% 11.80% 24.80% -4.67%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $2,847 $3,632 $3,077 $3,649 $2,882 $2,334
Ratio of Total Expenses to Average Net Assets 0.06% 0.06% 0.06% 0.06% 0.06% 0.07%
Ratio of Net Investment Income to Average Net Assets 2.12% 2.20% 2.05% 1.95% 2.09% 1.91%
Portfolio Turnover Rate2 11% 19% 18% 19% 18% 16%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes 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.
56

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.
Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.
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 Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Schedule of Investments. 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 gains (losses) on futures contracts.
57

Small-Cap Value Index Fund
During the six months ended June 30, 2020, 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 Schedule of Investments. 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 periodic payments are made or the 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's 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 Schedule of Investments. 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 six months ended June 30, 2020, 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.
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Small-Cap Value Index Fund
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, 2016–2019), and for the period ended June 30, 2020, 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 at the fiscal year-end 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. Collateral investments in Vanguard Market Liquidity Fund are subject to market appreciation or depreciation. 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 Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group ("Vanguard") participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed 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 either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternative rate agreed to by the fund and Vanguard.
In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund
59

Small-Cap Value Index Fund
Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.
For the six months ended June 30, 2020, the fund did not utilize the credit facilities or the Interfund Lending Program.
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 are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. 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 and 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 June 30, 2020, the fund had contributed to Vanguard capital in the amount of $1,184,000, representing less than 0.01% of the fund’s net assets and 0.47% of Vanguard’s capital received pursuant to the FSA. 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 Schedule of Investments.
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Small-Cap Value Index Fund
The following table summarizes the market value of the fund's investments and derivatives as of June 30, 2020, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 26,490,108 287 26,490,395
Preferred Stocks 1,813 1,813
Temporary Cash Investments 488,962 5,138 494,100
Total 26,980,883 5,138 287 26,986,308
Derivative Financial Instruments        
Assets        
Futures Contracts1 635 635
Liabilities        
Swap Contracts 2,344 2,344
1 Represents variation margin on the last day of the reporting period.
D. As of June 30, 2020, 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 27,789,404
Gross Unrealized Appreciation 4,516,300
Gross Unrealized Depreciation (5,321,191)
Net Unrealized Appreciation (Depreciation) (804,891)
The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at December 31, 2019, the fund had available capital losses totaling $1,339,428,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending December 31, 2020; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.
E. During the six months ended June 30, 2020, the fund purchased $5,442,699,000 of investment securities and sold $4,372,302,000 of investment securities, other than temporary cash investments. Purchases and sales include $1,749,879,000 and $1,251,184,000, 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 six months ended June 30, 2020, such purchases and sales were $1,996,155,000 and $574,862,000, respectively; these amounts, other than temporary cash investments, are included in the purchases and sales of investment securities noted above.
61

Small-Cap Value Index Fund
F. Capital share transactions for each class of shares were:
    
  Six Months Ended
June 30, 2020
  Year Ended
December 31, 2019
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 10,924 418   301,775 9,608
Issued in Lieu of Cash Distributions 1,457 58   16,430 533
Redeemed1 (23,715) (865)   (1,804,413) (57,280)
Net Increase (Decrease)—Investor Shares (11,334) (389)   (1,486,208) (47,139)
ETF Shares          
Issued 2,110,899 20,036   3,694,906 28,401
Issued in Lieu of Cash Distributions  
Redeemed (1,144,516) (10,250)   (2,817,603) (21,700)
Net Increase (Decrease)—ETF Shares 966,383 9,786   877,303 6,701
Admiral Shares          
Issued1 1,998,700 44,561   3,509,475 62,730
Issued in Lieu of Cash Distributions 79,338 1,773   240,084 4,252
Redeemed (1,966,347) (44,150)   (2,120,014) (38,287)
Net Increase (Decrease)—Admiral Shares 111,691 2,184   1,629,545 28,695
Institutional Shares          
Issued 544,083 21,509   867,066 28,137
Issued in Lieu of Cash Distributions 21,148 846   68,539 2,175
Redeemed (587,143) (21,819)   (1,004,924) (32,296)
Net Increase (Decrease)—Institutional Shares (21,912) 536   (69,319) (1,984)
1 In November 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. As a result, all of the outstanding Investor Shares automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors. Investor Shares—Redeemed and Admiral Shares—Issued include 44,669,000 and 24,926,000 shares, respectively, in the amount of $1,357,764,000 from the conversion during the year ended December 31, 2019.
G. Management has determined that no events or transactions occurred subsequent to June 30, 2020, that would require recognition or disclosure in these financial statements.
62

Trustees Approve Advisory Arrangements
The board of trustees of Vanguard Small-Cap Index Fund, Vanguard Small-Cap Growth Index Fund, and Vanguard Small-Cap Value Index Fund has renewed each fund’s investment advisory arrangement with The Vanguard Group, Inc. (Vanguard), through its Equity Index Group. The board determined that continuing each fund’s internalized management structure was in the best interests of the fund and its shareholders.
The board based its decision upon an evaluation of the advisor’s investment staff, portfolio management process, and performance. This evaluation included information provided to the board by Vanguard’s Portfolio Review Department, which is responsible for fund and advisor oversight and product management. The Portfolio Review Department met regularly with the advisor and made monthly presentations to the board during the fiscal year that directed the board’s focus to relevant information and topics.
The board, or an investment committee made up of board members, also received information throughout the year during advisor presentations. For each advisor presentation, the board was provided with letters and reports that included information about, among other things, the advisory firm and the advisor’s assessment of the investment environment, portfolio performance, and portfolio characteristics.
In addition, the board received monthly reports, which included a Market and Economic Report, a Fund Dashboard Monthly Summary, and a Fund Performance Report.
Prior to their meeting, the trustees were provided with a memo and materials that summarized the information they received over the course of the year. They also considered the factors discussed below, among others. However, no single factor determined whether the board approved the arrangements. Rather, it was the totality of the circumstances that drove the board’s decision.
Nature, extent, and quality of services
The board reviewed the quality of each fund’s investment management services over both the short and long term, and took into account the organizational depth and stability of the advisor. The board considered that Vanguard has been managing investments for more than four decades. The Equity Index Group adheres to a sound, disciplined investment management process; the team has considerable experience, stability, and depth.
The board concluded that Vanguard’s experience, stability, depth, and performance, among other factors, warranted continuation of each advisory arrangement.
Investment performance
The board considered the short- and long-term performance of each fund, including any periods of outperformance or underperformance compared with its target index and peer group. The board concluded that the performance was such that each advisory arrangement should continue.
Cost
The board concluded that each fund’s expense ratio was well below the average expense ratio charged by funds in its peer group and that each fund’s advisory expenses were also well below the peer-group average.
63

The board does not conduct a profitability analysis of Vanguard because of Vanguard’s unique structure. Unlike most other mutual fund management companies, Vanguard is owned by the funds it oversees.
The benefit of economies of scale
The board concluded that the funds’ arrangements with Vanguard ensure that the funds will realize economies of scale as they grow, with the cost to shareholders declining as fund assets increase.
The board will consider whether to renew the advisory arrangements again after a one-year period.
64

Liquidity Risk Management
Vanguard funds (except for the money market funds) have adopted and implemented a written liquidity risk management program (the “Program”) as required by Rule 22e-4 under the Investment Company Act of 1940. Rule 22e-4 requires that each fund adopt a program that is reasonably designed to assess and manage the fund’s liquidity risk, which is the risk that the fund could not meet redemption requests without significant dilution of remaining investors’ interests in the fund.
Assessment and management of a fund’s liquidity risk under the Program take into consideration certain factors, such as the fund’s investment strategy and the liquidity of its portfolio investments during normal and reasonably foreseeable stressed conditions, its short- and long-term cash-flow projections during both normal and reasonably foreseeable stressed conditions, and its cash and cash-equivalent holdings and access to other funding sources. As required by the rule, the Program includes policies and procedures for classification of fund portfolio holdings in four liquidity categories, maintaining certain levels of highly liquid investments, and limiting holdings of illiquid investments.
The board of trustees of Vanguard Index Funds approved the appointment of liquidity risk management program administrators responsible for administering the Program for Vanguard Small-Cap Index Fund, Vanguard Small-Cap Growth Index Fund, and Vanguard Small-Cap Value Index Fund, and for carrying out the specific responsibilities set forth in the Program, including reporting to the board on at least an annual basis regarding the Program's operation, its adequacy, and the effectiveness of its implementation for the past year (the “Program Administrator Report”). The board has reviewed the Program Administrator Report covering the period from December 1, 2018, through December 31, 2019 (the “Review Period”). The Program Administrator Report stated that during the Review Period the Program operated and was implemented effectively to manage the funds' liquidity risk.
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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.
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, www.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 www.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.
© 2020 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.
Q482 082020

 

Semiannual Report  |  June 30, 2020
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.

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.
1

Six Months Ended June 30, 2020      
  Beginning
Account Value
12/31/2019
Ending
Account Value
6/30/2020
Expenses
Paid During
Period
Based on Actual Fund Return      
Extended Market Index Fund      
Investor Shares $1,000.00 $943.80 $0.92
ETF Shares 1,000.00 944.20 0.29
AdmiralTM Shares 1,000.00 944.40 0.29
Institutional Shares 1,000.00 944.40 0.24
Institutional Plus Shares 1,000.00 944.40 0.19
Institutional Select Shares 1,000.00 944.50 0.10
Mid-Cap Index Fund      
Investor Shares $1,000.00 $927.60 $0.81
ETF Shares 1,000.00 928.00 0.19
Admiral Shares 1,000.00 928.20 0.24
Institutional Shares 1,000.00 928.40 0.19
Institutional Plus Shares 1,000.00 928.30 0.14
Mid-Cap Growth Index Fund      
Investor Shares $1,000.00 $1,043.40 $0.97
ETF Shares 1,000.00 1,043.90 0.36
Admiral Shares 1,000.00 1,044.00 0.36
Mid-Cap Value Index Fund      
Investor Shares $1,000.00 $813.90 $0.86
ETF Shares 1,000.00 814.10 0.32
Admiral Shares 1,000.00 814.40 0.32
2

Six Months Ended June 30, 2020      
  Beginning
Account Value
12/31/2019
Ending
Account Value
6/30/2020
Expenses
Paid During
Period
Based on Hypothetical 5% Yearly Return      
Extended Market Index Fund      
Investor Shares $1,000.00 $1,023.92 $0.96
ETF Shares 1,000.00 1,024.56 0.30
AdmiralTM Shares 1,000.00 1,024.56 0.30
Institutional Shares 1,000.00 1,024.61 0.25
Institutional Plus Shares 1,000.00 1,024.66 0.20
Institutional Select Shares 1,000.00 1,024.76 0.10
Mid-Cap Index Fund      
Investor Shares $1,000.00 $1,024.02 $0.86
ETF Shares 1,000.00 1,024.66 0.20
Admiral Shares 1,000.00 1,024.61 0.25
Institutional Shares 1,000.00 1,024.66 0.20
Institutional Plus Shares 1,000.00 1,024.71 0.15
Mid-Cap Growth Index Fund      
Investor Shares $1,000.00 $1,023.92 $0.96
ETF Shares 1,000.00 1,024.51 0.35
Admiral Shares 1,000.00 1,024.51 0.35
Mid-Cap Value Index Fund      
Investor Shares $1,000.00 $1,023.92 $0.96
ETF Shares 1,000.00 1,024.51 0.35
Admiral Shares 1,000.00 1,024.51 0.35
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, 0.19% for Investor Shares, 0.06% for ETF Shares, 0.06% for Admiral Shares, 0.05% for Institutional Shares, 0.04% for Institutional Plus Shares, and 0.02% for Institutional Select Shares; for the Mid-Cap Index Fund, 0.17% for Investor Shares, 0.04% 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 (182/366).
3

Extended Market Index Fund
Fund Allocation
As of June 30, 2020
Communication Services 4.7%
Consumer Discretionary 13.6
Consumer Staples 2.7
Energy 1.6
Financials 14.3
Health Care 16.1
Industrials 12.0
Information Technology 21.4
Materials 3.6
Other 0.0
Real Estate 7.7
Utilities 2.3
The table reflects the fund’s investments, except for short-term investments and derivatives. 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 fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.
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.
4

Extended Market Index Fund
Financial Statements (unaudited)
Schedule of Investments—Investments Summary
As of June 30, 2020
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 files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) four times in each fiscal year. For the second and fourth quarters the complete list of the fund’s holdings is available on vanguard.com and on Form N-CSR, or you can have it mailed to you without charge by calling 800-662-7447. For the first and third quarters of each fiscal year, the complete list of the fund’s holdings is available as an exhibit to its reports on Form N-PORT. The fund’s Form N-CSR and Form N-PORT reports are available on the SEC’s website at www.sec.gov.
        Shares Market
Value
($000)
Percentage
of Net
Assets
Common Stocks    
Communication Services    
  IAC/interactivecorp*  1,040,698    336,562   0.5%
  Snap Inc. Class A* 11,719,579    275,293   0.4%
  Liberty Broadband Corp. Class C*  2,218,603    275,018   0.4%
Communication Services—Other*,1,2  2,348,816   3.3%
                       3,235,689   4.6%
Consumer Discretionary    
  Tesla Inc.*,1  2,052,467  2,216,274   3.2%
  Lululemon Athletica Inc.*  1,632,804    509,451   0.7%
  Burlington Stores Inc.*    939,114    184,940   0.3%
  Etsy Inc.*  1,696,731    180,244   0.3%
  Wayfair Inc. Class A*,1    837,194    165,438   0.3%
Consumer Discretionary—Other*,1  6,090,696   8.6%
                       9,347,043  13.4%
Consumer Staples*,1 1,848,026 2.7%
Energy    
  Cheniere Energy Inc.*  3,281,602    158,567   0.2%
Energy—Other*,1,2    938,704   1.4%
                       1,097,271   1.6%
Financials    
  Blackstone Group Inc. Class A  9,560,791    541,714   0.8%
  KKR & Co. Inc.  7,979,238    246,399   0.4%
  Markel Corp.*    196,428    181,336   0.3%
  FactSet Research Systems Inc.    539,785    177,303   0.3%
  Arch Capital Group Ltd.*  5,789,956    165,882   0.3%
Financials—Other*,1,2  8,520,696  12.1%
                       9,833,330  14.2%
5

Extended Market Index Fund
        Shares Market
Value

($000)
Percentage
of Net
Assets
Health Care    
  Veeva Systems Inc. Class A*  1,860,173    436,062   0.6%
  BioMarin Pharmaceutical Inc.*  2,582,904    318,575   0.5%
  Moderna Inc.*,1  4,223,769    271,208   0.4%
  Seattle Genetics Inc.*  1,581,752    268,771   0.4%
  Alnylam Pharmaceuticals Inc.*  1,618,115    239,659   0.4%
  Teladoc Health Inc.*  1,064,466    203,143   0.3%
  Insulet Corp.*    934,477    181,532   0.3%
  Exact Sciences Corp.*  2,033,493    176,792   0.3%
  Catalent Inc.*  2,325,479    170,458   0.3%
  Sarepta Therapeutics Inc.*  1,060,518    170,043   0.3%
  Masimo Corp.*    710,507    161,989   0.3%
  Neurocrine Biosciences Inc.*  1,327,088    161,905   0.3%
Health Care—Other*,1,2  8,296,338  11.5%
                      11,056,475  15.9%
Industrials    
  CoStar Group Inc.*    561,792    399,249   0.6%
  TransUnion  2,703,933    235,350   0.4%
Industrials—Other*,1,2,3  7,631,138  10.9%
                       8,265,737  11.9%
Information Technology    
  Square Inc. Class A*  4,873,897    511,467   0.7%
  NXP Semiconductors NV  3,983,824    454,315   0.7%
  Workday Inc. Class A*  2,195,235    411,299   0.6%
  Splunk Inc.*  2,048,577    407,052   0.6%
  Twilio Inc. Class A*  1,637,592    359,320   0.5%
  Okta Inc. Class A*  1,658,813    332,144   0.5%
  Marvell Technology Group Ltd.  9,468,568    331,968   0.5%
  DocuSign Inc. Class A*  1,857,758    319,925   0.5%
  Palo Alto Networks Inc.*  1,377,147    316,289   0.5%
  RingCentral Inc. Class A*  1,100,307    313,598   0.5%
  Coupa Software Inc.*    952,480    263,875   0.4%
  Trade Desk Inc. Class A*    584,498    237,598   0.3%
  EPAM Systems Inc.*    794,084    200,117   0.3%
  Teradyne Inc.  2,367,380    200,067   0.3%
  SS&C Technologies Holdings Inc.  3,184,093    179,838   0.3%
  VMware Inc. Class A*,1  1,136,022    175,924   0.3%
  Fair Isaac Corp.*    413,892    173,023   0.3%
  GoDaddy Inc. Class A*  2,358,427    172,943   0.3%
Information Technology—Other*,1  9,371,676  13.1%
                      14,732,438  21.2%
Materials*,1 2,476,576 3.6%
Other*,1,2,4 981 0.0%
Real Estate    
  Invitation Homes Inc.  7,753,362    213,450   0.3%
  Sun Communities Inc.  1,402,542    190,297   0.3%
  WP Carey Inc.  2,461,846    166,544   0.3%
  Equity LifeStyle Properties Inc.  2,598,408    162,349   0.2%
Real Estate—Other*,1  4,553,193   6.5%
                       5,285,833   7.6%
6

Extended Market Index Fund
          Market
Value

($000)
Percentage
of Net
Assets
Utilities*,1 1,595,205 2.3%
Total Common Stocks (Cost $56,325,566) 68,774,604 99.0%
†Preferred Stocks (Cost $4,307) 4,311 0.0%
      Coupon Shares    
Temporary Cash Investments
Money Market Fund    
  Vanguard Market Liquidity Fund5,6 0.227% 22,446,236  2,244,623   3.2%
U.S. Government and Agency Obligations7 47,208 0.1%
Total Temporary Cash Investments (Cost $2,291,520) 2,291,831 3.3%
Total Investments (Cost $58,621,393) 71,070,746 102.3%
Other Assets and Liabilities—Net (1,624,199) (2.3%)
Net Assets     69,446,547 100.0%
Cost is in $000.
See Note A in Notes to Financial Statements.
* Includes 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.
1 Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $1,581,489,000.
2 Certain securities are valued using significant unobservable inputs.
3 Certain securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. At June 30, 2020, the aggregate value of these securities was $18,388,000, representing 0.0% of net assets.
4 “Other” represents securities that are not classified by the fund’s benchmark index.
5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
6 Collateral of $1,696,420,000 was received for securities on loan, of which $1,667,119,000 is held in Vanguard Market Liquidity Fund and $29,301,000 is held in cash.
7 Securities with a value of $36,478,000 have been segregated as initial margin for open futures contracts.
7

Extended Market Index Fund

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 September 2020 3,897 280,116 8,626
E-mini S&P 500 Index September 2020 382 59,023 388
E-mini S&P Mid-Cap 400 Index September 2020 378 67,250 1,023
        10,037
    
Over-the-Counter Total Return Swaps
Reference Entity Termination
Date
Counterparty Notional
Amount
($000)
Floating
Interest
Rate
Received
(Paid)1
(%)
Value and
Unrealized
Appreciation
($000)
Value and
Unrealized
(Depreciation)
($000)
Roku Inc. 2/2/21 GSI 34,934 (0.194) 2,936
Seattle Genetics Inc. 9/2/20 BOANA 11,791 (0.183) 952
Sirius XM Holdings Inc. 2/2/21 GSI 23,960 (0.194) (482)
Splunk Inc. 9/2/20 BOANA 40,884 (0.183) 2,824
Tesla Inc. 9/2/20 BOANA 33,400 (0.183) 9,792
Twilio Inc. 9/2/20 BOANA 39,520 (0.183) 4,358
Veeva Systems Inc. 9/2/20 BOANA 14,227 (0.183) 1,009
Vistra Corp. 9/2/20 BOANA 7,102 (0.190) (585)
Wayfair Inc. 9/2/20 BOANA 22,302 (0.183) 3,384
Workday Inc. 9/2/20 BOANA 25,680 (0.183) 546
          25,801 (1,067)
1 Based on 1-month USD London Interbank Offered Rate (LIBOR) as of the most recent payment date. Floating interest payment received/paid monthly.
BOANA—Bank of America, N.A.
GSI—Goldman Sachs International.
At June 30, 2020, counterparties had deposited in a segregated account securities with a value of $18,210,000 in connection with open over-the-counter swap contracts.
See accompanying Notes, which are an integral part of the Financial Statements.
8

Extended Market Index Fund
Statement of Assets and Liabilities
As of June 30, 2020
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers (Cost $56,377,082) 68,826,123
Affiliated Issuers (Cost $2,244,311) 2,244,623
Total Investments in Securities 71,070,746
Investment in Vanguard 3,062
Cash 10,524
Receivables for Investment Securities Sold 140,481
Receivables for Accrued Income 61,918
Receivables for Capital Shares Issued 162,668
Variation Margin Receivable—Futures Contracts 4,493
Unrealized Appreciation—Over-the-Counter Swap Contracts 25,801
Total Assets 71,479,693
Liabilities  
Payables for Investment Securities Purchased 38,898
Collateral for Securities on Loan 1,696,420
Payables for Capital Shares Redeemed 265,758
Payables to Distributions 29,361
Payables to Vanguard 1,642
Unrealized Depreciation—Over-the-Counter Swap Contracts 1,067
Total Liabilities 2,033,146
Net Assets 69,446,547
9

Extended Market Index Fund
Statement of Assets and Liabilities (continued)

At June 30, 2020, net assets consisted of:  
($000s, except shares and per-share amounts) Amount
Paid-in Capital 57,075,563
Total Distributable Earnings (Loss) 12,370,984
Net Assets 69,446,547
 
Investor Shares—Net Assets  
Applicable to 4,008,488 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 360,245
Net Asset Value Per Share—Investor Shares $89.87
 
ETF Shares—Net Assets  
Applicable to 74,113,321 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 8,772,671
Net Asset Value Per Share—ETF Shares $118.37
 
Admiral Shares—Net Assets  
Applicable to 226,441,505 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 20,335,818
Net Asset Value Per Share—Admiral Shares $89.81
 
Institutional Shares—Net Assets  
Applicable to 154,292,111 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 13,855,459
Net Asset Value Per Share—Institutional Shares $89.80
 
Institutional Plus Shares—Net Assets  
Applicable to 38,829,643 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 8,605,061
Net Asset Value Per Share—Institutional Plus Shares $221.61
 
Institutional Select Shares—Net Assets  
Applicable to 121,397,142 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 17,517,293
Net Asset Value Per Share—Institutional Select Shares $144.30
See accompanying Notes, which are an integral part of the Financial Statements.
10

Extended Market Index Fund
Statement of Operations
  Six Months Ended
June 30, 2020
  ($000)
Investment Income  
Income  
Dividends 352,812
Interest1 3,339
Securities Lending—Net 37,658
Total Income 393,809
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,549
Management and Administrative—Investor Shares 303
Management and Administrative—ETF Shares 1,718
Management and Administrative—Admiral Shares 4,647
Management and Administrative—Institutional Shares 2,657
Management and Administrative—Institutional Plus Shares 1,259
Management and Administrative—Institutional Select Shares 1,152
Marketing and Distribution—Investor Shares 21
Marketing and Distribution—ETF Shares 226
Marketing and Distribution—Admiral Shares 516
Marketing and Distribution—Institutional Shares 186
Marketing and Distribution—Institutional Plus Shares 55
Marketing and Distribution—Institutional Select Shares
Custodian Fees 453
Shareholders’ Reports—Investor Shares 1
Shareholders’ Reports—ETF Shares 131
Shareholders’ Reports—Admiral Shares 84
Shareholders’ Reports—Institutional Shares 80
Shareholders’ Reports—Institutional Plus Shares 60
Shareholders’ Reports—Institutional Select Shares
Trustees’ Fees and Expenses 23
Total Expenses 15,121
Net Investment Income 378,688
Realized Net Gain (Loss)  
Investment Securities Sold1,2 1,133,600
Futures Contracts (101,202)
Swap Contracts 61,215
Realized Net Gain (Loss) 1,093,613
11

Extended Market Index Fund
Statement of Operations (continued)
  Six Months Ended
June 30, 2020
  ($000)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities1 (5,527,772)
Futures Contracts 470
Swap Contracts 27,077
Change in Unrealized Appreciation (Depreciation) (5,500,225)
Net Increase (Decrease) in Net Assets Resulting from Operations (4,027,924)
1 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $3,181,000, $372,000, and $13,000, respectively. Purchases and sales are for temporary cash investment purposes.
2 Includes $2,000,713,000 of the net gain (loss) resulting from in-kind redemptions.
See accompanying Notes, which are an integral part of the Financial Statements.
12

Extended Market Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2020
  Year Ended
December 31,
2019
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 378,688   969,922
Realized Net Gain (Loss) 1,093,613   3,506,067
Change in Unrealized Appreciation (Depreciation) (5,500,225)   12,057,903
Net Increase (Decrease) in Net Assets Resulting from Operations (4,027,924)   16,533,892
Distributions1      
Investor Shares (1,472)   (8,928)
ETF Shares (40,680)   (101,363)
Admiral Shares (96,695)   (291,203)
Institutional Shares (66,311)   (199,592)
Institutional Plus Shares (42,087)   (129,133)
Institutional Select Shares (86,279)   (248,571)
Total Distributions (333,524)   (978,790)
Capital Share Transactions      
Investor Shares (67,814)   (933,720)
ETF Shares 972,547   399,255
Admiral Shares (648,324)   122,765
Institutional Shares (216,095)   (740,441)
Institutional Plus Shares (303,415)   (97,548)
Institutional Select Shares (472,471)   1,967,463
Net Increase (Decrease) from Capital Share Transactions (735,572)   717,774
Total Increase (Decrease) (5,097,020)   16,272,876
Net Assets      
Beginning of Period 74,543,567   58,270,691
End of Period 69,446,547   74,543,567
1 Certain prior period numbers have been reclassed to conform with current period presentation.
See accompanying Notes, which are an integral part of the Financial Statements.
13

Extended Market Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $95.66 $75.74 $84.80 $72.76 $63.61 $66.63
Investment Operations            
Net Investment Income .4231 .9621 1.1931 .9161 .919 .795
Net Realized and Unrealized Gain (Loss) on Investments (5.847) 20.089 (9.104) 12.074 9.182 (3.050)
Total from Investment Operations (5.424) 21.051 (7.911) 12.990 10.101 (2.255)
Distributions            
Dividends from Net Investment Income (.366) (1.131) (1.149) (.950) (.951) (.765)
Distributions from Realized Capital Gains
Total Distributions (.366) (1.131) (1.149) (.950) (.951) (.765)
Net Asset Value, End of Period $89.87 $95.66 $75.74 $84.80 $72.76 $63.61
Total Return2 -5.62% 27.87% -9.47% 17.94% 15.99% -3.39%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $360 $455 $1,139 $1,548 $2,021 $2,040
Ratio of Total Expenses to Average Net Assets 0.19% 0.19% 0.19% 0.21% 0.21% 0.22%
Ratio of Net Investment Income to Average Net Assets 1.15% 1.09% 1.38% 1.24% 1.48% 1.20%
Portfolio Turnover Rate3 5% 13% 10% 11% 12% 6%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Total 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.
3 Excludes 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.
14

Extended Market Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $126.02 $99.77 $111.72 $95.86 $83.80 $87.79
Investment Operations            
Net Investment Income .6461 1.6361 1.7421 1.4201 1.324 1.171
Net Realized and Unrealized Gain (Loss) on Investments (7.734) 26.255 (12.036) 15.835 12.107 (4.033)
Total from Investment Operations (7.088) 27.891 (10.294) 17.255 13.431 (2.862)
Distributions            
Dividends from Net Investment Income (.562) (1.641) (1.656) (1.395) (1.371) (1.128)
Distributions from Realized Capital Gains
Total Distributions (.562) (1.641) (1.656) (1.395) (1.371) (1.128)
Net Asset Value, End of Period $118.37 $126.02 $99.77 $111.72 $95.86 $83.80
Total Return -5.58% 28.04% -9.37% 18.10% 16.16% -3.26%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $8,773 $8,119 $6,095 $5,711 $4,387 $4,272
Ratio of Total Expenses to Average Net Assets 0.06% 0.06% 0.07% 0.08% 0.08% 0.09%
Ratio of Net Investment Income to Average Net Assets 1.32% 1.40% 1.50% 1.37% 1.61% 1.33%
Portfolio Turnover Rate2 5% 13% 10% 11% 12% 6%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes 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.
15

Extended Market Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $95.61 $75.70 $84.76 $72.72 $63.58 $66.61
Investment Operations            
Net Investment Income .4801 1.2361 1.3071 1.0711 1.005 .887
Net Realized and Unrealized Gain (Loss) on Investments (5.854) 19.918 (9.111) 12.026 9.175 (3.061)
Total from Investment Operations (5.374) 21.154 (7.804) 13.097 10.180 (2.174)
Distributions            
Dividends from Net Investment Income (.426) (1.244) (1.256) (1.057) (1.040) (.856)
Distributions from Realized Capital Gains
Total Distributions (.426) (1.244) (1.256) (1.057) (1.040) (.856)
Net Asset Value, End of Period $89.81 $95.61 $75.70 $84.76 $72.72 $63.58
Total Return2 -5.56% 28.03% -9.36% 18.11% 16.13% -3.27%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $20,336 $22,391 $17,644 $19,712 $15,830 $13,143
Ratio of Total Expenses to Average Net Assets 0.06% 0.06% 0.07% 0.08% 0.08% 0.09%
Ratio of Net Investment Income to Average Net Assets 1.29% 1.39% 1.50% 1.37% 1.61% 1.33%
Portfolio Turnover Rate3 5% 13% 10% 11% 12% 6%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Total 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.
3 Excludes 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

Extended Market Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $95.60 $75.69 $84.75 $72.72 $63.58 $66.60
Investment Operations            
Net Investment Income .4861 1.2391 1.3191 1.0851 1.018 .899
Net Realized and Unrealized Gain (Loss) on Investments (5.856) 19.925 (9.113) 12.018 9.175 (3.050)
Total from Investment Operations (5.370) 21.164 (7.794) 13.103 10.193 (2.151)
Distributions            
Dividends from Net Investment Income (.430) (1.254) (1.266) (1.073) (1.053) (.869)
Distributions from Realized Capital Gains
Total Distributions (.430) (1.254) (1.266) (1.073) (1.053) (.869)
Net Asset Value, End of Period $89.80 $95.60 $75.69 $84.75 $72.72 $63.58
Total Return -5.56% 28.05% -9.35% 18.12% 16.15% -3.24%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $13,855 $14,927 $12,443 $13,359 $10,554 $8,621
Ratio of Total Expenses to Average Net Assets 0.05% 0.05% 0.06% 0.06% 0.06% 0.07%
Ratio of Net Investment Income to Average Net Assets 1.30% 1.40% 1.51% 1.39% 1.63% 1.35%
Portfolio Turnover Rate2 5% 13% 10% 11% 12% 6%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes 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

Extended Market Index Fund
Financial Highlights
Institutional Plus Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $235.94 $186.80 $209.16 $179.47 $156.89 $164.36
Investment Operations            
Net Investment Income 1.2071 3.0781 3.2081 2.6111 2.525 2.254
Net Realized and Unrealized Gain (Loss) on Investments (14.464) 49.178 (22.426) 29.741 22.668 (7.549)
Total from Investment Operations (13.257) 52.256 (19.218) 32.352 25.193 (5.295)
Distributions            
Dividends from Net Investment Income (1.073) (3.116) (3.142) (2.662) (2.613) (2.175)
Distributions from Realized Capital Gains
Total Distributions (1.073) (3.116) (3.142) (2.662) (2.613) (2.175)
Net Asset Value, End of Period $221.61 $235.94 $186.80 $209.16 $179.47 $156.89
Total Return -5.56% 28.07% -9.35% 18.13% 16.18% -3.23%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $8,605 $9,486 $7,559 $10,565 $13,530 $14,526
Ratio of Total Expenses to Average Net Assets 0.04% 0.04% 0.05% 0.05% 0.05% 0.05%
Ratio of Net Investment Income to Average Net Assets 1.31% 1.41% 1.52% 1.40% 1.64% 1.37%
Portfolio Turnover Rate2 5% 13% 10% 11% 12% 6%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes 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

Extended Market Index Fund
Financial Highlights
Institutional Select Shares          
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31, June 27,
20161 to
December 31,
2016
2019 2018 2017  
Net Asset Value, Beginning of Period $153.63 $121.63 $136.19 $116.85 $98.43
Investment Operations          
Net Investment Income .7992 2.0592 2.1842 1.8912 1.050
Net Realized and Unrealized Gain (Loss) on Investments (9.416) 31.999 (14.655) 19.221 18.428
Total from Investment Operations (8.617) 34.058 (12.471) 21.112 19.478
Distributions          
Dividends from Net Investment Income (.713) (2.058) (2.089) (1.772) (1.058)
Distributions from Realized Capital Gains
Total Distributions (.713) (2.058) (2.089) (1.772) (1.058)
Net Asset Value, End of Period $144.30 $153.63 $121.63 $136.19 $116.85
Total Return -5.55% 28.09% -9.32% 18.17% 19.81%
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $17,517 $19,166 $13,390 $12,250 $5,227
Ratio of Total Expenses to Average Net Assets 0.02% 0.02% 0.02% 0.02% 0.02%3
Ratio of Net Investment Income to Average Net Assets 1.33% 1.44% 1.55% 1.43% 1.88%3
Portfolio Turnover Rate4 5% 13% 10% 11% 12%5
The expense ratio and net investment income ratio for the current period have been annualized.
1 Inception.
2 Calculated based on average shares outstanding.
3 Annualized.
4 Excludes 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.
5 Reflects 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.
19

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.
Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.
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 Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Schedule of Investments. 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 gains (losses) on futures contracts.
20

Extended Market Index Fund
During the six months ended June 30, 2020, 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 Schedule of Investments. 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 periodic payments are made or the 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's 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 Schedule of Investments. 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 six months ended June 30, 2020, 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.
21

Extended Market Index Fund
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, 2016–2019), and for the period ended June 30, 2020, 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 at the fiscal year-end 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. Collateral investments in Vanguard Market Liquidity Fund are subject to market appreciation or depreciation. 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 Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group ("Vanguard") participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed 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 either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternative rate agreed to by the fund and Vanguard.
In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund
22

Extended Market Index Fund
Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.
For the six months ended June 30, 2020, the fund did not utilize the credit facilities or the Interfund Lending Program.
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 are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. 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 and 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 June 30, 2020, the fund had contributed to Vanguard capital in the amount of $3,062,000, representing less than 0.01% of the fund’s net assets and 1.22% of Vanguard’s capital received pursuant to the FSA. 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 Schedule of Investments.
23

Extended Market Index Fund
The following table summarizes the market value of the fund's investments and derivatives as of June 30, 2020, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 68,769,442 92 5,070 68,774,604
Preferred Stocks 4,311 4,311
Temporary Cash Investments 2,244,623 47,208 2,291,831
Total 71,018,376 47,300 5,070 71,070,746
Derivative Financial Instruments        
Assets        
Futures Contracts1 4,493 4,493
Swap Contracts 25,801 25,801
Total 4,493 25,801 30,294
Liabilities        
Swap Contracts 1,067 1,067
1 Represents variation margin on the last day of the reporting period.
D. As of June 30, 2020, 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 58,698,285
Gross Unrealized Appreciation 23,237,804
Gross Unrealized Depreciation (10,830,572)
Net Unrealized Appreciation (Depreciation) 12,407,232
The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at December 31, 2019, the fund had available capital losses totaling $1,247,223,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending December 31, 2020; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.
E. During the six months ended June 30, 2020, the fund purchased $6,875,310,000 of investment securities and sold $7,194,504,000 of investment securities, other than temporary cash investments. Purchases and sales include $3,539,755,000 and $2,973,266,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.
24

Extended Market Index Fund
F. Capital share transactions for each class of shares were:
    
  Six Months Ended
June 30, 2020
  Year Ended
December 31, 2019
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 11,688 144   238,416 2,595
Issued in Lieu of Cash Distributions 1,472 18   8,707 97
Redeemed1 (80,974) (911)   (1,180,843) (12,972)
Net Increase (Decrease)—Investor Shares (67,814) (749)   (933,720) (10,280)
ETF Shares          
Issued 3,984,892 36,186   7,615,450 64,286
Issued in Lieu of Cash Distributions  
Redeemed (3,012,345) (26,500)   (7,216,195) (60,950)
Net Increase (Decrease)—ETF Shares 972,547 9,686   399,255 3,336
Admiral Shares          
Issued1 1,723,773 21,687   3,375,088 37,971
Issued in Lieu of Cash Distributions 81,442 1,025   246,482 2,706
Redeemed (2,453,539) (30,457)   (3,498,805) (39,580)
Net Increase (Decrease)—Admiral Shares (648,324) (7,745)   122,765 1,097
Institutional Shares          
Issued 1,393,468 17,115   2,265,538 25,810
Issued in Lieu of Cash Distributions 62,421 786   189,780 2,085
Redeemed (1,671,984) (19,740)   (3,195,759) (36,156)
Net Increase (Decrease)—Institutional Shares (216,095) (1,839)   (740,441) (8,261)
Institutional Plus Shares          
Issued 645,126 3,157   2,145,116 9,842
Issued in Lieu of Cash Distributions 40,411 207   123,576 550
Redeemed (988,952) (4,740)   (2,366,240) (10,652)
Net Increase (Decrease)—Institutional Plus Shares (303,415) (1,376)   (97,548) (260)
Institutional Select Shares          
Issued 546,855 4,028   3,238,408 23,556
Issued in Lieu of Cash Distributions 86,279 677   248,571 1,696
Redeemed (1,105,605) (8,062)   (1,519,516) (10,585)
Net Increase (Decrease)—Institutional Select Shares (472,471) (3,357)   1,967,463 14,667
1 In November 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. As a result, all of the outstanding Investor Shares automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors. Investor Shares—Redeemed and Admiral Shares—Issued include 8,887,000 and 8,891,000 shares, respectively, in the amount of $806,344,000 from the conversion during the year ended December 31, 2019.
G. Management has determined that no events or transactions occurred subsequent to June 30, 2020, that would require recognition or disclosure in these financial statements.
25

Mid-Cap Index Fund
Fund Allocation
As of June 30, 2020
Basic Materials 3.6%
Consumer Goods 9.2
Consumer Services 10.8
Financials 20.8
Health Care 10.3
Industrials 15.2
Oil & Gas 2.8
Other 0.0
Technology 20.9
Telecommunications 0.3
Utilities 6.1
The table reflects the fund’s investments, except for short-term investments and derivatives. 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.
The fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.
The Industry Classification Benchmark (“ICB”) is owned by FTSE. FTSE does not accept any liability to any person for any loss or damage arising out of any error or omission in the ICB.
26

Mid-Cap Index Fund
Financial Statements (unaudited)
Schedule of Investments
As of June 30, 2020
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 (99.5%)
Basic Materials (3.6%)
Newmont Corp.  9,923,925     612,703
Fastenal Co. 14,203,786     608,490
Freeport-McMoRan Inc. 35,893,447     415,287
International Paper Co.  9,720,678     342,265
FMC Corp.  3,200,368     318,821
1 International Flavors & Fragrances Inc.  2,592,456     317,472
Nucor Corp.  7,445,367     308,313
Celanese Corp. Class A  2,922,911     252,364
Eastman Chemical Co.  3,358,510     233,887
Albemarle Corp.  2,628,386     202,938
CF Industries Holdings Inc.  5,286,809     148,771
Mosaic Co.  4,701,856      58,820
Westlake Chemical Corp.    790,423      42,406
                     3,862,537
Consumer Goods (9.2%)
* Lululemon Athletica Inc.  2,920,334     911,173
Clorox Co.  3,114,982     683,334
McCormick & Co. Inc. (Non-Voting)  3,057,480     548,543
Aptiv plc  6,628,984     516,531
DR Horton Inc.  8,540,186     473,553
Church & Dwight Co. Inc.  6,082,171     470,152
Lennar Corp. Class A  6,905,345     425,507
Conagra Brands Inc. 11,440,664     402,368
* Take-Two Interactive Software Inc.  2,818,434     393,369
Tiffany & Co.  3,001,255     365,973
Garmin Ltd.  3,542,852     345,428
Hormel Foods Corp.  6,201,264     299,335
Genuine Parts Co.  3,388,011     294,622
J M Smucker Co.  2,679,332     283,500
* NVR Inc.     86,475     281,800
Corteva Inc.  9,264,242     248,189
Hasbro Inc.  3,217,705     241,167
Lamb Weston Holdings Inc.  3,610,062     230,791
Fortune Brands Home & Security Inc.  3,408,519     217,907
          Shares Market
Value

($000)
Tyson Foods Inc. Class A  3,639,280     217,301
PulteGroup Inc.  6,296,592     214,273
Kellogg Co.  3,177,255     209,890
Whirlpool Corp.  1,537,122     199,103
BorgWarner Inc.  5,127,074     180,986
* LKQ Corp.  6,761,079     177,140
Lear Corp.  1,481,541     161,518
Molson Coors Beverage Co. Class B  4,372,827     150,250
* Mohawk Industries Inc.  1,417,761     144,271
Campbell Soup Co.  2,850,059     141,449
Newell Brands Inc.  4,700,225      74,640
Bunge Ltd.  1,674,818      68,885
Tapestry Inc.  3,423,346      45,462
PVH Corp.    878,929      42,233
Ralph Lauren Corp. Class A    563,408      40,858
* Under Armour Inc. Class C  4,207,287      37,192
Coty Inc. Class A  3,312,185      14,806
Lennar Corp. Class B    212,981       9,816
1 Levi Strauss & Co. Class A    683,907       9,164
* Under Armour Inc. Class A    745,921       7,265
                     9,779,744
Consumer Services (10.8%)
*,1 Chipotle Mexican Grill Inc. Class A    689,712     725,825
* Dollar Tree Inc.  5,867,280     543,779
Best Buy Co. Inc.  5,748,438     501,666
* Liberty Broadband Corp. Class C  3,596,021     445,763
* Copart Inc.  5,218,680     434,559
Tractor Supply Co.  2,859,600     376,867
*,1 CarMax Inc.  4,023,122     360,271
Domino's Pizza Inc.    967,347     357,377
AmerisourceBergen Corp. Class A  3,521,834     354,895
* AutoZone Inc.    288,850     325,857
ViacomCBS Inc. Class B 13,351,498     311,357
27

Mid-Cap Index Fund
          Shares Market
Value

($000)
FactSet Research Systems Inc.    936,861     307,731
*,1 Wayfair Inc. Class A  1,506,090     297,618
Omnicom Group Inc.  5,299,857     289,372
Expedia Group Inc.  3,349,611     275,338
* Roku Inc. Class A  2,336,288     272,248
* Ulta Beauty Inc.  1,323,113     269,148
Darden Restaurants Inc.  3,180,746     241,005
*,1 United Airlines Holdings Inc.  6,822,971     236,143
Advance Auto Parts Inc.  1,623,299     231,239
Delta Air Lines Inc.  7,886,199     221,208
*,1 DraftKings Inc. Class A  6,522,004     216,922
1 Royal Caribbean Cruises Ltd.  4,141,118     208,298
* DISH Network Corp. Class A  6,003,623     207,185
*,1 Carvana Co. Class A  1,709,811     205,519
* Trade Desk Inc. Class A    505,485     205,480
1 Carnival Corp. 11,843,392     194,468
MGM Resorts International 10,976,521     184,406
Wynn Resorts Ltd.  2,399,894     178,768
* Lyft Inc. Class A  5,158,128     170,270
Interpublic Group of Cos. Inc.  9,627,107     165,201
1 American Airlines Group Inc. 12,283,976     160,552
* Burlington Stores Inc.    812,538     160,013
* Altice USA Inc. Class A  6,981,204     157,356
* Discovery Inc. Class C  8,018,355     154,434
Rollins Inc.  3,637,133     154,178
* Live Nation Entertainment Inc.  3,459,094     153,342
News Corp. Class A 12,203,792     144,737
* Liberty Media Corp.-Liberty SiriusXM Class C  3,793,730     130,694
Aramark  5,619,741     126,838
Fox Corp. Class A  4,171,849     111,889
Vail Resorts Inc.    496,766      90,486
* Liberty Broadband Corp. Class A    620,128      75,773
*,1 Discovery Inc. Class A  3,432,588      72,428
* Liberty Media Corp.-Liberty SiriusXM Class A  1,964,400      67,811
Nielsen Holdings plc  4,419,402      65,672
*,1 Chewy Inc. Class A  1,451,551      64,870
*,1 Warner Music Group Corp. Class A  1,910,793      56,368
Alaska Air Group Inc.  1,518,031      55,044
Fox Corp. Class B  2,002,605      53,750
*,1 Norwegian Cruise Line Holdings Ltd.  3,181,094      52,265
Kohl's Corp.  1,924,741      39,977
          Shares Market
Value

($000)
Hyatt Hotels Corp. Class A    442,146      22,236
News Corp. Class B    356,118       4,256
ViacomCBS Inc. Class A    149,043       3,815
                    11,494,567
Financials (20.7%)
Digital Realty Trust Inc.  6,635,335     942,947
SBA Communications Corp. Class A  2,760,197     822,318
* CoStar Group Inc.    973,278     691,679
IHS Markit Ltd.  8,876,789     670,198
MSCI Inc. Class A  1,963,854     655,574
Willis Towers Watson plc  3,184,010     627,091
AvalonBay Communities Inc.  3,480,656     538,249
Alexandria Real Estate Equities Inc.  3,120,773     506,345
Realty Income Corp.  8,492,864     505,325
Arthur J Gallagher & Co.  4,689,376     457,167
Ameriprise Financial Inc.  3,025,446     453,938
First Republic Bank  4,235,146     448,883
MarketAxess Holdings Inc.    890,680     446,159
Weyerhaeuser Co. 18,448,554     414,354
KKR & Co. Inc. 13,119,488     405,130
Invitation Homes Inc. 13,803,916     380,022
Essex Property Trust Inc.  1,617,828     370,758
Healthpeak Properties Inc. 13,308,343     366,778
Broadridge Financial Solutions Inc.  2,839,234     358,283
* CBRE Group Inc. Class A  7,874,433     356,082
Hartford Financial Services Group Inc.  8,856,823     341,430
Nasdaq Inc.  2,840,367     339,339
Sun Communities Inc.  2,430,050     329,709
Mid-America Apartment Communities Inc.  2,827,090     324,182
Duke Realty Corp.  9,108,958     322,366
M&T Bank Corp.  3,012,879     313,249
Synchrony Financial 13,713,475     303,891
* Markel Corp.    323,560     298,701
Extra Space Storage Inc.  3,192,219     294,865
KeyCorp 24,112,893     293,695
WP Carey Inc.  4,261,530     288,292
Principal Financial Group Inc.  6,768,114     281,147
* SVB Financial Group  1,273,294     274,433
* Arch Capital Group Ltd.  9,528,889     273,003
UDR Inc.  7,290,475     272,518
E*TRADE Financial Corp.  5,466,976     271,873
Citizens Financial Group Inc. 10,545,955     266,180
Regions Financial Corp. 23,719,051     263,756
Cboe Global Markets Inc.  2,714,513     253,210
Cincinnati Financial Corp.  3,777,888     241,898
 
28

Mid-Cap Index Fund
          Shares Market
Value

($000)
Annaly Capital Management Inc. 35,347,355     231,879
Huntington Bancshares Inc. 25,065,212     226,464
Camden Property Trust  2,463,589     224,729
Western Union Co. 10,160,641     219,673
Fidelity National Financial Inc.  7,016,953     215,140
Everest Re Group Ltd.    988,994     203,931
Loews Corp.  5,913,784     202,784
Northern Trust Corp.  2,444,767     193,968
Equitable Holdings Inc. 10,024,317     193,369
Regency Centers Corp.  4,193,008     192,417
W R Berkley Corp.  3,313,844     189,850
Discover Financial Services  3,787,066     189,694
Host Hotels & Resorts Inc. 17,432,645     188,098
Iron Mountain Inc.  7,115,793     185,722
Ally Financial Inc.  9,222,189     182,876
SEI Investments Co.  3,292,119     181,001
Raymond James Financial Inc.  2,612,521     179,820
AGNC Investment Corp. 13,829,699     178,403
Globe Life Inc.  2,367,695     175,754
Lincoln National Corp.  4,774,201     175,643
VEREIT Inc. 26,632,533     171,247
Fifth Third Bancorp  8,798,132     169,628
Ventas Inc.  4,611,784     168,884
Alleghany Corp.    335,998     164,350
Vornado Realty Trust  4,253,852     162,540
Federal Realty Investment Trust  1,870,051     159,347
Boston Properties Inc.  1,729,153     156,281
Franklin Resources Inc.  6,738,038     141,297
Interactive Brokers Group Inc. Class A  1,798,052      75,105
Voya Financial Inc.  1,553,469      72,469
* Athene Holding Ltd. Class A  2,270,439      70,815
Zions Bancorp NA  2,016,765      68,570
Reinsurance Group of America Inc.    841,170      65,981
Comerica Inc.  1,723,973      65,683
Kimco Realty Corp.  5,054,285      64,897
Invesco Ltd.  5,696,109      61,290
SL Green Realty Corp.    949,973      46,824
                    22,081,440
Health Care (10.2%)
* DexCom Inc.  2,283,368     925,677
* Centene Corp. 14,320,962     910,097
* IDEXX Laboratories Inc.  2,100,254     693,420
ResMed Inc.  3,577,296     686,841
* BioMarin Pharmaceutical Inc.  4,472,080     551,586
* Seattle Genetics Inc.  2,995,995     509,079
          Shares Market
Value

($000)
* Align Technology Inc.  1,752,942     481,077
* Incyte Corp.  4,569,625     475,104
* Moderna Inc.  6,730,269     432,151
* Alnylam Pharmaceuticals Inc.  2,838,629     420,429
Teleflex Inc.  1,147,992     417,846
* Laboratory Corp. of America Holdings  2,403,697     399,278
Quest Diagnostics Inc.  3,307,502     376,923
Cardinal Health Inc.  7,218,725     376,745
Cooper Cos. Inc.  1,319,264     374,196
* Hologic Inc.  6,385,733     363,987
* Exact Sciences Corp.  3,702,986     321,938
* Varian Medical Systems Inc.  2,245,739     275,148
* ABIOMED Inc.  1,056,179     255,131
DENTSPLY SIRONA Inc.  5,417,861     238,711
* Elanco Animal Health Inc.  9,864,048     211,584
West Pharmaceutical Services Inc.    909,928     206,708
* Henry Schein Inc.  3,530,827     206,165
* Mylan NV 12,783,078     205,552
Perrigo Co. plc  3,369,617     186,239
Universal Health Services Inc. Class B  1,824,598     169,487
* DaVita Inc.  1,957,219     154,894
* Jazz Pharmaceuticals plc    652,462      71,993
* PPD Inc.  1,728,389      46,321
                    10,944,307
Industrials (15.1%)
Amphenol Corp. Class A  7,316,551     700,999
Verisk Analytics Inc. Class A  4,012,580     682,941
Waste Connections Inc.  6,493,581     609,033
Cintas Corp.  2,184,929     581,978
TransDigm Group Inc.  1,270,171     561,479
Ball Corp.  8,063,492     560,332
* FleetCor Technologies Inc.  2,072,279     521,240
Equifax Inc.  3,000,973     515,807
AMETEK Inc.  5,673,919     507,078
* Mettler-Toledo International Inc.    591,232     476,267
Carrier Global Corp. 21,420,506     475,964
* Keysight Technologies Inc.  4,612,643     464,862
Old Dominion Freight Line Inc.  2,624,363     445,066
TransUnion  4,690,564     408,267
Vulcan Materials Co.  3,275,145     379,426
* Square Inc. Class A  3,588,209     376,547
WW Grainger Inc.  1,123,639     353,002
Kansas City Southern  2,349,642     350,778
Dover Corp.  3,558,915     343,649
Masco Corp.  6,521,476     327,443
 
29

Mid-Cap Index Fund
          Shares Market
Value

($000)
Martin Marietta Materials Inc.  1,536,567     317,409
Expeditors International of Washington Inc.  4,117,774     313,115
Rockwell Automation Inc.  1,431,709     304,954
Otis Worldwide Corp.  5,357,228     304,612
Xylem Inc.  4,449,831     289,061
* Waters Corp.  1,531,167     276,222
Jacobs Engineering Group Inc.  3,214,494     272,589
* Trimble Inc.  6,174,340     266,670
* United Rentals Inc.  1,781,009     265,442
CH Robinson Worldwide Inc.  3,330,896     263,341
Westinghouse Air Brake Technologies Corp.  4,468,883     257,274
JB Hunt Transport Services Inc.  2,086,102     251,041
* Ingersoll Rand Inc.  8,755,208     246,196
Corning Inc.  9,408,531     243,681
Avery Dennison Corp.  2,060,510     235,084
Packaging Corp. of America  2,345,536     234,084
* Crown Holdings Inc.  3,330,101     216,889
Snap-on Inc.  1,344,172     186,181
Textron Inc.  5,623,053     185,055
Westrock Co.  6,409,916     181,144
Huntington Ingalls Industries Inc.  1,000,748     174,620
Jack Henry & Associates Inc.    947,090     174,293
Hubbell Inc. Class B  1,338,805     167,833
HEICO Corp. Class A  1,774,454     144,157
* IPG Photonics Corp.    851,931     136,641
Cognex Corp.  2,014,106     120,282
HEICO Corp.  1,020,154     101,658
* XPO Logistics Inc.  1,123,620      86,800
A O Smith Corp.  1,665,059      78,458
Pentair plc  2,040,005      77,500
* Sensata Technologies Holding plc  1,948,465      72,541
                    16,086,985
Oil & Gas (2.8%)
Occidental Petroleum Corp. 22,252,221     407,216
ONEOK Inc. 10,876,663     361,323
Hess Corp.  6,833,082     354,022
* Cheniere Energy Inc.  5,610,188     271,084
Halliburton Co. 19,517,101     253,332
Concho Resources Inc.  4,861,172     250,350
Baker Hughes Co. Class A 16,188,805     249,146
Pioneer Natural Resources Co.  2,038,410     199,153
Diamondback Energy Inc.  3,901,172     163,147
Cabot Oil & Gas Corp.  4,918,850      84,506
          Shares Market
Value

($000)
Apache Corp.  4,682,628      63,215
Marathon Oil Corp.  9,725,666      59,521
National Oilwell Varco Inc.  4,810,399      58,927
Targa Resources Corp.  2,746,792      55,128
Devon Energy Corp.  4,748,158      53,844
Noble Energy Inc.  5,951,184      53,323
HollyFrontier Corp.  1,807,730      52,786
1 Continental Resources Inc.    905,824      15,879
                     3,005,902
Other (0.0%)2
*,3 American International Group Inc. Warrants Exp. 01/19/2021      8,771          —
Technology (20.8%)
* Veeva Systems Inc. Class A  3,334,463     781,665
* Splunk Inc.  3,927,524     780,399
KLA Corp.  3,833,849     745,607
* DocuSign Inc. Class A  4,301,401     740,744
* Synopsys Inc.  3,728,360     727,030
* Twilio Inc. Class A  3,183,382     698,498
* Cadence Design Systems Inc.  6,903,999     662,508
Microchip Technology Inc.  6,066,526     638,866
* IQVIA Holdings Inc.  4,486,332     636,521
* IAC/interactivecorp  1,957,768     633,142
* ANSYS Inc.  2,116,489     617,443
Xilinx Inc.  6,015,222     591,838
Motorola Solutions Inc.  4,206,127     589,405
* Snap Inc. Class A 24,978,066     586,735
Marvell Technology Group Ltd. 16,397,014     574,879
* Okta Inc. Class A  2,870,997     574,860
* Twitter Inc. 18,434,825     549,173
* RingCentral Inc. Class A  1,903,994     542,657
* VeriSign Inc.  2,571,818     531,929
Skyworks Solutions Inc.  4,125,040     527,428
* Palo Alto Networks Inc.  2,266,383     520,520
Cerner Corp.  7,526,145     515,917
* Zoom Video Communications Inc. Class A  1,968,046     498,978
* Fortinet Inc.  3,397,308     466,349
Citrix Systems Inc.  3,053,075     451,580
* Akamai Technologies Inc.  4,013,325     429,787
CDW Corp.  3,518,722     408,805
Maxim Integrated Products Inc.  6,595,586     399,758
* Paycom Software Inc.  1,230,889     381,243
* Crowdstrike Holdings Inc. Class A  3,552,466     356,277
* Qorvo Inc.  2,836,415     313,509
Western Digital Corp.  7,039,521     310,795
*,1 Slack Technologies Inc. Class A  9,995,953     310,774
 
30

Mid-Cap Index Fund
          Shares Market
Value

($000)
Hewlett Packard Enterprise Co. 31,693,849     308,381
SS&C Technologies Holdings Inc.  5,383,729     304,073
* Datadog Inc. Class A  3,482,418     302,796
* GoDaddy Inc. Class A  4,086,462     299,660
* Arista Networks Inc.  1,310,849     275,318
Seagate Technology plc  5,394,135     261,130
NortonLifeLock Inc. 13,105,326     259,879
* Black Knight Inc.  3,520,926     255,478
* Gartner Inc.  2,094,335     254,106
NetApp Inc.  5,468,672     242,645
* Pinterest Inc. Class A  9,977,281     221,196
* F5 Networks Inc.  1,506,445     210,119
Juniper Networks Inc.  8,195,238     187,343
* Tyler Technologies Inc.    491,584     170,521
Leidos Holdings Inc.  1,754,781     164,370
*,1 Match Group Inc.  1,389,018     148,694
* Dropbox Inc. Class A  6,178,225     134,500
* ZoomInfo Technologies Inc. Class A  1,125,665      57,443
Xerox Holdings Corp.  2,245,039      34,327
* Advanced Micro Devices Inc.        658          35
                    22,187,633
Telecommunications (0.2%)
CenturyLink Inc. 27,131,848     272,132
Utilities (6.1%)
Eversource Energy  8,319,395     692,756
WEC Energy Group Inc.  7,800,486     683,713
American Water Works Co. Inc.  4,478,031     576,143
FirstEnergy Corp. 13,397,831     519,568
DTE Energy Co.  4,750,224     510,649
Entergy Corp.  4,948,983     464,264
Ameren Corp.  5,973,417     420,290
CMS Energy Corp.  7,078,331     413,516
Evergy Inc.  5,604,226     332,275
Alliant Energy Corp.  6,166,306     294,996
Edison International  4,672,852     253,783
AES Corp. 16,442,578     238,253
CenterPoint Energy Inc. 12,427,915     232,029
NiSource Inc.  9,465,434     215,244
Vistra Energy Corp. 11,112,613     206,917
Pinnacle West Capital Corp.  2,782,180     203,906
NRG Energy Inc.  2,862,440      93,201
OGE Energy Corp.  2,479,410      75,275
          Shares Market
Value

($000)
Avangrid Inc.  1,530,480      64,249
                     6,491,027
Total Common Stocks
(Cost $79,857,555)
106,206,274
Temporary Cash Investments (1.6%)
Money Market Fund (1.6%)
4,5 Vanguard Market Liquidity Fund, 0.227% 16,757,303   1,675,730
          Face
Amount
($000)
 
U.S. Government and Agency Obligations (0.0%)
6 United States Treasury Bill, 0.102%, 7/14/20     17,000      16,999
6 United States Treasury Bill, 0.116%, 9/29/20      7,400       7,397
6 United States Treasury Bill, 0.140%, 10/13/20      4,400       4,398
6 United States Treasury Bill, 0.135%, 10/20/20      8,000       7,996
6 United States Treasury Bill, 0.165%, 11/3/20      1,200       1,200
                        37,990
Total Temporary Cash Investments
(Cost $1,713,317)
1,713,720
Total Investments (101.1%)
(Cost $81,570,872)
  107,919,994
Other Assets and Liabilities—Net (-1.1%)   (1,131,889)
Net Assets (100%)   106,788,105
Cost is in $000.
See Note A in Notes to Financial Statements.
* Non-income-producing security.
1 Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $1,116,471,000.
2 “Other” represents securities that are not classified by the fund’s benchmark index.
3 Security value determined using significant unobservable inputs.
4 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
5 Collateral of $1,157,055,000 was received for securities on loan, of which $1,095,272,000 is held in Vanguard Market Liquidity Fund and $61,783,000 is held in cash.
6 Securities with a value of $37,990,000 have been segregated as initial margin for open futures contracts.
 
31

Mid-Cap Index Fund

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 S&P 500 Index September 2020 1,359 209,979 2,192
E-mini S&P Mid-Cap 400 Index September 2020 1,387 246,761 3,520
        5,712
    
Over-the-Counter Total Return Swaps
Reference Entity Termination
Date
Counterparty Notional
Amount
($000)
Floating
Interest
Rate
Received
(Paid)1
(%)
Value and
Unrealized
Appreciation
($000)
Value and
Unrealized
(Depreciation)
($000)
ADT Inc. 2/2/21 GSI 8,240 (0.194) (225)
Ameren Corp. 2/2/21 GSI 9,404 (0.194) (194)
Campbell Soup Co. 2/2/21 GSI 96,760 (0.194) 2,493
Discovery Inc. 2/2/21 GSI 6,871 (0.194) (499)
Hormel Foods Corp. 2/2/21 GSI 21,191 (0.194) 530
International Flavors & Fragrances Inc. 2/2/21 GSI 6,367 (0.194) (207)
Raymond James Financial Inc. 9/2/20 BOANA 30,137 (0.183) (49)
Roku Inc. 9/2/20 BOANA 19,712 (0.183) 1,260
Square Inc. 9/2/20 BOANA 72,972 (0.183) 21,464
Vistra Corp. 9/2/20 BOANA 6,490 (0.194) (532)
Vistra Corp. 9/2/20 BOANA 6,941 (0.190) (424)
Vistra Corp. 9/2/20 BOANA 5,667 (0.185) (81)
          25,747 (2,211)
1 Based on 1-month USD London Interbank Offered Rate (LIBOR) as of the most recent payment date. Floating interest payment received/paid monthly.
BOANA—Bank of America, N.A.
GSI—Goldman Sachs International.
At June 30, 2020, counterparties had deposited in a segregated account securities with a value of $22,039,000 in connection with open over-the-counter swap contracts. After June 30, 2020, the counterparties posted additional collateral of $2,200,000 in connection with open over-the-counter swap contracts as of June 30, 2020.
See accompanying Notes, which are an integral part of the Financial Statements.
32

Mid-Cap Index Fund
Statement of Assets and Liabilities
As of June 30, 2020
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers (Cost $79,895,547) 106,244,264
Affiliated Issuers (Cost $1,675,325) 1,675,730
Total Investments in Securities 107,919,994
Investment in Vanguard 4,791
Cash 129,945
Cash Collateral Pledged—Futures Contracts 1,640
Receivables for Investment Securities Sold 430,631
Receivables for Accrued Income 121,507
Receivables for Capital Shares Issued 38,014
Variation Margin Receivable—Futures Contracts 6,054
Unrealized Appreciation—Over-the-Counter Swap Contracts 25,747
Total Assets 108,678,323
Liabilities  
Payables for Investment Securities Purchased 70,981
Collateral for Securities on Loan 1,157,055
Payables for Capital Shares Redeemed 657,539
Payables to Vanguard 2,432
Unrealized Depreciation—Over-the-Counter Swap Contracts 2,211
Total Liabilities 1,890,218
Net Assets 106,788,105
33

Mid-Cap Index Fund
Statement of Assets and Liabilities (continued)

At June 30, 2020, net assets consisted of:  
($000s, except shares and per-share amounts) Amount
Paid-in Capital 85,537,755
Total Distributable Earnings (Loss) 21,250,350
Net Assets 106,788,105
 
Investor Shares—Net Assets  
Applicable to 16,670,407 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 745,906
Net Asset Value Per Share—Investor Shares $44.74
 
ETF Shares—Net Assets  
Applicable to 193,917,607 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 31,775,730
Net Asset Value Per Share—ETF Shares $163.86
 
Admiral Shares—Net Assets  
Applicable to 213,977,946 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 43,429,497
Net Asset Value Per Share—Admiral Shares $202.96
 
Institutional Shares—Net Assets  
Applicable to 409,583,728 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 18,363,856
Net Asset Value Per Share—Institutional Shares $44.84
 
Institutional Plus Shares—Net Assets  
Applicable to 56,409,238 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 12,473,116
Net Asset Value Per Share—Institutional Plus Shares $221.12
See accompanying Notes, which are an integral part of the Financial Statements.
34

Mid-Cap Index Fund
Statement of Operations
  Six Months Ended
June 30, 2020
  ($000)
Investment Income  
Income  
Dividends 934,219
Interest1 3,556
Securities Lending—Net 6,151
Total Income 943,926
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,892
Management and Administrative—Investor Shares 573
Management and Administrative—ETF Shares 3,957
Management and Administrative—Admiral Shares 8,301
Management and Administrative—Institutional Shares 2,925
Management and Administrative—Institutional Plus Shares 1,583
Marketing and Distribution—Investor Shares 44
Marketing and Distribution—ETF Shares 674
Marketing and Distribution—Admiral Shares 1,222
Marketing and Distribution—Institutional Shares 240
Marketing and Distribution—Institutional Plus Shares 88
Custodian Fees 152
Shareholders’ Reports—Investor Shares 2
Shareholders’ Reports—ETF Shares 475
Shareholders’ Reports—Admiral Shares 228
Shareholders’ Reports—Institutional Shares 82
Shareholders’ Reports—Institutional Plus Shares 25
Trustees’ Fees and Expenses 37
Total Expenses 22,500
Expenses Paid Indirectly (75)
Net Expenses 22,425
Net Investment Income 921,501
Realized Net Gain (Loss)  
Investment Securities Sold1,2 (1,274,749)
Futures Contracts (43,247)
Swap Contracts (14,910)
Realized Net Gain (Loss) (1,332,906)
35

Mid-Cap Index Fund
Statement of Operations (continued)
  Six Months Ended
June 30, 2020
  ($000)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities1 (7,454,346)
Futures Contracts 4,859
Swap Contracts 16,149
Change in Unrealized Appreciation (Depreciation) (7,433,338)
Net Increase (Decrease) in Net Assets Resulting from Operations (7,844,743)
1 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $3,423,000, ($201,000), and $365,000, respectively. Purchases and sales are for temporary cash investment purposes.
2 Includes $2,032,749,000 of the net gain (loss) resulting from in-kind redemptions.
See accompanying Notes, which are an integral part of the Financial Statements.
36

Mid-Cap Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2020
  Year Ended
December 31,
2019
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 921,501   1,670,321
Realized Net Gain (Loss) (1,332,906)   6,128,015
Change in Unrealized Appreciation (Depreciation) (7,433,338)   19,099,296
Net Increase (Decrease) in Net Assets Resulting from Operations (7,844,743)   26,897,632
Distributions1      
Investor Shares (5,950)   (26,988)
ETF Shares (255,355)   (422,085)
Admiral Shares (368,097)   (686,030)
Institutional Shares (156,638)   (310,881)
Institutional Plus Shares (113,784)   (209,895)
Total Distributions (899,824)   (1,655,879)
Capital Share Transactions      
Investor Shares (59,316)   (2,885,883)
ETF Shares 4,747,999   1,384,000
Admiral Shares (354,995)   2,653,885
Institutional Shares (459,532)   (854,895)
Institutional Plus Shares 91,190   (979,981)
Net Increase (Decrease) from Capital Share Transactions 3,965,346   (682,874)
Total Increase (Decrease) (4,779,221)   24,558,879
Net Assets      
Beginning of Period 111,567,326   87,008,447
End of Period 106,788,105   111,567,326
1 Certain prior period numbers have been reclassed to conform with current period presentation.
See accompanying Notes, which are an integral part of the Financial Statements.
37

Mid-Cap Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $48.64 $37.71 $42.23 $35.92 $32.79 $33.72
Investment Operations            
Net Investment Income .3641,2 .5771 .6401 .5201 .472 .444
Net Realized and Unrealized Gain (Loss) on Investments (3.913) 11.018 (4.528) 6.313 3.138 (.939)
Total from Investment Operations (3.549) 11.595 (3.888) 6.833 3.610 (.495)
Distributions            
Dividends from Net Investment Income (.351) (.665) (.632) (.523) (.480) (.435)
Distributions from Realized Capital Gains
Total Distributions (.351) (.665) (.632) (.523) (.480) (.435)
Net Asset Value, End of Period $44.74 $48.64 $37.71 $42.23 $35.92 $32.79
Total Return3 -7.24% 30.86% -9.34% 19.12% 11.07% -1.46%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $746 $877 $3,043 $4,047 $4,138 $4,140
Ratio of Total Expenses to Average Net Assets 0.17% 0.17% 0.17% 0.17% 0.18% 0.20%
Ratio of Net Investment Income to Average Net Assets 1.59%2 1.31% 1.49% 1.34% 1.42% 1.35%
Portfolio Turnover Rate4 11% 15% 16% 14% 15% 15%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.073 and 0.17%, respectively, resulting from a special dividend from NortonLifeLock Inc. in February 2020.
3 Total 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.
4 Excludes 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

Mid-Cap Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $178.14 $138.08 $154.65 $131.55 $120.07 $123.50
Investment Operations            
Net Investment Income 1.4291,2 2.6631 2.5351 2.1121 1.877 1.793
Net Realized and Unrealized Gain (Loss) on Investments (14.313) 40.043 (16.584) 23.076 11.510 (3.457)
Total from Investment Operations (12.884) 42.706 (14.049) 25.188 13.387 (1.664)
Distributions            
Dividends from Net Investment Income (1.396) (2.646) (2.521) (2.088) (1.907) (1.766)
Distributions from Realized Capital Gains
Total Distributions (1.396) (2.646) (2.521) (2.088) (1.907) (1.766)
Net Asset Value, End of Period $163.86 $178.14 $138.08 $154.65 $131.55 $120.07
Total Return -7.20% 31.04% -9.21% 19.25% 11.23% -1.34%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $31,776 $29,014 $21,261 $21,937 $16,544 $12,984
Ratio of Total Expenses to Average Net Assets 0.04% 0.04% 0.04% 0.05% 0.06% 0.08%
Ratio of Net Investment Income to Average Net Assets 1.72%2 1.62% 1.62% 1.46% 1.54% 1.47%
Portfolio Turnover Rate3 11% 15% 16% 14% 15% 15%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.265 and 0.17%, respectively, resulting from a special dividend from NortonLifeLock Inc. in February 2020.
3 Excludes 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

Mid-Cap Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $220.66 $171.04 $191.55 $162.94 $148.72 $152.97
Investment Operations            
Net Investment Income 1.7661,2 3.2961 3.1351 2.6061 2.325 2.214
Net Realized and Unrealized Gain (Loss) on Investments (17.748) 49.578 (20.539) 28.591 14.257 (4.284)
Total from Investment Operations (15.982) 52.874 (17.404) 31.197 16.582 (2.070)
Distributions            
Dividends from Net Investment Income (1.718) (3.254) (3.106) (2.587) (2.362) (2.180)
Distributions from Realized Capital Gains
Total Distributions (1.718) (3.254) (3.106) (2.587) (2.362) (2.180)
Net Asset Value, End of Period $202.96 $220.66 $171.04 $191.55 $162.94 $148.72
Total Return3 -7.18% 31.03% -9.23% 19.25% 11.22% -1.34%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $43,429 $47,640 $34,754 $37,778 $29,854 $25,061
Ratio of Total Expenses to Average Net Assets 0.05% 0.05% 0.05% 0.05% 0.06% 0.08%
Ratio of Net Investment Income to Average Net Assets 1.71%2 1.62% 1.61% 1.46% 1.54% 1.47%
Portfolio Turnover Rate4 11% 15% 16% 14% 15% 15%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.329 and 0.17%, respectively, resulting from a special dividend from NortonLifeLock Inc. in February 2020.
3 Total 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.
4 Excludes 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

Mid-Cap Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $48.74 $37.78 $42.32 $35.99 $32.85 $33.79
Investment Operations            
Net Investment Income .3921,2 .7271 .6971 .5801 .516 .492
Net Realized and Unrealized Gain (Loss) on Investments (3.910) 10.957 (4.547) 6.325 3.148 (.947)
Total from Investment Operations (3.518) 11.684 (3.850) 6.905 3.664 (.455)
Distributions            
Dividends from Net Investment Income (.382) (.724) (.690) (.575) (.524) (.485)
Distributions from Realized Capital Gains
Total Distributions (.382) (.724) (.690) (.575) (.524) (.485)
Net Asset Value, End of Period $44.84 $48.74 $37.78 $42.32 $35.99 $32.85
Total Return -7.16% 31.04% -9.24% 19.29% 11.23% -1.33%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $18,364 $20,425 $16,524 $18,222 $14,540 $12,278
Ratio of Total Expenses to Average Net Assets 0.04% 0.04% 0.04% 0.04% 0.05% 0.07%
Ratio of Net Investment Income to Average Net Assets 1.72%2 1.62% 1.62% 1.47% 1.55% 1.48%
Portfolio Turnover Rate3 11% 15% 16% 14% 15% 15%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.073 and 0.17%, respectively, resulting from a special dividend from NortonLifeLock Inc. in February 2020.
3 Excludes 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.
41

Mid-Cap Index Fund
Financial Highlights
Institutional Plus Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $240.40 $186.34 $208.69 $177.51 $162.03 $166.65
Investment Operations            
Net Investment Income 1.9491,2 3.5981 3.4641 2.8561 2.564 2.461
Net Realized and Unrealized Gain (Loss) on Investments (19.336) 54.052 (22.388) 31.179 15.524 (4.657)
Total from Investment Operations (17.387) 57.650 (18.924) 34.035 18.088 (2.196)
Distributions            
Dividends from Net Investment Income (1.893) (3.590) (3.426) (2.855) (2.608) (2.424)
Distributions from Realized Capital Gains
Total Distributions (1.893) (3.590) (3.426) (2.855) (2.608) (2.424)
Net Asset Value, End of Period $221.12 $240.40 $186.34 $208.69 $177.51 $162.03
Total Return -7.17% 31.06% -9.21% 19.28% 11.24% -1.30%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $12,473 $13,612 $11,426 $12,749 $11,415 $11,260
Ratio of Total Expenses to Average Net Assets 0.03% 0.03% 0.03% 0.03% 0.04% 0.05%
Ratio of Net Investment Income to Average Net Assets 1.74%2 1.62% 1.63% 1.48% 1.56% 1.50%
Portfolio Turnover Rate3 11% 15% 16% 14% 15% 15%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.359 and 0.17%, respectively, resulting from a special dividend from NortonLifeLock Inc. in February 2020.
3 Excludes 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.
42

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.
Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.
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 Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Schedule of Investments. 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 gains (losses) on futures contracts.
43

Mid-Cap Index Fund
During the six months ended June 30, 2020, 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 Schedule of Investments. 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 periodic payments are made or the 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's 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 Schedule of Investments. 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 six months ended June 30, 2020, 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.
44

Mid-Cap Index Fund
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, 2016–2019), and for the period ended June 30, 2020, 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 at the fiscal year-end 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. Collateral investments in Vanguard Market Liquidity Fund are subject to market appreciation or depreciation. 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 Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group ("Vanguard") participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed 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 either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternative rate agreed to by the fund and Vanguard.
In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund
45

Mid-Cap Index Fund
Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.
For the six months ended June 30, 2020, the fund did not utilize the credit facilities or the Interfund Lending Program.
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 are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. 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 and 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 June 30, 2020, the fund had contributed to Vanguard capital in the amount of $4,791,000, representing less than 0.01% of the fund’s net assets and 1.92% of Vanguard’s capital received pursuant to the FSA. 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 six months ended June 30, 2020, custodian fee offset arrangements reduced the fund’s expenses by $75,000 (an annual rate of less than 0.01% 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.).
46

Mid-Cap Index Fund
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 Schedule of Investments.
The following table summarizes the market value of the fund's investments and derivatives as of June 30, 2020, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 106,206,274 106,206,274
Temporary Cash Investments 1,675,730 37,990 1,713,720
Total 107,882,004 37,990 107,919,994
Derivative Financial Instruments        
Assets        
Futures Contracts1 6,054 6,054
Swap Contracts 25,747 25,747
Total 6,054 25,747 31,801
Liabilities        
Swap Contracts 2,211 2,211
1 Represents variation margin on the last day of the reporting period.
E. As of June 30, 2020, 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 81,642,788
Gross Unrealized Appreciation 33,266,426
Gross Unrealized Depreciation (6,959,972)
Net Unrealized Appreciation (Depreciation) 26,306,454
The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at December 31, 2019, the fund had available capital losses totaling $3,876,921,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending December 31, 2020; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.
F. During the six months ended June 30, 2020, the fund purchased $18,336,173,000 of investment securities and sold $15,250,971,000 of investment securities, other than temporary cash investments. Purchases and sales include $6,930,638,000 and $3,472,970,000, 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
47

Mid-Cap Index Fund
trustees in compliance with Rule 17a-7 of the Investment Company Act of 1940. For the six months ended June 30, 2020, such purchases and sales were $803,989,000 and $3,066,274,000, respectively; these amounts, other than temporary cash investments, are included in the purchases and sales of investment securities noted above.
G. Capital share transactions for each class of shares were:
    
  Six Months Ended
June 30, 2020
  Year Ended
December 31, 2019
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 29,342 687   663,261 14,332
Issued in Lieu of Cash Distributions 5,950 143   25,880 576
Redeemed1 (94,608) (2,186)   (3,575,024) (77,577)
Net Increase (Decrease)—Investor Shares (59,316) (1,356)   (2,885,883) (62,669)
ETF Shares          
Issued 8,302,926 52,247   12,595,802 76,273
Issued in Lieu of Cash Distributions  
Redeemed (3,554,927) (21,200)   (11,211,802) (67,375)
Net Increase (Decrease)—ETF Shares 4,747,999 31,047   1,384,000 8,898
Admiral Shares          
Issued1 4,596,073 24,185   9,353,130 45,718
Issued in Lieu of Cash Distributions 324,583 1,717   609,089 2,913
Redeemed (5,275,651) (27,822)   (7,308,334) (35,924)
Net Increase (Decrease)—Admiral Shares (354,995) (1,920)   2,653,885 12,707
Institutional Shares          
Issued 1,766,689 41,825   2,788,932 62,497
Issued in Lieu of Cash Distributions 145,437 3,482   290,016 6,288
Redeemed (2,371,658) (54,745)   (3,933,843) (87,103)
Net Increase (Decrease)—Institutional Shares (459,532) (9,438)   (854,895) (18,318)
Institutional Plus Shares          
Issued 1,839,767 7,996   1,606,615 7,413
Issued in Lieu of Cash Distributions 112,433 546   206,480 909
Redeemed (1,861,010) (8,754)   (2,793,076) (13,021)
Net Increase (Decrease)—Institutional Plus Shares 91,190 (212)   (979,981) (4,699)
1 In November 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. As a result, all of the outstanding Investor Shares automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors. Investor Shares—Redeemed and Admiral Shares—Issued include 56,275,000 and 12,406,000 shares, respectively, in the amount of $2,597,186,000 from the conversion during the year ended December 31, 2019.
H. Management has determined that no events or transactions occurred subsequent to June 30, 2020, that would require recognition or disclosure in these financial statements.
48

Mid-Cap Growth Index Fund
Fund Allocation
As of June 30, 2020
Basic Materials 1.4%
Consumer Goods 6.0
Consumer Services 9.6
Financials 17.0
Health Care 13.7
Industrials 18.1
Oil & Gas 2.4
Technology 31.7
Utilities 0.1
The table reflects the fund’s investments, except for short-term investments and derivatives. 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.
The fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.
The Industry Classification Benchmark (“ICB”) is owned by FTSE. FTSE does not accept any liability to any person for any loss or damage arising out of any error or omission in the ICB.
49

Mid-Cap Growth Index Fund
Financial Statements (unaudited)
Schedule of Investments
As of June 30, 2020
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 (99.9%)
Basic Materials (1.4%)
Fastenal Co. 3,882,960    166,346
FMC Corp.   437,540     43,588
CF Industries Holdings Inc.   723,689     20,365
* Axalta Coating Systems Ltd.       498         11
                     230,310
Consumer Goods (6.0%)
* Lululemon Athletica Inc.   798,360    249,096
McCormick & Co. Inc. (Non-Voting)   835,824    149,955
Church & Dwight Co. Inc. 1,662,253    128,492
* Take-Two Interactive Software Inc.   770,257    107,505
* NVR Inc.    23,638     77,030
Lamb Weston Holdings Inc.   987,235     63,114
Tiffany & Co.   410,087     50,006
* LKQ Corp. 1,849,377     48,454
Hormel Foods Corp.   908,858     43,871
Fortune Brands Home & Security Inc.   466,918     29,850
* Under Armour Inc. Class A   637,078      6,205
* Under Armour Inc. Class C   666,027      5,888
                     959,466
Consumer Services (9.6%)
* Chipotle Mexican Grill Inc. Class A   188,541    198,413
* Dollar Tree Inc. 1,603,704    148,631
* Copart Inc. 1,428,387    118,942
Tractor Supply Co.   781,698    103,020
Domino's Pizza Inc.   264,458     97,701
FactSet Research Systems Inc.   256,020     84,095
*,1 Wayfair Inc. Class A   411,776     81,371
* Roku Inc. Class A   687,683     80,136
Expedia Group Inc.   915,749     75,275
* Ulta Beauty Inc.   361,666     73,570
*,1 Carvana Co. Class A   467,200     56,157
* Trade Desk Inc. Class A   138,010     56,101
Wynn Resorts Ltd.   656,217     48,882
          Shares Market
Value

($000)
* Lyft Inc. Class A 1,410,109     46,548
* Burlington Stores Inc.   222,239     43,766
* Altice USA Inc. Class A 1,909,136     43,032
Rollins Inc.   997,078     42,266
* Live Nation Entertainment Inc.   945,848     41,929
* DraftKings Inc. Class A   909,679     30,256
Vail Resorts Inc.   136,104     24,791
*,1 Chewy Inc. Class A   398,336     17,802
*,1 Warner Music Group Corp. Class A   520,516     15,355
                   1,528,039
Financials (17.0%)
Digital Realty Trust Inc. 1,813,258    257,682
SBA Communications Corp. Class A   754,602    224,811
* CoStar Group Inc.   266,071    189,089
IHS Markit Ltd. 2,427,247    183,257
MSCI Inc. Class A   536,870    179,218
Alexandria Real Estate Equities Inc.   852,980    138,396
Realty Income Corp. 2,321,362    138,121
First Republic Bank 1,157,902    122,726
MarketAxess Holdings Inc.   243,465    121,956
Invitation Homes Inc. 3,773,729    103,891
Essex Property Trust Inc.   442,235    101,347
Broadridge Financial Solutions Inc.   776,170     97,945
* CBRE Group Inc. Class A 2,152,464     97,334
Sun Communities Inc.   664,255     90,126
Mid-America Apartment Communities Inc.   773,018     88,642
Extra Space Storage Inc.   872,576     80,600
* SVB Financial Group   348,236     75,055
AvalonBay Communities Inc.   475,673     73,558
Cboe Global Markets Inc.   741,731     69,189
Arthur J Gallagher & Co.   640,844     62,476
Regency Centers Corp. 1,146,688     52,622
SEI Investments Co.   900,044     49,484
* Markel Corp.    44,301     40,897
Iron Mountain Inc.   974,404     25,432
50

Mid-Cap Growth Index Fund
          Shares Market
Value

($000)
Federal Realty Investment Trust   256,002     21,814
Interactive Brokers Group Inc. Class A   492,573     20,575
E*TRADE Financial Corp.     1,068         53
Vornado Realty Trust       808         31
                   2,706,327
Health Care (13.7%)
* DexCom Inc.   624,258    253,074
* Centene Corp. 3,915,013    248,799
* IDEXX Laboratories Inc.   574,164    189,566
ResMed Inc.   977,964    187,769
* BioMarin Pharmaceutical Inc. 1,222,463    150,779
* Seattle Genetics Inc.   819,114    139,184
* Align Technology Inc.   479,198    131,511
* Incyte Corp. 1,249,027    129,861
* Moderna Inc. 1,837,368    117,978
* Alnylam Pharmaceuticals Inc.   776,154    114,956
Teleflex Inc.   313,839    114,231
Cooper Cos. Inc.   360,486    102,248
* Exact Sciences Corp. 1,012,271     88,007
* Varian Medical Systems Inc.   613,918     75,217
* ABIOMED Inc.   288,715     69,742
West Pharmaceutical Services Inc.   248,435     56,437
* PPD Inc.   471,273     12,630
* Jazz Pharmaceuticals plc    89,217      9,844
                   2,191,833
Industrials (18.1%)
Amphenol Corp. Class A 2,000,277    191,646
Verisk Analytics Inc. Class A 1,096,896    186,692
Waste Connections Inc. 1,777,186    166,682
Cintas Corp.   597,870    159,249
TransDigm Group Inc.   347,252    153,503
* FleetCor Technologies Inc.   566,543    142,502
Equifax Inc.   820,573    141,040
AMETEK Inc. 1,550,974    138,610
* Mettler-Toledo International Inc.   161,617    130,191
* Square Inc. Class A 1,226,842    128,745
Old Dominion Freight Line Inc.   717,613    121,700
TransUnion 1,283,042    111,676
Vulcan Materials Co.   895,270    103,717
Kansas City Southern   642,387     95,902
Masco Corp. 1,783,220     89,535
Martin Marietta Materials Inc.   420,097     86,779
Expeditors International of Washington Inc. 1,125,089     85,552
Xylem Inc. 1,216,251     79,008
Ball Corp. 1,101,913     76,572
          Shares Market
Value

($000)
* Waters Corp.   418,532     75,503
* Trimble Inc. 1,688,401     72,922
Westinghouse Air Brake Technologies Corp. 1,222,062     70,354
JB Hunt Transport Services Inc.   570,350     68,636
Jack Henry & Associates Inc.   258,963     47,657
HEICO Corp. Class A   490,094     39,815
* IPG Photonics Corp.   233,011     37,373
Cognex Corp.   551,290     32,923
HEICO Corp.   274,848     27,389
A O Smith Corp.   456,643     21,517
* XPO Logistics Inc.   154,222     11,914
Robert Half International Inc.       518         27
                   2,895,331
Oil & Gas (2.4%)
* Cheniere Energy Inc. 1,533,863     74,116
Concho Resources Inc. 1,329,759     68,483
Pioneer Natural Resources Co.   556,466     54,367
ONEOK Inc. 1,486,910     49,395
Hess Corp.   934,328     48,408
Diamondback Energy Inc. 1,066,868     44,616
Cabot Oil & Gas Corp. 1,347,250     23,146
Targa Resources Corp.   750,077     15,054
1 Continental Resources Inc.   247,195      4,333
                     381,918
Technology (31.6%)
* Veeva Systems Inc. Class A   911,527    213,680
* Splunk Inc. 1,073,712    213,347
KLA Corp. 1,048,167    203,848
* DocuSign Inc. Class A 1,174,418    202,247
* Synopsys Inc. 1,019,333    198,770
* Twilio Inc. Class A   870,194    190,938
* Cadence Design Systems Inc. 1,887,333    181,108
Microchip Technology Inc. 1,658,403    174,646
* IQVIA Holdings Inc. 1,226,229    173,977
* IAC/interactivecorp   535,231    173,094
* ANSYS Inc.   578,613    168,799
Xilinx Inc. 1,643,867    161,740
* Snap Inc. Class A 6,828,095    160,392
* Okta Inc. Class A   784,763    157,133
* Twitter Inc. 5,038,819    150,106
* RingCentral Inc. Class A   520,189    148,259
* VeriSign Inc.   702,959    145,393
Skyworks Solutions Inc. 1,127,850    144,207
* Palo Alto Networks Inc.   619,524    142,286
Cerner Corp. 2,057,361    141,032
* Zoom Video Communications Inc. Class A   537,712    136,332
* Fortinet Inc.   928,920    127,513
 
51

Mid-Cap Growth Index Fund
          Shares Market
Value

($000)
Citrix Systems Inc.   834,535    123,436
* Akamai Technologies Inc. 1,096,904    117,467
* Paycom Software Inc.   336,522    104,231
* Crowdstrike Holdings Inc. Class A   969,947     97,276
*,1 Slack Technologies Inc. Class A 2,730,887     84,903
SS&C Technologies Holdings Inc. 1,472,343     83,158
* Datadog Inc. Class A   951,012     82,691
* GoDaddy Inc. Class A 1,117,250     81,928
Marvell Technology Group Ltd. 2,238,089     78,467
* Arista Networks Inc.   358,237     75,241
* Black Knight Inc.   962,769     69,859
* Gartner Inc.   572,690     69,484
* Pinterest Inc. Class A 2,726,679     60,450
* Tyler Technologies Inc.   134,204     46,553
Leidos Holdings Inc.   479,438     44,909
*,1 Match Group Inc.   377,693     40,432
* Dropbox Inc. Class A 1,688,344     36,755
* F5 Networks Inc.   205,835     28,710
* ZoomInfo Technologies Inc. Class A   306,685     15,650
* Advanced Micro Devices Inc.     2,028        107
                   5,050,554
Utilities (0.1%)
NRG Energy Inc.   392,486     12,779
Total Common Stocks
(Cost $11,635,671)
15,956,557
Temporary Cash Investments (0.7%)
Money Market Fund (0.7%)
2,3 Vanguard Market Liquidity Fund, 0.227% 1,012,638    101,264
          Face
Amount
($000)
Market
Value

($000)
U.S. Government and Agency Obligations (0.0%)
4 United States Treasury Bill, 0.210%, 9/15/20       300        300
4 United States Treasury Bill, 0.087%, 9/24/20     1,775      1,774
                       2,074
Total Temporary Cash Investments
(Cost $103,318)
103,338
Total Investments (100.6%)
(Cost $11,738,989)
  16,059,895
Other Assets and Liabilities—Net (-0.6%)   (88,050)
Net Assets (100%)   15,971,845
Cost is in $000.
See Note A in Notes to Financial Statements.
* Non-income-producing security.
1 Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $87,311,000.
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 $89,909,000 was received for securities on loan.
4 Securities with a value of $1,992,000 have been segregated as initial margin for open futures contracts.
 

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 S&P 500 Index September 2020 84 12,979 214
E-mini S&P Mid-Cap 400 Index September 2020 64 11,386 163
        377
See accompanying Notes, which are an integral part of the Financial Statements.
52

Mid-Cap Growth Index Fund
Statement of Assets and Liabilities
As of June 30, 2020
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers (Cost $11,637,745) 15,958,631
Affiliated Issuers (Cost $101,244) 101,264
Total Investments in Securities 16,059,895
Investment in Vanguard 704
Receivables for Investment Securities Sold 3,001
Receivables for Accrued Income 7,754
Receivables for Capital Shares Issued 5,950
Variation Margin Receivable—Futures Contracts 327
Total Assets 16,077,631
Liabilities  
Due to Custodian 2,913
Payables for Investment Securities Purchased 492
Collateral for Securities on Loan 89,909
Payables for Capital Shares Redeemed 11,893
Payables to Vanguard 579
Total Liabilities 105,786
Net Assets 15,971,845
53

Mid-Cap Growth Index Fund
Statement of Assets and Liabilities (continued)

At June 30, 2020, net assets consisted of:  
($000s, except shares and per-share amounts) Amount
Paid-in Capital 12,441,028
Total Distributable Earnings (Loss) 3,530,817
Net Assets 15,971,845
 
Investor Shares—Net Assets  
Applicable to 936,319 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 60,784
Net Asset Value Per Share—Investor Shares $64.92
 
ETF Shares—Net Assets  
Applicable to 45,839,676 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 7,567,113
Net Asset Value Per Share—ETF Shares $165.08
 
Admiral Shares—Net Assets  
Applicable to 117,417,469 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 8,343,948
Net Asset Value Per Share—Admiral Shares $71.06
See accompanying Notes, which are an integral part of the Financial Statements.
54

Mid-Cap Growth Index Fund
Statement of Operations
  Six Months Ended
June 30, 2020
  ($000)
Investment Income  
Income  
Dividends 54,946
Interest1 127
Securities Lending—Net 1,118
Total Income 56,191
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,030
Management and Administrative—Investor Shares 47
Management and Administrative—ETF Shares 1,611
Management and Administrative—Admiral Shares 1,840
Marketing and Distribution—Investor Shares 4
Marketing and Distribution—ETF Shares 127
Marketing and Distribution—Admiral Shares 254
Custodian Fees 14
Shareholders’ Reports—Investor Shares
Shareholders’ Reports—ETF Shares 141
Shareholders’ Reports—Admiral Shares 53
Trustees’ Fees and Expenses 5
Total Expenses 5,126
Expenses Paid Indirectly (11)
Net Expenses 5,115
Net Investment Income 51,076
Realized Net Gain (Loss)  
Investment Securities Sold1,2 (992)
Futures Contracts (5,006)
Realized Net Gain (Loss) (5,998)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities1 604,302
Futures Contracts 86
Change in Unrealized Appreciation (Depreciation) 604,388
Net Increase (Decrease) in Net Assets Resulting from Operations 649,466
1 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $118,000, $20,000, and $15,000, respectively. Purchases and sales are for temporary cash investment purposes.
2 Includes $212,716,000 of the net gain (loss) resulting from in-kind redemptions.
See accompanying Notes, which are an integral part of the Financial Statements.
55

Mid-Cap Growth Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2020
  Year Ended
December 31,
2019
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 51,076   130,031
Realized Net Gain (Loss) (5,998)   1,246,267
Change in Unrealized Appreciation (Depreciation) 604,388   2,380,102
Net Increase (Decrease) in Net Assets Resulting from Operations 649,466   3,756,400
Distributions1      
Investor Shares (190)   (1,401)
ETF Shares (27,109)   (53,858)
Admiral Shares (30,449)   (62,143)
Total Distributions (57,748)   (117,402)
Capital Share Transactions      
Investor Shares (4,484)   (446,980)
ETF Shares 270,991   373,151
Admiral Shares (118,709)   762,501
Net Increase (Decrease) from Capital Share Transactions 147,798   688,672
Total Increase (Decrease) 739,516   4,327,670
Net Assets      
Beginning of Period 15,232,329   10,904,659
End of Period 15,971,845   15,232,329
1 Certain prior period numbers have been reclassed to conform with current period presentation.
See accompanying Notes, which are an integral part of the Financial Statements.
56

Mid-Cap Growth Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $62.43 $47.02 $50.21 $41.52 $39.22 $39.94
Investment Operations            
Net Investment Income .1711 .3451 .3331 .3041 .290 .268
Net Realized and Unrealized Gain (Loss) on Investments 2.517 15.485 (3.193) 8.692 2.299 (.719)
Total from Investment Operations 2.688 15.830 (2.860) 8.996 2.589 (.451)
Distributions            
Dividends from Net Investment Income (.198) (.420) (.330) (.306) (.289) (.269)
Distributions from Realized Capital Gains
Total Distributions (.198) (.420) (.330) (.306) (.289) (.269)
Net Asset Value, End of Period $64.92 $62.43 $47.02 $50.21 $41.52 $39.22
Total Return2 4.34% 33.72% -5.74% 21.72% 6.62% -1.13%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $61 $63 $405 $495 $460 $542
Ratio of Total Expenses to Average Net Assets 0.19% 0.19% 0.19% 0.19% 0.19% 0.20%
Ratio of Net Investment Income to Average Net Assets 0.63% 0.62% 0.64% 0.67% 0.74% 0.70%
Portfolio Turnover Rate3 10% 18% 25% 23% 21% 23%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Total 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.
3 Excludes 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

Mid-Cap Growth Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $158.76 $119.58 $127.67 $105.60 $99.75 $101.57
Investment Operations            
Net Investment Income .5331 1.3861 1.0161 .9321 .863 .805
Net Realized and Unrealized Gain (Loss) on Investments 6.386 39.040 (8.101) 22.058 5.848 (1.815)
Total from Investment Operations 6.919 40.426 (7.085) 22.990 6.711 (1.010)
Distributions            
Dividends from Net Investment Income (.599) (1.246) (1.005) (.920) (.861) (.810)
Distributions from Realized Capital Gains
Total Distributions (.599) (1.246) (1.005) (.920) (.861) (.810)
Net Asset Value, End of Period $165.08 $158.76 $119.58 $127.67 $105.60 $99.75
Total Return 4.39% 33.86% -5.60% 21.83% 6.75% -1.00%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $7,567 $6,995 $4,956 $5,130 $3,576 $3,302
Ratio of Total Expenses to Average Net Assets 0.07% 0.07% 0.07% 0.07% 0.07% 0.08%
Ratio of Net Investment Income to Average Net Assets 0.76% 0.95% 0.76% 0.79% 0.86% 0.82%
Portfolio Turnover Rate2 10% 18% 25% 23% 21% 23%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes 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

Mid-Cap Growth Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $68.34 $51.48 $54.96 $45.46 $42.94 $43.72
Investment Operations            
Net Investment Income .2281 .6031 .4371 .4001 .370 .349
Net Realized and Unrealized Gain (Loss) on Investments 2.750 16.793 (3.485) 9.496 2.519 (.777)
Total from Investment Operations 2.978 17.396 (3.048) 9.896 2.889 (.428)
Distributions            
Dividends from Net Investment Income (.258) (.536) (.432) (.396) (.369) (.352)
Distributions from Realized Capital Gains
Total Distributions (.258) (.536) (.432) (.396) (.369) (.352)
Net Asset Value, End of Period $71.06 $68.34 $51.48 $54.96 $45.46 $42.94
Total Return2 4.40% 33.86% -5.60% 21.83% 6.75% -0.98%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $8,344 $8,173 $5,544 $5,659 $3,923 $3,319
Ratio of Total Expenses to Average Net Assets 0.07% 0.07% 0.07% 0.07% 0.07% 0.08%
Ratio of Net Investment Income to Average Net Assets 0.76% 0.96% 0.76% 0.79% 0.86% 0.82%
Portfolio Turnover Rate3 10% 18% 25% 23% 21% 23%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Total 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.
3 Excludes 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

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.
Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.
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 Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Schedule of Investments. 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 gains (losses) on futures contracts.
During the six months ended June 30, 2020, 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.
60

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, 2016–2019), and for the period ended June 30, 2020, 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 at the fiscal year-end 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 Assets and Liabilities for the return of the collateral, during the period the securities are on loan. Collateral investments in Vanguard Market Liquidity Fund are subject to market appreciation or depreciation. 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 Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group ("Vanguard") participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed 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 either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternative rate agreed to by the fund and Vanguard.
In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund
61

Mid-Cap Growth Index Fund
Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.
For the six months ended June 30, 2020, the fund did not utilize the credit facilities or the Interfund Lending Program.
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 are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. 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 and 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 June 30, 2020, the fund had contributed to Vanguard capital in the amount of $704,000, representing less than 0.01% of the fund’s net assets and 0.28% of Vanguard’s capital received pursuant to the FSA. 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 six months ended June 30, 2020, custodian fee offset arrangements reduced the fund’s expenses by $11,000 (an annual rate of less than 0.01% 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.).
62

Mid-Cap Growth Index Fund
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 Schedule of Investments.
The following table summarizes the market value of the fund's investments and derivatives as of June 30, 2020, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 15,956,557 15,956,557
Temporary Cash Investments 101,264 2,074 103,338
Total 16,057,821 2,074 16,059,895
Derivative Financial Instruments        
Assets        
Futures Contracts1 327 327
1 Represents variation margin on the last day of the reporting period.
E. As of June 30, 2020, 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 11,744,556
Gross Unrealized Appreciation 5,038,035
Gross Unrealized Depreciation (722,319)
Net Unrealized Appreciation (Depreciation) 4,315,716
The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at December 31, 2019, the fund had available capital losses totaling $788,437,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending December 31, 2020; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.
F. During the six months ended June 30, 2020, the fund purchased $2,136,645,000 of investment securities and sold $1,979,874,000 of investment securities, other than temporary cash investments. Purchases and sales include $678,376,000 and $490,908,000, 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 six months ended June 30, 2020, such purchases and sales were $122,778,000 and $430,852,000, respectively; these amounts, other than temporary cash investments, are included in the purchases and sales of investment securities noted above.
63

Mid-Cap Growth Index Fund
G. Capital share transactions for each class of shares were:
    
  Six Months Ended
June 30, 2020
  Year Ended
December 31, 2019
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 7,938 132   80,774 1,386
Issued in Lieu of Cash Distributions 190 3   1,355 24
Redeemed1 (12,612) (216)   (529,109) (8,995)
Net Increase (Decrease)—Investor Shares (4,484) (81)   (446,980) (7,585)
ETF Shares          
Issued 769,004 4,928   2,906,844 19,715
Issued in Lieu of Cash Distributions  
Redeemed (498,013) (3,150)   (2,533,693) (17,100)
Net Increase (Decrease)—ETF Shares 270,991 1,778   373,151 2,615
Admiral Shares          
Issued1 1,068,860 16,650   2,150,012 34,081
Issued in Lieu of Cash Distributions 27,402 427   56,105 868
Redeemed (1,214,971) (19,256)   (1,443,616) (23,049)
Net Increase (Decrease)—Admiral Shares (118,709) (2,179)   762,501 11,900
1 In November 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. As a result, all of the outstanding Investor Shares automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors. Investor Shares—Redeemed and Admiral Shares—Issued include 7,041,000 and 6,432,000 shares, respectively, in the amount of $417,307,000 from the conversion during the year ended December 31, 2019.
H. Management has determined that no events or transactions occurred subsequent to June 30, 2020, that would require recognition or disclosure in these financial statements.
64

Mid-Cap Value Index Fund
Fund Allocation
As of June 30, 2020
Basic Materials 6.3%
Consumer Goods 13.3
Consumer Services 12.3
Financials 25.3
Health Care 6.1
Industrials 11.6
Oil & Gas 3.3
Technology 7.7
Telecommunications 0.6
Utilities 13.5
The table reflects the fund’s investments, except for short-term investments and derivatives. 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.
The fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.
The Industry Classification Benchmark (“ICB”) is owned by FTSE. FTSE does not accept any liability to any person for any loss or damage arising out of any error or omission in the ICB.
65

Mid-Cap Value Index Fund
Financial Statements (unaudited)
Schedule of Investments
As of June 30, 2020
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 (99.7%)
Basic Materials (6.3%)
Newmont Corp.  3,555,265    219,502
Freeport-McMoRan Inc. 12,859,390    148,783
International Paper Co.  3,484,333    122,683
1 International Flavors & Fragrances Inc.    947,407    116,020
Nucor Corp.  2,670,897    110,602
Celanese Corp. Class A  1,048,733     90,548
Eastman Chemical Co.  1,205,030     83,918
1 Albemarle Corp.    941,385     72,684
FMC Corp.    573,053     57,088
CF Industries Holdings Inc.    951,573     26,777
Mosaic Co.  1,679,927     21,016
Westlake Chemical Corp.    282,301     15,145
                    1,084,766
Consumer Goods (13.2%)
Clorox Co.  1,116,485    244,923
Aptiv plc  2,375,220    185,077
DR Horton Inc.  3,057,582    169,543
Lennar Corp. Class A  2,439,073    150,296
Conagra Brands Inc.  4,100,031    144,198
Garmin Ltd.  1,269,916    123,817
Genuine Parts Co.  1,213,377    105,515
J M Smucker Co.    960,279    101,607
Corteva Inc.  3,322,856     89,019
Hasbro Inc.  1,153,663     86,467
Campbell Soup Co.  1,738,286     86,271
Tyson Foods Inc. Class A  1,304,290     77,879
PulteGroup Inc.  2,255,327     76,749
Kellogg Co.  1,143,872     75,564
Whirlpool Corp.    551,036     71,376
Tiffany & Co.    538,048     65,610
BorgWarner Inc.  1,835,514     64,794
Lear Corp.    531,263     57,918
Hormel Foods Corp.  1,193,967     57,633
Molson Coors Beverage Co. Class B  1,567,986     53,876
* Mohawk Industries Inc.    507,670     51,661
Fortune Brands Home & Security Inc.    614,001     39,253
          Shares Market
Value

($000)
Newell Brands Inc.  1,689,564     26,830
Bunge Ltd.    596,895     24,550
Tapestry Inc.  1,215,803     16,146
PVH Corp.    311,995     14,991
Ralph Lauren Corp. Class A    200,917     14,571
Lennar Corp. Class B    122,627      5,652
Coty Inc. Class A  1,174,548      5,250
1 Levi Strauss & Co. Class A    245,092      3,284
                    2,290,320
Consumer Services (12.3%)
Best Buy Co. Inc.  2,059,763    179,756
* Liberty Broadband Corp. Class C  1,287,741    159,628
* CarMax Inc.  1,444,791    129,381
AmerisourceBergen Corp. Class A  1,262,704    127,243
* AutoZone Inc.    103,439    116,692
ViacomCBS Inc. Class B  4,782,901    111,537
Omnicom Group Inc.  1,897,150    103,584
Darden Restaurants Inc.  1,139,068     86,307
* United Airlines Holdings Inc.  2,450,829     84,823
Advance Auto Parts Inc.    581,205     82,794
Delta Air Lines Inc.  2,839,546     79,649
1 Royal Caribbean Cruises Ltd.  1,483,119     74,601
* DISH Network Corp. Class A  2,150,553     74,216
1 Carnival Corp.  4,264,744     70,027
MGM Resorts International  3,929,332     66,013
Interpublic Group of Cos. Inc.  3,449,954     59,201
1 American Airlines Group Inc.  4,399,374     57,500
* Discovery Inc. Class C  2,857,864     55,042
News Corp. Class A  4,121,447     48,880
* Liberty Media Corp.-Liberty SiriusXM Class C  1,341,579     46,217
Aramark  2,011,955     45,410
Fox Corp. Class A  1,513,647     40,596
* DraftKings Inc. Class A  1,200,986     39,945
66

Mid-Cap Value Index Fund
          Shares Market
Value

($000)
*,1 Discovery Inc. Class A  1,348,241     28,448
* Liberty Broadband Corp. Class A    223,327     27,288
* Liberty Media Corp.-Liberty SiriusXM Class A    719,625     24,841
Nielsen Holdings plc  1,578,445     23,456
Alaska Air Group Inc.    540,289     19,591
Fox Corp. Class B    709,039     19,031
*,1 Norwegian Cruise Line Holdings Ltd.  1,129,098     18,551
Kohl's Corp.    683,434     14,195
Hyatt Hotels Corp. Class A    156,836      7,887
News Corp. Class B    378,120      4,519
ViacomCBS Inc. Class A     63,503      1,626
                    2,128,475
Financials (25.2%)
Willis Towers Watson plc  1,140,666    224,654
Ameriprise Financial Inc.  1,085,974    162,940
Weyerhaeuser Co.  6,624,772    148,792
KKR & Co. Inc.  4,699,308    145,115
Healthpeak Properties Inc.  4,767,164    131,383
Hartford Financial Services Group Inc.  3,170,258    122,213
Nasdaq Inc.  1,016,873    121,486
Duke Realty Corp.  3,261,689    115,431
M&T Bank Corp.  1,080,673    112,358
Synchrony Financial  4,936,079    109,384
KeyCorp  8,642,855    105,270
WP Carey Inc.  1,526,432    103,263
Principal Financial Group Inc.  2,424,626    100,719
* Arch Capital Group Ltd.  3,412,023     97,754
E*TRADE Financial Corp.  1,964,826     97,711
UDR Inc.  2,610,975     97,598
AvalonBay Communities Inc.    626,379     96,863
Citizens Financial Group Inc.  3,780,459     95,419
Regions Financial Corp.  8,496,620     94,482
Cincinnati Financial Corp.  1,353,551     86,668
Annaly Capital Management Inc. 12,665,011     83,082
Arthur J Gallagher & Co.    839,441     81,837
Huntington Bancshares Inc.  8,988,491     81,211
Camden Property Trust    882,258     80,480
Western Union Co.  3,637,779     78,649
Fidelity National Financial Inc.  2,512,224     77,025
Everest Re Group Ltd.    354,441     73,086
Loews Corp.  2,119,874     72,690
Northern Trust Corp.    879,715     69,797
Equitable Holdings Inc.  3,589,211     69,236
Discover Financial Services  1,363,305     68,288
W R Berkley Corp.  1,188,149     68,069
          Shares Market
Value

($000)
Host Hotels & Resorts Inc.  6,241,136     67,342
Ally Financial Inc.  3,303,549     65,509
Raymond James Financial Inc.    941,877     64,829
AGNC Investment Corp.  4,959,757     63,981
Globe Life Inc.    848,081     62,953
Lincoln National Corp.  1,710,554     62,931
VEREIT Inc.  9,543,979     61,368
Fifth Third Bancorp  3,168,568     61,090
Ventas Inc.  1,660,500     60,808
Alleghany Corp.    120,342     58,864
Vornado Realty Trust  1,526,948     58,345
Boston Properties Inc.    622,364     56,249
* Markel Corp.     58,244     53,769
Franklin Resources Inc.  2,411,892     50,577
Iron Mountain Inc.  1,281,341     33,443
Federal Realty Investment Trust    336,642     28,685
Voya Financial Inc.    554,959     25,889
* Athene Holding Ltd. Class A    814,435     25,402
Zions Bancorp NA    725,045     24,652
Comerica Inc.    615,370     23,446
Reinsurance Group of America Inc.    298,594     23,422
Kimco Realty Corp.  1,809,746     23,237
Invesco Ltd.  2,025,039     21,789
SL Green Realty Corp.    336,820     16,602
                    4,368,135
Health Care (6.1%)
* Laboratory Corp. of America Holdings    861,135    143,043
Cardinal Health Inc.  2,587,093    135,020
Quest Diagnostics Inc.  1,184,781    135,018
* Hologic Inc.  2,287,396    130,382
DENTSPLY SIRONA Inc.  1,941,514     85,543
* Elanco Animal Health Inc.  3,535,981     75,847
* Henry Schein Inc.  1,265,353     73,884
* Mylan NV  4,583,490     73,702
Perrigo Co. plc  1,208,813     66,811
Universal Health Services Inc. Class B    654,064     60,756
* DaVita Inc.    700,723     55,455
* Jazz Pharmaceuticals plc    116,990     12,909
                    1,048,370
Industrials (11.6%)
Carrier Global Corp.  7,676,891    170,580
* Keysight Technologies Inc.  1,653,065    166,596
WW Grainger Inc.    402,901    126,575
Dover Corp.  1,276,057    123,216
Rockwell Automation Inc.    512,775    109,221
Otis Worldwide Corp.  1,919,936    109,168
Ball Corp.  1,445,038    100,416
Jacobs Engineering Group Inc.  1,153,994     97,859
 
67

Mid-Cap Value Index Fund
          Shares Market
Value

($000)
* United Rentals Inc.    637,795     95,057
CH Robinson Worldwide Inc.  1,192,949     94,315
* Ingersoll Rand Inc.  3,144,265     88,417
Corning Inc.  3,386,893     87,721
Avery Dennison Corp.    738,639     84,271
Packaging Corp. of America    841,396     83,971
* Crown Holdings Inc.  1,193,658     77,743
Snap-on Inc.    482,007     66,763
Textron Inc.  2,014,012     66,281
Westrock Co.  2,298,519     64,956
Huntington Ingalls Industries Inc.    358,343     62,527
Hubbell Inc. Class B    480,562     60,243
Pentair plc    733,563     27,868
* Sensata Technologies Holding plc    695,841     25,906
* XPO Logistics Inc.    202,833     15,669
                    2,005,339
Oil & Gas (3.3%)
Occidental Petroleum Corp.  8,011,761    146,615
Halliburton Co.  6,988,469     90,710
Baker Hughes Co. Class A  5,815,445     89,500
ONEOK Inc.  1,947,422     64,693
Hess Corp.  1,223,812     63,406
Apache Corp.  1,668,380     22,523
Marathon Oil Corp.  3,493,579     21,381
National Oilwell Varco Inc.  1,716,678     21,029
Devon Energy Corp.  1,686,053     19,120
Noble Energy Inc.  2,112,378     18,927
HollyFrontier Corp.    644,507     18,820
                      576,724
Technology (7.7%)
Motorola Solutions Inc.  1,507,310    211,219
CDW Corp.  1,260,855    146,486
Maxim Integrated Products Inc.  2,362,734    143,205
* Qorvo Inc.  1,015,778    112,274
Western Digital Corp.  2,521,009    111,303
Hewlett Packard Enterprise Co. 11,381,058    110,738
Marvell Technology Group Ltd.  2,934,525    102,884
Seagate Technology plc  1,932,846     93,569
NortonLifeLock Inc.  4,692,363     93,050
NetApp Inc.  1,960,345     86,980
Juniper Networks Inc.  2,937,880     67,160
* F5 Networks Inc.    269,602     37,604
Xerox Holdings Corp.    801,940     12,262
                    1,328,734
Telecommunications (0.6%)
CenturyLink Inc.  9,726,284     97,555
          Shares Market
Value

($000)
Utilities (13.4%)
Eversource Energy  2,980,987    248,227
WEC Energy Group Inc.  2,795,617    245,036
American Water Works Co. Inc.  1,604,628    206,451
FirstEnergy Corp.  4,801,962    186,220
DTE Energy Co.  1,702,592    183,029
Entergy Corp.  1,772,267    166,256
Ameren Corp.  2,187,602    153,920
CMS Energy Corp.  2,537,086    148,217
Evergy Inc.  2,006,813    118,984
Alliant Energy Corp.  2,211,220    105,785
Edison International  1,682,157     91,358
AES Corp.  5,893,058     85,390
CenterPoint Energy Inc.  4,450,266     83,086
Vistra Energy Corp.  4,330,510     80,634
NiSource Inc.  3,397,053     77,249
Pinnacle West Capital Corp.    997,168     73,082
OGE Energy Corp.    885,146     26,873
Avangrid Inc.    549,378     23,063
NRG Energy Inc.    515,933     16,799
                    2,319,659
Total Common Stocks
(Cost $16,658,295)
17,248,077
Temporary Cash Investments (1.3%)
Money Market Fund (1.3%)
2,3 Vanguard Market Liquidity Fund, 0.227%  2,183,332    218,334
          Face
Amount
($000)
 
U.S. Government and Agency Obligations (0.0%)
4 United States Treasury Bill, 0.087%, 9/24/20      2,700      2,699
 
68

Mid-Cap Value Index Fund
          Face
Amount
($000)
Market
Value

($000)
4 United States Treasury Bill, 0.165%, 11/3/20      1,300      1,299
                        3,998
Total Temporary Cash Investments
(Cost $222,298)
222,332
Total Investments (101.0%)
(Cost $16,880,593)
  17,470,409
Other Assets and Liabilities—Net (-1.0%)   (170,318)
Net Assets (100%)   17,300,091
Cost is in $000.
See Note A in Notes to Financial Statements.
* Non-income-producing security.
1 Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $206,340,000.
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 $214,723,000 was received for securities on loan, of which $195,686,000 is held in Vanguard Market Liquidity Fund and $19,037,000 is held in cash.
4 Securities with a value of $3,998,000 have been segregated as initial margin for open futures contracts.
69

Mid-Cap Value Index Fund

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 S&P 500 Index September 2020 94 14,524 135
E-mini S&P Mid-Cap 400 Index September 2020 169 30,067 87
        222
    
Over-the-Counter Total Return Swaps
Reference Entity Termination
Date
Counterparty Notional
Amount
($000)
Floating
Interest
Rate
Received
(Paid)1
(%)
Value and
Unrealized
Appreciation
($000)
Value and
Unrealized
(Depreciation)
($000)
Raymond James Financial Inc. 9/2/20 BOANA 10,392 (0.183) (17)
1 Based on 1-month USD London Interbank Offered Rate (LIBOR) as of the most recent payment date. Floating interest payment received/paid monthly.
BOANA—Bank of America, N.A.
See accompanying Notes, which are an integral part of the Financial Statements.
70

Mid-Cap Value Index Fund
Statement of Assets and Liabilities
As of June 30, 2020
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers (Cost $16,662,293) 17,252,075
Affiliated Issuers (Cost $218,300) 218,334
Total Investments in Securities 17,470,409
Investment in Vanguard 791
Cash 18,426
Cash Collateral Pledged—Futures Contracts 110
Receivables for Investment Securities Sold 7,616
Receivables for Accrued Income 33,462
Receivables for Capital Shares Issued 15,007
Variation Margin Receivable—Futures Contracts 655
Total Assets 17,546,476
Liabilities  
Payables for Investment Securities Purchased 20,503
Collateral for Securities on Loan 214,723
Payables for Capital Shares Redeemed 10,506
Payables to Vanguard 636
Unrealized Depreciation—Over-the-Counter Swap Contracts 17
Total Liabilities 246,385
Net Assets 17,300,091
71

Mid-Cap Value Index Fund
Statement of Assets and Liabilities (continued)

At June 30, 2020, net assets consisted of:  
($000s, except shares and per-share amounts) Amount
Paid-in Capital 18,688,698
Total Distributable Earnings (Loss) (1,388,607)
Net Assets 17,300,091
 
Investor Shares—Net Assets  
Applicable to 1,028,442 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 38,738
Net Asset Value Per Share—Investor Shares $37.67
 
ETF Shares—Net Assets  
Applicable to 88,227,946 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 8,440,470
Net Asset Value Per Share—ETF Shares $95.67
 
Admiral Shares—Net Assets  
Applicable to 177,990,438 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 8,820,883
Net Asset Value Per Share—Admiral Shares $49.56
See accompanying Notes, which are an integral part of the Financial Statements.
72

Mid-Cap Value Index Fund
Statement of Operations
  Six Months Ended
June 30, 2020
  ($000)
Investment Income  
Income  
Dividends 274,853
Interest1 183
Securities Lending—Net 582
Total Income 275,618
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,097
Management and Administrative—Investor Shares 34
Management and Administrative—ETF Shares 1,940
Management and Administrative—Admiral Shares 2,300
Marketing and Distribution—Investor Shares 3
Marketing and Distribution—ETF Shares 176
Marketing and Distribution—Admiral Shares 301
Custodian Fees 30
Shareholders’ Reports—Investor Shares
Shareholders’ Reports—ETF Shares 402
Shareholders’ Reports—Admiral Shares 67
Trustees’ Fees and Expenses 7
Total Expenses 6,357
Net Investment Income 269,261
Realized Net Gain (Loss)  
Investment Securities Sold1,2 (712,521)
Futures Contracts (6,675)
Swap Contracts 1,234
Realized Net Gain (Loss) (717,962)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities1 (3,538,207)
Futures Contracts (372)
Swap Contracts (17)
Change in Unrealized Appreciation (Depreciation) (3,538,596)
Net Increase (Decrease) in Net Assets Resulting from Operations (3,987,297)
1 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $173,000, $3,000, and $34,000, respectively. Purchases and sales are for temporary cash investment purposes.
2 Includes $473,485,000 of the net gain (loss) resulting from in-kind redemptions.
See accompanying Notes, which are an integral part of the Financial Statements.
73

Mid-Cap Value Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2020
  Year Ended
December 31,
2019
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 269,261   430,970
Realized Net Gain (Loss) (717,962)   209,834
Change in Unrealized Appreciation (Depreciation) (3,538,596)   3,954,985
Net Increase (Decrease) in Net Assets Resulting from Operations (3,987,297)   4,595,789
Distributions1      
Investor Shares (570)   (5,474)
ETF Shares (125,885)   (206,559)
Admiral Shares (132,117)   (212,912)
Total Distributions (258,572)   (424,945)
Capital Share Transactions      
Investor Shares (3,134)   (548,822)
ETF Shares 139,348   420,799
Admiral Shares (129,805)   1,353,600
Net Increase (Decrease) from Capital Share Transactions 6,409   1,225,577
Total Increase (Decrease) (4,239,460)   5,396,421
Net Assets      
Beginning of Period 21,539,551   16,143,130
End of Period 17,300,091   21,539,551
1 Certain prior period numbers have been reclassed to conform with current period presentation.
See accompanying Notes, which are an integral part of the Financial Statements.
74

Mid-Cap Value Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $46.96 $37.50 $43.89 $38.24 $33.86 $35.19
Investment Operations            
Net Investment Income .5611,2 .8081 1.0011,3 .7711 .675 .658
Net Realized and Unrealized Gain (Loss) on Investments (9.313) 9.566 (6.415) 5.646 4.396 (1.341)
Total from Investment Operations (8.752) 10.374 (5.414) 6.417 5.071 (.683)
Distributions            
Dividends from Net Investment Income (.538) (.914) (.976) (.767) (.691) (.647)
Distributions from Realized Capital Gains
Total Distributions (.538) (.914) (.976) (.767) (.691) (.647)
Net Asset Value, End of Period $37.67 $46.96 $37.50 $43.89 $38.24 $33.86
Total Return4 -18.61% 27.82% -12.53% 16.91% 15.11% -1.91%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $39 $52 $508 $682 $666 $588
Ratio of Total Expenses to Average Net Assets 0.19% 0.19% 0.19% 0.19% 0.19% 0.20%
Ratio of Net Investment Income to Average Net Assets 2.62%2 1.90% 2.29%3 1.92% 2.02% 2.01%
Portfolio Turnover Rate5 14% 17% 17% 17% 20% 20%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.141 and 0.36%, respectively, resulting from a special dividend from NortonLifeLock Inc. in February 2020.
3 Net 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.
4 Total 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.
5 Excludes 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.
75

Mid-Cap Value Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $119.27 $95.22 $111.47 $97.12 $85.99 $89.39
Investment Operations            
Net Investment Income 1.4791,2 2.4971 2.6451,3 2.1161 1.822 1.785
Net Realized and Unrealized Gain (Loss) on Investments (23.650) 23.996 (16.278) 14.306 11.170 (3.427)
Total from Investment Operations (22.171) 26.493 (13.633) 16.422 12.992 (1.642)
Distributions            
Dividends from Net Investment Income (1.429) (2.443) (2.617) (2.072) (1.862) (1.758)
Distributions from Realized Capital Gains
Total Distributions (1.429) (2.443) (2.617) (2.072) (1.862) (1.758)
Net Asset Value, End of Period $95.67 $119.27 $95.22 $111.47 $97.12 $85.99
Total Return -18.59% 27.98% -12.41% 17.05% 15.26% -1.80%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $8,440 $10,339 $7,898 $8,355 $6,383 $4,351
Ratio of Total Expenses to Average Net Assets 0.07% 0.07% 0.07% 0.07% 0.07% 0.08%
Ratio of Net Investment Income to Average Net Assets 2.74%2 2.26% 2.41%3 2.04% 2.14% 2.13%
Portfolio Turnover Rate4 14% 17% 17% 17% 20% 20%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.357 and 0.36%, respectively, resulting from a special dividend from NortonLifeLock Inc. in February 2020.
3 Net 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.
4 Excludes 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.
76

Mid-Cap Value Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $61.79 $49.33 $57.74 $50.31 $44.54 $46.30
Investment Operations            
Net Investment Income .7681,2 1.3031 1.3851,3 1.0961 .942 .924
Net Realized and Unrealized Gain (Loss) on Investments (12.258) 12.422 (8.439) 7.407 5.791 (1.775)
Total from Investment Operations (11.490) 13.725 (7.054) 8.503 6.733 (.851)
Distributions            
Dividends from Net Investment Income (.740) (1.265) (1.356) (1.073) (.963) (.909)
Distributions from Realized Capital Gains
Total Distributions (.740) (1.265) (1.356) (1.073) (.963) (.909)
Net Asset Value, End of Period $49.56 $61.79 $49.33 $57.74 $50.31 $44.54
Total Return4 -18.56% 27.99% -12.42% 17.04% 15.26% -1.80%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $8,821 $11,148 $7,738 $8,134 $5,949 $3,884
Ratio of Total Expenses to Average Net Assets 0.07% 0.07% 0.07% 0.07% 0.07% 0.08%
Ratio of Net Investment Income to Average Net Assets 2.74%2 2.28% 2.41%3 2.04% 2.14% 2.13%
Portfolio Turnover Rate5 14% 17% 17% 17% 20% 20%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Net investment income per share and the ratio of net investment income to average net assets include $.185 and 0.36%, respectively, resulting from a special dividend from NortonLifeLock Inc. in February 2020.
3 Net 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.
4 Total 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.
5 Excludes 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.
77

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.
Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.
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 Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Schedule of Investments. 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 gains (losses) on futures contracts.
During the six months ended June 30, 2020, 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.
78

Mid-Cap Value 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 Schedule of Investments. 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 periodic payments are made or the 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's 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 Schedule of Investments. 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 six months ended June 30, 2020, 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, 2016–2019), and for the period ended June 30, 2020, and has concluded that no provision for federal income tax is required in the fund’s financial statements.
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Mid-Cap Value Index Fund
5. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis at the fiscal year-end 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. Collateral investments in Vanguard Market Liquidity Fund are subject to market appreciation or depreciation. 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 Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group ("Vanguard") participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed 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 either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternative rate agreed to by the fund and Vanguard.
In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.
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Mid-Cap Value Index Fund
For the six months ended June 30, 2020, the fund did not utilize the credit facilities or the Interfund Lending Program.
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 are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. 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 and 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 June 30, 2020, the fund had contributed to Vanguard capital in the amount of $791,000, representing less than 0.01% of the fund’s net assets and 0.32% of Vanguard’s capital received pursuant to the FSA. 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 Schedule of Investments.
The following table summarizes the market value of the fund's investments and derivatives as of June 30, 2020, based on the inputs used to value them:
81

Mid-Cap Value Index Fund
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 17,248,077 17,248,077
Temporary Cash Investments 218,334 3,998 222,332
Total 17,466,411 3,998 17,470,409
Derivative Financial Instruments        
Assets        
Futures Contracts1 655 655
Liabilities        
Swap Contracts 17 17
1 Represents variation margin on the last day of the reporting period.
D. As of June 30, 2020, 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 16,902,715
Gross Unrealized Appreciation 2,588,400
Gross Unrealized Depreciation (2,020,501)
Net Unrealized Appreciation (Depreciation) 567,899
The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at December 31, 2019, the fund had available capital losses totaling $1,276,443,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending December 31, 2020; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.
E. During the six months ended June 30, 2020, the fund purchased $3,660,352,000 of investment securities and sold $3,862,484,000 of investment securities, other than temporary cash investments. Purchases and sales include $1,046,363,000 and $1,267,491,000, 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 six months ended June 30, 2020, such purchases and sales were $575,536,000 and $842,606,000, respectively; these amounts, other than temporary cash investments, are included in the purchases and sales of investment securities noted above.
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Mid-Cap Value Index Fund
F. Capital share transactions for each class of shares were:
    
  Six Months Ended
June 30, 2020
  Year Ended
December 31, 2019
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 4,494 120   108,514 2,469
Issued in Lieu of Cash Distributions 570 15   5,246 122
Redeemed1 (8,198) (220)   (662,582) (15,015)
Net Increase (Decrease)—Investor Shares (3,134) (85)   (548,822) (12,424)
ETF Shares          
Issued 1,389,501 14,565   2,203,067 19,724
Issued in Lieu of Cash Distributions  
Redeemed (1,250,153) (13,025)   (1,782,268) (15,975)
Net Increase (Decrease)—ETF Shares 139,348 1,540   420,799 3,749
Admiral Shares          
Issued1 1,386,068 28,071   3,120,071 54,634
Issued in Lieu of Cash Distributions 117,758 2,434   189,632 3,237
Redeemed (1,633,631) (32,945)   (1,956,103) (34,301)
Net Increase (Decrease)—Admiral Shares (129,805) (2,440)   1,353,600 23,570
1 In November 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. As a result, all of the outstanding Investor Shares automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors. Investor Shares—Redeemed and Admiral Shares—Issued include 11,352,000 and 8,629,000 shares, respectively, in the amount of $503,160,000 from the conversion during the year ended December 31, 2019.
G. Management has determined that no events or transactions occurred subsequent to June 30, 2020, that would require recognition or disclosure in these financial statements.
83

Trustees Approve Advisory Arrangements
The board of trustees of Vanguard Extended Market Index Fund, Vanguard Mid-Cap Index Fund, Vanguard Mid-Cap Growth Index Fund, and Vanguard Mid-Cap Value Index Fund has renewed each fund’s investment advisory arrangement with The Vanguard Group, Inc. (Vanguard), through its Equity Index Group. The board determined that continuing each fund’s internalized management structure was in the best interests of the fund and its shareholders.
The board based its decision upon an evaluation of the advisor’s investment staff, portfolio management process, and performance. This evaluation included information provided to the board by Vanguard’s Portfolio Review Department, which is responsible for fund and advisor oversight and product management. The Portfolio Review Department met regularly with the advisor and made monthly presentations to the board during the fiscal year that directed the board’s focus to relevant information and topics.
The board, or an investment committee made up of board members, also received information throughout the year during advisor presentations. For each advisor presentation, the board was provided with letters and reports that included information about, among other things, the advisory firm and the advisor’s assessment of the investment environment, portfolio performance, and portfolio characteristics.
In addition, the board received monthly reports, which included a Market and Economic Report, a Fund Dashboard Monthly Summary, and a Fund Performance Report.
Prior to their meeting, the trustees were provided with a memo and materials that summarized the information they received over the course of the year. They also considered the factors discussed below, among others. However, no single factor determined whether the board approved the arrangements. Rather, it was the totality of the circumstances that drove the board’s decision.
Nature, extent, and quality of services
The board reviewed the quality of each fund’s investment management services over both the short and long term, and took into account the organizational depth and stability of the advisor. The board considered that Vanguard has been managing investments for more than four decades. The Equity Index Group adheres to a sound, disciplined investment management process; the team has considerable experience, stability, and depth.
The board concluded that Vanguard’s experience, stability, depth, and performance, among other factors, warranted continuation of each advisory arrangement.
Investment performance
The board considered the short- and long-term performance of each fund, including any periods of outperformance or underperformance compared with its target index and peer group. The board concluded that the performance was such that each advisory arrangement should continue.
Cost
The board concluded that each fund’s expense ratio was well below the average expense ratio charged by funds in its peer group and that each fund’s advisory expenses were also well below the peer-group average.
84

The board does not conduct a profitability analysis of Vanguard because of Vanguard’s unique structure. Unlike most other mutual fund management companies, Vanguard is owned by the funds it oversees.
The benefit of economies of scale
The board concluded that the funds’ arrangements with Vanguard ensure that the funds will realize economies of scale as they grow, with the cost to shareholders declining as fund assets increase.
The board will consider whether to renew the advisory arrangements again after a one-year period.
85

Liquidity Risk Management
Vanguard funds (except for the money market funds) have adopted and implemented a written liquidity risk management program (the “Program”) as required by Rule 22e-4 under the Investment Company Act of 1940. Rule 22e-4 requires that each fund adopt a program that is reasonably designed to assess and manage the fund’s liquidity risk, which is the risk that the fund could not meet redemption requests without significant dilution of remaining investors’ interests in the fund.
Assessment and management of a fund’s liquidity risk under the Program take into consideration certain factors, such as the fund’s investment strategy and the liquidity of its portfolio investments during normal and reasonably foreseeable stressed conditions, its short- and long-term cash-flow projections during both normal and reasonably foreseeable stressed conditions, and its cash and cash-equivalent holdings and access to other funding sources. As required by the rule, the Program includes policies and procedures for classification of fund portfolio holdings in four liquidity categories, maintaining certain levels of highly liquid investments, and limiting holdings of illiquid investments.
The board of trustees of Vanguard Index Funds approved the appointment of liquidity risk management program administrators responsible for administering the Program for Vanguard Extended Market Index Fund, Vanguard Mid-Cap Index Fund, Vanguard Mid-Cap Growth Index Fund, and Vanguard Mid-Cap Value Index Fund, and for carrying out the specific responsibilities set forth in the Program, including reporting to the board on at least an annual basis regarding the Program's operation, its adequacy, and the effectiveness of its implementation for the past year (the “Program Administrator Report”). The board has reviewed the Program Administrator Report covering the period from December 1, 2018, through December 31, 2019 (the “Review Period”). The Program Administrator Report stated that during the Review Period the Program operated and was implemented effectively to manage the funds' liquidity risk.
86

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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.
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, www.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 www.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.
© 2020 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.
Q982 082020

 

 

 

 
 
 
Semiannual Report  | June 30, 2020
 
 
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

 

About Your Fund’s Expenses 1
 
Growth Index Fund 3
 
Value Index Fund 23
 
Large-Cap Index Fund 44
 
Trustees Approve Advisory Arrangements 67
 
Liquidity Risk Management 69

 

 

 

 

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.

 

1

 

 

Six Months Ended June 30, 2020

 

  Beginning Ending Expenses
  Account Value Account Value Paid During
  12/31/2019 6/30/2020 Period
Based on Actual Fund Return      
Growth Index Fund      
Investor Shares $1,000.00 $1,112.49 $0.89
ETF Shares 1,000.00 1,113.03 0.21
Admiral™ Shares 1,000.00 1,113.16 0.26
Institutional Shares 1,000.00 1,113.20 0.21
Value Index Fund      
Investor Shares $1,000.00 $845.17 $0.78
ETF Shares 1,000.00 845.21 0.18
Admiral Shares 1,000.00 845.75 0.23
Institutional Shares 1,000.00 845.79 0.18
Large-Cap Index Fund      
Investor Shares $1,000.00 $977.74 $0.84
ETF Shares 1,000.00 977.89 0.20
Admiral Shares 1,000.00 978.12 0.25
Institutional Shares 1,000.00 978.28 0.20
Based on Hypothetical 5% Yearly Return      
Growth Index Fund      
Investor Shares $1,000.00 $1,024.02 $0.86
ETF Shares 1,000.00 1,024.66 0.20
Admiral Shares 1,000.00 1,024.61 0.25
Institutional Shares 1,000.00 1,024.66 0.20
Value Index Fund      
Investor Shares $1,000.00 $1,024.02 $0.86
ETF Shares 1,000.00 1,024.66 0.20
Admiral Shares 1,000.00 1,024.61 0.25
Institutional Shares 1,000.00 1,024.66 0.20
Large-Cap Index Fund      
Investor Shares $1,000.00 $1,024.02 $0.86
ETF Shares 1,000.00 1,024.66 0.20
Admiral Shares 1,000.00 1,024.61 0.25
Institutional Shares 1,000.00 1,024.66 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, 0.04% for ETF Shares, 0.05% for Admiral Shares, and 0.04% for Institutional Shares; for the Value Index Fund, 0.17% for Investor Shares, 0.04% 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, 0.04% 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 (182/366).

 

2

 

 

Growth Index Fund

 

 

Fund Allocation

As of June 30, 2020

 

Basic Materials   1.5
Consumer Goods   4.6 
Consumer Services   19.2 
Financials   11.5 
Health Care   8.0 
Industrials   10.4 
Oil & Gas   0.6 
Technology   43.8 
Telecommunications   0.4 
Utilities   0.0 

 

The table reflects the fund’s investments, except for short-term investments and derivatives. 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.

 

The fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.

  

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

The Industry Classification Benchmark (“ICB”) is owned by FTSE. FTSE does not accept any liability to any person for any loss or damage arising out of any error or omission in the ICB.

 

3

 

 

Growth Index Fund

 

 

Financial Statements (unaudited)

 

 

Schedule of Investments

As of June 30, 2020

 

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.

 

      Market
      Value
    Shares ($000)
Common Stocks (99.8%)    
Basic Materials (1.5%)    
  Linde plc 4,148,139 879,862
  Ecolab Inc. 2,020,699 402,018
  Fastenal Co. 4,536,536 194,345
^   International Flavors & Fragrances Inc.   844,727   103,445
  FMC Corp. 1,021,883 101,800
  Albemarle Corp. 418,685 32,327
    CF Industries Holdings Inc.   845,194     23,784
      1,737,581
Consumer Goods (4.6%)    
^,* Tesla Inc. 1,172,222 1,265,777
  NIKE Inc. Class B 9,794,267 960,328
  Colgate-Palmolive Co. 6,765,289 495,625
  Activision Blizzard Inc. 6,085,788 461,911
    Estee Lauder Cos. Inc. Class A   1,597,696   301,453
* Electronic Arts Inc. 2,280,246 301,107
* Lululemon Athletica Inc. 932,811 291,046
* Monster Beverage Corp. 2,911,373 201,816
  McCormick & Co. Inc. 976,356 175,168
    Brown-Forman Corp. Class B   2,440,711   155,376
  Hershey Co. 1,163,810 150,853
  Church & Dwight Co. Inc. 1,941,591 150,085
*   Take-Two Interactive Software Inc.   899,434   125,534
  Clorox Co. 497,866 109,217
* NVR Inc. 27,631 90,043
    Lamb Weston Holdings Inc.   1,154,612   73,814
  Tiffany & Co. 479,658 58,490
* LKQ Corp. 2,162,891 56,668
*   Under Armour Inc. Class A   774,227   7,541
*   Under Armour Inc. Class C   743,821   6,575
  Newell Brands Inc. 369   6
      5,438,433
Consumer Services (19.2%)  
* Amazon.com Inc. 3,348,643 9,238,303
  Home Depot Inc. 8,494,953 2,128,071
* Netflix Inc. 3,373,806 1,535,217
  McDonald’s Corp. 5,873,017 1,083,395
  Costco Wholesale Corp. 3,487,853 1,057,552
  Lowe’s Cos. Inc. 5,963,246 805,754
  Comcast Corp. Class A 17,987,025 701,134
  Starbucks Corp. 9,227,856 679,078
* Charter Communications Inc. Class A     1,141,515     582,218
* Booking Holdings Inc. 323,291 514,789
  TJX Cos. Inc. 8,514,715 430,504
  Dollar General Corp. 1,988,295 378,790
* Uber Technologies Inc. 8,901,852 276,670
* O’Reilly Automotive Inc. 586,232 247,196
  Ross Stores Inc. 2,806,818 239,253
*   Chipotle Mexican Grill Inc.   220,330   231,867
* AutoZone Inc. 184,423 208,051
  Yum! Brands Inc. 2,377,280 206,609
* IAC/InterActiveCorp 625,326 202,230
* Dollar Tree Inc. 1,873,420 173,629
    Hilton Worldwide Holdings Inc.   2,189,512   160,820
* Copart Inc. 1,668,204 138,911
  Tractor Supply Co. 912,702 120,285
  Domino’s Pizza Inc. 308,784 114,077
    FactSet Research Systems Inc.   299,295   98,309
^,* Wayfair Inc. 480,587 94,969
* Roku Inc. 802,882 93,560
  Expedia Group Inc. 1,068,565 87,836
* Ulta Beauty Inc. 422,977 86,042
    Marriott International Inc. Class A   959,552   82,262
^,* Carvana Co. 546,716 65,715
* Trade Desk Inc. Class A 161,573 65,679
  Wynn Resorts Ltd. 767,520 57,173
* Lyft Inc. Class A 1,649,211 54,440
* Burlington Stores Inc. 259,938 51,190

 

4

 

 

Growth Index Fund

 

 

      Market
      Value
    Shares ($000)
  Sirius XM Holdings Inc. 8,657,017 50,817
* Altice USA Inc. Class A 2,232,757 50,326
  Rollins Inc. 1,166,207 49,436
*   Live Nation Entertainment Inc.   1,106,260   49,041
* DraftKings Inc. Class A 1,042,035 34,658
  Vail Resorts Inc. 159,158 28,991
^,* Chewy Inc. 466,013 20,826
^,* Warner Music Group Corp. Class A   606,879     17,903
        22,593,576
Financials (11.4%)    
  Visa Inc. Class A 12,880,761 2,488,177
  Mastercard Inc. Class A 7,059,259 2,087,423
  American Tower Corp. 3,501,484 905,274
  S&P Global Inc. 1,902,775 626,926
    Crown Castle International Corp.   3,291,777   550,879
  Prologis Inc. 5,833,772 544,466
  Equinix Inc. 699,153 491,015
    Marsh & McLennan Cos. Inc.   4,030,166   432,719
    Intercontinental Exchange Inc.   4,322,267   395,920
  Aon plc Class A 1,825,279 351,549
  Moody’s Corp. 1,258,834 345,839
  Digital Realty Trust Inc. 2,119,283 301,171
    Blackstone Group LP Class A   5,290,997   299,788
    SBA Communications Corp. Class A   881,661   262,664
  Public Storage 1,173,551 225,193
* CoStar Group Inc. 310,913 220,957
  IHS Markit Ltd. 2,835,850 214,107
  MSCI Inc. Class A 627,248 209,388
    Alexandria Real Estate Equities Inc.   996,519   161,685
  Realty Income Corp. 2,711,811 161,353
  Charles Schwab Corp. 4,575,597 154,381
  Arthur J Gallagher & Co. 1,496,959 145,939
  First Republic Bank 1,352,251 143,325
    MarketAxess Holdings Inc.   284,369   142,446
  Invitation Homes Inc. 4,406,728 121,317
    Broadridge Financial Solutions Inc.   906,201   114,353
* CBRE Group Inc. Class A 2,513,056 113,640
  T. Rowe Price Group Inc. 853,264 105,378
  Sun Communities Inc. 775,568 105,229
    Mid-America Apartment Communities Inc.   902,335   103,471
  Extra Space Storage Inc. 1,020,566 94,270
* SVB Financial Group 406,663 87,648
  UDR Inc. 2,331,448 87,149
    AvalonBay Communities Inc.   555,229   85,861
    Simon Property Group Inc.   1,206,061   82,470
  Cboe Global Markets Inc. 867,509 80,921
  Regency Centers Corp. 1,341,108 61,543
  Essex Property Trust Inc. 258,700 59,286
  SEI Investments Co. 1,052,704 57,878
  Boston Properties Inc. 552,978 49,978
* Markel Corp. 51,756 47,780
  Camden Property Trust 393,853 35,927
  Iron Mountain Inc. 1,138,400 29,712
    Federal Realty Investment Trust   299,072   25,484
    Interactive Brokers Group Inc.   575,052     24,020
      13,435,899
Health Care (7.9%)    
    Thermo Fisher Scientific Inc.   3,119,557   1,130,340
*   Vertex Pharmaceuticals Inc.   2,047,985   594,550
    Becton Dickinson and Co.   2,329,104   557,285
    Bristol-Myers Squibb Co.   8,936,319   525,456
* Intuitive Surgical Inc. 921,113 524,878
  Zoetis Inc. 3,751,383 514,089
  Stryker Corp. 2,668,476 480,833
*   Regeneron Pharmaceuticals Inc.   756,905   472,044
  Danaher Corp. 2,516,405 444,976
* Illumina Inc. 1,161,077 430,005
* Boston Scientific Corp. 11,254,425 395,143
*   Edwards Lifesciences Corp.   4,894,629   338,268
* DexCom Inc. 729,439 295,715
* Centene Corp. 4,574,349 290,700
* IDEXX Laboratories Inc. 670,858 221,490
  ResMed Inc. 1,142,634 219,386
*   Alexion Pharmaceuticals Inc.   1,657,880   186,080
*   BioMarin Pharmaceutical Inc.   1,428,176   176,151
  Baxter International Inc. 2,002,598 172,424
* Seattle Genetics Inc. 956,861 162,590
* Align Technology Inc. 559,664 153,594
* Incyte Corp. 1,459,018 151,694
* Moderna Inc. 2,151,127 138,124
*   Alnylam Pharmaceuticals Inc.   906,492   134,260
  Teleflex Inc. 366,484 133,393
  Cooper Cos. Inc. 420,955 119,400
* Exact Sciences Corp. 1,181,653 102,733

 

5

 

 

Growth Index Fund

 

 

      Market
      Value
    Shares ($000)
*   Varian Medical Systems Inc.   718,024   87,972
* ABIOMED Inc. 337,296 81,477
    West Pharmaceutical Services Inc.   290,869   66,077
* PPD Inc. 551,112 14,770
* Jazz Pharmaceuticals plc 104,063   11,482
      9,327,379
Industrials (10.4%)    
* PayPal Holdings Inc. 9,274,180 1,615,840
  Accenture plc Class A 5,031,741 1,080,415
  Union Pacific Corp. 5,359,550 906,139
  Boeing Co. 4,234,365 776,159
  Lockheed Martin Corp. 1,882,766 687,059
      Fidelity National Information Services Inc.     4,880,030     654,363
    Automatic Data Processing Inc.   3,224,885   480,153
* Fiserv Inc. 4,494,743 438,777
  Global Payments Inc. 2,362,509 400,729
  Sherwin-Williams Co. 645,449 372,973
    United Parcel Service Inc. Class B   2,780,664   309,154
* Square Inc. 2,867,008 300,864
  Amphenol Corp. Class A 2,336,788 223,888
    Verisk Analytics Inc. Class A   1,281,697   218,145
  Agilent Technologies Inc. 2,432,939 214,999
  Illinois Tool Works Inc. 1,122,814 196,324
  Rockwell Automation Inc. 914,778 194,848
  Waste Connections Inc. 2,075,942 194,703
  Paychex Inc. 2,549,849 193,151
  Cintas Corp. 698,504 186,053
  TransDigm Group Inc. 405,714 179,346
* FleetCor Technologies Inc.   661,828 166,470
  Equifax Inc. 958,539 164,754
  AMETEK Inc. 1,811,665 161,908
*   Mettler-Toledo International Inc.   188,762   152,057
*   Keysight Technologies Inc.   1,472,636   148,412
    Old Dominion Freight Line Inc.   838,063   142,127
  TransUnion 1,498,360 130,417
  Vulcan Materials Co. 1,045,321 121,100
  Kansas City Southern 749,905 111,953
    Martin Marietta Materials Inc.   491,290   101,486
    Expeditors International of Washington Inc.   1,315,834   100,056
  Xylem Inc. 1,422,382 92,398
  Ball Corp. 1,287,029 89,436
* Waters Corp. 489,440 88,295
* Trimble Inc. 1,974,665 85,286
  Wabtec Corp. 1,429,176 82,278
  Fortive Corp. 1,195,890 80,914
    JB Hunt Transport Services Inc.   667,049   80,273
    Jack Henry & Associates Inc.   302,562   55,680
  Masco Corp. 1,043,209 52,379
  HEICO Corp. Class A 575,283 46,736
* IPG Photonics Corp. 271,886 43,608
  Cognex Corp. 644,748 38,504
  HEICO Corp. 319,604 31,849
  AO Smith Corp. 534,138 25,169
* XPO Logistics Inc. 180,141 13,916
        12,231,543
Oil & Gas (0.6%)    
  EOG Resources Inc. 4,595,993 232,833
    Pioneer Natural Resources Co.   1,301,284   127,136
* Cheniere Energy Inc. 1,793,842 86,678
  Concho Resources Inc. 1,555,078 80,087
  ONEOK Inc. 1,734,644 57,625
  Hess Corp. 1,092,650 56,610
    Diamondback Energy Inc.   1,247,665   52,177
  Cabot Oil & Gas Corp. 1,575,525 27,068
  Targa Resources Corp. 875,651 17,574
^   Continental Resources Inc.   288,667   5,060
        742,848
Technology (43.8%)    
  Microsoft Corp. 59,897,952 12,189,832
  Apple Inc. 30,811,268 11,239,951
* Facebook Inc. Class A 18,992,386 4,312,601
* Alphabet Inc. Class A 2,363,087 3,350,975
* Alphabet Inc. Class C 2,263,691 3,199,976
  NVIDIA Corp. 4,614,779 1,753,201
* Adobe Inc. 3,805,554 1,656,596
* salesforce.com Inc. 6,744,875 1,263,517
  Broadcom Inc. 2,999,848 946,782
  Texas Instruments Inc. 7,249,250 920,437
* ServiceNow Inc. 1,506,261 610,126
  Intuit Inc. 1,956,742 579,567
*   Advanced Micro Devices Inc.   9,250,699   486,679
* Micron Technology Inc. 8,784,478 452,576
  Applied Materials Inc. 7,238,881 437,590
* Autodesk Inc. 1,731,283 414,106
  Lam Research Corp. 1,146,596 370,878
  Analog Devices Inc. 2,909,990 356,881
  Roper Technologies Inc. 824,542 320,137
*     Zoom Video Communications Inc. Class A     1,257,293     318,774

 

6

 

 

Growth Index Fund

 

 

      Market
      Value
    Shares ($000)
    L3Harris Technologies Inc.   1,704,981   289,284
* Workday Inc. Class A 1,374,238 257,477
*   Veeva Systems Inc. Class A   1,065,098   249,680
* Splunk Inc. 1,254,542 249,277
  KLA Corp. 1,224,679 238,176
* DocuSign Inc. Class A 1,373,776 236,578
* Synopsys Inc. 1,191,057 232,256
* Twilio Inc. 1,016,755 223,096
*   Cadence Design Systems Inc.   2,205,188   211,610
    Microchip Technology Inc.   1,937,673   204,056
* IQVIA Holdings Inc. 1,432,777 203,282
* ANSYS Inc. 676,045 197,223
  Xilinx Inc. 1,920,425 188,951
* Snap Inc. 7,977,468 187,391
* Okta Inc. 916,914 183,594
* Twitter Inc. 5,886,953 175,372
* RingCentral Inc. Class A 608,027 173,294
* VeriSign Inc. 821,211 169,851
  Skyworks Solutions Inc. 1,317,454 168,450
* Palo Alto Networks Inc. 723,705 166,213
  Cerner Corp. 2,403,462 164,757
* Fortinet Inc. 1,084,933 148,929
  Citrix Systems Inc. 974,621 144,156
* Akamai Technologies Inc. 1,281,021 137,185
    Maxim Integrated Products Inc.   2,104,801   127,572
* Paycom Software Inc. 392,954 121,710
*   Crowdstrike Holdings Inc. Class A   1,135,387   113,868
^,*   Slack Technologies Inc. Class A   3,195,265   99,341
    SS&C Technologies Holdings Inc.   1,722,045   97,261
* Datadog Inc. Class A 1,113,165 96,790
* GoDaddy Inc. Class A 1,304,241 95,640
^,* VMware Inc. Class A 613,148 94,952
  Motorola Solutions Inc. 672,294 94,209
    Marvell Technology Group Ltd.   2,620,288   91,867
* Arista Networks Inc. 418,978 87,998
* Black Knight Inc. 1,126,124 81,712
* Gartner Inc. 669,731 81,258
* Pinterest Inc. Class A 3,190,029 70,723
* Tyler Technologies Inc. 157,135 54,507
^,* Match Group Inc. 441,248 47,236
* Dropbox Inc. Class A 1,974,928 42,994
*   ZoomInfo Technologies Inc. Class A   357,467   18,242
      51,499,200
Telecommunications (0.4%)    
* T-Mobile US Inc. 4,810,914 501,057
*   T-Mobile US Inc. Rights Exp. 07/27/2020   2,934,367   493
      501,550
Utilities (0.0%)    
  NRG Energy Inc. 458,336 14,923
Total Common Stocks
(Cost $59,058,372)
117,522,932
Temporary Cash Investments (0.5%)  
Money Market Fund (0.5%)    
1,2   Vanguard Market Liquidity Fund, 0.277%   5,050,897   505,090
       
    Face  
    Amount  
      ($000 )  
U.S. Government and Agency Obligations (0.0%)
3     United States Cash Management Bill, 0.116%, 9/29/20     23,750     23,741
Total Temporary Cash Investments
(Cost $528,671)
 
528,831
Total Investments (100.3%)
(Cost $59,587,043)
      118,051,763
Other Assets and Liabilities—Net (-0.3%)   (300,023)
Net Assets (100%)   117,751,740

 

 

Cost is in $000.

 

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 $361,950,000.
1 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
2Collateral of $363,896,000 was received for securities on loan.
3Securities with a value of $5,627,000 have been segregated as initial margin for open futures contracts.

 

7

 

 

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 S&P 500 Index   September 2020 628   97,032 (346)
             
             
Over-the-Counter Total Return Swaps            
        Floating      
        Interest      
        Rate   Value and Value and
      Notional Received   Unrealized Unrealized
  Termination   Amount (Paid)1   Appreciation (Depreciation)
Reference Entity Date Counterparty ($000) (%)   ($000) ($000)
Netflix Inc. 9/2/20 BOANA 41,973 (0.033)   3,530
Visa Inc. Class A 9/2/20 BOANA 86,882 (0.083)   (793)
            3,530 (793)

 

1Based on 1-month USD London Interbank Offered Rate (LIBOR) as of the most recent payment date. Floating interest payment received/paid monthly.

 

BOANA— Bank of America, N.A.

 

 

At June 30, 2020, the counterparty had deposited in a segregated account securities with a value of $1,207,000 in connection with open over-the-counter swap contracts. After June 30, 2020, the counterparty posted additional collateral of $1,581,000 in connection with open over-the-counter swap contracts as of June 30, 2020.

  

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

 

8

 

 

Growth Index Fund

 

 

 

 

Statement of Assets and Liabilities

As of June 30, 2020

 

($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers (Cost $59,082,115) 117,546,673
Affiliated Issuers (Cost $504,928) 505,090
Total Investment in Securities 118,051,763
Investment in Vanguard 5,096
Cash 240,408
Receivables for Investment Securities Sold 65
Receivables for Accrued Income 31,635
Receivables for Capital Shares Issued 76,078
Variation Margin Receivable—Futures Contracts 1,013
Unrealized Appreciation—Over-the-Counter Swap Contracts 3,530
Total Assets 118,409,588
Liabilities  
Payables for Investment Securities Purchased 1,273
Collateral for Securities on Loan 363,896
Payables for Capital Shares Redeemed 289,216
Payables to Vanguard 2,670
Unrealized Depreciation—Over-the-Counter Swap Contracts 793
Total Liabilities 657,848
Net Assets 117,751,740

  

9

 

 

Growth Index Fund

 

 

 

 

Statement of Assets and Liabilities (continued)

 

At June 30, 2020, net assets consisted of:  
   
($000s, except shares and per-share amounts) Amount
Paid-in Capital 60,045,522
Total Distributable Earnings (Loss) 57,706,218
Net Assets 117,751,740
   
Investor Shares—Net Assets  
Applicable to 5,801,572 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 603,400
Net Asset Value Per Share—Investor Shares $104.01
   
ETF Shares—Net Assets  
Applicable to 275,202,090 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 55,587,176
Net Asset Value Per Share—ETF Shares $201.99
   
Admiral Shares—Net Assets  
Applicable to 412,374,233 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 42,875,660
Net Asset Value Per Share—Admiral Shares $103.97
   
Institutional Shares—Net Assets  
Applicable to 179,706,823 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 18,685,504
Net Asset Value Per Share—Institutional Shares $103.98

  

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

 

10

 

 

Growth Index Fund

 

 

 

 

Statement of Operations

 

 

  Six Months Ended
  June 30, 2020
  ($000)
Investment Income  
Income  
Dividends 492,884
Interest1 1,115
Securities Lending—Net 1,586
Total Income 495,585
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,907
Management and Administrative—Investor Shares 413
Management and Administrative—ETF Shares 7,226
Management and Administrative—Admiral Shares 7,482
Management and Administrative—Institutional Shares 2,699
Marketing and Distribution—Investor Shares 36
Marketing and Distribution—ETF Shares 885
Marketing and Distribution—Admiral Shares 1,079
Marketing and Distribution—Institutional Shares 215
Custodian Fees 305
Shareholders’ Reports—Investor Shares 1
Shareholders’ Reports—ETF Shares 473
Shareholders’ Reports—Admiral Shares 136
Shareholders’ Reports—Institutional Shares 35
Trustees’ Fees and Expenses 37
Total Expenses 22,929
Net Investment Income 472,656
Realized Net Gain (Loss)  
Investment Securities Sold1,2 1,763,770
Futures Contracts (6,620)
Swap Contracts 4,230
Realized Net Gain (Loss) 1,761,380
Change in Unrealized Appreciation (Depreciation)  
Investment Securities1 9,697,407
Futures Contracts (774)
Swap Contracts 1,785
Change in Unrealized Appreciation (Depreciation) 9,698,418
Net Increase (Decrease) in Net Assets Resulting from Operations 11,932,454

 

1Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $1,060,000, $14,000, and $150,000, respectively. Purchases and sales are for temporary cash investment purposes.
  
2Includes $2,041,874,000 of net gain (loss) resulting from in-kind redemptions.

 

  

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

 

11

 

 

Growth Index Fund

 

 

 

 

Statement of Changes in Net Assets

 

 

  Six Months Ended   Year Ended  
  June 30,   December 31,  
  2020   2019  
  ($000 ) ($000 )
Increase (Decrease) in Net Assets        
Operations        
Net Investment Income 472,656   972,240  
Realized Net Gain (Loss) 1,761,380   2,779,185  
Change in Unrealized Appreciation (Depreciation) 9,698,418   23,719,802  
Net Increase (Decrease) in Net Assets Resulting from Operations 11,932,454   27,471,227  
Distributions1        
Investor Shares (2,046 ) (14,731 )
ETF Shares (220,696 ) (434,994 )
Admiral Shares (169,732 ) (346,427 )
Institutional Shares (74,540 ) (157,719 )
Total Distributions (467,014 ) (953,871 )
Capital Share Transactions        
Investor Shares (24,186 ) (2,755,965 )
ETF Shares 3,650,182   2,045,412  
Admiral Shares 594,850   3,011,369  
Institutional Shares 482,780   (387,427 )
Net Increase (Decrease) from Capital Share Transactions 4,703,626   1,913,389  
Total Increase (Decrease) 16,169,066   28,430,745  
Net Assets        
Beginning of Period 101,582,674   73,151,929  
End of Period 117,751,740   101,582,674  

 

1 Certain prior period numbers have been reclassified to conform with current period presentation.

  

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

 

12

 

 

Growth Index Fund

 

 

 

 

Financial Highlights

 

 

 

Investor Shares

 

  Six Months                      
  Ended                      
For a Share Outstanding June 30,   Year Ended December 31,  
Throughout Each Period 2020   2019   2018   2017   2016   2015  
Net Asset Value, Beginning of Period $93.87   $69.10   $72.36   $57.32   $54.78   $53.71  
Investment Operations                        
Net Investment Income .367 1 .746 1 .823 1 .750 1 .720   .652  
Net Realized and Unrealized Gain (Loss) on Investments 10.131   24.802   (3.271 15.037   2.548   1.054  
Total from Investment Operations 10.498   25.548   (2.448 15.787   3.268   1.706  
Distributions                        
Dividends from Net Investment Income (.358 ) (.778 ) (.812 ) (.747 ) (.728 ) (.636
Distributions from Realized Capital Gains            
Total Distributions (.358 ) (.778 ) (.812 ) (.747 ) (.728 ) (.636
Net Asset Value, End of Period $104.01   $93.87   $69.10   $72.36   $57.32   $54.78  
Total Return2 11.25%   37.08%   -3.46%   27.65%   5.99%   3.17%  
Ratios/Supplemental Data                        
Net Assets, End of Period (Millions) $603   $572   $2,654   $3,210   $2,938   $3,038  
Ratio of Total Expenses to Average Net Assets  0.17% 0.17%   0.17% 0.17% 0.18%   0.22%  
Ratio of Net Investment Income to Average Net Assets 0.80%   0.92%   1.08%   1.15%   1.31%   1.20%  
Portfolio Turnover Rate3 3%   11%   11%   8%   11%   9%  

 

The expense ratio and net investment income ratio for the current period have been annualized.

 

1 Calculated based on average shares outstanding.

 

2 Total 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.

 

3 Excludes 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.

 

13

 

 

Growth Index Fund

 

 

 

 

Financial Highlights

 

 

 

ETF Shares

 

  Six Months                      
  Ended                      
For a Share Outstanding June 30,   Year Ended December 31,  
Throughout Each Period 2020   2019   2018   2017   2016   2015  
Net Asset Value, Beginning of Period $182.31   $134.21   $140.55   $111.33   $106.40   $104.33  
Investment Operations                        
Net Investment Income .833 1 1.773 1 1.807 1 1.626 1 1.528   1.420  
Net Realized and Unrealized Gain (Loss) on Investments 19.664   48.065   (6.373 ) 29.200   4.949   2.038  
Total from Investment Operations 20.497   49.838   (4.566 ) 30.826   6.477   3.458  
Distributions                        
Dividends from Net Investment Income (.817 ) (1.738 ) (1.774 ) (1.606 ) (1.547 ) (1.388
Distributions from Realized Capital Gains            
Total Distributions (.817 ) (1.738 ) (1.774 ) (1.606 ) (1.547 ) (1.388
Net Asset Value, End of Period $201.99   $182.31   $134.21   $140.55   $111.33   $106.40  
Total Return 11.30%   37.26%   -3.32%   27.80%   6.13%   3.32%  
Ratios/Supplemental Data                        
Net Assets, End of Period (Millions) $55,587   $46,481   $32,489   $31,399   $23,040   $20,706  
Ratio of Total Expenses to Average Net Assets 0.04%   0.04%   0.04%   0.05%   0.06%   0.08%  
Ratio of Net Investment Income to Average Net Assets 0.93%   1.09%   1.21%   1.27%   1.43%   1.34%  
Portfolio Turnover Rate2 3%   11%   11%   8%   11%   9%  

 

The expense ratio and net investment income ratio for the current period have been annualized.

 

1 Calculated based on average shares outstanding.

 

2 Excludes 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.

 

14

 

 

Growth Index Fund

 

 

 

 

Financial Highlights

 

 

 

Admiral Shares

 

  Six Months                      
  Ended                      
For a Share Outstanding June 30,   Year Ended December 31,  
Throughout Each Period 2020   2019   2018   2017   2016   2015  
Net Asset Value, Beginning of Period $93.84   $69.09   $72.35   $57.31   $54.77   $53.71  
Investment Operations                        
Net Investment Income .424 1 .907 1 .921 1 .836 1 .786   .731  
Net Realized and Unrealized Gain (Loss) on Investments   10.122       24.728       (3.274 )   15.032       2.550       1.044    
Total from Investment Operations 10.546   25.635   (2.353 ) 15.868   3.336   1.775  
Distributions                        
Dividends from Net Investment Income (.416 ) (.885 ) (.907 ) (.828 ) (.796 ) (.715
Distributions from Realized Capital Gains            
Total Distributions (.416 ) (.885 ) (.907 ) (.828 ) (.796 ) (.715
Net Asset Value, End of Period $103.97   $93.84   $69.09   $72.35   $57.31   $54.77  
Total Return2 11.32%   37.23%   -3.34%   27.80%   6.12%   3.30%  
Ratios/Supplemental Data                        
Net Assets, End of Period (Millions) $42,876   $38,103   $25,609   $26,013   $18,617   $16,777  
Ratio of Total Expenses toAverage Net Assets 0.05%   0.05%   0.05%   0.05%   0.06%   0.08%  
Ratio of Net Investment Income to Average Net Assets 0.92%   1.08%   1.20%   1.27%   1.43%   1.34%  
Portfolio Turnover Rate3 3%   11%   11%   8%   11%   9%  

 

The expense ratio and net investment income ratio for the current period have been annualized.

 

1 Calculated based on average shares outstanding.

 

2 Total 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.

 

3 Excludes 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.

 

15

 

 

Growth Index Fund

 

 

 

 

Financial Highlights

 

 

 

Institutional Shares

 

  Six Months                      
  Ended                      
For a Share Outstanding June 30,   Year Ended December 31,  
Throughout Each Period 2020   2019   2018   2017   2016   2015  
Net Asset Value, Beginning of Period $93.85   $69.09   $72.35   $57.31   $54.77   $53.70  
Investment Operations                        
Net Investment Income .429 1 .912 1 .928 1 .841 1 .792   .737  
Net Realized and Unrealized Gain (Loss) on Investments   10.122       24.742       (3.274 )   15.032       2.549       1.053    
Total from Investment Operations 10.551   25.654   (2.346 ) 15.873   3.341   1.790  
Distributions                        
Dividends from Net Investment Income (.421 ) (.894 ) (.914 ) (.833 ) (.801 ) (.720
Distributions from Realized Capital Gains            
Total Distributions (.421 ) (.894 ) (.914 ) (.833 ) (.801 ) (.720
Net Asset Value, End of Period $103.98   $93.85   $69.09   $72.35   $57.31   $54.77  
Total Return 11.32%   37.26%   -3.33%   27.81%   6.13%   3.33%  
Ratios/Supplemental Data                        
Net Assets, End of Period (Millions) $18,686   $16,426   $12,400   $12,495   $9,733   $9,380  
Ratio of Total Expenses toAverage Net Assets 0.04%   0.04%   0.04%   0.04%   0.05%   0.07%  
Ratio of Net Investment Income toAverage Net Assets 0.93%   1.09%   1.21%   1.28%   1.44%   1.35%  
Portfolio Turnover Rate2 3%   11%   11%   8%   11%   9%  

 

The expense ratio and net investment income ratio for the current period have been annualized.

 

1 Calculated based on average shares outstanding.

 

2 Excludes 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

 

 

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.

 

Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.

 

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 Schedule of Investments.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Schedule of Investments. 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 gains (losses) on futures contracts.

 

17

 

 

Growth Index Fund

 

 

 

 

 

During the six months ended June 30, 2020, 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 Schedule of Investments. 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 periodic payments are made or the 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’s 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 Schedule of Investments. 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 six months ended June 30, 2020, 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, 2016–2019), and for the period ended June 30, 2020, and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

18

 

 

Growth Index Fund

 

 

 

 

 

5. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis at the fiscal year-end 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. Collateral investments in Vanguard Market Liquidity Fund are subject to market appreciation or depreciation. 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 Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed 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 either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternative rate agreed to by the fund and Vanguard.

 

In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans

 

19

 

 

Growth Index Fund

 

 

 

 

 

may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.

 

For the six months ended June 30, 2020, the fund did not utilize the credit facilities or the Interfund Lending Program.

 

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 are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. 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 and 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 June 30, 2020, the fund had contributed to Vanguard capital in the amount of $5,096,000, representing less than 0.01% of the fund’s net assets and 2.04% of Vanguard’s capital received pursuant to the FSA. 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 Schedule of Investments.

 

20

 

 

Growth Index Fund

 

 

 

 

 

The following table summarizes the market value of the fund’s investments and derivatives as of June 30, 2020, based on the inputs used to value them:

 

  Level 1   Level 2   Level 3   Total  
  ($000 ) ($000 ) ($000 ) ($000 )
Investments                
Assets                
Common Stocks 117,522,932       117,522,932  
Temporary Cash Investments 505,090   23,741     528,831  
Total 118,028,022   23,741     118,051,763  
Derivative Financial Instruments                
Assets                
Futures Contracts1 1,013       1,013  
Swap Contracts   3,530     3,530  
Total 1,013   3,530     4,543  
Liabilities                
Swap Contracts   793     793  

 

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

 

 

D. As of June 30, 2020, 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 59,587,043  
Gross Unrealized Appreciation 60,335,619  
Gross Unrealized Depreciation (1,868,508 )
Net Unrealized Appreciation (Depreciation) 58,467,111  

 

The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at December 31, 2019, the fund had available capital losses totaling $2,534,635,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending December 31, 2020; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.

 

E. During the six months ended June 30, 2020, the fund purchased $10,549,864,000 of investment securities and sold $5,881,744,000 of investment securities, other than temporary cash investments. Purchases and sales include $6,111,406,000 and $3,026,156,000, 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 six months ended

 

21

 

 

Growth Index Fund

 

 

 

 

 

June 30, 2020, such purchases and sales were $326,139,000 and $1,156,225,000, respectively; these amounts, other than temporary cash investments, are included in the purchases and sales of investment securities noted above.

 

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

 

  Six Months Ended     Year Ended  
  June 30, 2020     December 31, 2019  
  Amount   Shares     Amount   Shares  
  ($000 ) (000 )   ($000 ) (000 )
Investor Shares                  
Issued 53,940   567     115,764   1,430  
Issued in Lieu of Cash Distributions 2,046   23     13,997   169  
Redeemed1 (80,172 ) (886 )   (2,885,726 ) (33,915 )
Net Increase (Decrease)—Investor Shares (24,186 )  (296 )   (2,755,965 ) (32,316 ) 
ETF Shares                  
Issued 6,723,439   36,491     9,192,907   56,769  
Issued in Lieu of Cash Distributions          
Redeemed (3,073,257 ) (16,250 )   (7,147,495 ) (43,875 )
Net Increase (Decrease)—ETF Shares 3,650,182   20,241     2,045,412   12,894  
Admiral Shares                  
Issued1 5,697,893   62,214     8,091,333   96,379  
Issued in Lieu of Cash Distributions 150,446   1,697     307,364   3,578  
Redeemed (5,253,489 ) (57,572 )   (5,387,328 ) (64,609 )
Net Increase (Decrease)—Admiral Shares 594,850   6,339     3,011,369   35,348  
Institutional Shares                  
Issued 1,952,155   20,890     2,191,615   26,273  
Issued in Lieu of Cash Distributions 68,700   774     145,866   1,702  
Redeemed (1,538,075 ) (16,991 )   (2,724,908 ) (32,415 )
Net Increase (Decrease)—Institutional Shares 482,780   4,673     (387,427 ) (4,440 )

 

1In November 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. As a result, all of the outstanding Investor Shares automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors. Investor Shares—Redeemed and Admiral Shares—Issued include 30,063,000 and 30,069,000 shares, respectively, in the amount of $2,572,238,000 from the conversion during the year ended December 31, 2019.

 

 

G. Management has determined that no events or transactions occurred subsequent to June 30, 2020, that would require recognition or disclosure in these financial statements.

 

22

 

 

Value Index Fund

 

Fund Allocation 

As of June 30, 2020

 

Basic Materials 2.1 %
Consumer Goods 12.3  
Consumer Services 8.9  
Financials 20.6  
Health Care 20.6  
Industrials 11.3  
Oil & Gas 5.4  
Other 0.0  
Technology 8.2  
Telecommunications 3.9  
Utilities 6.7  

 

The table reflects the fund’s investments, except for short-term investments and derivatives. 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.

 

The fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.

 

  

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

The Industry Classification Benchmark (“ICB”) is owned by FTSE. FTSE does not accept any liability to any person for any loss or damage arising out of any error or omission in the ICB.

 

23

 

 

 

Value Index Fund

 

 

Financial Statements (unaudited)

 

Schedule of Investments

As of June 30, 2020

 

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.

 

      Market
      Value
    Shares ($000)
Common Stocks (99.8%)    
Basic Materials (2.1%)    
    Air Products & Chemicals Inc.   1,460,565   352,668
  Newmont Corp. 5,307,746 327,700
  Dow Inc. 4,923,350 200,676
  PPG Industries Inc. 1,560,104 165,465
  Freeport-McMoRan Inc. 9,599,334 111,064
  LyondellBasell Industries NV   1,654,826   108,755
  International Paper Co. 2,600,250 91,555
  Nucor Corp. 1,991,288 82,459
  Celanese Corp. Class A 781,423 67,468
  Eastman Chemical Co. 897,635 62,511
  Albemarle Corp. 353,393 27,285
  CF Industries Holdings Inc.   709,554   19,967
  Mosaic Co. 1,261,201 15,778
  Westlake Chemical Corp.    211,977 11,373
* Arconic Corp. 84   1
      1,644,725
Consumer Goods (12.3%)    
  Procter & Gamble Co. 16,372,181 1,957,622
  PepsiCo Inc. 9,176,966 1,213,746
  Coca-Cola Co. 25,564,913 1,142,240
    Philip Morris International Inc.   10,297,672   721,455
    Mondelez International Inc. Class A   9,440,005   482,668
  Altria Group Inc. 12,289,750 482,373
  Kimberly-Clark Corp. 2,252,342 318,369
  General Mills Inc. 4,008,587 247,129
  General Motors Co. 8,520,475 215,568
    Constellation Brands Inc. Class A   1,054,628   184,507
  Ford Motor Co. 25,838,225 157,096
    Archer-Daniels-Midland Co.   3,672,575   146,536
  Kraft Heinz Co. 4,443,441 141,701
  Aptiv plc 1,773,517 138,193
  Corteva Inc. 4,954,775 132,738
  DR Horton Inc. 2,285,324 126,721
  VF Corp. 2,056,795 125,341
    Tyson Foods Inc. Class A   1,946,058   116,199
  Lennar Corp. Class A 1,879,542 115,817
  Kellogg Co. 1,699,521 112,270
  Conagra Brands Inc. 3,059,697 107,610
  Garmin Ltd. 947,804 92,411
  Clorox Co. 416,560 91,381
  Hormel Foods Corp. 1,777,273 85,789
  Genuine Parts Co. 906,485 78,828
  JM Smucker Co. 716,472 75,810
  Hasbro Inc. 859,843 64,445
  Campbell Soup Co. 1,296,108 64,326
    Fortune Brands Home & Security Inc.   910,108   58,183
  PulteGroup Inc. 1,682,407 57,252
  Whirlpool Corp. 410,245 53,139
  Keurig Dr Pepper Inc. 1,825,754 51,851
  Tiffany & Co. 400,312 48,814
  BorgWarner Inc. 1,367,642 48,278
  Lear Corp. 394,979 43,061
    Molson Coors Beverage Co. Class B   1,165,374   40,042
*     Mohawk Industries Inc. 377,427 38,407
  Newell Brands Inc. 1,270,363 20,173
  Bunge Ltd. 449,203 18,476
  Tapestry Inc. 917,986 12,191
  PVH Corp. 235,842 11,332
    Ralph Lauren Corp. Class A   151,006   10,951
  Coty Inc. Class A 888,612 3,972
  Levi Strauss & Co. Class A   183,883 2,464
  Lennar Corp. Class B 14,996   691
      9,458,166
Consumer Services (8.9%)    
  Walt Disney Co. 11,945,971 1,332,095
  Walmart Inc. 9,369,965 1,122,334
  Comcast Corp. Class A 15,062,207 587,125
  CVS Health Corp. 8,644,926 561,661
  Target Corp. 3,306,125 396,504

 

24

 

  

Value Index Fund    
      Market
      Value
    Shares ($000)
  eBay Inc. 4,414,785 231,556
    Walgreens Boots Alliance Inc.   4,930,893   209,021
  Sysco Corp. 3,188,456 174,281
  McKesson Corp. 1,070,422 164,224
  Best Buy Co. Inc. 1,537,439 134,172
  Kroger Co. 3,939,393 133,348
  Southwest Airlines Co. 3,898,539 133,252
* Liberty Broadband Corp. 959,711 118,966
  Delta Air Lines Inc. 4,219,357 118,353
  Las Vegas Sands Corp. 2,526,243 115,045
* CarMax Inc. 1,076,603 96,410
    AmerisourceBergen Corp. Class A   941,809   94,906
  ViacomCBS Inc. Class B 3,553,028 82,857
  Omnicom Group Inc. 1,417,391 77,390
    Marriott International Inc. Class A   803,200   68,858
  Darden Restaurants Inc. 850,268 64,425
*   United Airlines Holdings Inc.   1,823,762   63,120
  Advance Auto Parts Inc. 433,912 61,811
  Fox Corp. Class A 2,274,448 61,001
^   Royal Caribbean Cruises Ltd.   1,106,566   55,660
*   DISH Network Corp. Class A   1,606,052   55,425
^ Carnival Corp. 3,162,509 51,928
    MGM Resorts International   2,928,662   49,202
    Interpublic Group of Cos. Inc.   2,566,693   44,044
^   American Airlines Group Inc.   3,276,022   42,818
* Discovery Communications Inc. Class C 2,144,503 41,303
  News Corp. Class A 3,338,987 39,600
* Liberty Media Corp-Liberty SiriusXM Class C 1,011,135 34,834
  Aramark 1,511,941 34,125
*,^ DraftKings Inc. Class A 871,361 28,981
  Fox Corp. Class B 1,028,392 27,602
*,^ Discovery Inc. Class A 997,127 21,039
*   Liberty Broadband Corp. Class A   168,228   20,556
* Liberty Media Corp-Liberty SiriusXM 526,913 18,189
  Nielsen Holdings plc 1,186,430 17,630
  Alaska Air Group Inc. 408,031 14,795
*,^ Norwegian Cruise Line Holdings Ltd. 853,308 14,020
  Kohl’s Corp. 516,185 10,721
  Hyatt Hotels Corp. Class A 118,709 5,970
^ ViacomCBS Inc. Class A 56,108 1,436
  News Corp. Class B 18,801   225
      6,832,818
Financials (20.5%)    
*   Berkshire Hathaway Inc. Class B   12,503,571   2,232,012
  JPMorgan Chase & Co. 19,143,211 1,800,610
  Bank of America Corp. 51,636,560 1,226,368
  Citigroup Inc. 13,767,843 703,537
  Wells Fargo & Co. 24,381,701 624,172
  BlackRock Inc. 957,804 521,132
    Goldman Sachs Group Inc.   2,276,201   449,823
  CME Group Inc. 2,371,738 385,502
  American Express Co. 3,993,730 380,203
  Morgan Stanley 7,817,965 377,608
  Truist Financial Corp. 8,909,969 334,569
  US Bancorp 8,964,469 330,072
  Chubb Ltd. 2,537,454 321,292
  Progressive Corp. 3,871,198 310,122
    PNC Financial Services Group Inc.   2,665,215   280,407
    Bank of New York Mellon Corp.   5,272,604   203,786
  Allstate Corp. 2,078,053 201,550
  Travelers Cos. Inc. 1,672,680 190,769
    Capital One Financial Corp.   3,012,657   188,562
    American International Group Inc.   5,696,221   177,608
  Willis Towers Watson plc 852,091 167,819
  MetLife Inc. 4,503,770 164,478
  Aflac Inc. 4,509,033 162,460
  Prudential Financial Inc. 2,612,425 159,097
  Equity Residential 2,462,028 144,817
  Welltower Inc. 2,760,971 142,880
  State Street Corp. 2,211,661 140,551
  Charles Schwab Corp. 3,831,989 129,291
  Ameriprise Financial Inc. 809,177 121,409
  Weyerhaeuser Co. 4,934,355 110,826
  KKR & Co. Inc. 3,510,701 108,410
  Northern Trust Corp. 1,307,679 103,751
    Discover Financial Services   2,026,674   101,516
    Healthpeak Properties Inc.   3,560,514   98,128
    Hartford Financial Services Group Inc.   2,368,762   91,316
  Nasdaq Inc. 760,059 90,804
  Fifth Third Bancorp 4,706,630 90,744
  Ventas Inc. 2,467,308 90,353
  T. Rowe Price Group Inc. 714,773 88,274
  Duke Realty Corp. 2,437,627 86,268

 

25

 

 

 

Value Index Fund    
     
     
      Market
      Value
    Shares ($000)
  M&T Bank Corp. 805,521 83,750
  Synchrony Financial 3,672,071 81,373
  KeyCorp 6,449,754 78,558
  WP Carey Inc. 1,140,476 77,153
    Principal Financial Group Inc.   1,811,320   75,242
* Arch Capital Group Ltd. 2,549,042 73,030
  E*TRADE Financial Corp. 1,461,425 72,677
    AvalonBay Communities Inc.   464,776   71,873
    Citizens Financial Group Inc.   2,821,115   71,205
  Regions Financial Corp. 6,345,839 70,566
    Simon Property Group Inc.   1,009,401   69,023
    TD Ameritrade Holding Corp.   1,787,237   65,020
  Cincinnati Financial Corp. 1,009,752 64,654
    Annaly Capital Management Inc.   9,458,701   62,049
    Huntington Bancshares Inc.   6,703,237   60,564
  Western Union Co. 2,714,041 58,678
    Fidelity National Financial Inc.   1,874,309   57,466
    Raymond James Financial Inc.   814,754   56,080
  Everest Re Group Ltd. 264,109 54,459
  Loews Corp. 1,579,620 54,165
  Equitable Holdings Inc. 2,678,065 51,660
  WR Berkley Corp. 884,805 50,691
    Host Hotels & Resorts Inc.   4,652,737   50,203
  Essex Property Trust Inc. 215,528 49,393
  Ally Financial Inc. 2,461,991 48,821
  AGNC Investment Corp. 3,691,524 47,621
  Globe Life Inc. 631,783 46,897
  Lincoln National Corp. 1,274,425 46,886
  VEREIT Inc. 7,105,240 45,687
  Alleghany Corp. 89,616 43,835
  Vornado Realty Trust 1,132,655 43,279
  Boston Properties Inc. 464,241 41,958
* Markel Corp. 43,445 40,107
  Franklin Resources Inc. 1,793,639 37,613
  Camden Property Trust 331,347 30,225
  Iron Mountain Inc. 955,674 24,943
    Federal Realty Investment Trust   251,054   21,392
  Voya Financial Inc. 421,784 19,676
*   Athene Holding Ltd. Class A   613,661   19,140
  Zions Bancorp NA 545,406 18,544
    Reinsurance Group of America Inc.   225,740   17,707
  Comerica Inc. 462,429 17,619
  Kimco Realty Corp. 1,366,833 17,550
  Invesco Ltd. 1,526,937 16,430
  SL Green Realty Corp. 254,748 12,557
*   Berkshire Hathaway Inc. Class A   14   3,742
  Jones Lang LaSalle Inc. 250 26
        15,854,683
Health Care (20.6%)    
  Johnson & Johnson 17,423,356 2,450,246
  UnitedHealth Group Inc. 6,271,936 1,849,907
  Merck & Co. Inc. 16,692,809 1,290,855
  Pfizer Inc. 36,736,400 1,201,280
  AbbVie Inc. 11,104,778 1,090,267
  Abbott Laboratories 11,698,027 1,069,551
  Eli Lilly and Co. 5,692,695 934,627
  Amgen Inc. 3,890,175 917,537
  Medtronic plc 8,863,024 812,739
  Gilead Sciences Inc. 8,295,477 638,254
  Cigna Corp. 2,440,337 457,929
  Bristol-Myers Squibb Co. 7,482,893 439,994
  Anthem Inc. 1,667,385 438,489
  Danaher Corp. 2,107,112 372,601
  Humana Inc. 874,326 339,020
* Biogen Inc. 1,079,194 288,738
  HCA Healthcare Inc. 1,786,535 173,401
    Zimmer Biomet Holdings Inc.   1,367,516   163,227
  Baxter International Inc. 1,677,591 144,441
*   Laboratory Corp. of America Holdings   643,009   106,810
  Quest Diagnostics Inc. 884,888 100,842
  Cardinal Health Inc. 1,930,897 100,773
* Hologic Inc. 1,708,104 97,362
  Dentsply Sirona Inc. 1,447,874 63,793
*   Elanco Animal Health Inc.   2,634,731   56,515
* Henry Schein Inc. 942,663 55,042
* Mylan NV 3,412,813 54,878
  Perrigo Co. plc 899,035 49,690
    Universal Health Services Inc. Class B   486,498   45,191
* DaVita Inc. 521,515 41,273
* Jazz Pharmaceuticals plc 87,192 9,621
        15,854,893
Industrials (11.3%)    
  Honeywell International Inc. 4,641,789 671,156
  Raytheon Technologies Corp. 10,028,119 617,933
  3M Co. 3,804,113 593,404
  Caterpillar Inc. 3,579,569 452,815
  General Electric Co. 57,847,156 395,096

 

26

 

 

Value Index Fund    
     
     
      Market
      Value
    Shares ($000)
  CSX Corp. 5,062,048 353,027
  Deere & Co. 2,069,283 325,188
  Northrop Grumman Corp. 992,362 305,092
  Norfolk Southern Corp. 1,694,024 297,420
  Waste Management Inc. 2,802,371 296,799
    United Parcel Service Inc. Class B   2,328,383   258,870
  DuPont de Nemours Inc. 4,852,527 257,815
  Emerson Electric Co. 3,951,206 245,093
  General Dynamics Corp. 1,613,049 241,086
  Eaton Corp. plc 2,645,404 231,420
  FedEx Corp. 1,554,912 218,030
  TE Connectivity Ltd. 2,181,060 177,865
  PACCAR Inc. 2,287,158 171,194
  Cummins Inc. 975,807 169,068
    Johnson Controls International plc   4,920,449   167,984
  Illinois Tool Works Inc. 940,246 164,402
  Otis Worldwide Corp. 2,864,135 162,855
  Parker-Hannifin Corp. 847,856 155,387
    Stanley Black & Decker Inc.   1,055,302   147,088
  Trane Technologies plc 1,582,134 140,778
  Corning Inc. 5,032,035 130,330
  Carrier Global Corp. 5,727,778 127,271
    Republic Services Inc. Class A   1,369,744   112,387
  WW Grainger Inc. 300,481 94,399
  Dover Corp. 952,080 91,933
  Ball Corp. 1,078,352 74,935
    Jacobs Engineering Group Inc.   860,407   72,962
* United Rentals Inc. 476,458 71,011
    CH Robinson Worldwide Inc.   890,088   70,370
  Fortive Corp. 1,000,926 67,723
* Ingersoll Rand Inc. 2,340,818 65,824
  Avery Dennison Corp. 550,638 62,822
    Packaging Corp. of America   626,592   62,534
* Crown Holdings Inc. 889,477 57,932
  Snap-on Inc. 358,524 49,659
  Textron Inc. 1,500,760 49,390
  Westrock Co. 1,709,017 48,297
    Huntington Ingalls Industries Inc.   266,893   46,570
  Hubbell Inc. Class B 357,001 44,754
  Masco Corp. 875,835 43,976
  Pentair plc 550,680 20,920
*   Sensata Technologies Holding plc   523,201   19,479
* XPO Logistics Inc. 151,185   11,679
      8,714,022
Oil & Gas (5.3%)    
  Exxon Mobil Corp. 27,961,343 1,250,431
  Chevron Corp. 12,346,401 1,101,669
  ConocoPhillips 7,091,510 297,985
  Phillips 66 2,887,396 207,604
  Kinder Morgan Inc. 12,712,131 192,843
  Schlumberger Ltd. 9,173,243 168,696
    Marathon Petroleum Corp.   4,299,604   160,719
  Valero Energy Corp. 2,695,859 158,571
  Williams Cos. Inc. 8,022,310 152,584
    Occidental Petroleum Corp.   5,950,419   108,893
  Halliburton Co. 5,219,338 67,747
    Baker Hughes Co. Class A   4,328,860   66,621
  ONEOK Inc. 1,451,335 48,213
  Hess Corp. 911,395 47,219
  Apache Corp. 1,256,263 16,960
  Marathon Oil Corp. 2,631,619 16,106
    National Oilwell Varco Inc.   1,292,319   15,831
  Devon Energy Corp. 1,273,554 14,442
  Noble Energy Inc. 1,590,566 14,252
  HollyFrontier Corp. 484,942   14,160
      4,121,546
Other (0.0%)1    
*,§     American International Group Inc. Warrants Exp. 01/19/2021     41,903     —
       
Technology (8.2%)    
  Intel Corp. 27,999,812 1,675,229
  Cisco Systems Inc. 25,130,486 1,172,086
  Oracle Corp. 13,556,205 749,251
    International Business Machines Corp.   5,871,910   709,151
  QUALCOMM Inc. 7,439,024 678,513
    Cognizant Technology Solutions Corp. Class A   3,574,678   203,113
  HP Inc. 9,455,720 164,813
  CDW Corp. 940,951 109,320
* Dell Technologies Inc. 1,593,717 87,559
* Qorvo Inc. 758,652 83,854
  Western Digital Corp. 1,882,878 83,129
    Hewlett Packard Enterprise Co.   8,479,505   82,506
  Motorola Solutions Inc. 562,387 78,807
    Marvell Technology Group Ltd.   2,192,083   76,854
  Seagate Technology plc 1,442,348 69,824
  NortonLifeLock Inc. 3,505,448 69,513
  NetApp Inc. 1,461,318 64,839

  

27

 

Value Index Fund    
     
     
        Market
        Value•
    Shares ($000)
* F5 Networks Inc. 401,985 56,069
  Juniper Networks Inc. 2,185,739 49,966
  Leidos Holdings Inc. 471,476 44,163
  Xerox Holdings Corp. 602,053     9,205
        6,317,764
Telecommunications (3.9%)  
  Verizon Communications Inc.     27,367,527 1,508,772
  AT&T Inc. 47,120,243 1,424,445
  CenturyLink Inc. 7,256,828 72,786
* T-Mobile US Inc. 3   —
*   T-Mobile US Inc. Rights Exp. 07/27/2020   3       —
       
        3,006,003
Utilities (6.7%)    
  NextEra Energy Inc. 3,236,834 777,391
  Dominion Energy Inc. 5,549,831 450,535
  Duke Energy Corp. 4,861,478 388,384
  Southern Co. 6,990,082 362,436
  American Electric Power Co. Inc.     3,277,916 261,053
  Exelon Corp. 6,440,827 233,738
  Sempra Energy 1,933,549 226,670
  Xcel Energy Inc. 3,473,637 217,102
  Eversource Energy 2,224,866 185,265
  WEC Energy Group Inc. 2,085,982 182,836
  Public Service Enterprise Group Inc.     3,343,538 164,368
  Consolidated Edison Inc. 2,209,874 158,956
  American Water Works Co. Inc.   1,196,800 153,980
  FirstEnergy Corp. 3,583,524 138,969
  DTE Energy Co. 1,270,303 136,558
  Edison International 2,499,329 135,739
  PPL Corp. 5,080,631 131,284
  Entergy Corp. 1,323,762 124,182
  Ameren Corp. 1,631,892 114,820
  CMS Energy Corp. 1,893,310 110,607
  Evergy Inc. 1,498,960 88,873
  Alliant Energy Corp. 1,650,436 78,957
  AES Corp. 4,392,431 63,646
  CenterPoint Energy Inc. 3,320,045 61,985
  Vistra Energy Corp. 3,226,734 60,082
  NiSource Inc. 2,527,890 57,484
  Pinnacle West Capital Corp.   742,519 54,419
  OGE Energy Corp. 665,689 20,210
  Avangrid Inc. 410,479 17,232
  NRG Energy Inc. 384,634 12,524
      5,170,285
Total Common Stocks
(Cost $70,819,145)
      76,974,905
Temporary Cash Investments (0.2%)    
Money Market Fund (0.2%)    
2,3    Vanguard Market Liquidity Fund, 0.227%           1,786,588          178,659
       
    Face  
    Amount  
    ($000)  
U.S. Government and Agency Obligations (0.0%)    
4     United States Cash Management Bill, 0.100%–0.103%, 7/14/20     10,000  9,999
4    United States Cash Management Bill, 0.210%, 9/15/20         1,900   1,899
4   United States Cash Management Bill, 0.116%, 9/29/20 900 900
4     United States Treasury Bill, 0.120%, 7/30/20     310       310
      13,108
Total Temporary Cash Investments
(Cost $191,727)
   
191,767
Total Investments (100.0%)  
(Cost $71,010,872)
    77,166,672
Other Assets and Liabilities— Net (0.0%)3   (6,338)
Net Assets (100%)   77,160,334

 

Cost is in $000.
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 $113,303,000.

§ Security value determined using significant unobservable inputs.
1 “Other” represents securities that are not classified by the fund’s benchmark index.
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 $121,315,000 was received for securities on loan.
4 Securities with a value of $7,262,000 have been segregated as initial margin for open futures contracts.

 

  

28

 

 

 

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   September 2020 598   92,397 1,927  

 

Over-the-Counter Total Return Swaps                  
          Floating          
          Interest          
          Rate   Value and   Value and  
      Notional   Received   Unrealized   Unrealized  
  Termination   Amount   (Paid )1 Appreciation   (Depreciation )
Reference Entity Date Counterparty ($000 ) (% ) ($000 ) ($000 )
AbbVie Inc. 9/2/20 BOANA 50,969   (0.182 ) 3,023    
Keurig Dr Pepper Inc. 9/2/20 BOANA 13,960   (0.182 ) 238    
Kroger Co. 2/2/21 GSI 32,080   (0.194 ) 1,768    
              5,029    

 

1Based on 1-month USD London Interbank Offered Rate (LIBOR) as of the most recent payment date. Floating interest payment received/paid monthly.

 

BOANA—Bank of America NA.

 

GSI—Goldman Sachs International.

 

At June 30, 2020, the counterparties had deposited in segregated accounts securities with a value of $4,249,000 in connection with open over-the-counter swap contracts. After June 30, 2020, the counterparty posted additional collateral of $1,221,000 in connection with open over-the-counter swap contracts as of June 30, 2020.

  

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

 

29

 

 

Value Index Fund

 

 

Statement of Assets and Liabilities

 

As of June 30, 2020

 

($000s, except shares and per-share amounts) Amount  
Assets    
Investments in Securities, at Value    
Unaffiliated Issuers (Cost $70,832,254) 76,988,013  
Affiliated Issuers (Cost $178,618) 178,659  
Total Investments in Securities 77,166,672  
Investment in Vanguard 3,590  
Cash 1,577  
Receivables for Accrued Income 111,978  
Receivables for Capital Shares Issued 3,149  
Variation Margin Receivable—Futures Contracts 1,271  
Unrealized Appreciation—Over-the-Counter Swap Contracts 5,029  
Total Assets 77,293,266  
Liabilities    
Payables for Investment Securities Purchased 10  
Collateral for Securities on Loan 121,315  
Payables for Capital Shares Redeemed 9,880  
Payables to Vanguard 1,727  
Total Liabilities 132,932  
Net Assets 77,160,334  

  

30

 

 

Value Index Fund

 

 

Statement of Assets and Liabilities (continued)

 

 

At June 30, 2020, net assets consisted of:    
     
($000s, except shares and per-share amounts) Amount  
Paid-in Capital 71,960,790  
Total Distributable Earnings (Loss) 5,199,544  
Net Assets 77,160,334  
     
Investor Shares—Net Assets    
Applicable to 6,453,346 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 251,121  
Net Asset Value Per Share—Investor Shares $38.91  
     
ETF Shares—Net Assets    
Applicable to 476,349,363 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 47,501,678  
Net Asset Value Per Share—ETF Shares $99.72  
     
Admiral Shares—Net Assets    
Applicable to 486,528,694 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 18,926,669  
Net Asset Value Per Share—Admiral Shares $38.90  
     
Institutional Shares—Net Assets    
Applicable to 269,430,760 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 10,480,866  
Net Asset Value Per Share—Institutional Shares $38.90  

  

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

 

31

 

 

Value Index Fund

 

 

Statement of Operations

 

 

  Six Months Ended  
  June 30, 2020  
  ($000 )
Investment Income    
Income    
Dividends 1,223,028  
Interest1 906  
Securities Lending—Net 1,433  
Total Income 1,225,367  
Expenses    
The Vanguard Group—Note B    
Investment Advisory Services 1,684  
Management and Administrative—Investor Shares 205  
Management and Administrative—ETF Shares 6,790  
Management and Administrative—Admiral Shares 3,686  
Management and Administrative—Institutional Shares 1,725  
Marketing and Distribution—Investor Shares 19  
Marketing and Distribution—ETF Shares 1,072  
Marketing and Distribution—Admiral Shares 621  
Marketing and Distribution—Institutional Shares 149  
Custodian Fees 241  
Shareholders’ Reports—Investor Shares 1  
Shareholders’ Reports—ETF Shares 791  
Shareholders’ Reports—Admiral Shares 83  
Shareholders’ Reports—Institutional Shares 43  
Trustees’ Fees and Expenses 28  
Total Expenses 17,138  
Net Investment Income 1,208,229  
Realized Net Gain (Loss)    
Investment Securities Sold1,2 499,029  
Futures Contracts (36,426 )
Swap Contracts 1,557  
Realized Net Gain (Loss) 464,160  
Change in Unrealized Appreciation (Depreciation)    
Investment Securities1 (15,621,534 )
Futures Contracts 1,185  
Swap Contracts 4,647  
Change in Unrealized Appreciation (Depreciation) (15,615,702 )
Net Increase (Decrease) in Net Assets Resulting from Operations (13,943,313 )

 

1Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $847,000, ($332,000), and $39,000, respectively. Purchases and sales are for temporary cash investment purposes.
2Includes $1,398,593,000 of net gain (loss) resulting from in-kind redemptions.

  

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

 

32

 

 

Value Index Fund

 

 

Statement of Changes in Net Assets

 

 

  Six Months Ended   Year Ended  
  June 30,   December 31,  
  2020   2019  
  ($000 ) ($000 )
Increase (Decrease) in Net Assets        
Operations        
Net Investment Income 1,208,229   2,219,611  
Realized Net Gain (Loss) 464,160   1,616,230  
Change in Unrealized Appreciation (Depreciation) (15,615,702 ) 14,492,268  
Net Increase (Decrease) in Net Assets Resulting from Operations (13,943,313 )  18,328,109  
Distributions1        
Investor Shares (3,786 ) (20,395 )
ETF Shares (733,885 ) (1,342,434 )
Admiral Shares (287,901 ) (535,578 )
Institutional Shares (160,410 ) (303,775 )
Total Distributions (1,185,982 ) (2,202,182 )
Capital Share Transactions        
Investor Shares (22,038 ) (1,265,828 )
ETF Shares 878,543   4,609,618  
Admiral Shares 207,537   2,004,934  
Institutional Shares 92,801   456,273  
Net Increase (Decrease) from Capital Share Transactions 1,156,843   5,804,997  
Total Increase (Decrease) (13,972,452 ) 21,930,924  
Net Assets        
Beginning of Period 91,132,786   69,201,862  
End of Period 77,160,334   91,132,786  

 

1 Certain prior period numbers have been reclassified to conform with current period presentation.

 

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

 

33

 

 

 

Value Index Fund

 

 

Financial Highlights

 

Investor Shares

 

  Six Months                      
  Ended                      
For a Share Outstanding June 30,   Year Ended December 31,  
Throughout Each Period 2020   2019   2018   2017   2016   2015  
Net Asset Value, Beginning of Period $46.78   $38.18   $41.42   $36.24   $31.82   $32.95  
Investment Operations                        
Net Investment Income .587 1 1.093 1 1.009 1 .918 1 .850   .782  
Net Realized and Unrealized Gain (Loss) on Investments (7.886 ) 8.623   (3.261 ) 5.166   4.415   (1.130
Total from Investment Operations (7.299 ) 9.716   (2.252 ) 6.084   5.265   (.348
Distributions                        
Dividends from Net Investment Income (.571 ) (1.116 ) (.988 ) (.904 ) (.845 ) (.782
Distributions from Realized Capital Gains            
Total Distributions (.571 ) (1.116 ) (.988 ) (.904 ) (.845 ) (.782
Net Asset Value, End of Period $38.91   $46.78   $38.18   $41.42   $36.24   $31.82  
Total Return2 -15.48%   25.67%   -5.55%   16.99%   16.75%   -1.03%  
Ratios/Supplemental Data                        
Net Assets, End of Period (Millions) $251   $328   $1,381   $1,626   $1,587   $1,397  
Ratio of Total Expenses toAverage Net Assets 0.17%   0.17%   0.17%   0.17%   0.18%   0.22%  
Ratio of Net Investment Income to Average Net Assets 2.86%   2.58%   2.43%   2.40%   2.64%   2.44%  
Portfolio Turnover Rate3 4%   12%   8%   9%   7%   8%  

 

The expense ratio and net investment income ratio for the current period have been annualized.

 

1 Calculated based on average shares outstanding.

 

2 Total 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.

 

3 Excludes 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.

 

34

 

 

Value Index Fund

 

 

Financial Highlights

 

ETF Shares

 

  Six Months                      
  Ended                      
For a Share Outstanding June 30,   Year Ended December 31,  
Throughout Each Period 2020   2019   2018   2017   2016   2015  
Net Asset Value, Beginning of Period $119.90   $97.84   $106.14   $92.87   $81.56   $84.45  
Investment Operations                        
Net Investment Income 1.567 1 3.046 1 2.722 1 2.473 1 2.282   2.123  
Net Realized and Unrealized Gain (Loss)on Investments (20.212 ) 22.014   (8.352 ) 13.234   11.301   (2.890
Total from Investment Operations (18.645 ) 25.060   (5.630 ) 15.707   13.583   (.767
Distributions                        
Dividends from Net Investment Income (1.535 ) (3.000 ) (2.670 ) (2.437 ) (2.273 ) (2.123
Distributions from Realized Capital Gains            
Total Distributions (1.535 ) (3.000 ) (2.670 ) (2.437 ) (2.273 ) (2.123
Net Asset Value, End of Period $99.72   $119.90   $97.84   $106.14   $92.87   $81.56  
Total Return -15.48%   25.85%   -5.39%   17.12%   16.88%   -0.89%  
Ratios/Supplemental Data                        
Net Assets, End of Period (Millions) $47,502   $55,909   $41,510   $36,560   $27,126   $18,648  
Ratio of Total Expenses toAverage Net Assets 0.04%   0.04%   0.04%   0.05%   0.06%   0.08%  
Ratio of Net Investment Income toAverage Net Assets 2.99%   2.76%   2.56%   2.52%   2.76%   2.58%  
Portfolio Turnover Rate2 4%   12%   8%   9%   7%   8%  

 

The expense ratio and net investment income ratio for the current period have been annualized.

 

1 Calculated based on average shares outstanding.

 

2 Excludes 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.

 

35

 

 

Value Index Fund

 

 

Financial Highlights

 

Admiral Shares

 

  Six Months                      
  Ended                      
For a Share Outstanding June 30,   Year Ended December 31,  
Throughout Each Period 2020   2019   2018   2017   2016   2015  
Net Asset Value, Beginning of Period $46.77   $38.17   $41.41   $36.23   $31.82   $32.94  
Investment Operations                        
Net Investment Income .609 1 1.185 1 1.059 1 .965 1 .890   .829  
Net Realized and Unrealized Gain (Loss) on Investments (7.882 ) 8.581   (3.261 ) 5.165   4.407   (1.121
Total from Investment Operations (7.273 ) 9.766   (2.202 ) 6.130   5.297   (.292
Distributions                        
Dividends from Net Investment Income (.597 ) (1.166 ) (1.038 ) (.950 ) (.887 ) (.828
Distributions from Realized Capital Gains            
Total Distributions (.597 ) (1.166 ) (1.038 ) (.950 ) (.887 ) (.828
Net Asset Value, End of Period $38.90   $46.77   $38.17   $41.41   $36.23   $31.82  
Total Return2 -15.43%   25.82%   -5.43%   17.13%   16.86%   -0.86%  
Ratios/Supplemental Data                        
Net Assets, End of Period (Millions) $18,927   $22,414   $16,522   $16,778   $13,424   $10,408  
Ratio of Total Expenses to Average Net Assets 0.05%   0.05%   0.05%   0.05%   0.06%   0.08%  
Ratio of Net Investment Income to Average Net Assets 2.98%   2.75%   2.55%   2.52%   2.76%   2.58%  
Portfolio Turnover Rate3 4%   12%   8%   9%   7%   8%  

 

The expense ratio and net investment income ratio for the current period have been annualized.

 

1 Calculated based on average shares outstanding.

 

2 Total 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.

 

3 Excludes 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.

 

36

 

 

Value Index Fund

 

 

Financial Highlights

 

Institutional Shares

 

  Six Months                      
  Ended                      
For a Share Outstanding June 30,   Year Ended December 31,  
Throughout Each Period 2020   2019   2018   2017   2016   2015  
Net Asset Value, Beginning of Period $46.77   $38.17   $41.41   $36.23   $31.82   $32.94  
Investment Operations                        
Net Investment Income .612 1 1.189 1 1.063 1 .969 1 .893   .831  
Net Realized and Unrealized Gain (Loss) on Investments (7.883 ) 8.581   (3.260 ) 5.165   4.407   (1.120
Total from Investment Operations (7.271 ) 9.770   (2.197 ) 6.134   5.300   (.289)  
Distributions                        
Dividends from Net Investment Income (.599 ) (1.170 ) (1.043 ) (.954 ) (.890 ) (.831
Distributions from Realized Capital Gains            
Total Distributions (.599 ) (1.170 ) (1.043 ) (.954 ) (.890 ) (.831
Net Asset Value, End of Period $38.90   $46.77   $38.17   $41.41   $36.23   $31.82  
Total Return -15.42%   25.83%   -5.42%   17.14%   16.87%   -0.85%  
Ratios/Supplemental Data                        
Net Assets, End of Period (Millions) $10,481   $12,481   $9,789   $10,085   $8,684   $7,176  
Ratio of Total Expenses to Average Net Assets 0.04%   0.04%   0.04%   0.04%   0.05%   0.07%  
Ratio of Net Investment Income to Average Net Assets 2.99%   2.76%   2.56%   2.53%   2.77%   2.59%  
Portfolio Turnover Rate2 4%   12%   8%   9%   7%   8%  

 

The expense ratio and net investment income ratio for the current period have been annualized.

 

1 Calculated based on average shares outstanding.

 

2 Excludes 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

 

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.

 

Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.

 

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 Schedule of Investments.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Schedule of Investments. 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 gains (losses) on futures contracts.

 

38

 

 

Value Index Fund

 

 

During the six months ended June 30, 2020, 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 Schedule of Investments. 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 periodic payments are made or the 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’s 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 Schedule of Investments. 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 six months ended June 30, 2020, 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, 2016–2019), and for the period ended June 30, 2020, and has concluded that no provision for federal income tax is required in the fund’s financial statements.

 

39

 

 

Value Index Fund

 

 

5. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis at the fiscal year-end 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. Collateral investments in Vanguard Market Liquidity Fund are subject to market appreciation or depreciation. 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 Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed 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 either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternative rate agreed to by the fund and Vanguard.

 

In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans

 

40

 

 

Value Index Fund

 

 

may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.

 

For the six months ended June 30, 2020, the fund did not utilize the credit facilities or the Interfund Lending Program.

 

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 are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. 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 and 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 June 30, 2020, the fund had contributed to Vanguard capital in the amount of $3,590,000, representing less than 0.01% of the fund’s net assets and 1.44% of Vanguard’s capital received pursuant to the FSA. 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 Schedule of Investments.

 

41

 

 

Value Index Fund

 

 

The following table summarizes the market value of the fund’s investments and derivatives as of June 30, 2020, based on the inputs used to value them:

 

  Level 1   Level 2   Level 3   Total  
  ($000 ) ($000 ) ($000 ) ($000 )
Investments                
Assets                
Common Stocks 76,974,905       76,974,905  
Temporary Cash Investments 178,659   13,108     191,767  
Total 77,153,564   13,108     77,166,672  
Derivative Financial Instruments                
Assets                
Futures Contracts1 1,271       1,271  
Swap Contracts   5,029     5,029  
Total 1,271   5,029     6,300  

 

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

 

D. As of June 30, 2020, 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 71,010,872  
Gross Unrealized Appreciation 14,154,664  
Gross Unrealized Depreciation (7,991,908 )
Net Unrealized Appreciation (Depreciation) 6,162,756  

 

The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at December 31, 2019, the fund had available capital losses totaling $1,465,507,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending December 31, 2020; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.

 

E. During the six months ended June 30, 2020, the fund purchased $8,029,473,000 of investment securities and sold $6,812,024,000 of investment securities, other than temporary cash investments. Purchases and sales include $3,928,144,000 and $3,412,009,000, 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 six months ended June 30, 2020, such purchases and sales were $1,253,744,000 and $716,355,000, respectively; these amounts, other than temporary cash investments, are included in the purchases and sales of investment securities noted above.

 

42

 

 

Value Index Fund

 

 

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

 

  Six Months Ended     Year Ended  
  June 30, 2020     December 31, 2019  
  Amount   Shares     Amount   Shares  
  ($000 ) (000 )   ($000 ) (000 )
Investor Shares                  
Issued 17,241   429     288,447   6,573  
Issued in Lieu of Cash Distributions 3,786   107     19,467   454  
Redeemed1 (43,065 ) (1,096 )   (1,573,742 ) (36,175 )
Net Increase (Decrease)—Investor Shares (22,038 ) (560 )   (1,265,828 ) (29,148 )
ETF Shares                  
Issued 4,302,098   43,367     11,138,392   101,457  
Issued in Lieu of Cash Distributions          
Redeemed (3,423,555 ) (33,325 )   (6,528,774 ) (59,400 )
Net Increase (Decrease)—ETF Shares 878,543   10,042     4,609,618   42,057  
Admiral Shares                  
Issued1 3,016,474   77,908     4,731,989   110,113  
Issued in Lieu of Cash Distributions 248,800   6,998     457,063   10,403  
Redeemed (3,057,737 ) (77,597 )   (3,184,118 ) (74,178 )
Net Increase (Decrease)—Admiral Shares 207,537   7,309     2,004,934   46,338  
Institutional Shares                  
Issued 999,805   25,080     2,536,818   58,769  
Issued in Lieu of Cash Distributions 145,075   4,082     278,501   6,344  
Redeemed (1,052,079 ) (26,596 )   (2,359,046 ) (54,713 )
Net Increase (Decrease)—Institutional Shares 92,801   2,566     456,273   10,400  

 

1In November 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. As a result, all of the outstanding Investor Shares automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors. Investor Shares—Redeemed and Admiral Shares—Issued include 26,970,000 and 26,976,000 shares, respectively, in the amount of $1,174,229,000 from the conversion during the year ended December 31, 2019.

 

G. In July 2020, the board of trustees approved an agreement and plan of reorganization whereby Vanguard U.S. Value Fund would be reorganized into Vanguard Value Index Fund. This reorganization requires approval by Vanguard U.S. Value Fund shareholders and will be submitted to shareholders at a special meeting to be held on or about January 22, 2021.

 

Management has determined that no other events or transactions occurred subsequent to June 30, 2020, that would require recognition or disclosure in these financial statements.

 

43

 

 

Large-Cap Index Fund

 

Fund Allocation

 

As of June 30, 2020

 

Basic Materials 1.8 %
Consumer Goods 8.0  
Consumer Services 14.7  
Financials 15.5  
Health Care 13.5  
Industrials 10.8  
Oil & Gas 2.7  
Other 0.0  
Technology 28.2  
Telecommunications 1.9  
Utilities 2.9  

 

The table reflects the fund’s investments, except for short-term investments and derivatives. 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.

 

The fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, at-tempting to remain fully invested and tracking its target index as closely as possible.

  

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

The Industry Classification Benchmark (“ICB”) is owned by FTSE. FTSE does not accept any liability to any person for any loss or damage arising out of any error or omission in the ICB.

 

44

 

 

 

Large-Cap Index Fund

 

 

Financial Statements (unaudited)

 

Schedule of Investments

As of June 30, 2020

 

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.

 

      Market
      Value
    Shares ($000)
Common Stocks (99.8%)    
Basic Materials (1.8%)    
  Linde plc 526,587 111,694
  Air Products & Chemicals Inc. 221,443 53,470
  Ecolab Inc. 256,519 51,034
  Newmont Corp. 804,753 49,685
  Dow Inc. 744,617 30,351
  PPG Industries Inc. 236,663 25,101
  Fastenal Co. 575,955 24,674
  Freeport-McMoRan Inc. 1,455,797 16,844
  LyondellBasell Industries NV Class A 250,901 16,489
  International Paper Co. 393,963 13,871
^ International Flavors & Fragrances Inc. 107,148 13,121
  FMC Corp. 129,791 12,930
  Nucor Corp. 301,941 12,503
  Celanese Corp. Class A 118,507 10,232
  Eastman Chemical Co. 136,226 9,487
  Albemarle Corp. 106,602 8,231
  CF Industries Holdings Inc.   214,310 6,031
  Mosaic Co. 189,885 2,375
  Westlake Chemical Corp. 31,965 1,715
      469,838
Consumer Goods (8.0%)    
  Procter & Gamble Co. 2,482,318 296,811
  PepsiCo Inc. 1,391,245 184,006
  Coca-Cola Co. 3,875,750 173,168
* Tesla Inc. 148,808 160,684
  NIKE Inc. Class B 1,243,346 121,910
  Philip Morris International Inc. 1,561,308 109,385
  Mondelez International Inc. Class A 1,431,294 73,182
  Altria Group Inc. 1,863,333 73,136
  Colgate-Palmolive Co. 858,820 62,917
  Activision Blizzard Inc. 772,558 58,637
  Kimberly-Clark Corp. 341,458 48,265
  Estee Lauder Cos. Inc. Class A 202,835 38,271
* Electronic Arts Inc. 289,469 38,224
  General Mills Inc. 607,755 37,468
* Lululemon Athletica Inc. 118,414 36,946
  General Motors Co. 1,291,419 32,673
  Constellation Brands Inc. Class A 159,867 27,969
  Clorox Co. 126,278 27,702
* Monster Beverage Corp. 369,558 25,618
  Ford Motor Co. 3,916,680 23,813
  McCormick & Co. Inc. 123,956 22,239
    Archer-Daniels-Midland Co. 556,465 22,203
  Kraft Heinz Co. 673,755 21,486
  Aptiv plc 268,765 20,942
  Corteva Inc. 751,270 20,126
    Brown-Forman Corp. Class B   309,894   19,728
  DR Horton Inc. 346,232 19,199
  Hershey Co. 147,777 19,155
  Church & Dwight Co. Inc. 246,566 19,060
  VF Corp. 311,878 19,006
  Tyson Foods Inc. Class A 295,250 17,629
  Lennar Corp. Class A 280,002 17,254
  Kellogg Co. 257,660 17,021
  Conagra Brands Inc. 463,935 16,317
*   Take-Two Interactive Software Inc.   114,264   15,948
  Tiffany & Co. 121,695 14,839
  Garmin Ltd. 143,651 14,006
  Hormel Foods Corp. 269,613 13,014
  Genuine Parts Co. 137,416 11,950
  JM Smucker Co. 108,731 11,505
* NVR Inc. 3,522 11,477
  Keurig Dr Pepper Inc. 352,891 10,022
  Hasbro Inc. 130,479 9,779
  Campbell Soup Co. 196,657 9,760
  Lamb Weston Holdings Inc. 146,443 9,362
    Fortune Brands Home & Security Inc.   138,433   8,850
  PulteGroup Inc. 255,337 8,689

 

45

 

 

Large-Cap Index Fund    
     
     
      Market
      Value
    Shares ($000)
  Whirlpool Corp. 62,330 8,074
  BorgWarner Inc. 208,037 7,344
* LKQ Corp. 273,818 7,174
  Lear Corp. 60,077 6,550
    Molson Coors Beverage Co. Class B   177,437   6,097
* Mohawk Industries Inc. 57,566 5,858
  Newell Brands Inc. 191,242 3,037
  Bunge Ltd. 67,621 2,781
  Tapestry Inc. 138,185 1,835
  PVH Corp. 35,484 1,705
  Ralph Lauren Corp. Class A 22,730 1,648
* Under Armour Inc. Class A 118,958 1,159
* Under Armour Inc. Class C 70,310 622
  Coty Inc. Class A 133,706 598
  Lennar Corp. Class B 8,760 404
  Levi Strauss & Co. Class A 27,703 371
      2,126,608
Consumer Services (14.7%)    
* Amazon.com Inc. 425,101 1,172,777
  Home Depot Inc. 1,078,403 270,151
  Walt Disney Co. 1,811,112 201,957
* Netflix Inc. 440,992 200,669
  Comcast Corp. Class A 4,566,959 178,020
  Walmart Inc. 1,420,673 170,168
  McDonald’s Corp. 745,576 137,536
  Costco Wholesale Corp. 442,753 134,247
  Lowe’s Cos. Inc. 757,016 102,288
  Starbucks Corp. 1,171,467 86,208
  CVS Health Corp. 1,310,620 85,151
*   Charter Communications Inc. Class A   144,925   73,918
* Booking Holdings Inc. 41,023 65,323
  Target Corp. 501,269 60,117
  TJX Cos. Inc. 1,081,001 54,655
  Dollar General Corp. 252,399 48,085
* Uber Technologies Inc. 1,130,161 35,125
  eBay Inc. 669,266 35,103
    Walgreens Boots Alliance Inc.   747,572   31,690
* O’Reilly Automotive Inc. 74,428 31,384
  Ross Stores Inc. 356,335 30,374
* Chipotle Mexican Grill Inc. 27,960 29,424
  Sysco Corp. 483,461 26,426
* AutoZone Inc. 23,422 26,423
  Yum! Brands Inc. 301,790 26,229
* IAC/InterActiveCorp 79,424 25,686
  Kroger Co. 748,828 25,348
  McKesson Corp. 162,277 24,897
* Dollar Tree Inc. 237,873 22,046
    Marriott International Inc. Class A   243,831   20,904
    Hilton Worldwide Holdings Inc.   278,032   20,421
  Best Buy Co. Inc. 233,101 20,343
  Southwest Airlines Co. 591,028 20,201
  Delta Air Lines Inc. 639,580 17,940
* Liberty Broadband Corp. 142,546 17,670
* Copart Inc. 211,838 17,640
  Las Vegas Sands Corp. 382,698 17,428
  Tractor Supply Co. 115,933 15,279
* CarMax Inc. 163,172 14,612
  Domino’s Pizza Inc. 39,232 14,494
    AmerisourceBergen Corp. Class A   142,764   14,386
  ViacomCBS Inc. Class B 540,123 12,596
    FactSet Research Systems Inc.   38,016   12,487
* Wayfair Inc. 61,078 12,070
* Roku Inc. 102,017 11,888
  Omnicom Group Inc. 214,844 11,730
  Expedia Group Inc. 135,810 11,164
* Ulta Beauty Inc. 53,646 10,913
  Fox Corp. Class A 373,567 10,019
  Darden Restaurants Inc. 129,066 9,779
*   United Airlines Holdings Inc.   276,710   9,577
  Advance Auto Parts Inc. 65,839 9,379
* DraftKings Inc. Class A 264,283 8,790
^   Royal Caribbean Cruises Ltd.   168,218   8,461
*   DISH Network Corp. Class A   243,495   8,403
* Carvana Co. 69,366 8,338
* Trade Desk Inc. Class A 20,499 8,333
^ Carnival Corp. 480,329 7,887
    MGM Resorts International   445,060   7,477
  Wynn Resorts Ltd. 97,343 7,251
* Lyft Inc. Class A 209,154 6,904
    Interpublic Group of Cos. Inc.   390,188   6,696
^   American Airlines Group Inc.   498,286   6,513
* Burlington Stores Inc. 32,981 6,495
  Sirius XM Holdings Inc. 1,099,128 6,452
* Altice USA Inc. Class A 283,115 6,381
  Rollins Inc. 147,882 6,269
*   Discovery Communications Inc. Class C   324,888   6,257
*   Live Nation Entertainment Inc.   140,276   6,218
*   Liberty Media Corp-Liberty SiriusXM Class C   152,292   5,246
  Aramark 227,933 5,144
  News Corp. Class A 383,331 4,546
  Vail Resorts Inc. 20,087 3,659

 

46

 

 

Large-Cap Index Fund    
     
     
      Market
      Value
    Shares ($000)
*   Liberty Broadband Corp. Class A   28,449   3,476
  Fox Corp. Class B 127,001 3,409
^,* Discovery Inc. Class A 151,624 3,199
*   Liberty Media Corp-Liberty SiriusXM   81,273   2,806
  Nielsen Holdings plc 178,598 2,654
* Chewy Inc. 59,090 2,641
^,*   Warner Music Group Corp. Class A   76,924   2,269
  Alaska Air Group Inc. 61,432 2,227
*   Norwegian Cruise Line Holdings Ltd.   128,451   2,110
  Kohl’s Corp. 77,711 1,614
  News Corp. Class B 126,324 1,510
  Hyatt Hotels Corp. Class A 17,867 898
  ViacomCBS Inc. Class A 7,216 185
      3,915,063
Financials (15.4%)    
*   Berkshire Hathaway Inc. Class B   1,886,657   336,787
  Visa Inc. Class A 1,691,625 326,771
  JPMorgan Chase & Co. 2,902,411 273,001
  Mastercard Inc. Class A 896,118 264,982
  Bank of America Corp. 7,829,168 185,943
  American Tower Corp. 444,492 114,919
  Citigroup Inc. 2,087,353 106,664
  Wells Fargo & Co. 3,696,620 94,633
  S&P Global Inc. 241,545 79,584
  BlackRock Inc. 145,198 79,001
    Crown Castle International Corp.   417,880   69,932
  Prologis Inc. 740,554 69,116
  Goldman Sachs Group Inc. 344,862 68,152
  Equinix Inc. 88,752 62,331
  CME Group Inc. 359,577 58,446
  American Express Co. 605,433 57,637
  Morgan Stanley 1,185,007 57,236
    Marsh & McLennan Cos. Inc.   511,625   54,933
  Truist Financial Corp. 1,351,043 50,732
    Intercontinental Exchange Inc.   548,749   50,265
  US Bancorp 1,359,247 50,047
  Chubb Ltd. 384,688 48,709
  Progressive Corp. 586,900 47,017
  Aon plc Class A 231,719 44,629
  Moody’s Corp. 159,796 43,901
    PNC Financial Services Group Inc.   404,143   42,520
  Charles Schwab Corp. 1,161,836 39,200
  Digital Realty Trust Inc. 269,070 38,238
    Blackstone Group LP Class A   671,705   38,059
    SBA Communications Corp. Class A   111,926   33,345
    Bank of New York Mellon Corp.   799,134   30,887
  Allstate Corp. 314,987 30,551
  Travelers Cos. Inc. 253,548 28,917
  Public Storage 148,980 28,588
    Capital One Financial Corp.   456,648   28,582
* CoStar Group Inc. 39,477 28,055
  IHS Markit Ltd. 359,999 27,180
    American International Group Inc.   863,571   26,926
  T. Rowe Price Group Inc. 216,773 26,771
  MSCI Inc. Class A 79,625 26,580
  Willis Towers Watson plc 129,106 25,427
  MetLife Inc. 682,508 24,925
  Aflac Inc. 683,448 24,625
  Prudential Financial Inc. 396,039 24,119
  Equity Residential 373,134 21,948
    AvalonBay Communities Inc.   141,109   21,821
  Welltower Inc. 418,589 21,662
  State Street Corp. 335,277 21,307
  Simon Property Group Inc. 306,557 20,962
    Alexandria Real Estate Equities Inc.   126,547   20,532
  Realty Income Corp. 344,341 20,488
  Arthur J Gallagher & Co. 190,123 18,535
  Ameriprise Financial Inc. 122,650 18,402
  First Republic Bank 171,757 18,205
  MarketAxess Holdings Inc. 36,109 18,088
  Weyerhaeuser Co. 748,082 16,802
  KKR & Co. Inc. 532,168 16,433
  Northern Trust Corp. 198,199 15,725
  Invitation Homes Inc. 559,753 15,410
  Discover Financial Services 307,152 15,385
  Essex Property Trust Inc. 65,585 15,030
  Healthpeak Properties Inc. 539,638 14,872
    Broadridge Financial Solutions Inc.   115,140   14,530
* CBRE Group Inc. Class A 319,286 14,438
    Hartford Financial Services Group Inc.   359,041   13,841
  Nasdaq Inc. 115,197 13,763
  Fifth Third Bancorp 713,702 13,760
  Ventas Inc. 374,044 13,697
  Sun Communities Inc. 98,541 13,370
    Mid-America Apartment Communities Inc.   114,659   13,148
  Duke Realty Corp. 369,358 13,072
  M&T Bank Corp. 122,175 12,703
  Boston Properties Inc. 140,183 12,670
  Synchrony Financial 556,089 12,323

 

47

 

 

Large-Cap Index Fund    
     
     
      Market
      Value
    Shares ($000)
* Markel Corp. 13,097 12,091
  Extra Space Storage Inc. 129,446 11,957
  KeyCorp 977,801 11,910
  WP Carey Inc. 172,851 11,693
    Principal Financial Group Inc.   274,530   11,404
* SVB Financial Group 51,645 11,131
* Arch Capital Group Ltd. 386,644 11,077
  UDR Inc. 295,639 11,051
  E*TRADE Financial Corp. 221,675 11,024
    Citizens Financial Group Inc.   427,684   10,795
  Regions Financial Corp. 963,152 10,710
  Cboe Global Markets Inc. 110,030 10,264
    TD Ameritrade Holding Corp.   271,633   9,882
  Cincinnati Financial Corp. 153,152 9,806
    Annaly Capital Management Inc.   1,434,951   9,413
    Huntington Bancshares Inc.   1,016,603   9,185
  Camden Property Trust 99,906 9,113
  Western Union Co. 411,991 8,907
    Fidelity National Financial Inc.   284,705   8,729
    Raymond James Financial Inc.   123,663   8,512
  Everest Re Group Ltd. 40,108 8,270
  Loews Corp. 239,878 8,225
  Equitable Holdings Inc. 406,820 7,848
  Regency Centers Corp. 170,047 7,803
  WR Berkley Corp. 134,420 7,701
  Host Hotels & Resorts Inc. 706,813 7,626
  Iron Mountain Inc. 288,608 7,533
  Ally Financial Inc. 374,276 7,422
  SEI Investments Co. 133,530 7,341
  AGNC Investment Corp. 561,218 7,240
  Globe Life Inc. 96,045 7,129
  Lincoln National Corp. 193,694 7,126
  VEREIT Inc. 1,080,399 6,947
  Alleghany Corp. 13,659 6,681
  Vornado Realty Trust 172,228 6,581
    Federal Realty Investment Trust   76,026   6,478
  Franklin Resources Inc. 273,614 5,738
    Interactive Brokers Group Inc.   72,832   3,042
  Voya Financial Inc. 63,443 2,960
*   Athene Holding Ltd. Class A   92,447   2,883
  Zions Bancorp NA 82,088 2,791
    Reinsurance Group of America Inc.   33,963   2,664
  Comerica Inc. 69,627 2,653
  Kimco Realty Corp. 205,745 2,642
  Invesco Ltd. 229,985 2,475
  SL Green Realty Corp. 38,339 1,890
*   Berkshire Hathaway Inc. Class A   6   1,604
      4,119,732
Health Care (13.5%)    
    Johnson & Johnson   2,641,693   371,501
  UnitedHealth Group Inc. 950,916 280,473
  Merck & Co. Inc. 2,530,879 195,713
  Pfizer Inc. 5,569,796 182,132
  AbbVie Inc. 1,767,060 173,490
  Abbott Laboratories 1,773,597 162,160
    Thermo Fisher Scientific Inc.   396,022   143,495
  Eli Lilly and Co. 863,125 141,708
  Amgen Inc. 589,832 139,118
  Bristol-Myers Squibb Co. 2,268,788 133,405
  Medtronic plc 1,343,759 123,223
  Danaher Corp. 638,881 112,973
  Gilead Sciences Inc. 1,257,738 96,770
*   Vertex Pharmaceuticals Inc.   259,974   75,473
  Becton Dickinson and Co. 295,676 70,746
  Cigna Corp. 369,958 69,423
* Intuitive Surgical Inc. 116,923 66,626
  Anthem Inc. 252,790 66,479
  Zoetis Inc. 476,102 65,245
  Stryker Corp. 338,738 61,037
*   Regeneron Pharmaceuticals Inc.   96,078   59,919
* Illumina Inc. 147,390 54,586
  Humana Inc. 132,552 51,397
* Boston Scientific Corp. 1,428,760 50,164
  Baxter International Inc. 508,597 43,790
* Biogen Inc. 163,620 43,777
*   Edwards Lifesciences Corp.   621,302   42,938
* DexCom Inc. 92,605 37,542
* Centene Corp. 580,675 36,902
* IDEXX Laboratories Inc. 85,167 28,119
  ResMed Inc. 145,036 27,847
  HCA Healthcare Inc. 270,819 26,286
    Zimmer Biomet Holdings Inc.   207,345   24,749
*   Alexion Pharmaceuticals Inc.   210,306   23,605
*   BioMarin Pharmaceutical Inc.   181,330   22,365
* Seattle Genetics Inc. 121,504 20,646
* Align Technology Inc. 71,004 19,486
* Incyte Corp. 185,255 19,261
* Moderna Inc. 273,010 17,530

 

48

 

 

Large-Cap Index Fund    
     
     
      Market
      Value
    Shares ($000)
*   Alnylam Pharmaceuticals Inc.   115,140   17,053
  Teleflex Inc. 46,556 16,945
*   Laboratory Corp. of America Holdings   97,462   16,189
  Quest Diagnostics Inc. 134,095 15,281
  Cardinal Health Inc. 292,762 15,279
  Cooper Cos. Inc. 53,484 15,170
* Hologic Inc. 258,892 14,757
* Exact Sciences Corp. 150,148 13,054
*   Varian Medical Systems Inc.   91,064   11,157
* ABIOMED Inc. 42,799 10,339
  Dentsply Sirona Inc. 219,650 9,678
* Elanco Animal Health Inc. 399,944 8,579
    West Pharmaceutical Services Inc.   36,915   8,386
* Henry Schein Inc. 143,146 8,358
* Mylan NV 518,474 8,337
  Perrigo Co. plc 136,687 7,555
    Universal Health Services Inc. Class B   73,975   6,872
* DaVita Inc. 79,371 6,281
* Jazz Pharmaceuticals plc 26,326 2,905
* PPD Inc. 69,890 1,873
      3,596,147
Industrials (10.8%)    
* PayPal Holdings Inc. 1,177,327 205,126
  Accenture plc Class A 638,743 137,151
  Union Pacific Corp. 680,370 115,030
    Honeywell International Inc.   703,722   101,751
  Boeing Co. 537,550 98,533
    Raytheon Technologies Corp.   1,520,292   93,680
  3M Co. 576,729 89,964
  Lockheed Martin Corp. 239,010 87,219
    Fidelity National Information Services Inc.   619,521   83,072
    United Parcel Service Inc. Class B   706,012   78,494
  Caterpillar Inc. 542,686 68,650
    Automatic Data Processing Inc.   409,397   60,955
  General Electric Co. 8,770,460 59,902
* Fiserv Inc. 570,601 55,702
  CSX Corp. 767,540 53,528
  Global Payments Inc. 299,914 50,871
  Illinois Tool Works Inc. 285,100 49,850
  Deere & Co. 313,698 49,298
  Sherwin-Williams Co. 81,940 47,349
  Northrop Grumman Corp. 150,441 46,252
  Norfolk Southern Corp. 256,846 45,094
  Waste Management Inc. 424,800 44,991
  DuPont de Nemours Inc. 735,750 39,090
* Square Inc. 363,961 38,194
  Emerson Electric Co. 599,053 37,159
  General Dynamics Corp. 244,477 36,539
  Eaton Corp. plc 401,060 35,085
  FedEx Corp. 235,750 33,057
  Amphenol Corp. Class A 296,831 28,439
    Verisk Analytics Inc. Class A   162,713   27,694
  Agilent Technologies Inc. 308,822 27,291
  TE Connectivity Ltd. 330,682 26,967
  PACCAR Inc. 346,719 25,952
  Cummins Inc. 147,909 25,627
    Johnson Controls International plc   745,883   25,464
  Rockwell Automation Inc. 116,117 24,733
  Waste Connections Inc. 263,620 24,725
  Otis Worldwide Corp. 434,326 24,696
  Paychex Inc. 323,684 24,519
  Cintas Corp. 88,672 23,619
  Parker-Hannifin Corp. 128,639 23,576
  TransDigm Group Inc. 51,501 22,766
  Ball Corp. 327,086 22,729
    Stanley Black & Decker Inc.   159,993   22,300
  Trane Technologies plc 239,855 21,342
* FleetCor Technologies Inc. 84,032 21,137
  Equifax Inc. 121,722 20,922
  Fortive Corp. 303,991 20,568
  AMETEK Inc. 230,070 20,561
  Corning Inc. 762,913 19,759
*   Mettler-Toledo International Inc.   23,979   19,316
  Carrier Global Corp. 868,611 19,300
* Keysight Technologies Inc. 186,960 18,842
    Old Dominion Freight Line Inc.   106,434   18,050
    Republic Services Inc. Class A   207,492   17,025
  TransUnion 190,285 16,562
  Vulcan Materials Co. 132,790 15,384
  WW Grainger Inc. 45,571 14,317
  Kansas City Southern 95,265 14,222
  Dover Corp. 144,311 13,935
  Masco Corp. 264,441 13,278
    Martin Marietta Materials Inc.   62,317   12,873
    Expeditors International of Washington Inc.   166,890   12,690
  Xylem Inc. 180,450 11,722
* Waters Corp. 62,083 11,200
    Jacobs Engineering Group Inc.   130,416   11,059
* Trimble Inc. 250,393 10,814

 

49

 

 

Large-Cap Index Fund    
     
     
      Market
      Value
    Shares ($000)
* United Rentals Inc. 72,224 10,764
    CH Robinson Worldwide Inc.   135,074   10,679
    Westinghouse Air Brake Technologies Corp.   181,224   10,433
    JB Hunt Transport Services Inc.   84,600   10,181
* Ingersoll Rand Inc. 355,049 9,984
  Avery Dennison Corp. 83,484 9,525
    Packaging Corp. of America   95,068   9,488
* Crown Holdings Inc. 135,012 8,793
  Snap-on Inc. 54,498 7,548
  Textron Inc. 228,520 7,521
  Westrock Co. 259,864 7,344
    Huntington Ingalls Industries Inc.   40,584   7,081
    Jack Henry & Associates Inc.   38,416   7,070
  Hubbell Inc. Class B 54,343 6,812
  HEICO Corp. Class A 74,555 6,057
* IPG Photonics Corp. 34,563 5,544
  Cognex Corp. 81,747 4,882
  HEICO Corp. 39,186 3,905
* XPO Logistics Inc. 45,580 3,521
  AO Smith Corp. 67,572 3,184
  Pentair plc 83,036 3,155
*   Sensata Technologies Holding plc   78,726   2,931
      2,873,963
Oil & Gas (2.7%)    
  Exxon Mobil Corp. 4,239,587 189,594
  Chevron Corp. 1,871,979 167,037
  ConocoPhillips 1,075,299 45,184
  Phillips 66 437,834 31,480
  EOG Resources Inc. 583,593 29,565
  Kinder Morgan Inc. 1,927,500 29,240
  Schlumberger Ltd. 1,391,475 25,589
    Marathon Petroleum Corp.   651,978   24,371
  Valero Energy Corp. 408,781 24,045
  Williams Cos. Inc. 1,216,428 23,137
    Occidental Petroleum Corp.   902,392   16,514
    Pioneer Natural Resources Co.   165,257   16,146
  ONEOK Inc. 441,076 14,653
  Hess Corp. 277,174 14,360
* Cheniere Energy Inc. 227,509 10,993
  Halliburton Co. 791,561 10,275
  Concho Resources Inc. 197,230 10,157
  Baker Hughes Co. Class A   656,750 10,107
  Diamondback Energy Inc. 158,239 6,618
  Cabot Oil & Gas Corp. 199,829 3,433
  Apache Corp. 189,118 2,553
  Marathon Oil Corp. 396,108 2,424
  National Oilwell Varco Inc. 194,541 2,383
  Targa Resources Corp. 110,929 2,226
  Devon Energy Corp. 191,742 2,174
  Noble Energy Inc. 240,361 2,154
  HollyFrontier Corp. 72,993 2,131
^ Continental Resources Inc. 36,575 641
      719,184
Other (0.0%)1    
*,§     American International Group Inc. Warrants Exp. 01/19/2021     3,568    
       
Technology (28.1%)    
    Microsoft Corp.   7,603,704   1,547,430
  Apple Inc. 3,911,305 1,426,844
* Facebook Inc. Class A 2,411,018 547,470
* Alphabet Inc. Class A 297,236 421,495
* Alphabet Inc. Class C 290,100 410,088
  Intel Corp. 4,245,299 253,996
  NVIDIA Corp. 585,807 222,554
* Adobe Inc. 483,100 210,298
  Cisco Systems Inc. 3,810,031 177,700
* salesforce.com Inc. 856,244 160,400
  Broadcom Inc. 380,826 120,192
  Texas Instruments Inc. 920,219 116,840
  Oracle Corp. 2,055,308 113,597
    International Business Machines Corp.   890,268   107,518
  QUALCOMM Inc. 1,127,921 102,878
* ServiceNow Inc. 191,203 77,449
  Intuit Inc. 248,403 73,574
*   Advanced Micro Devices Inc.   1,174,352   61,783
* Micron Technology Inc. 1,115,163 57,453
  Applied Materials Inc. 918,881 55,546
* Autodesk Inc. 219,750 52,562
  Lam Research Corp. 145,529 47,073
  Analog Devices Inc. 369,400 45,303
  Roper Technologies Inc. 104,685 40,645
^,*     Zoom Video Communications Inc. Class A     159,666     40,482
  L3Harris Technologies Inc. 216,451 36,725
* Workday Inc. Class A 174,483 32,691
*   Veeva Systems Inc. Class A   135,212   31,696
* Splunk Inc. 159,274 31,648
    Cognizant Technology Solutions Corp. Class A   542,025   30,798
  KLA Corp. 155,451 30,232
* DocuSign Inc. Class A 174,524 30,055
* Synopsys Inc. 151,201 29,484

 

50

 

 

Large-Cap Index Fund    

 

      Market
      Value
    Shares ($000)
* Twilio Inc. Class A 129,090 28,325
*   Cadence Design Systems Inc.   279,734   26,843
  Microchip Technology Inc.   245,982 25,904
* IQVIA Holdings Inc. 181,921 25,811
* ANSYS Inc. 85,811 25,034
  HP Inc. 1,433,577 24,987
  Xilinx Inc. 243,801 23,988
  Motorola Solutions Inc. 170,514 23,894
* Snap Inc. 1,012,839 23,792
  Marvell Technology Group Ltd.   664,835   23,309
* Okta Inc. 116,410 23,309
* Twitter Inc. 747,422 22,266
* RingCentral Inc. Class A 77,240 22,014
* VeriSign Inc. 104,271 21,566
  Skyworks Solutions Inc. 167,244 21,384
* Palo Alto Networks Inc. 91,900 21,107
  Cerner Corp. 305,173 20,920
* Fortinet Inc. 137,745 18,908
  Citrix Systems Inc. 123,770 18,307
* Akamai Technologies Inc. 162,721 17,426
  CDW Corp. 142,684 16,577
  Maxim Integrated Products Inc. 267,305 16,201
* Paycom Software Inc. 49,901 15,456
* Crowdstrike Holdings Inc. Class A 144,102 14,452
* Dell Technologies Inc. 241,577 13,272
* Qorvo Inc. 115,037 12,715
  Western Digital Corp. 285,466 12,603
^,* Slack Technologies Inc. Class A 405,348 12,602
  Hewlett Packard Enterprise Co. 1,285,395 12,507
  SS&C Technologies Holdings Inc. 218,371 12,334
* Datadog Inc. Class A 141,259 12,282
* GoDaddy Inc. Class A 165,714 12,152
* VMware Inc. Class A 77,769 12,043
* Arista Networks Inc. 53,133 11,160
  Seagate Technology plc 218,708 10,588
  NortonLifeLock Inc. 531,487 10,539
* Black Knight Inc. 142,666 10,352
* Gartner Inc. 84,860 10,296
  NetApp Inc. 221,736 9,838
* Pinterest Inc. Class A 404,638 8,971
* F5 Networks Inc. 61,061 8,517
  Juniper Networks Inc. 332,187 7,594
* Tyler Technologies Inc. 19,933 6,914
  Leidos Holdings Inc. 71,218 6,671
^,* Match Group Inc. 56,047 6,000
* Dropbox Inc. Class A 250,490 5,453
* ZoomInfo Technologies Inc. Class A 45,356 2,315
  Xerox Holdings Corp. 90,634 1,386
      7,495,383
Telecommunications (1.9%)    
  Verizon Communications Inc. 4,149,248 228,748
  AT&T Inc. 7,144,019 215,963
* T-Mobile US Inc. 611,093 63,645
  CenturyLink Inc. 1,100,275 11,036
* T-Mobile US Inc. Rights Exp. 07/27/2020 373,268 63
      519,455

Utilities (2.9%)

   
  NextEra Energy Inc. 490,767 117,868
  Dominion Energy Inc. 841,500 68,313
  Duke Energy Corp. 736,987 58,878
  Southern Co. 1,059,788 54,950
  American Electric Power Co. Inc. 496,912 39,574
  Exelon Corp. 976,535 35,438
  Sempra Energy 293,184 34,370
  Xcel Energy Inc. 526,585 32,912
  Eversource Energy 337,339 28,090
  WEC Energy Group Inc. 316,251 27,719
  Public Service Enterprise Group Inc. 506,956 24,922
  Consolidated Edison Inc. 335,013 24,097
  American Water Works Co. Inc. 181,649 23,371
  FirstEnergy Corp. 543,198 21,065
  DTE Energy Co. 192,599 20,704
  Edison International 378,937 20,580
  PPL Corp. 770,200 19,902
  Entergy Corp. 200,665 18,824
  Ameren Corp. 247,394 17,407
  CMS Energy Corp. 286,959 16,764
  Evergy Inc. 227,216 13,472
  Alliant Energy Corp. 250,112 11,965
  AES Corp. 666,594 9,659
  CenterPoint Energy Inc. 503,876 9,407
  Vistra Energy Corp. 489,876 9,122
  NiSource Inc. 383,736 8,726
  Pinnacle West Capital Corp. 112,785 8,266
  NRG Energy Inc. 116,202 3,784
  OGE Energy Corp. 100,186 3,042
  Avangrid Inc. 62,263 2,614
      785,805
Total Common Stocks
(Cost $17,285,716)
  26,621,178

 

51

 

 

Large-Cap Index Fund    
     
     
      Market
      Value
    Shares ($000)
Temporary Cash Investments (0.4%)  
Money Market Fund (0.4%)    
2,3 Vanguard Market Liquidity Fund, 0.227%   1,060,202 106,020

 

    Face  
    Amount  
    ($000)  
U.S. Government and Agency Obligations (0.0%)
4 United States Cash Management Bill, 0.100%–0.103%, 7/14/20 6,000 6,000
4 United States Cash Management Bill, 0.116%, 9/29/20 2,600 2,599
4 United States Treasury Bill, 0.120%, 7/30/20 150 150
4 United States Treasury Bill, 0.087%, 9/24/20 1,325 1,325
      10,074
Total Temporary Cash Investments
(Cost $116,078)
  116,094
Total Investments (100.2%)
(Cost $17,401,794)
  26,737,272
Other Assets and Liabilities— Net (-0.2%)3   (47,348)
Net Assets (100%)   26,689,924

 

Cost is in $000.

• See Note A in Notes to Financial Statements.

^ Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $62,306,000.

* Non-income-producing security.

§ Security value determined using significant unobservable inputs.

1 “Other” represents securities that are not classified by the fund’s benchmark index.
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 $64,350,000 was received for securities on loan.

4 Securities with a value of $5,824,000 have been segregated as initial margin for open futures contracts.

 

52

 

 

 

Large-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 500 Index September 2020 472     72,929 1,344  

  

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

 

53

 

 

Large-Cap Index Fund

 

 

Statement of Assets and Liabilities

 

As of June 30, 2020

 

($000s, except shares and per-share amounts) Amount  
Assets    
Investments in Securities, at Value    
Unaffiliated Issuers (Cost $17,295,790) 26,631,252  
Affiliated Issuers (Cost $106,004) 106,020  
Total Investments in Securities 26,737,272  
Investment in Vanguard 1,191  
Cash 35  
Receivables for Investment Securities Sold 8  
Receivables for Accrued Income 20,902  
Receivables for Capital Shares Issued 6,447  
Variation Margin Receivable—Futures Contracts 967  
Total Assets 26,766,822  
Liabilities    
Payables for Investment Securities Purchased 163  
Collateral for Securities on Loan 64,350  
Payables for Capital Shares Redeemed 11,793  
Payables to Vanguard 592  
Total Liabilities 76,898  
Net Assets 26,689,924  

 

54

 

 

Large-Cap Index Fund

 

 

Statement of Assets and Liabilities (continued)

 

 

At June 30, 2020, net assets consisted of:    
     
($000s, except shares and per-share amounts) Amount  
Paid-in Capital 17,198,457  
Total Distributable Earnings (Loss) 9,491,467  
Net Assets 26,689,924  
     
Investor Shares—Net Assets    
Applicable to 504,152 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 29,164  
Net Asset Value Per Share—Investor Shares $57.85  
     
ETF Shares—Net Assets    
Applicable to 121,531,939 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 17,406,240  
Net Asset Value Per Share—ETF Shares $143.22  
     
Admiral Shares—Net Assets    
Applicable to 105,690,996 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 7,645,071  
Net Asset Value Per Share—Admiral Shares $72.33  
     
Institutional Shares—Net Assets    
Applicable to 5,406,038 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 1,609,449  
Net Asset Value Per Share—Institutional Shares $297.71  

  

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

 

55

 

 

Large-Cap Index Fund

 

 

Statement of Operations

 

 

  Six Months Ended  
  June 30, 2020  
  ($000 )
Investment Income    
Income    
Dividends 241,803  
Interest1 471  
Securities Lending—Net 420  
Total Income 242,694  
Expenses    
The Vanguard Group—Note B    
Investment Advisory Services 1,177  
Management and Administrative—Investor Shares 21  
Management and Administrative—ETF Shares 1,837  
Management and Administrative—Admiral Shares 1,146  
Management and Administrative—Institutional Shares 218  
Marketing and Distribution—Investor Shares 2  
Marketing and Distribution—ETF Shares 324  
Marketing and Distribution—Admiral Shares 235  
Marketing and Distribution—Institutional Shares 23  
Custodian Fees 191  
Shareholders’ Reports—Investor Shares  
Shareholders’ Reports—ETF Shares 148  
Shareholders’ Reports—Admiral Shares 23  
Shareholders’ Reports—Institutional Shares 1  
Trustees’ Fees and Expenses 8  
Total Expenses 5,354  
Net Investment Income 237,340  
Realized Net Gain (Loss)    
Investment Securities Sold1,2 416,427  
Futures Contracts (8,285 )
Realized Net Gain (Loss) 408,142  
Change in Unrealized Appreciation (Depreciation)    
Investment Securities1 (1,018,995 )
Futures Contracts 548  
Change in Unrealized Appreciation (Depreciation) (1,018,447 )
Net Increase (Decrease) in Net Assets Resulting from Operations (372,965 )

 

1Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $443,000, ($80,000), and $11,000, respectively. Purchases and sales are for temporary cash investment purposes.
2Includes $533,309,000 of net gain (loss) resulting from in-kind redemptions.

  

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

 

56

 

 

Large-Cap Index Fund

 

 

Statement of Changes in Net Assets

 

 

  Six Months Ended     Year Ended  
  June 30,     December 31,  
  2020     2019  
  ($000 )   ($000 )
Increase (Decrease) in Net Assets          
Operations          
Net Investment Income 237,340     436,058  
Realized Net Gain (Loss) 408,142     220,693  
Change in Unrealized Appreciation (Depreciation) (1,018,447 )   5,398,566  
Net Increase (Decrease) in Net Assets Resulting from Operations (372,965)     6,055,317  
Distributions1          
Investor Shares (234 )   (3,560 )
ETF Shares (151,400 )   (289,437 )
Admiral Shares (66,545 )   (130,645 )
Institutional Shares (15,209 )   (29,927 )
Total Distributions (233,388)     (453,569 )
Capital Share Transactions          
Investor Shares (114 )   (381,120 )
ETF Shares 1,491,645     337,811  
Admiral Shares 278,124     645,919  
Institutional Shares (115,382 )   251,993  
Net Increase (Decrease) from Capital Share Transactions 1,654,273     854,603  
Total Increase (Decrease) 1,047,920     6,456,351  
Net Assets          
Beginning of Period 25,642,004     19,185,653  
End of Period 26,689,924     25,642,004  

 

1 Certain prior period numbers have been reclassified to conform with current period presentation.

 

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

 

57

 

 

 

Large-Cap Index Fund

 

 

Financial Highlights

 

Investor Shares

 

  Six Months                      
  Ended                      
For a Share Outstanding June 30,   Year Ended December 31,  
Throughout Each Period 2020   2019   2018   2017   2016   2015  
Net Asset Value, Beginning of Period $59.72   $46.36   $49.48   $41.31   $37.78   $38.12  
Investment Operations                        
Net Investment Income .493 1 .918 1 .966 1 .819 1 .768   .702  
Net Realized and Unrealized Gain (Loss) on Investments (1.890 ) 13.466   (3.184 ) 8.161   3.533   (.348 ) 
Total from Investment Operations (1.397 ) 14.384   (2.218 ) 8.980   4.301   .354  
Distributions                        
Dividends from Net Investment Income (.473 ) (1.024 ) (.902 ) (.810 ) (.771 ) (.694 ) 
Distributions from Realized Capital Gains            
Total Distributions (.473 ) (1.024 ) (.902 ) (.810 ) (.771 ) (.694 ) 
Net Asset Value, End of Period $57.85   $59.72   $46.36   $49.48   $41.31   $37.78  
Total Return2 -2.23%   31.23%   -4.59%   21.89%   11.50%   0.93%  
Ratios/Supplemental Data                        
Net Assets, End of Period (Millions) $29   $30   $344   $387   $400   $375  
Ratio of Total Expenses to Average Net Assets 0.17%   0.17%   0.17%   0.17%   0.18%   0.20%  
Ratio of Net Investment Income to Average Net Assets 1.77%   1.75%   1.91%   1.81%   2.02%   1.86%  
Portfolio Turnover Rate3 2%   5%   4%   3%   5%   4%  

 

The expense ratio and net investment income ratio for the current period have been annualized.

 

1 Calculated based on average shares outstanding.

 

2 Total 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.

 

3 Excludes 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

 

  Six Months                      
  Ended                      
For a Share Outstanding June 30,   Year Ended December 31,  
Throughout Each Period 2020   2019   2018   2017   2016   2015  
Net Asset Value, Beginning of Period $147.88   $114.77   $122.49   $102.27   $93.52   $94.36  
Investment Operations                        
Net Investment Income 1.310 1 2.581 1 2.572 1 2.168 1 2.018   1.850  
Net Realized and Unrealized Gain (Loss)on Investments (4.706 ) 33.204   (7.896 ) 20.196   8.754   (.859 ) 
Total from Investment Operations (3.396 ) 35.785   (5.324 ) 22.364   10.772   .991  
Distributions                        
Dividends from Net Investment Income (1.264 ) (2.675 ) (2.396 ) (2.144 ) (2.022 ) (1.831 ) 
Distributions from Realized Capital Gains            
Total Distributions (1.264 ) (2.675 ) (2.396 ) (2.144 ) (2.022 ) (1.831 ) 
Net Asset Value, End of Period $143.22   $147.88   $114.77   $122.49   $102.27   $93.52  
Total Return -2.21%   31.39%   -4.44%   22.03%   11.65%   1.07%  
Ratios/Supplemental Data                        
Net Assets, End of Period (Millions) $17,406   $16,270   $12,358   $11,613   $8,468   $6,469  
Ratio of Total Expenses to Average Net Assets 0.04%   0.04%   0.04%   0.05%   0.06%   0.08%  
Ratio of Net Investment Income toAverage Net Assets 1.90%   1.93%   2.04%   1.93%   2.14%   1.98%  
Portfolio Turnover Rate2 2%   5%   4%   3%   5%   4%  

 

The expense ratio and net investment income ratio for the current period have been annualized.

 

1 Calculated based on average shares outstanding.

 

2 Excludes 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

 

  Six Months                      
  Ended                      
For a Share Outstanding June 30,   Year Ended December 31,  
Throughout Each Period 2020   2019   2018   2017   2016   2015  
Net Asset Value, Beginning of Period $74.69   $57.96   $61.86   $51.65   $47.23   $47.65  
Investment Operations                        
Net Investment Income .659 1 1.299 1 1.288 1 1.094 1 1.019   .936  
Net Realized and Unrealized Gain (Loss) on Investments (2.384 ) 16.774   (3.983 ) 10.197   4.422   (.430 ) 
Total from Investment Operations (1.725 ) 18.073   (2.695 ) 11.291   5.441   .506  
Distributions                        
Dividends from Net Investment Income (.635 ) (1.343 ) (1.205 ) (1.081 ) (1.021 ) (.926 ) 
Distributions from Realized Capital Gains            
Total Distributions (.635 ) (1.343 ) (1.205 ) (1.081 ) (1.021 ) (.926 ) 
Net Asset Value, End of Period $72.33   $74.69   $57.96   $61.86   $51.65   $47.23  
Total Return2 -2.19%   31.39%   -4.47%   22.03%   11.65%   1.07%  
Ratios/Supplemental Data                        
Net Assets, End of Period (Millions) $7,645   $7,546   $5,306   $5,375   $4,130   $3,527  
Ratio of Total Expenses toAverage Net Assets 0.05%   0.05%   0.05%   0.05%   0.06%   0.08%  
Ratio of Net Investment Income to Average Net Assets 1.89%   1.92%   2.03%   1.93%   2.14%   1.98%  
Portfolio Turnover Rate3 2%   5%   4%   3%   5%   4%  

 

The expense ratio and net investment income ratio for the current period have been annualized.

 

1 Calculated based on average shares outstanding.

 

2 Total 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.

 

3 Excludes 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

 

  Six Months                      
  Ended                      
For a Share Outstanding June 30,   Year Ended December 31,  
Throughout Each Period 2020   2019   2018   2017   2016   2015  
Net Asset Value, Beginning of Period $307.39   $238.57   $254.60   $212.59   $194.40   $196.14  
Investment Operations                        
Net Investment Income 2.711 1 5.363 1 5.345 1 4.529 1 4.215   3.865  
Net Realized and Unrealized Gain (Loss)on Investments (9.765 ) 69.016   (16.390 ) 41.958   18.199   (1.781 ) 
Total from Investment Operations (7.054 ) 74.379   (11.045 ) 46.487   22.414   2.084  
Distributions                        
Dividends from Net Investment Income (2.626 ) (5.559 ) (4.985 ) (4.477 ) (4.224 ) (3.824 ) 
Distributions from Realized Capital Gains            
Total Distributions (2.626 ) (5.559 ) (4.985 ) (4.477 ) (4.224 ) (3.824 ) 
Net Asset Value, End of Period $297.71   $307.39   $238.57   $254.60   $212.59   $194.40  
                         
Total Return -2.17%   31.39%   -4.46%   22.03%   11.66%   1.07%  
                         
Ratios/Supplemental Data                        
Net Assets, End of Period (Millions) $1,609   $1,796   $1,178   $1,212   $932   $794  
Ratio of Total Expenses toAverage Net Assets 0.04%   0.04%   0.04%   0.04%   0.05%   0.07%  
Ratio of Net Investment Income toAverage Net Assets 1.90%   1.92%   2.04%   1.94%   2.15%   1.99%  
Portfolio Turnover Rate2 2%   5%   4%   3%   5%   4%  

 

The expense ratio and net investment income ratio for the current period have been annualized.

 

1 Calculated based on average shares outstanding.

 

2 Excludes 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.

 

61

 

 

 

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.

 

Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.

 

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 Schedule of Investments.

 

Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Schedule of Investments. 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 gains (losses) on futures contracts.

  

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During the six months ended June 30, 2020, 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, 2016–2019), and for the period ended June 30, 2020, 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 at the fiscal year-end 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 Assets and Liabilities for the return of the collateral, during the period the securities are on loan. Collateral investments in Vanguard Market Liquidity Fund are subject to market appreciation or depreciation. 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 Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed 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 either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered

  

63

 

 

Large-Cap Index Fund

 

 

 

 

 

Rate (or an acceptable alternate rate, if necessary), federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternative rate agreed to by the fund and Vanguard.

 

In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.

 

For the six months ended June 30, 2020, the fund did not utilize the credit facilities or the Interfund Lending Program.

 

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 are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. 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 and 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 June 30, 2020, the fund had contributed to Vanguard capital in the amount of $1,191,000, representing less than 0.01% of the fund’s net assets and 0.48% of Vanguard’s capital received pursuant to the FSA. 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.

  

64

 

 

Large-Cap Index Fund

 

 

 

 

 

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 Schedule of Investments.

 

The following table summarizes the market value of the fund’s investments and derivatives as of June 30, 2020, based on the inputs used to value them:

 

   Level 1   Level 2   Level 3   Total 
    ($000)   ($000)   ($000)   ($000)
Investments                    
Assets                    
Common Stocks   26,621,178            26,621,178 
Temporary Cash Investments   106,020    10,074        116,094 
Total   26,727,198    10,074        26,737,272 
Derivative Financial Instruments                    
Assets                    
Futures Contracts1   967            967 

 

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

 

D. As of June 30, 2020, 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   17,401,794   
Gross Unrealized Appreciation   10,661,631   
Gross Unrealized Depreciation   (1,324,809)  
Net Unrealized Appreciation (Depreciation)   9,336,822   

 

The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at December 31, 2019, the fund had available capital losses totaling $260,027,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending December 31, 2020; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.

 

E. During the six months ended June 30, 2020, the fund purchased $2,857,341,000 of investment securities and sold $1,190,066,000 of investment securities, other than temporary cash investments. Purchases and sales include $1,801,977,000 and $767,630,000, 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:

 

   Six Months Ended   Year Ended 
   June 30, 2020     December 31, 2019 
   Amount   Shares     Amount   Shares 
    ($000)   (000)   ($000)   (000)
Investor Shares                    
Issued   7,616    140    97,448    1,763 
Issued in Lieu of Cash Distributions   234    5    3,421    65 
Redeemed1   (7,964)   (143)   (481,989)   (8,744)
Net Increase (Decrease)—Investor Shares   (114)   2    (381,120)   (6,916)
ETF Shares                    
Issued   2,155,072    16,333    944,327    7,026 
Issued in Lieu of Cash Distributions                
Redeemed   (663,427)   (4,825)   (606,516)   (4,675)
Net Increase (Decrease)—ETF Shares   1,491,645    11,508    337,811    2,351 
Admiral Shares                    
Issued1   1,440,134    22,115    1,683,583    24,952 
Issued in Lieu of Cash Distributions   54,162    854    106,957    1,548 
Redeemed   (1,216,172)   (18,314)   (1,144,621)   (17,009)
Net Increase (Decrease)—Admiral Shares   278,124    4,655    645,919    9,491 
Institutional Shares                    
Issued   291,067    997    498,518    1,804 
Issued in Lieu of Cash Distributions   13,367    52    26,424    93 
Redeemed   (419,816)   (1,485)   (272,949)   (992)
Net Increase (Decrease)—Institutional Shares   (115,382)   (436)   251,993    905 

 

1In November 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. As a result, all of the outstanding Investor Shares automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors. Investor Shares—Redeemed and Admiral Shares—Issued include 6,632,000 and 5,304,000 shares, respectively, in the amount of $365,488,000 from the conversion during the year ended December 31, 2019.

 

G. Management has determined that no events or transactions occurred subsequent to June 30, 2020, that would require recognition or disclosure in these financial statements.

  

66

 

 

Trustees Approve Advisory Arrangements

 

 

The board of trustees of Vanguard Growth Index Fund, Vanguard Value Index Fund, and Vanguard Large-Cap Index Fund has renewed each fund’s investment advisory arrangement with The Vanguard Group, Inc. (Vanguard), through its Equity Index Group. The board determined that continuing each fund’s internalized management structure was in the best interests of the fund and its shareholders.

 

The board based its decision upon an evaluation of the advisor’s investment staff, portfolio management process, and performance. This evaluation included information provided to the board by Vanguard’s Portfolio Review Department, which is responsible for fund and advisor oversight and product management. The Portfolio Review Department met regularly with the advisor and made monthly presentations to the board during the fiscal year that directed the board’s focus to relevant information and topics.

 

The board, or an investment committee made up of board members, also received information throughout the year during advisor presentations. For each advisor presentation, the board was provided with letters and reports that included information about, among other things, the advisory firm and the advisor’s assessment of the investment environment, portfolio performance, and portfolio characteristics.

 

In addition, the board received monthly reports, which included a Market and Economic Report, a Fund Dashboard Monthly Summary, and a Fund Performance Report.

 

Prior to their meeting, the trustees were provided with a memo and materials that summarized the information they received over the course of the year. They also considered the factors discussed below, among others. However, no single factor determined whether the board approved the arrangements. Rather, it was the totality of the circumstances that drove the board’s decision.

 

Nature, extent, and quality of services

The board reviewed the quality of each fund’s investment management services over both the short and long term, and took into account the organizational depth and stability of the advisor. The board considered that Vanguard has been managing investments for more than four decades. The Equity Index Group adheres to a sound, disciplined investment management process; the team has considerable experience, stability, and depth.

 

The board concluded that Vanguard’s experience, stability, depth, and performance, among other factors, warranted continuation of each advisory arrangement.

 

Investment performance

The board considered the short- and long-term performance of each fund, including any periods of outperformance or underperformance compared with its target index and peer group. The board concluded that the performance was such that each advisory arrangement should continue.

 

Cost

The board concluded that each fund’s expense ratio was well below the average expense ratio charged by funds in its peer group and that each fund’s advisory expenses were also well below the peer-group average.

 

The board does not conduct a profitability analysis of Vanguard because of Vanguard’s unique structure. Unlike most other mutual fund management companies, Vanguard is owned by the funds it oversees.

  

67

 

 

The benefit of economies of scale

The board concluded that the funds’ arrangements with Vanguard ensure that the funds will realize economies of scale as they grow, with the cost to shareholders declining as fund assets increase.

 

The board will consider whether to renew the advisory arrangements again after a one-year period.

  

 

 

68

 

 

Liquidity Risk Management

 

 

Vanguard funds (except for the money market funds) have adopted and implemented a written liquidity risk management program (the “Program”) as required by Rule 22e-4 under the Investment Company Act of 1940. Rule 22e-4 requires that each fund adopt a program that is reasonably designed to assess and manage the fund’s liquidity risk, which is the risk that the fund could not meet redemption requests without significant dilution of remaining investors’ interests in the fund.

 

Assessment and management of a fund’s liquidity risk under the Program take into consideration certain factors, such as the fund’s investment strategy and the liquidity of its portfolio investments during normal and reasonably foreseeable stressed conditions, its short- and long-term cash-flow projections during both normal and reasonably foreseeable stressed conditions, and its cash and cash-equivalent holdings and access to other funding sources. As required by the rule, the Program includes policies and procedures for classification of fund portfolio holdings in four liquidity categories, maintaining certain levels of highly liquid investments, and limiting holdings of illiquid investments.

 

The board of trustees of Vanguard Index Funds approved the appointment of liquidity risk management program administrators responsible for administering the Program for Vanguard Growth Index Fund, Vanguard Value Index Fund, and Vanguard Large-Cap Index Fund for carrying out the specific responsibilities set forth in the Program, including reporting to the board on at least an annual basis regarding the Program’s operation, its adequacy, and the effectiveness of its implementation for the past year (the “Program Administrator Report”). The board has reviewed the Program Administrator Report covering the period from December 1, 2018, through December 31, 2019 (the “Review Period”). The Program Administrator Report stated that during the Review Period the Program operated and was implemented effectively to manage the funds’ liquidity risk.

  

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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, www.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 www.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.
   
   
   
   
  © 2020 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.
   
  Q03072 082020

  

 

 

 

Semiannual Report  |  June 30, 2020
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.

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.
1

Six Months Ended June 30, 2020      
  Beginning
Account Value
12/31/2019
Ending
Account Value
6/30/2020
Expenses
Paid During
Period
Based on Actual Fund Return      
Total Stock Market Index Fund      
Investor Shares $1,000.00 $965.60 $0.68
ETF Shares 1,000.00 965.90 0.15
AdmiralTM Shares 1,000.00 966.00 0.20
Institutional Shares 1,000.00 966.20 0.15
Institutional Plus Shares 1,000.00 966.20 0.10
Institutional Select Shares 1,000.00 966.30 0.05
Based on Hypothetical 5% Yearly Return      
Total Stock Market Index Fund      
Investor Shares $1,000.00 $1,024.17 $0.70
ETF Shares 1,000.00 1,024.71 0.15
Admiral Shares 1,000.00 1,024.66 0.20
Institutional Shares 1,000.00 1,024.71 0.15
Institutional Plus Shares 1,000.00 1,024.76 0.10
Institutional Select Shares 1,000.00 1,024.81 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, 0.03% 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 (182/366).
2

Total Stock Market Index Fund
Fund Allocation
As of June 30, 2020
Basic Materials 2.1%
Consumer Goods 7.9
Consumer Services 14.1
Financials 16.3
Health Care 14.0
Industrials 11.7
Oil & Gas 2.7
Other 0.0
Technology 26.4
Telecommunications 1.8
Utilities 3.0
The table reflects the fund’s investments, except for short-term investments and derivatives. 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.
The fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.
The Industry Classification Benchmark (“ICB”) is owned by FTSE. FTSE does not accept any liability to any person for any loss or damage arising out of any error or omission in the ICB.
3

Total Stock Market Index Fund
Financial Statements (unaudited)
Schedule of Investments—Investments Summary
As of June 30, 2020
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 files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) four times in each fiscal year. For the second and fourth quarters the complete list of the fund’s holdings is available on vanguard.com and on Form N-CSR, or you can have it mailed to you without charge by calling 800-662-7447. For the first and third quarters of each fiscal year, the complete list of the fund’s holdings is available as an exhibit to its reports on Form N-PORT. The fund’s Form N-CSR and Form N-PORT reports are available on the SEC’s website at www.sec.gov.
        Shares Market
Value
($000)
Percentage
of Net
Assets
Common Stocks    
Basic Materials*,1 18,216,496 2.1%
Consumer Goods    
  Procter & Gamble Co.  70,566,225   8,437,604   1.0%
  PepsiCo Inc.  39,549,628   5,230,834   0.6%
  Coca-Cola Co. 110,173,647   4,922,559   0.6%
  Tesla Inc.*   4,229,915   4,567,505   0.5%
  NIKE Inc. Class B  35,341,023   3,465,187   0.4%
  Lifevantage Corp.*,2     792,935      10,721   0.0%
Consumer Goods—Other*,1  42,271,075   4.8%
                        68,905,485   7.9%
Consumer Services    
  Amazon.com Inc.*  12,084,402  33,338,690   3.8%
  Home Depot Inc.  30,655,371   7,679,477   0.9%
  Walt Disney Co.  51,482,023   5,740,760   0.7%
  Netflix Inc.*  12,536,027   5,704,394   0.7%
  Comcast Corp. Class A 129,812,324   5,060,084   0.6%
  Walmart Inc.  40,386,945   4,837,548   0.6%
  McDonald's Corp.  21,188,546   3,908,651   0.5%
  Costco Wholesale Corp.  12,586,759   3,816,431   0.5%
Consumer Services—Other*,1,3  52,511,355   5.7%
                       122,597,390  14.0%
Financials    
  Berkshire Hathaway Inc. Class B*  52,329,990   9,341,427   1.1%
  Visa Inc. Class A  47,860,095   9,245,135   1.1%
  Mastercard Inc. Class A  25,472,132   7,532,109   0.9%
  JPMorgan Chase & Co.  76,899,506   7,233,168   0.8%
  Bank of America Corp. 220,472,752   5,236,228   0.6%
  American Tower Corp.  12,635,323   3,266,736   0.4%
  Berkshire Hathaway Inc. Class A*       1,041     278,259   0.1%
4

Total Stock Market Index Fund
        Shares Market
Value

($000)
Percentage
of Net
Assets
  Great Ajax Corp.2   1,760,884      16,200   0.0%
  Bluerock Residential Growth REIT Inc. Class A2   1,556,389      12,576   0.0%
  CTO Realty Growth Inc.2     278,409      10,997   0.0%
  Safeguard Scientifics Inc.1,2   1,052,202       7,365   0.0%
  Condor Hospitality Trust Inc.2     832,909       3,415   0.0%
Financials—Other*,1,3  99,143,031  11.2%
                       141,326,646  16.2%
Health Care    
  Johnson & Johnson  75,101,148  10,561,475   1.2%
  UnitedHealth Group Inc.  27,031,264   7,972,871   0.9%
  Merck & Co. Inc.  71,955,249   5,564,299   0.7%
  Pfizer Inc. 158,351,663   5,178,099   0.6%
  AbbVie Inc.  50,231,155   4,931,695   0.6%
  Abbott Laboratories  50,417,978   4,609,716   0.5%
  Thermo Fisher Scientific Inc.  11,256,888   4,078,821   0.5%
  Eli Lilly & Co.  24,537,582   4,028,580   0.5%
  Amgen Inc.  16,766,820   3,954,622   0.5%
  Bristol-Myers Squibb Co.  64,501,569   3,792,692   0.5%
  Medtronic plc  38,197,899   3,502,747   0.4%
  Electromed Inc.*,2     492,829       7,585   0.0%
  Pulmatrix Inc.*,1,2   1,311,500       2,256   0.0%
Health Care—Other*,1,3  63,637,567   7.1%
                       121,823,025  14.0%
Industrials    
  PayPal Holdings Inc.*  33,465,397   5,830,676   0.7%
  Accenture plc Class A  18,155,518   3,898,353   0.5%
  Union Pacific Corp.  19,340,179   3,269,844   0.4%
  Hurco Cos. Inc.2     432,678      12,102   0.0%
  Transcat Inc.*,2     417,984      10,809   0.0%
  LSI Industries Inc.2   1,357,970       8,786   0.0%
  Issuer Direct Corp.*,2     276,424       2,806   0.0%
  Perma-Pipe International Holdings Inc.*,2     472,430       2,655   0.0%
Industrials—Other*,1,3,4  88,231,465  10.0%
                       101,267,496  11.6%
Oil & Gas    
  Exxon Mobil Corp. 120,495,109   5,388,541   0.6%
  Chevron Corp.  53,206,224   4,747,591   0.6%
Oil & Gas—Other*,1,3  12,911,702   1.4%
                        23,047,834   2.6%
Other*,1,3,5 5,790 0.0%
Technology    
  Microsoft Corp. 216,149,784  43,988,643   5.1%
  Apple Inc. 111,188,667  40,561,626   4.7%
  Facebook Inc. Class A*  68,537,349  15,562,776   1.8%
  Alphabet Inc. Class A*   8,528,568  12,093,936   1.4%
  Alphabet Inc. Class C*   8,167,988  11,546,350   1.3%
  Intel Corp. 120,678,893   7,220,218   0.8%
  NVIDIA Corp.  16,651,446   6,326,051   0.7%
  Adobe Inc.*  13,730,115   5,976,856   0.7%
  Cisco Systems Inc. 108,307,955   5,051,483   0.6%
  salesforce.com Inc.*  24,337,193   4,559,086   0.5%
  Broadcom Inc.  10,825,581   3,416,662   0.4%
5

Total Stock Market Index Fund
        Shares Market
Value

($000)
Percentage
of Net
Assets
  Texas Instruments Inc.  26,159,582   3,321,482   0.4%
  Genasys Inc.*,2   2,025,454       9,844   0.0%
  GlobalSCAPE Inc.2     967,139       9,430   0.0%
  KVH Industries Inc.*,2   1,007,566       8,998   0.0%
  Computer Task Group Inc.*,2     899,921       3,627   0.0%
Technology—Other*,1,3  69,894,464   7.9%
                       229,551,532  26.3%
Telecommunications    
  Verizon Communications Inc. 117,952,814   6,502,739   0.8%
  AT&T Inc. 203,087,768   6,139,343   0.7%
Telecommunications—Other*,1   2,757,180   0.3%
                        15,399,262   1.8%
Utilities    
  NextEra Energy Inc.  13,949,175   3,350,172   0.4%
  Pure Cycle Corp.*,2   1,775,084      16,313   0.0%
Utilities—Other*,1  22,418,551   2.6%
                        25,785,036   3.0%
Total Common Stocks (Cost $520,498,090) 867,925,992 99.5%
†Preferred Stocks (Cost $3,291) 3,296 0.0%
      Coupon      
Temporary Cash Investments
Money Market Fund    
  Vanguard Market Liquidity Fund6,7 0.227%  81,668,287   8,166,829   1.0%
U.S. Government and Agency Obligations8 308,935 0.0%
Total Temporary Cash Investments (Cost $8,474,914) 8,475,764 1.0%
Total Investments (Cost $528,976,295) 876,405,052 100.5%
Other Assets and Liabilities—Net (4,158,062) (0.5%)
Net Assets     872,246,990 100.0%
Cost is in $000.
See Note A in Notes to Financial Statements.
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.
* Includes non-income producing security.
1 Includes partial security positions on loan to broker-dealers. The total value of securities on loan is $4,711,200,000.
2 Considered an affiliated company of the fund as the fund owns more than 5% of the outstanding voting securities of such company.
3 Certain securities are valued using significant unobservable inputs.
4 Certain securities are exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. At June 30, 2020, the aggregate value of these securities was $52,776,000, representing 0.0% of net assets.
5 “Other” represents securities that are not classified by the fund’s benchmark index.
6 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
7 Collateral of $5,021,389,000 was received for securities on loan, of which $4,868,457,000 is held in Vanguard Market Liquidity Fund and $152,932,000 is held in cash.
8 Securities with a value of $273,719,000 have been segregated as initial margin for open futures contracts.
  REIT—Real Estate Investment Trust.
6

Total Stock Market Index Fund

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 September 2020 1,914 137,578 5,540
E-mini S&P 500 Index September 2020 22,248 3,437,539 59,707
E-mini S&P Mid-Cap 400 Index September 2020 240 42,698 611
        65,858
    
Over-the-Counter Total Return Swaps
Reference Entity Termination
Date
Counterparty Notional
Amount
($000)
Floating
Interest
Rate
Received
(Paid)1
(%)
Value and
Unrealized
Appreciation
($000)
Value and
Unrealized
(Depreciation)
($000)
Bank of America Corp. 2/2/21 GSI 50,300 (0.194) (2,451)
JPMorgan Chase & Co. 9/2/21 BOANA 544,936 (0.183) (18,468)
Raymond James Financial Inc. 9/2/20 BOANA 31,869 (0.183) (52)
VICI Properties Inc. 2/2/21 GSI 22,830 (0.194) (2,344)
Visa Inc. 9/2/20 BOANA 43,929 (0.183) (400)
Vistra Corp. 9/2/20 BOANA 6,557 (0.194) (599)
Vistra Corp. 9/2/20 BOANA 7,932 (0.190) (485)
Vistra Corp. 9/2/20 BOANA 6,878 (0.185) (361)
          (25,160)
1 Based on 1-month USD London Interbank Offered Rate (LIBOR) as of the most recent payment date. Floating interest payment received/paid monthly.
BOANA—Bank of America, N.A.
GSI—Goldman Sachs International.
See accompanying Notes, which are an integral part of the Financial Statements.
7

Total Stock Market Index Fund
Statement of Assets and Liabilities
As of June 30, 2020
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers (Cost $520,639,004) 868,081,738
Affiliated Issuers (Cost $8,337,291) 8,323,314
Total Investments in Securities 876,405,052
Investment in Vanguard 39,105
Cash 317,206
Cash Collateral Pledged—Over-the-Counter Swap Contracts 32,670
Receivables for Investment Securities Sold 15,413
Receivables for Accrued Income 697,433
Receivables for Capital Shares Issued 485,223
Variation Margin Receivable—Futures Contracts 46,276
Total Assets 878,038,378
Liabilities  
Payables for Investment Securities Purchased 241,010
Collateral for Securities on Loan 5,021,389
Payables for Capital Shares Redeemed 482,867
Payables to Vanguard 20,962
Unrealized Depreciation—Over-the-Counter Swap Contracts 25,160
Total Liabilities 5,791,388
Net Assets 872,246,990
8

Total Stock Market Index Fund
Statement of Assets and Liabilities (continued)

At June 30, 2020, net assets consisted of:  
($000s, except shares and per-share amounts) Amount
Paid-in Capital 529,312,504
Total Distributable Earnings (Loss) 342,934,486
Net Assets 872,246,990
 
Investor Shares—Net Assets  
Applicable to 1,738,773,671 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 132,571,429
Net Asset Value Per Share—Investor Shares $76.24
 
ETF Shares—Net Assets  
Applicable to 915,187,085 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 143,380,318
Net Asset Value Per Share—ETF Shares $156.67
 
Admiral Shares—Net Assets  
Applicable to 3,098,105,697 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 236,273,805
Net Asset Value Per Share—Admiral Shares $76.26
 
Institutional Shares—Net Assets  
Applicable to 1,970,524,371 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 150,306,106
Net Asset Value Per Share—Institutional Shares $76.28
 
Institutional Plus Shares—Net Assets  
Applicable to 1,288,373,809 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 184,292,490
Net Asset Value Per Share—Institutional Plus Shares $143.04
 
Institutional Select Shares—Net Assets  
Applicable to 169,381,007 outstanding $.001 par value shares of beneficial interest (unlimited authorization) 25,422,842
Net Asset Value Per Share—Institutional Select Shares $150.09
See accompanying Notes, which are an integral part of the Financial Statements.
9

Total Stock Market Index Fund
Statement of Operations
  Six Months Ended
June 30, 2020
  ($000)
Investment Income  
Income  
Dividends—Unaffiliated Issuers 7,751,447
Dividends—Affiliated Issuers 848
Interest—Unaffiliated Issuers 1,021
Interest—Affiliated Issuers 17,163
Securities Lending—Net 84,199
Total Income 7,854,678
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 8,970
Management and Administrative—Investor Shares 82,681
Management and Administrative—ETF Shares 15,011
Management and Administrative—Admiral Shares 37,346
Management and Administrative—Institutional Shares 16,887
Management and Administrative—Institutional Plus Shares 14,296
Management and Administrative—Institutional Select Shares 919
Marketing and Distribution—Investor Shares 5,671
Marketing and Distribution—ETF Shares 2,632
Marketing and Distribution—Admiral Shares 5,359
Marketing and Distribution—Institutional Shares 1,915
Marketing and Distribution—Institutional Plus Shares 1,049
Marketing and Distribution—Institutional Select Shares
Custodian Fees 1,311
Shareholders’ Reports—Investor Shares 1,171
Shareholders’ Reports—ETF Shares 793
Shareholders’ Reports—Admiral Shares 464
Shareholders’ Reports—Institutional Shares 1,115
Shareholders’ Reports—Institutional Plus Shares 21
Shareholders’ Reports—Institutional Select Shares
Trustees’ Fees and Expenses 290
Total Expenses 197,901
Net Investment Income 7,656,777
Realized Net Gain (Loss)  
Investment Securities Sold—Unaffiliated Issuers1 1,751,551
Investment Securities Sold—Affiliated Issuers (10,743)
Futures Contracts (448,740)
Swap Contracts (73,790)
Realized Net Gain (Loss) 1,218,278
10

Total Stock Market Index Fund
Statement of Operations (continued)
  Six Months Ended
June 30, 2020
  ($000)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities—Unaffiliated Issuers (38,786,652)
Investment Securities—Affiliated Issuers (38,619)
Futures Contracts 37,804
Swap Contracts (34,829)
Change in Unrealized Appreciation (Depreciation) (38,822,296)
Net Increase (Decrease) in Net Assets Resulting from Operations (29,947,241)
1 Includes $8,409,277,000 of the net gain (loss) resulting from in-kind redemptions.
See accompanying Notes, which are an integral part of the Financial Statements.
11

Total Stock Market Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2020
  Year Ended
December 31,
2019
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 7,656,777   14,979,936
Realized Net Gain (Loss) 1,218,278   3,830,856
Change in Unrealized Appreciation (Depreciation) (38,822,296)   191,293,521
Net Increase (Decrease) in Net Assets Resulting from Operations (29,947,241)   210,104,313
Distributions1      
Investor Shares (1,083,192)   (2,441,205)
ETF Shares (1,193,816)   (2,314,799)
Admiral Shares (1,975,879)   (4,371,014)
Institutional Shares (1,280,938)   (2,694,343)
Institutional Plus Shares (1,587,327)   (3,268,140)
Institutional Select Shares (214,999)   (467,850)
Total Distributions (7,336,151)   (15,557,351)
Capital Share Transactions      
Investor Shares (1,271,030)   (14,863,283)
ETF Shares 10,889,097   15,039,487
Admiral Shares (5,245,718)   13,652,300
Institutional Shares 3,779,243   4,263,716
Institutional Plus Shares 3,727,864   12,427,894
Institutional Select Shares 27,057   361,129
Net Increase (Decrease) from Capital Share Transactions 11,906,513   30,881,243
Total Increase (Decrease) (25,376,879)   225,428,205
Net Assets      
Beginning of Period 897,623,869   672,195,664
End of Period 872,246,990   897,623,869
1 Certain prior period numbers have been reclassed to conform with current period presentation.
See accompanying Notes, which are an integral part of the Financial Statements.
12

Total Stock Market Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $79.66 $62.08 $66.70 $56.06 $50.78 $51.58
Investment Operations            
Net Investment Income .6321 1.2791 1.2751 1.0861 1.022 .954
Net Realized and Unrealized Gain (Loss) on Investments (3.453) 17.634 (4.703) 10.630 5.282 (.807)
Total from Investment Operations (2.821) 18.913 (3.428) 11.716 6.304 .147
Distributions            
Dividends from Net Investment Income (.599) (1.333) (1.192) (1.076) (1.024) (.947)
Distributions from Realized Capital Gains
Total Distributions (.599) (1.333) (1.192) (1.076) (1.024) (.947)
Net Asset Value, End of Period $76.24 $79.66 $62.08 $66.70 $56.06 $50.78
Total Return2 -3.44% 30.65% -5.26% 21.05% 12.53% 0.29%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $132,571 $139,686 $121,266 $126,766 $103,932 $96,323
Ratio of Total Expenses to Average Net Assets 0.14% 0.14% 0.14% 0.14% 0.15% 0.16%
Ratio of Net Investment Income to Average Net Assets 1.74% 1.78% 1.86% 1.77% 1.98% 1.85%
Portfolio Turnover Rate3 5% 4% 3% 3% 4% 3%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Total 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.
3 Excludes 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.
13

Total Stock Market Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $163.70 $127.56 $137.06 $115.21 $104.34 $106.00
Investment Operations            
Net Investment Income 1.3811 2.8091 2.7811 2.3611 2.214 2.082
Net Realized and Unrealized Gain (Loss) on Investments (7.097) 36.236 (9.676) 21.832 10.871 (1.675)
Total from Investment Operations (5.716) 39.045 (6.895) 24.193 13.085 .407
Distributions            
Dividends from Net Investment Income (1.314) (2.905) (2.605) (2.343) (2.215) (2.067)
Distributions from Realized Capital Gains
Total Distributions (1.314) (2.905) (2.605) (2.343) (2.215) (2.067)
Net Asset Value, End of Period $156.67 $163.70 $127.56 $137.06 $115.21 $104.34
Total Return -3.41% 30.80% -5.13% 21.16% 12.68% 0.40%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $143,380 $138,067 $94,809 $91,862 $69,889 $57,434
Ratio of Total Expenses to Average Net Assets 0.03% 0.03% 0.03% 0.04% 0.04% 0.05%
Ratio of Net Investment Income to Average Net Assets 1.85% 1.89% 1.97% 1.87% 2.09% 1.96%
Portfolio Turnover Rate2 5% 4% 3% 3% 4% 3%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes 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.
14

Total Stock Market Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $79.69 $62.09 $66.72 $56.08 $50.79 $51.60
Investment Operations            
Net Investment Income .6691 1.3601 1.3441 1.1481 1.077 1.013
Net Realized and Unrealized Gain (Loss) on Investments (3.464) 17.646 (4.711) 10.633 5.291 (.818)
Total from Investment Operations (2.795) 19.006 (3.367) 11.781 6.368 .195
Distributions            
Dividends from Net Investment Income (.635) (1.406) (1.263) (1.141) (1.078) (1.005)
Distributions from Realized Capital Gains
Total Distributions (.635) (1.406) (1.263) (1.141) (1.078) (1.005)
Net Asset Value, End of Period $76.26 $79.69 $62.09 $66.72 $56.08 $50.79
Total Return2 -3.40% 30.80% -5.17% 21.17% 12.66% 0.39%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $236,274 $252,536 $185,102 $190,099 $151,612 $126,363
Ratio of Total Expenses to Average Net Assets 0.04% 0.04% 0.04% 0.04% 0.04% 0.05%
Ratio of Net Investment Income to Average Net Assets 1.84% 1.88% 1.96% 1.87% 2.09% 1.96%
Portfolio Turnover Rate3 5% 4% 3% 3% 4% 3%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Total 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.
3 Excludes 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.
15

Total Stock Market Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31,
2019 2018 2017 2016 2015
Net Asset Value, Beginning of Period $79.70 $62.10 $66.73 $56.09 $50.80 $51.60
Investment Operations            
Net Investment Income .6721 1.3651 1.3541 1.1531 1.082 1.017
Net Realized and Unrealized Gain (Loss) on Investments (3.453) 17.649 (4.715) 10.630 5.291 (.808)
Total from Investment Operations (2.781) 19.014 (3.361) 11.783 6.373 .209
Distributions            
Dividends from Net Investment Income (.639) (1.414) (1.269) (1.143) (1.083) (1.009)
Distributions from Realized Capital Gains
Total Distributions (.639) (1.414) (1.269) (1.143) (1.083) (1.009)
Net Asset Value, End of Period $76.28 $79.70 $62.10 $66.73 $56.09 $50.80
Total Return -3.38% 30.81% -5.16% 21.17% 12.67% 0.42%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $150,306 $152,716 $115,115 $113,557 $79,443 $57,438
Ratio of Total Expenses to Average Net Assets 0.03% 0.03% 0.03% 0.035% 0.03% 0.04%
Ratio of Net Investment Income to Average Net Assets 1.85% 1.89% 1.97% 1.87% 2.10% 1.97%
Portfolio Turnover Rate2 5% 4% 3% 3% 4% 3%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Excludes 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
Institutional Plus Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31, April 28,
20151 to
December 31,
2015
2019 2018 2017 2016  
Net Asset Value, Beginning of Period $149.47 $116.46 $125.14 $105.18 $95.26 $100.00
Investment Operations            
Net Investment Income 1.2682 2.5752 2.5552 2.1822 2.042 1.335
Net Realized and Unrealized Gain (Loss) on Investments (6.492) 33.100 (8.842) 19.938 9.924 (4.631)
Total from Investment Operations (5.224) 35.675 (6.287) 22.120 11.966 (3.296)
Distributions            
Dividends from Net Investment Income (1.206) (2.665) (2.393) (2.160) (2.046) (1.444)
Distributions from Realized Capital Gains
Total Distributions (1.206) (2.665) (2.393) (2.160) (2.046) (1.444)
Net Asset Value, End of Period $143.04 $149.47 $116.46 $125.14 $105.18 $95.26
Total Return -3.38% 30.82% -5.15% 21.19% 12.69% -3.28%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $184,292 $188,188 $135,641 $126,130 $85,031 $63,093
Ratio of Total Expenses to Average Net Assets 0.02% 0.02% 0.02% 0.02% 0.02% 0.02%3
Ratio of Net Investment Income to Average Net Assets 1.86% 1.90% 1.98% 1.89% 2.11% 1.99%3
Portfolio Turnover Rate4 5% 4% 3% 3% 4% 3%5
The expense ratio and net investment income ratio for the current period have been annualized.
1 Inception.
2 Calculated based on average shares outstanding.
3 Annualized.
4 Excludes 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.
5 Reflects 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.
17

Total Stock Market Index Fund
Financial Highlights
Institutional Select Shares          
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2020
Year Ended December 31, June 27,
20161 to
December 31,
2016
2019 2018 2017  
Net Asset Value, Beginning of Period $156.83 $122.20 $131.31 $110.37 $97.70
Investment Operations          
Net Investment Income 1.3372 2.7092 2.7042 2.3112 1.181
Net Realized and Unrealized Gain (Loss) on Investments (6.804) 34.731 (9.290) 20.908 12.718
Total from Investment Operations (5.467) 37.440 (6.586) 23.219 13.899
Distributions          
Dividends from Net Investment Income (1.273) (2.810) (2.524) (2.279) (1.229)
Distributions from Realized Capital Gains
Total Distributions (1.273) (2.810) (2.524) (2.279) (1.229)
Net Asset Value, End of Period $150.09 $156.83 $122.20 $131.31 $110.37
Total Return -3.37% 30.84% -5.14% 21.20% 14.24%
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $25,423 $26,431 $20,262 $14,163 $8,545
Ratio of Total Expenses to Average Net Assets 0.01% 0.01% 0.01% 0.01% 0.01%3
Ratio of Net Investment Income to Average Net Assets 1.87% 1.91% 1.99% 1.90% 2.15%3
Portfolio Turnover Rate4 5% 4% 3% 3% 4%5
The expense ratio and net investment income ratio for the current period have been annualized.
1 Inception.
2 Calculated based on average shares outstanding.
3 Annualized.
4 Excludes 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.
5 Reflects 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.
18

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 types of investors. ETF Shares are listed for trading on NYSE Arca; they can be purchased and sold through a broker.
Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.
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 Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Schedule of Investments. 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 gains (losses) on futures contracts.
19

Total Stock Market Index Fund
During the six months ended June 30, 2020, 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 Schedule of Investments. 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 periodic payments are made or the 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's 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 Schedule of Investments. 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 six months ended June 30, 2020, 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.
20

Total Stock Market Index Fund
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, 2016–2019), and for the period ended June 30, 2020, 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 at the fiscal year-end 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. Collateral investments in Vanguard Market Liquidity Fund are subject to market appreciation or depreciation. 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 Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group ("Vanguard") participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed 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 either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternative rate agreed to by the fund and Vanguard.
In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund
21

Total Stock Market Index Fund
Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.
For the six months ended June 30, 2020, the fund did not utilize the credit facilities or the Interfund Lending Program.
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 are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. 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 and 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 June 30, 2020, the fund had contributed to Vanguard capital in the amount of $39,105,000, representing less than 0.01% of the fund’s net assets and 15.64% of Vanguard’s capital received pursuant to the FSA. 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 Schedule of Investments.
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Total Stock Market Index Fund
The following table summarizes the market value of the fund's investments and derivatives as of June 30, 2020, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 867,918,978 703 6,311 867,925,992
Preferred Stocks 3,296 3,296
Temporary Cash Investments 8,166,829 308,935 8,475,764
Total 876,089,103 309,638 6,311 876,405,052
Derivative Financial Instruments        
Assets        
Futures Contracts1 46,276 46,276
Liabilities        
Swap Contracts 25,160 25,160
1 Represents variation margin on the last day of the reporting period.
D.  As of June 30, 2020, 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 531,797,248
Gross Unrealized Appreciation 399,482,761
Gross Unrealized Depreciation (54,834,259)
Net Unrealized Appreciation (Depreciation) 344,648,502
The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at December 31, 2019, the fund had available capital losses totaling $6,156,034,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending December 31, 2020; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.
E.  During the six months ended June 30, 2020, the fund purchased $65,378,414,000 of investment securities and sold $54,891,717,000 of investment securities, other than temporary cash investments. Purchases and sales include $14,504,946,000 and $10,736,707,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.
23

Total Stock Market Index Fund
F.  Capital share transactions for each class of shares were:
  Six Months Ended
June 30, 2020
  Year Ended
December 31, 2019
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 12,722,332 186,196   7,749,732 109,431
Issued in Lieu of Cash Distributions 1,083,192 16,193   2,435,264 33,011
Redeemed1 (15,076,554) (217,077)   (25,048,279) (342,517)
Net Increase (Decrease)—Investor Shares (1,271,030) (14,688)   (14,863,283) (200,075)
ETF Shares          
Issued 21,671,791 142,879   25,747,266 171,544
Issued in Lieu of Cash Distributions  
Redeemed (10,782,694) (71,100)   (10,707,779) (71,400)
Net Increase (Decrease)—ETF Shares 10,889,097 71,779   15,039,487 100,144
Admiral Shares          
Issued1 19,029,935 269,397   37,798,017 521,571
Issued in Lieu of Cash Distributions 1,650,855 24,579   3,668,017 49,584
Redeemed (25,926,508) (364,961)   (27,813,734) (383,118)
Net Increase (Decrease)—Admiral Shares (5,245,718) (70,985)   13,652,300 188,037
Institutional Shares          
Issued 17,376,936 247,205   18,127,281 253,986
Issued in Lieu of Cash Distributions 1,207,638 18,011   2,526,249 34,162
Redeemed (14,805,331) (210,801)   (16,389,814) (225,625)
Net Increase (Decrease)—Institutional Shares 3,779,243 54,415   4,263,716 62,523
Institutional Plus Shares          
Issued 19,181,182 146,074   23,108,140 173,405
Issued in Lieu of Cash Distributions 1,565,312 12,457   3,223,646 23,230
Redeemed (17,018,630) (129,224)   (13,903,892) (102,224)
Net Increase (Decrease)—Institutional Plus Shares 3,727,864 29,307   12,427,894 94,411
Institutional Select Shares          
Issued 2,118,143 15,872   3,339,486 23,224
Issued in Lieu of Cash Distributions 214,999 1,626   467,850 3,217
Redeemed (2,306,085) (16,644)   (3,446,207) (23,715)
Net Increase (Decrease)—Institutional Select Shares 27,057 854   361,129 2,726
1 In November 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. As a result, all of the outstanding Investor Shares automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors. Investor Shares—Redeemed and Admiral Shares—Issued include 153,030,000 and 152,973,000 shares, respectively, in the amount of $11,326,553,000 from the conversion during the year ended December 31, 2019.
24

Total Stock Market Index Fund
G.  Certain of the fund’s investments are in companies that are considered to be affiliated companies of the fund because the fund owns more than 5% of the outstanding voting securities of the company or the issuer is another member of The Vanguard Group. Transactions during the period in securities of these companies were as follows:
    Current Period Transactions  
  Dec. 31, 2019
Market Value
($000)
Purchases
at Cost
($000)
Proceeds
from
Securities
Sold1
($000)
Realized
Net Gain
(Loss)
($000)
Change in
Unrealized
App. (Dep.)
($000)
Income
($000)
Capital Gain
Distributions
Received
($000)
Jun. 30, 2020
Market Value
($000)
Atlantic Power Corp. NA2 8,207 (7,457) (2,107) (528) NA3
Bluerock Residential Growth REIT Inc. NA2 11,257 (1,853) (587) (5,491) 12,576
ChannelAdvisor Corp. NA2 3,607 (8,526) 843 8,560 NA3
Cherry Hill Mortgage Investment Corp. NA2 5,259 (3,757) (1,630) (3,785) 469 NA3
Computer Task Group Inc. 3,867 692 (51) (22) (859) 3,627
Condor Hospitality Trust Inc. NA2 6,680 (129) (42) (5,596) 3,415
CTO Realty Growth Inc. NA2 8,079 (1,226) (668) (5,451) 144 10,997
Electromed Inc. NA2 4,819 (957) (54) 2,119 7,585
Exantas Capital Corp. NA2 2,845 (1,687) (3,246) (5,390) NA3
Genasys Inc. NA2 4,018 (657) 66 3,116 9,844
Gladstone Land Corp. NA2 7,620 (5,890) 739 3,198 NA3
GlobalSCAPE Inc. NA2 6,702 (793) 30 112 9,430
Great Ajax Corp. 23,995 7,158 (5,803) (362) (8,788) 16,200
Hurco Cos. Inc. NA2 4,902 (452) (129) (3,016) 96 12,102
Issuer Direct Corp. NA2 2,051 (16) (4) (180) 2,806
KVH Industries Inc. NA2 6,707 (1,870) (354) (1,027) 8,998
Lifevantage Corp. NA2 6,630 (711) (117) (1,448) 10,721
LSI Industries Inc. NA2 3,892 (1,596) (70) 1,427 139 8,786
Perma-Pipe International Holdings Inc. 4,362 114 (106) (30) (1,685) 2,655
Pulmatrix Inc. NA2 2,438 (182) 2,256
Pure Cycle Corp. NA2 16,154 (3,185) (1,368) (4,292) 16,313
25

Total Stock Market Index Fund
    Current Period Transactions  
  Dec. 31, 2019
Market Value
($000)
Purchases
at Cost
($000)
Proceeds
from
Securities
Sold1
($000)
Realized
Net Gain
(Loss)
($000)
Change in
Unrealized
App. (Dep.)
($000)
Income
($000)
Capital Gain
Distributions
Received
($000)
Jun. 30, 2020
Market Value
($000)
Rubicon Project Inc. NA2 1,535 (509) (66) (3,469) NA3
Safeguard Scientifics Inc. 11,504 455 (268) (187) (4,139) 7,365
Spirit MTA REIT 2,191 (325) 325 NA3
Transcat Inc. NA2 5,643 (1,653) (234) (1,898) 10,809
Vanguard Market Liquidity Fund 5,328,966 NA4 NA4 (1,469) 73 17,163 8,166,829
Total 5,374,885 127,464 (49,477) (10,743) (38,619) 18,011 8,323,314
1 Does not include adjustments related to return of capital.
2 Not applicable—at December 31, 2019, the issuer was not an affiliated company of the fund.
3 Not applicable—at June 30, 2020, the security was still held, but the issuer was no longer an affiliated company of the fund.
4 Not applicable—purchases and sales are for temporary cash investment purposes.
H.  Management has determined that no events or transactions occurred subsequent to June 30, 2020, that would require recognition or disclosure in these financial statements.
26

Trustees Approve Advisory Arrangement
The board of trustees of Vanguard Total Stock Market Index Fund has renewed the fund’s investment advisory arrangement with The Vanguard Group, Inc. (Vanguard), through its Equity Index Group. The board determined that continuing the fund’s internalized management structure was in the best interests of the fund and its shareholders.
The board based its decision upon an evaluation of the advisor’s investment staff, portfolio management process, and performance. This evaluation included information provided to the board by Vanguard’s Portfolio Review Department, which is responsible for fund and advisor oversight and product management. The Portfolio Review Department met regularly with the advisor and made monthly presentations to the board during the fiscal year that directed the board’s focus to relevant information and topics.
The board, or an investment committee made up of board members, also received information throughout the year during advisor presentations. For each advisor presentation, the board was provided with letters and reports that included information about, among other things, the advisory firm and the advisor’s assessment of the investment environment, portfolio performance, and portfolio characteristics.
In addition, the board received monthly reports, which included a Market and Economic Report, a Fund Dashboard Monthly Summary, and a Fund Performance Report.
Prior to their meeting, the trustees were provided with a memo and materials that summarized the information they received over the course of the year. They also considered the factors discussed below, among others. However, no single factor determined whether the board approved the arrangement. Rather, it was the totality of the circumstances that drove the board’s decision.
Nature, extent, and quality of services
The board reviewed the quality of the fund’s investment management services over both the short and long term, and took into account the organizational depth and stability of the advisor. The board considered that Vanguard has been managing investments for more than four decades. The Equity Index Group adheres to a sound, disciplined investment management process; the team has considerable experience, stability, and depth.
The board concluded that Vanguard’s experience, stability, depth, and performance, among other factors, warranted continuation of the advisory arrangement.
Investment performance
The board considered the short- and long-term performance of the fund, including any periods of outperformance or underperformance compared with its target index and peer group. The board concluded that the performance was such that the advisory arrangement should continue.
Cost
The board concluded that the fund’s expense ratio was well below the average expense ratio charged by funds in its peer group and that the fund’s advisory expenses were also well below the peer-group average.
27

The board does not conduct a profitability analysis of Vanguard because of Vanguard’s unique structure. Unlike most other mutual fund management companies, Vanguard is owned by the funds it oversees.
The benefit of economies of scale
The board concluded that the fund’s arrangement with Vanguard ensures that the fund will realize economies of scale as it grows, with the cost to shareholders declining as fund assets increase.
The board will consider whether to renew the advisory arrangement again after a one-year period.
28

Liquidity Risk Management
Vanguard funds (except for the money market funds) have adopted and implemented a written liquidity risk management program (the “Program”) as required by Rule 22e-4 under the Investment Company Act of 1940. Rule 22e-4 requires that each fund adopt a program that is reasonably designed to assess and manage the fund’s liquidity risk, which is the risk that the fund could not meet redemption requests without significant dilution of remaining investors’ interests in the fund.
Assessment and management of a fund’s liquidity risk under the Program take into consideration certain factors, such as the fund’s investment strategy and the liquidity of its portfolio investments during normal and reasonably foreseeable stressed conditions, its short- and long-term cash-flow projections during both normal and reasonably foreseeable stressed conditions, and its cash and cash-equivalent holdings and access to other funding sources. As required by the rule, the Program includes policies and procedures for classification of fund portfolio holdings in four liquidity categories, maintaining certain levels of highly liquid investments, and limiting holdings of illiquid investments.
The board of trustees of Vanguard Index Funds approved the appointment of liquidity risk management program administrators responsible for administering Vanguard Total Stock Market Index Fund’s Program and for carrying out the specific responsibilities set forth in the Program, including reporting to the board on at least an annual basis regarding the Program’s operation, its adequacy, and the effectiveness of its implementation for the past year (the “Program Administrator Report”). The board has reviewed the Program Administrator Report covering the period from December 1, 2018, through December 31, 2019 (the “Review Period”). The Program Administrator Report stated that during the Review Period the Program operated and was implemented effectively to manage the fund’s liquidity risk.
29

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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, www.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 www.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.
© 2020 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.
Q852 082020

 

 

Item 2: Code of Ethics.

 

Not applicable.

 

Item 3: Audit Committee Financial Expert.

 

Not applicable.

 

Item 4: Principal Accountant Fees and Services.

 

(a)       Audit Fees.

 

Not applicable.

 

Item 5: Audit Committee of Listed Registrants.

 

Not applicable.

  

Item 6: Investments.

 

 

 

 

 

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
Common Stocks (99.3%)
Basic Materials (3.5%)
  RPM International Inc. 3,242,697 243,397
  Royal Gold Inc. 1,642,161 204,153
  Reliance Steel & Aluminum Co. 1,593,839 151,303
  Scotts Miracle-Gro Co. 973,318 130,882
  Steel Dynamics Inc. 5,004,509 130,568
* Axalta Coating Systems Ltd. 5,305,021 119,628
  Ashland Global Holdings Inc. 1,512,718 104,529
  Valvoline Inc. 4,630,112 89,500
  Huntsman Corp. 4,965,370 89,228
  NewMarket Corp. 218,988 87,700
  W R Grace & Co. 1,655,653 84,124
  Balchem Corp. 808,580 76,702
  UFP Industries Inc. 1,453,435 71,960
* Univar Solutions Inc. 4,223,584 71,210
  Chemours Co. 4,107,147 63,045
  Quaker Chemical Corp. 333,820 61,974
  Commercial Metals Co. 2,976,112 60,713
  PolyOne Corp. 2,285,252 59,942
  Mosaic Co. 4,738,589 59,280
* Element Solutions Inc. 5,286,496 57,358
  HB Fuller Co. 1,285,299 57,324
  Sensient Technologies Corp. 1,058,853 55,230
1 Cleveland-Cliffs Inc. 9,962,429 54,993
* Ingevity Corp. 1,030,081 54,151
  Cabot Corp. 1,411,243 52,286
* Alcoa Corp. 4,645,729 52,218
  Stepan Co. 507,033 49,233
  Innospec Inc. 615,675 47,561
  Olin Corp. 3,944,035 45,317
  Hecla Mining Co. 13,189,524 43,130
  Compass Minerals International Inc. 846,844 41,284
  Minerals Technologies Inc. 855,141 40,132
1 United States Steel Corp. 5,502,290 39,726
  Worthington Industries Inc. 905,103 33,760
  Materion Corp. 509,940 31,356
  Domtar Corp. 1,383,494 29,205
  Kaiser Aluminum Corp. 395,828 29,141
  Carpenter Technology Corp. 1,198,388 29,097
* Coeur Mining Inc. 5,494,643 27,913
* GCP Applied Technologies Inc. 1,462,500 27,173
  Schweitzer-Mauduit International Inc. 782,010 26,127
* Ferro Corp. 2,061,756 24,617
  Warrior Met Coal Inc. 1,282,722 19,741
  P H Glatfelter Co. 1,110,831 17,829
  Tronox Holdings plc Class A 2,156,501 15,570
* PQ Group Holdings Inc. 1,027,224 13,600
  GrafTech International Ltd. 1,674,482 13,362
* Kraton Corp. 758,565 13,108
  Schnitzer Steel Industries Inc. Class A 640,594 11,300
  Tredegar Corp. 714,097 10,997
  Arch Resources Inc. 360,573 10,244
* Koppers Holdings Inc. 499,714 9,415
  American Vanguard Corp. 680,507 9,364
* Century Aluminum Co. 1,233,426 8,794
  FutureFuel Corp. 657,955 7,862
  Kronos Worldwide Inc. 579,248 6,030
  Haynes International Inc. 157,322 3,675
1

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Peabody Energy Corp. 856,853 2,468
* Hycroft Mining Corp. Warrants Exp. 10/22/2022 19
            3,081,529
Consumer Goods (6.9%)
  Pool Corp. 950,055 258,291
* Zynga Inc. Class A 21,555,208 205,637
  Gentex Corp. 6,132,952 158,046
*,1 Beyond Meat Inc. 1,091,032 146,176
  Thor Industries Inc. 1,313,567 139,934
* Deckers Outdoor Corp. 700,383 137,548
  Polaris Inc. 1,457,269 134,870
* Post Holdings Inc. 1,536,426 134,622
  Ingredion Inc. 1,593,258 132,240
* Helen of Troy Ltd. 632,008 119,171
* Boston Beer Co. Inc. Class A 217,634 116,793
  Leggett & Platt Inc. 3,313,839 116,481
* US Foods Holding Corp. 5,511,339 108,684
* Herbalife Nutrition Ltd. 2,404,128 108,138
* Skechers U.S.A. Inc. Class A 3,408,345 106,954
  Flowers Foods Inc. 4,501,809 100,660
* Darling Ingredients Inc. 4,051,095 99,738
  Hanesbrands Inc. 8,709,164 98,326
  Toll Brothers Inc. 2,854,156 93,017
  Harley-Davidson Inc. 3,831,945 91,085
* Tempur Sealy International Inc. 1,225,094 88,146
  Carter's Inc. 1,091,274 88,066
* Fox Factory Holding Corp. 1,025,685 84,732
*,1 Mattel Inc. 8,676,649 83,903
*,1 YETI Holdings Inc. 1,957,310 83,636
  Newell Brands Inc. 4,775,477 75,835
  Lancaster Colony Corp. 481,840 74,680
  Energizer Holdings Inc. 1,541,299 73,196
  Bunge Ltd. 1,691,736 69,581
  LCI Industries 597,299 68,677
* Meritage Homes Corp. 893,319 67,999
  WD-40 Co. 341,851 67,789
  KB Home 2,153,908 66,082
* Hain Celestial Group Inc. 2,039,912 64,278
* TreeHouse Foods Inc. 1,411,126 61,807
  Columbia Sportswear Co. 745,854 60,101
* Taylor Morrison Home Corp. Class A 3,078,289 59,380
* Crocs Inc. 1,600,256 58,921
  Sanderson Farms Inc. 501,736 58,146
*,1 iRobot Corp. 662,271 55,565
* Capri Holdings Ltd. 3,547,288 55,444
  Goodyear Tire & Rubber Co. 5,816,100 52,025
  Nu Skin Enterprises Inc. Class A 1,300,778 49,729
  Steven Madden Ltd. 1,974,439 48,749
  J & J Snack Foods Corp. 377,634 48,009
* TRI Pointe Group Inc. 3,253,603 47,795
* Visteon Corp. 695,383 47,634
  Spectrum Brands Holdings Inc. 1,025,393 47,066
* Dorman Products Inc. 691,220 46,360
  Wolverine World Wide Inc. 1,933,382 46,034
  Tapestry Inc. 3,465,105 46,017
  Reynolds Consumer Products Inc. 1,314,116 45,652
  MDC Holdings Inc. 1,264,970 45,159
  Dana Inc. 3,621,949 44,152
  PVH Corp. 889,827 42,756
* Edgewell Personal Care Co. 1,362,057 42,442
2

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Ralph Lauren Corp. Class A 569,367 41,290
* Freshpet Inc. 477,982 39,988
1 B&G Foods Inc. 1,607,411 39,189
* Fitbit Inc. Class A 5,957,673 38,487
* Hostess Brands Inc. Class A 2,922,037 35,707
* Knowles Corp. 2,294,604 35,016
  Cooper Tire & Rubber Co. 1,260,541 34,804
  Herman Miller Inc. 1,473,894 34,799
* Central Garden & Pet Co. Class A 994,256 33,596
  Vector Group Ltd. 3,262,521 32,821
  HNI Corp. 1,069,140 32,684
* Cal-Maine Foods Inc. 716,610 31,875
  Sturm Ruger & Co. Inc. 416,418 31,648
* Gentherm Inc. 813,349 31,639
  La-Z-Boy Inc. 1,154,000 31,227
* Delphi Technologies plc 2,164,675 30,760
* Sonos Inc. 2,048,633 29,972
  Acushnet Holdings Corp. 837,887 29,150
* Sleep Number Corp. 658,142 27,405
  Coca-Cola Consolidated Inc. 116,345 26,665
  Universal Corp. 581,786 24,732
  Steelcase Inc. Class A 1,981,487 23,897
1 Kontoor Brands Inc. 1,288,357 22,946
* Under Armour Inc. Class A 2,346,673 22,857
* Under Armour Inc. Class C 2,465,243 21,793
* USANA Health Sciences Inc. 289,765 21,277
* Cavco Industries Inc. 109,198 21,059
  Inter Parfums Inc. 434,802 20,936
* Pilgrim's Pride Corp. 1,237,093 20,894
  Callaway Golf Co. 1,179,627 20,655
* American Axle & Manufacturing Holdings Inc. 2,693,162 20,468
* BellRing Brands Inc. Class A 988,425 19,709
  Medifast Inc. 140,251 19,463
* elf Beauty Inc. 1,002,931 19,126
*,1 National Beverage Corp. 292,101 17,824
  Fresh Del Monte Produce Inc. 717,797 17,672
  Oxford Industries Inc. 399,547 17,584
  Seaboard Corp. 5,810 17,045
  ACCO Brands Corp. 2,249,644 15,972
  Knoll Inc. 1,269,726 15,478
  Coty Inc. Class A 3,348,684 14,969
*,1 GoPro Inc. Class A 3,064,678 14,588
* American Woodmark Corp. 190,921 14,443
* Smith & Wesson Brands Inc. 655,703 14,111
1 Tootsie Roll Industries Inc. 398,779 13,666
* G-III Apparel Group Ltd. 1,023,882 13,607
  Signet Jewelers Ltd. 1,246,519 12,802
  Interface Inc. Class A 1,466,014 11,933
  National Presto Industries Inc. 131,945 11,531
  Andersons Inc. 742,342 10,215
* Vista Outdoor Inc. 691,090 9,986
* Tenneco Inc. Class A 1,298,810 9,819
1 Levi Strauss & Co. Class A 696,479 9,333
* Central Garden & Pet Co. 239,713 8,627
  Ethan Allen Interiors Inc. 266,778 3,156
* Cooper-Standard Holdings Inc. 211,590 2,804
  Movado Group Inc. 196,677 2,132
*,1 Revlon Inc. Class A 200,537 1,985
            6,021,770
3

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
Consumer Services (11.2%)
* Etsy Inc. 2,971,639 315,677
* Peloton Interactive Inc. Class A 4,901,384 283,153
  Cable One Inc. 134,728 239,122
* Trade Desk Inc. Class A 511,993 208,125
* Chegg Inc. 2,940,994 197,811
* Bright Horizons Family Solutions Inc. 1,510,502 177,031
*,1 Caesars Entertainment Corp. 13,717,554 166,394
  Service Corp. International 4,238,776 164,846
* Burlington Stores Inc. 823,119 162,097
* Grubhub Inc. 2,302,793 161,886
  Williams-Sonoma Inc. 1,933,836 158,594
  New York Times Co. Class A 3,738,722 157,138
* Liberty Media Corp.-Liberty Formula One Class C 4,845,583 153,653
* Five Below Inc. 1,395,871 149,233
  Casey's General Stores Inc. 921,538 137,788
  Dunkin' Brands Group Inc. 2,056,298 134,132
* Floor & Decor Holdings Inc. Class A 2,311,241 133,243
* IAA Inc. 3,355,042 129,404
* BJ's Wholesale Club Holdings Inc. 3,466,018 129,179
* Planet Fitness Inc. Class A 2,002,641 121,300
* SiteOne Landscape Supply Inc. 1,049,009 119,556
* ServiceMaster Global Holdings Inc. 3,304,823 117,949
  Churchill Downs Inc. 839,107 111,727
* Grand Canyon Education Inc. 1,184,409 107,225
  Wingstop Inc. 740,458 102,901
  Dolby Laboratories Inc. Class A 1,532,277 100,931
  Wyndham Hotels & Resorts Inc. 2,328,622 99,246
*,1 Penn National Gaming Inc. 3,231,207 98,681
  Wendy's Co. 4,457,742 97,090
* Performance Food Group Co. 3,314,483 96,584
* RH 385,180 95,871
* frontdoor Inc. 2,136,565 94,714
* Qurate Retail Inc. Class A 9,688,617 92,042
  Vail Resorts Inc. 503,829 91,772
  Nexstar Media Group Inc. Class A 1,075,644 90,021
  Gap Inc. 6,991,418 88,232
  Texas Roadhouse Inc. Class A 1,647,459 86,607
  Strategic Education Inc. 555,760 85,393
* Ollie's Bargain Outlet Holdings Inc. 858,236 83,807
  L Brands Inc. 5,534,786 82,856
*,1 Eldorado Resorts Inc. 2,038,471 81,661
  Lithia Motors Inc. Class A 526,777 79,717
* Murphy USA Inc. 693,545 78,086
  Aaron's Inc. 1,690,581 76,752
  Foot Locker Inc. 2,606,732 76,012
  Morningstar Inc. 536,429 75,620
* Sprouts Farmers Market Inc. 2,946,650 75,405
* Stamps.com Inc. 405,990 74,576
* Grocery Outlet Holding Corp. 1,818,703 74,203
* AutoNation Inc. 1,963,588 73,792
* JetBlue Airways Corp. 6,760,551 73,690
  Marriott Vacations Worldwide Corp. 872,853 71,757
  Choice Hotels International Inc. 900,071 71,016
  H&R Block Inc. 4,814,540 68,752
* Madison Square Garden Sports Corp. 462,318 67,910
  AMERCO 220,754 66,710
  Cracker Barrel Old Country Store Inc. 600,153 66,563
  Nielsen Holdings plc 4,458,753 66,257
* LiveRamp Holdings Inc. 1,552,840 65,949
  Dick's Sporting Goods Inc. 1,544,456 63,724
4

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* National Vision Holdings Inc. 2,007,659 61,274
  Papa John's International Inc. 771,526 61,267
  TEGNA Inc. 5,464,574 60,875
  Wyndham Destinations Inc. 2,134,149 60,140
* 2U Inc. 1,519,003 57,661
  Alaska Air Group Inc. 1,532,627 55,573
  Sabre Corp. 6,888,462 55,521
1 Macy's Inc. 7,739,912 53,251
* Cargurus Inc. Class A 2,084,774 52,849
*,1 Norwegian Cruise Line Holdings Ltd. 3,204,862 52,656
1 World Wrestling Entertainment Inc. Class A 1,157,550 50,296
*,1 Shake Shack Inc. Class A 906,365 48,019
  TripAdvisor Inc. 2,426,240 46,123
  Extended Stay America Inc. 4,003,900 44,804
  KAR Auction Services Inc. 3,229,224 44,434
  Monro Inc. 789,834 43,393
1 Nordstrom Inc. 2,733,793 42,346
  Jack in the Box Inc. 568,248 42,102
* Hilton Grand Vacations Inc. 2,123,163 41,508
  Big Lots Inc. 983,415 41,303
  John Wiley & Sons Inc. Class A 1,055,897 41,180
  Boyd Gaming Corp. 1,944,845 40,647
1 American Eagle Outfitters Inc. 3,720,456 40,553
  Kohl's Corp. 1,949,916 40,500
* Simply Good Foods Co. 2,151,882 39,982
* Yelp Inc. Class A 1,712,087 39,601
  SkyWest Inc. 1,193,952 38,947
  Six Flags Entertainment Corp. 2,018,247 38,771
*,1 Spirit Airlines Inc. 2,156,958 38,394
  PriceSmart Inc. 615,635 37,141
* Madison Square Garden Entertainment Corp. 488,565 36,642
* Adtalem Global Education Inc. 1,163,868 36,255
* Asbury Automotive Group Inc. 459,632 35,543
1 Allegiant Travel Co. Class A 324,916 35,484
* Sally Beauty Holdings Inc. 2,828,930 35,447
  Graham Holdings Co. Class B 101,313 34,717
  Rent-A-Center Inc. 1,213,392 33,757
1 Bed Bath & Beyond Inc. 3,013,928 31,948
*,1 Stitch Fix Inc. Class A 1,275,183 31,803
  Penske Automotive Group Inc. 806,820 31,232
  Office Depot Inc. 13,194,493 31,007
* Vroom Inc. 577,801 30,127
* WW International Inc. 1,185,111 30,078
*,1 Avis Budget Group Inc. 1,307,737 29,934
  Rush Enterprises Inc. Class A 711,849 29,513
* Upwork Inc. 2,020,548 29,177
  Cinemark Holdings Inc. 2,504,278 28,924
  Group 1 Automotive Inc. 432,824 28,553
  Core-Mark Holding Co. Inc. 1,130,317 28,207
* Laureate Education Inc. Class A 2,686,524 26,771
* K12 Inc. 976,245 26,593
  Brinker International Inc. 1,100,656 26,416
* United Natural Foods Inc. 1,344,190 24,478
1 Sinclair Broadcast Group Inc. Class A 1,319,152 24,352
1 Cheesecake Factory Inc. 1,025,711 23,509
*,1 Rite Aid Corp. 1,367,080 23,322
  Hyatt Hotels Corp. Class A 446,446 22,452
* Urban Outfitters Inc. 1,470,702 22,384
* Scientific Games Corp. 1,420,984 21,968
* AMC Networks Inc. Class A 915,056 21,403
*,1 ANGI Homeservices Inc. Class A 1,748,158 21,240
5

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Bloomin' Brands Inc. 1,973,728 21,040
* Selectquote Inc. 811,358 20,552
  Weis Markets Inc. 404,681 20,283
* SeaWorld Entertainment Inc. 1,274,442 18,874
* Lions Gate Entertainment Corp. Class B 2,738,035 18,701
* Liberty Media Corp.-Liberty Formula One Class A 608,475 17,755
  Red Rock Resorts Inc. Class A 1,605,039 17,511
  Sonic Automotive Inc. Class A 542,015 17,296
  Dine Brands Global Inc. 391,041 16,463
  Abercrombie & Fitch Co. Class A 1,544,184 16,430
  Scholastic Corp. 531,465 15,912
1 Dave & Buster's Entertainment Inc. 1,187,967 15,836
  Hawaiian Holdings Inc. 1,094,329 15,364
*,1 RealReal Inc. 1,198,298 15,326
  Matthews International Corp. Class A 744,755 14,225
  Meredith Corp. 959,827 13,965
* Zumiez Inc. 509,616 13,953
* Quotient Technology Inc. 1,803,788 13,204
*,1 Michaels Cos. Inc. 1,846,729 13,056
1 Children's Place Inc. 346,324 12,959
* BrightView Holdings Inc. 1,052,186 11,784
1 Buckle Inc. 743,143 11,652
*,1 Vivint Smart Home Inc. 669,137 11,596
*,1 Lions Gate Entertainment Corp. Class A 1,558,405 11,548
  EW Scripps Co. Class A 1,305,859 11,426
  BJ's Restaurants Inc. 530,193 11,102
*,1 Groupon Inc. Class A 605,099 10,964
  Designer Brands Inc. Class A 1,531,104 10,366
* MSG Networks Inc. Class A 1,027,023 10,219
  Guess? Inc. 1,017,446 9,839
* Cars.com Inc. 1,598,840 9,209
* Clear Channel Outdoor Holdings Inc. 8,786,151 9,138
  Caleres Inc. 958,146 7,991
* Genesco Inc. 349,710 7,575
* El Pollo Loco Holdings Inc. 439,977 6,494
*,1 Revolve Group Inc. Class A 395,763 5,881
1 AMC Entertainment Holdings Inc. Class A 1,249,622 5,361
* American Public Education Inc. 176,000 5,210
* Regis Corp. 579,522 4,741
*,1 At Home Group Inc. 683,863 4,438
1 Dillard's Inc. Class A 168,315 4,341
  Rush Enterprises Inc. Class B 121,417 4,330
  Systemax Inc. 185,855 3,817
*,1 GameStop Corp. Class A 728,149 3,160
* TrueCar Inc. 1,209,089 3,119
* Houghton Mifflin Harcourt Co. 1,335,693 2,418
  National CineMedia Inc. 748,184 2,222
  Gannett Co. Inc. 1,572,502 2,170
  Chico's FAS Inc. 1,508,574 2,082
  Entercom Communications Corp. Class A 1,427,009 1,969
* Liberty TripAdvisor Holdings Inc. Class A 904,166 1,926
*,1 Hertz Global Holdings Inc. 1,068,059 1,506
* Lands' End Inc. 141,978 1,142
  Emerald Holding Inc. 313,345 965
* Albertsons Cos. Inc. Class A 58,893 929
            9,716,845
Financials (21.7%)
  Equity LifeStyle Properties Inc. 4,332,834 270,715
  Apollo Global Management Inc. Class A 5,157,132 257,444
  Medical Properties Trust Inc. 13,228,909 248,703
6

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Brown & Brown Inc. 6,033,330 245,919
  RenaissanceRe Holdings Ltd. 1,240,372 212,141
  CyrusOne Inc. 2,884,327 209,835
  Americold Realty Trust 5,015,001 182,045
  Gaming and Leisure Properties Inc. 5,183,796 179,359
*,1 Zillow Group Inc. Class C 3,074,202 177,105
  VICI Properties Inc. 8,734,663 176,353
  American Homes 4 Rent Class A 6,393,494 171,985
  Kilroy Realty Corp. 2,881,735 169,158
  Omega Healthcare Investors Inc. 5,682,252 168,933
  LPL Financial Holdings Inc. 1,975,300 154,864
  Assurant Inc. 1,493,950 154,310
  National Retail Properties Inc. 4,307,261 152,822
  Commerce Bancshares Inc. 2,513,974 149,506
  Healthcare Trust of America Inc. Class A 5,472,032 145,118
  Lamar Advertising Co. Class A 2,162,312 144,356
  Apartment Investment & Management Co. Class A 3,728,003 140,322
  Signature Bank 1,284,490 137,338
  Jones Lang LaSalle Inc. 1,293,197 133,794
  STORE Capital Corp. Class A 5,511,789 131,236
  Prosperity Bancshares Inc. 2,204,326 130,893
  CubeSmart 4,847,697 130,839
  East West Bancorp Inc. 3,541,592 128,347
  Douglas Emmett Inc. 4,173,403 127,957
  First American Financial Corp. 2,652,127 127,355
  Rexford Industrial Realty Inc. 3,070,601 127,215
  People's United Financial Inc. 10,629,061 122,978
  First Industrial Realty Trust Inc. 3,185,059 122,434
  Erie Indemnity Co. Class A 635,607 121,973
1 Carlyle Group Inc. 4,361,729 121,692
  American Financial Group Inc. 1,913,978 121,461
  American Campus Communities Inc. 3,447,052 120,509
  Primerica Inc. 1,021,642 119,123
  Old Republic International Corp. 7,226,538 117,865
  EastGroup Properties Inc. 978,462 116,055
  CoreSite Realty Corp. 948,400 114,813
  Kemper Corp. 1,553,047 112,627
  New York Community Bancorp Inc. 11,034,100 112,548
  TCF Financial Corp. 3,806,353 111,983
  Life Storage Inc. 1,174,533 111,522
  Cousins Properties Inc. 3,719,494 110,952
  Legg Mason Inc. 2,204,688 109,683
  STAG Industrial Inc. 3,720,941 109,098
  Cullen/Frost Bankers Inc. 1,408,865 105,256
  Eaton Vance Corp. 2,708,777 104,559
  Tradeweb Markets Inc. Class A 1,785,778 103,825
*,1 Credit Acceptance Corp. 242,912 101,783
  Starwood Property Trust Inc. 6,717,961 100,501
  Healthcare Realty Trust Inc. 3,376,960 98,911
  First Financial Bankshares Inc. 3,381,727 97,698
  Highwoods Properties Inc. 2,599,434 97,037
  QTS Realty Trust Inc. Class A 1,508,007 96,648
  Hudson Pacific Properties Inc. 3,837,199 96,544
  Essent Group Ltd. 2,629,000 95,354
  Brixmor Property Group Inc. 7,416,812 95,084
  JBG SMITH Properties 3,175,816 93,909
  Equity Commonwealth 2,893,791 93,180
* Redfin Corp. 2,217,323 92,928
  Ares Management Corp. Class A 2,320,062 92,106
  United Bankshares Inc. 3,248,500 89,853
  Spirit Realty Capital Inc. 2,575,142 89,769
7

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Terreno Realty Corp. 1,693,953 89,170
  Physicians Realty Trust 5,068,690 88,803
  Agree Realty Corp. 1,347,442 88,540
* Cannae Holdings Inc. 2,139,553 87,936
  RLI Corp. 1,069,414 87,799
  Hanover Insurance Group Inc. 855,738 86,712
  Western Alliance Bancorp 2,274,657 86,141
  South State Corp. 1,771,383 84,424
  Glacier Bancorp Inc. 2,391,268 84,388
  Affiliated Managers Group Inc. 1,122,999 83,731
  Blackstone Mortgage Trust Inc. Class A 3,459,938 83,350
  Kinsale Capital Group Inc. 528,892 82,089
  Axis Capital Holdings Ltd. 2,004,087 81,286
  Rayonier Inc. 3,233,480 80,158
  Popular Inc. 2,148,944 79,876
  Selective Insurance Group Inc. 1,493,811 78,784
  Janus Henderson Group plc 3,701,280 78,319
  First Horizon National Corp. 7,798,623 77,674
  New Residential Investment Corp. 10,397,600 77,254
  Stifel Financial Corp. 1,627,754 77,204
  Unum Group 4,579,953 75,981
  Pinnacle Financial Partners Inc. 1,805,774 75,824
  Valley National Bancorp 9,597,139 75,050
  Community Bank System Inc. 1,305,951 74,465
  Sabra Health Care REIT Inc. 5,142,313 74,204
* Zillow Group Inc. Class A 1,290,181 74,160
  Radian Group Inc. 4,762,585 73,868
  Voya Financial Inc. 1,578,316 73,628
  Jefferies Financial Group Inc. 4,707,203 73,197
  Lexington Realty Trust 6,854,749 72,318
  Synovus Financial Corp. 3,508,629 72,032
* Athene Holding Ltd. Class A 2,307,779 71,980
  Bank OZK 3,064,523 71,924
  Lazard Ltd. Class A 2,484,219 71,123
  Corporate Office Properties Trust 2,806,059 71,106
  Zions Bancorp NA 2,054,599 69,856
  MGIC Investment Corp. 8,468,882 69,360
  Houlihan Lokey Inc. Class A 1,230,094 68,442
  PS Business Parks Inc. 516,634 68,402
  Reinsurance Group of America Inc. 848,185 66,532
  FirstCash Inc. 984,736 66,450
  Comerica Inc. 1,743,930 66,444
  Kimco Realty Corp. 5,150,941 66,138
  SLM Corp. 9,402,933 66,103
  White Mountains Insurance Group Ltd. 73,938 65,655
* Brighthouse Financial Inc. 2,347,086 65,296
  Webster Financial Corp. 2,255,028 64,516
  National Health Investors Inc. 1,060,826 64,413
  EPR Properties 1,943,191 64,378
  Wintrust Financial Corp. 1,442,722 62,932
  Invesco Ltd. 5,755,537 61,930
  Bank of Hawaii Corp. 1,000,652 61,450
  FNB Corp. 8,076,608 60,575
  PotlatchDeltic Corp. 1,590,480 60,486
  CVB Financial Corp. 3,227,163 60,477
  UMB Financial Corp. 1,143,424 58,943
  Umpqua Holdings Corp. 5,503,194 58,554
  Park Hotels & Resorts Inc. 5,891,051 58,262
  Weingarten Realty Investors 3,042,687 57,598
  PacWest Bancorp 2,911,864 57,393
  Home BancShares Inc. 3,716,200 57,155
8

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Sterling Bancorp 4,860,481 56,965
  IBERIABANK Corp. 1,250,551 56,950
  Federated Hermes Inc. Class B 2,397,403 56,818
  Old National Bancorp 4,127,841 56,799
*,1 LendingTree Inc. 196,042 56,760
  BancorpSouth Bank 2,488,511 56,589
  American Equity Investment Life Holding Co. 2,288,105 56,539
  First Hawaiian Inc. 3,245,842 55,958
  CNO Financial Group Inc. 3,590,602 55,906
  Independent Bank Corp. 825,559 55,387
  Taubman Centers Inc. 1,463,286 55,254
  Kennedy-Wilson Holdings Inc. 3,587,465 54,601
* Howard Hughes Corp. 1,029,894 53,503
  Associated Banc-Corp 3,841,435 52,551
  Piedmont Office Realty Trust Inc. Class A 3,147,606 52,282
  Apple Hospitality REIT Inc. 5,319,032 51,382
  CIT Group Inc. 2,469,445 51,192
  Outfront Media Inc. 3,608,467 51,132
  Washington Federal Inc. 1,896,007 50,889
  Evercore Inc. Class A 861,159 50,739
  Columbia Banking System Inc. 1,788,767 50,703
  Assured Guaranty Ltd. 2,063,742 50,376
  Cathay General Bancorp 1,888,802 49,675
  Investors Bancorp Inc. 5,644,187 47,976
  SL Green Realty Corp. 956,668 47,154
  Hamilton Lane Inc. Class A 698,202 47,038
  Artisan Partners Asset Management Inc. Class A 1,439,820 46,794
  BankUnited Inc. 2,308,724 46,752
  Brandywine Realty Trust 4,260,198 46,394
* Enstar Group Ltd. 303,508 46,367
  Virtu Financial Inc. Class A 1,962,716 46,320
1 Chimera Investment Corp. 4,803,259 46,159
  Hancock Whitney Corp. 2,155,929 45,706
  Atlantic Union Bankshares Corp. 1,973,152 45,698
  Washington REIT 2,056,863 45,662
  Uniti Group Inc. 4,866,224 45,499
  OneMain Holdings Inc. 1,852,168 45,452
  Pacific Premier Bancorp Inc. 2,084,081 45,183
  Pebblebrook Hotel Trust 3,266,520 44,621
* PRA Group Inc. 1,141,742 44,140
  Sunstone Hotel Investors Inc. 5,387,180 43,906
  PennyMac Mortgage Investment Trust 2,493,860 43,717
  International Bancshares Corp. 1,348,191 43,169
  Moelis & Co. Class A 1,380,116 43,004
  Ryman Hospitality Properties Inc. 1,235,883 42,762
  Fulton Financial Corp. 4,041,695 42,559
  PennyMac Financial Services Inc. 989,674 41,358
  CareTrust REIT Inc. 2,390,900 41,028
  ServisFirst Bancshares Inc. 1,143,020 40,874
  Cohen & Steers Inc. 598,708 40,742
  BOK Financial Corp. 704,985 39,789
  Simmons First National Corp. Class A 2,321,844 39,727
  United Community Banks Inc. 1,962,687 39,489
  Retail Properties of America Inc. Class A 5,351,905 39,176
  National Storage Affiliates Trust 1,366,819 39,173
  RLJ Lodging Trust 4,138,926 39,071
* Texas Capital Bancshares Inc. 1,264,272 39,028
  Ameris Bancorp 1,647,457 38,863
  First Midwest Bancorp Inc. 2,852,842 38,085
  Horace Mann Educators Corp. 1,030,940 37,866
  Columbia Property Trust Inc. 2,870,346 37,716
9

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Apollo Commercial Real Estate Finance Inc. 3,840,973 37,680
  Walker & Dunlop Inc. 736,833 37,438
  Global Net Lease Inc. 2,233,462 37,366
  First Merchants Corp. 1,351,046 37,248
  Independent Bank Group Inc. 917,122 37,162
  Capitol Federal Financial Inc. 3,369,915 37,103
1 Santander Consumer USA Holdings Inc. 2,012,652 37,053
  LTC Properties Inc. 983,124 37,034
  National General Holdings Corp. 1,710,915 36,973
  Paramount Group Inc. 4,794,974 36,969
  Westamerica Bancorp 641,552 36,838
  WSFS Financial Corp. 1,269,781 36,443
  American Assets Trust Inc. 1,274,612 35,485
  Trustmark Corp. 1,424,536 34,930
1 Two Harbors Investment Corp. 6,856,960 34,559
* Cushman & Wakefield plc 2,762,910 34,426
  GEO Group Inc. 2,890,252 34,192
  Navient Corp. 4,859,414 34,162
  Industrial Logistics Properties Trust 1,634,097 33,581
1 Macerich Co. 3,742,333 33,569
  Hilltop Holdings Inc. 1,809,137 33,379
  Renasant Corp. 1,337,388 33,301
  First Interstate BancSystem Inc. Class A 1,064,526 32,958
  Urban Edge Properties 2,775,340 32,943
  First Citizens BancShares Inc. Class A 80,425 32,574
  WesBanco Inc. 1,596,990 32,435
  First Financial Bancorp 2,333,027 32,406
  NBT Bancorp Inc. 1,038,063 31,931
  Banner Corp. 837,270 31,816
  Retail Opportunity Investments Corp. 2,771,071 31,396
  Office Properties Income Trust 1,208,387 31,382
  SITE Centers Corp. 3,860,547 31,270
  Mack-Cali Realty Corp. 2,043,806 31,250
  Northwest Bancshares Inc. 3,038,306 31,067
  Towne Bank 1,638,704 30,873
  Empire State Realty Trust Inc. Class A 4,373,223 30,613
  First Bancorp 5,468,971 30,572
* eHealth Inc. 305,069 29,970
1 Broadmark Realty Capital Inc. 3,146,249 29,795
  Service Properties Trust 4,125,463 29,250
* Genworth Financial Inc. Class A 12,623,336 29,160
  Argo Group International Holdings Ltd. 824,811 28,728
1 MFA Financial Inc. 11,358,295 28,282
  Mercury General Corp. 693,919 28,277
* Axos Financial Inc. 1,271,488 28,074
  CoreCivic Inc. 2,998,939 28,070
  Acadia Realty Trust 2,158,110 28,012
  Safety Insurance Group Inc. 364,567 27,802
  DiamondRock Hospitality Co. 4,994,810 27,621
  Colony Capital Inc. 11,459,663 27,503
  Hope Bancorp Inc. 2,933,739 27,049
  Cadence Bancorp Class A 2,999,023 26,571
  Xenia Hotels & Resorts Inc. 2,836,016 26,460
  Diversified Healthcare Trust 5,963,695 26,389
  Getty Realty Corp. 882,067 26,180
* Focus Financial Partners Inc. Class A 778,962 25,745
*,1 Encore Capital Group Inc. 743,847 25,425
  Piper Sandler Cos. 427,548 25,294
  Flagstar Bancorp Inc. 853,225 25,110
  City Holding Co. 384,654 25,068
  BancFirst Corp. 613,872 24,905
10

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Universal Health Realty Income Trust 310,442 24,677
  Kite Realty Group Trust 2,108,776 24,335
  Waddell & Reed Financial Inc. Class A 1,562,783 24,239
  Eagle Bancorp Inc. 726,987 23,809
  iStar Inc. 1,821,926 22,446
  S&T Bancorp Inc. 934,533 21,915
  Employers Holdings Inc. 723,412 21,811
  American Finance Trust Inc. Class A 2,720,688 21,589
  Park National Corp. 306,405 21,565
  Provident Financial Services Inc. 1,487,098 21,489
  Investors Real Estate Trust 304,198 21,443
  Realogy Holdings Corp. 2,889,280 21,410
  Virtus Investment Partners Inc. 183,267 21,312
  Alexander & Baldwin Inc. 1,722,055 20,992
  Tompkins Financial Corp. 317,671 20,576
  First Commonwealth Financial Corp. 2,460,139 20,370
  BGC Partners Inc. Class A 7,421,865 20,336
  Redwood Trust Inc. 2,878,409 20,149
  TFS Financial Corp. 1,404,546 20,099
  Ladder Capital Corp. Class A 2,444,081 19,797
  National Bank Holdings Corp. Class A 727,846 19,652
  ProAssurance Corp. 1,342,585 19,427
  Great Western Bancorp Inc. 1,379,132 18,977
  Brookline Bancorp Inc. 1,877,793 18,928
  Nelnet Inc. Class A 384,726 18,367
  Newmark Group Inc. Class A 3,737,584 18,165
* Columbia Financial Inc. 1,298,185 18,116
  OFG Bancorp 1,287,022 17,207
* Marcus & Millichap Inc. 590,713 17,048
1 Invesco Mortgage Capital Inc. 4,542,838 16,990
* Ambac Financial Group Inc. 1,147,659 16,434
1 Tanger Factory Outlet Centers Inc. 2,225,930 15,871
* St. Joe Co. 812,075 15,770
  National Western Life Group Inc. Class A 77,498 15,747
  Kearny Financial Corp. 1,887,647 15,441
  ARMOUR Residential REIT Inc. 1,619,025 15,203
* Third Point Reinsurance Ltd. 2,021,785 15,184
  United Fire Group Inc. 533,142 14,773
  Colony Credit Real Estate Inc. 2,093,613 14,697
  Heartland Financial USA Inc. 438,271 14,656
  American National Insurance Co. 202,189 14,572
* Goosehead Insurance Inc. Class A 181,325 13,628
  Boston Private Financial Holdings Inc. 1,948,056 13,403
  RPT Realty 1,919,137 13,357
  Capstead Mortgage Corp. 2,416,541 13,267
1 Brookfield Property REIT Inc. Class A 1,331,164 13,258
  TPG RE Finance Trust Inc. 1,537,706 13,224
  Berkshire Hills Bancorp Inc. 1,195,473 13,174
  Northfield Bancorp Inc. 1,112,175 12,812
* Assetmark Financial Holdings Inc. 453,681 12,381
  Alexander's Inc. 51,255 12,347
  Franklin Street Properties Corp. 2,420,255 12,319
  WisdomTree Investments Inc. 3,333,188 11,566
  KKR Real Estate Finance Trust Inc. 695,273 11,528
  RMR Group Inc. Class A 383,872 11,313
* MBIA Inc. 1,527,393 11,074
  Safehold Inc. 191,948 11,035
  Central Pacific Financial Corp. 669,613 10,734
  Saul Centers Inc. 319,902 10,323
1 Granite Point Mortgage Trust Inc. 1,382,001 9,923
  Dime Community Bancshares Inc. 709,679 9,744
11

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
*,1 Seritage Growth Properties Class A 822,913 9,381
  Urstadt Biddle Properties Inc. Class A 752,902 8,944
  FBL Financial Group Inc. Class A 246,978 8,864
  Front Yard Residential Corp. 1,017,355 8,851
* World Acceptance Corp. 122,387 8,019
  State Auto Financial Corp. 439,749 7,850
  Summit Hotel Properties Inc. 1,323,653 7,849
* LendingClub Corp. 1,663,950 7,571
* Tejon Ranch Co. 525,780 7,571
* Forestar Group Inc. 421,463 6,356
  New Senior Investment Group Inc. 986,593 3,571
  Hersha Hospitality Trust Class A 460,916 2,655
  Retail Value Inc. 198,682 2,456
  CorePoint Lodging Inc. 473,651 1,994
1 Washington Prime Group Inc. 2,347,750 1,974
  GAMCO Investors Inc. Class A 133,934 1,783
  Associated Capital Group Inc. Class A 42,660 1,565
1 AG Mortgage Investment Trust Inc. 411,080 1,311
1 Pennsylvania REIT 840,169 1,143
  Urstadt Biddle Properties Inc. 61,852 622
  Fidelity National Financial Inc. 1,317 40
*,2 Frontier Financial Corp. 1
            18,936,914
Health Care (15.4%)
* Teladoc Health Inc. 1,864,124 355,749
  STERIS plc 2,123,395 325,814
* Insulet Corp. 1,638,719 318,338
* Catalent Inc. 4,072,014 298,479
* Sarepta Therapeutics Inc. 1,855,068 297,442
* Neurocrine Biosciences Inc. 2,325,343 283,692
* Masimo Corp. 1,219,327 277,994
  PerkinElmer Inc. 2,789,101 273,583
* Horizon Therapeutics plc 4,776,118 265,457
* Molina Healthcare Inc. 1,482,597 263,873
  Bio-Techne Corp. 956,973 252,708
* Bio-Rad Laboratories Inc. Class A 522,783 236,031
* Charles River Laboratories International Inc. 1,239,192 216,053
  West Pharmaceutical Services Inc. 921,550 209,348
* Quidel Corp. 893,768 199,972
* Ionis Pharmaceuticals Inc. 3,313,913 195,388
* Immunomedics Inc. 5,203,377 184,408
  Hill-Rom Holdings Inc. 1,666,763 182,977
* Exelixis Inc. 7,679,138 182,303
  Chemed Corp. 397,315 179,217
* Avantor Inc. 10,076,718 171,304
* Amedisys Inc. 810,971 161,010
* PRA Health Sciences Inc. 1,595,921 155,267
  Encompass Health Corp. 2,490,369 154,229
* Penumbra Inc. 852,432 152,432
* Guardant Health Inc. 1,847,019 149,849
* Repligen Corp. 1,179,026 145,739
* ACADIA Pharmaceuticals Inc. 2,927,353 141,889
* Tandem Diabetes Care Inc. 1,430,055 141,461
* LHC Group Inc. 750,911 130,899
* Novocure Ltd. 2,137,941 126,780
* United Therapeutics Corp. 1,046,322 126,605
* Syneos Health Inc. 2,087,597 121,603
* 10X Genomics Inc. Class A 1,305,440 116,589
* MyoKardia Inc. 1,186,958 114,684
* Haemonetics Corp. 1,262,224 113,045
12

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Acceleron Pharma Inc. 1,146,156 109,194
* Mirati Therapeutics Inc. 926,328 105,759
* Ultragenyx Pharmaceutical Inc. 1,347,064 105,367
* Arrowhead Pharmaceuticals Inc. 2,422,221 104,616
* Nektar Therapeutics Class A 4,458,552 103,260
* Neogen Corp. 1,323,628 102,714
  Bruker Corp. 2,508,242 102,035
* Blueprint Medicines Corp. 1,289,744 100,600
* HealthEquity Inc. 1,696,857 99,555
* Bluebird Bio Inc. 1,621,779 98,993
* Momenta Pharmaceuticals Inc. 2,948,687 98,103
* Amicus Therapeutics Inc. 6,454,316 97,331
* Nevro Corp. 808,009 96,533
*,1 Global Blood Therapeutics Inc. 1,526,540 96,370
* Wright Medical Group NV 3,225,866 95,873
* Reata Pharmaceuticals Inc. Class A 599,856 93,590
* ICU Medical Inc. 495,116 91,255
* Halozyme Therapeutics Inc. 3,397,490 91,087
* Globus Medical Inc. Class A 1,873,512 89,385
* Iovance Biotherapeutics Inc. 3,237,571 88,871
* Natera Inc. 1,772,425 88,373
* Emergent BioSolutions Inc. 1,114,849 88,162
* Arena Pharmaceuticals Inc. 1,398,496 88,035
* Integra LifeSciences Holdings Corp. 1,804,397 84,789
* Adaptive Biotechnologies Corp. 1,745,826 84,463
* Envista Holdings Corp. 3,982,835 83,998
* Agios Pharmaceuticals Inc. 1,550,706 82,932
* NeoGenomics Inc. 2,624,562 81,309
* FibroGen Inc. 2,006,050 81,305
* iRhythm Technologies Inc. 676,282 78,374
* Alkermes plc 3,976,082 77,156
* PTC Therapeutics Inc. 1,494,042 75,808
* Omnicell Inc. 1,066,133 75,290
* Jazz Pharmaceuticals plc 658,532 72,662
* HMS Holdings Corp. 2,211,611 71,634
* NuVasive Inc. 1,281,930 71,352
* Insmed Inc. 2,489,978 68,574
*,1 Allogene Therapeutics Inc. 1,542,398 66,045
*,1 Novavax Inc. 745,268 62,118
* Medpace Holdings Inc. 663,414 61,711
* Merit Medical Systems Inc. 1,315,603 60,057
* Integer Holdings Corp. 820,790 59,959
*,1 Bridgebio Pharma Inc. 1,821,540 59,400
* Deciphera Pharmaceuticals Inc. 978,882 58,459
* Sage Therapeutics Inc. 1,298,008 53,971
  Ensign Group Inc. 1,274,507 53,338
* Acadia Healthcare Co. Inc. 2,112,104 53,056
*,1 Allakos Inc. 731,619 52,574
* Pacira BioSciences Inc. 999,846 52,462
  CONMED Corp. 715,320 51,496
* Turning Point Therapeutics Inc. 790,318 51,047
  Patterson Cos. Inc. 2,154,645 47,402
* Tenet Healthcare Corp. 2,616,670 47,388
* Prestige Consumer Healthcare Inc. 1,251,589 47,010
  Healthcare Services Group Inc. 1,859,368 45,480
*,1 Editas Medicine Inc. 1,523,724 45,072
* Denali Therapeutics Inc. 1,847,750 44,679
* Xencor Inc. 1,353,054 43,825
* Corcept Therapeutics Inc. 2,576,732 43,341
*,1 Ligand Pharmaceuticals Inc. 382,205 42,750
* Magellan Health Inc. 563,540 41,127
13

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Glaukos Corp. 1,053,240 40,465
  Cantel Medical Corp. 897,944 39,716
* Select Medical Holdings Corp. 2,690,545 39,632
* Ironwood Pharmaceuticals Inc. Class A 3,781,007 39,020
* BioTelemetry Inc. 809,845 36,597
* ChemoCentryx Inc. 630,374 36,272
* Kodiak Sciences Inc. 669,410 36,228
* Intra-Cellular Therapies Inc. 1,410,270 36,202
  Luminex Corp. 1,090,459 35,473
* Avanos Medical Inc. 1,197,118 35,183
* STAAR Surgical Co. 565,347 34,791
* MEDNAX Inc. 2,025,444 34,635
*,1 OPKO Health Inc. 10,075,093 34,356
* Alector Inc. 1,381,633 33,767
* Portola Pharmaceuticals Inc. 1,869,084 33,625
* Silk Road Medical Inc. 771,630 32,324
* Heron Therapeutics Inc. 2,151,305 31,646
* Intercept Pharmaceuticals Inc. 658,806 31,563
* Fate Therapeutics Inc. 894,228 30,681
* Epizyme Inc. 1,900,126 30,516
* Supernus Pharmaceuticals Inc. 1,251,274 29,718
* REGENXBIO Inc. 793,523 29,225
*,1 1Life Healthcare Inc. 790,069 28,695
* Shockwave Medical Inc. 589,069 27,904
* Axsome Therapeutics Inc. 325,425 26,776
*,1 Viela Bio Inc. 616,047 26,687
* Theravance Biopharma Inc. 1,265,226 26,557
* Meridian Bioscience Inc. 1,073,718 25,007
* Apellis Pharmaceuticals Inc. 757,551 24,742
*,1 Madrigal Pharmaceuticals Inc. 212,720 24,091
*,1 Intellia Therapeutics Inc. 1,140,303 23,969
* Karuna Therapeutics Inc. 196,527 21,905
* Innoviva Inc. 1,523,924 21,304
* Myriad Genetics Inc. 1,775,542 20,135
* Endo International plc 5,758,632 19,752
  National HealthCare Corp. 308,013 19,540
*,1 Progyny Inc. 747,493 19,293
*,1 Aimmune Therapeutics Inc. 1,144,984 19,133
* Tricida Inc. 688,696 18,925
* Zogenix Inc. 693,644 18,735
* Gossamer Bio Inc. 1,329,649 17,285
* Aerie Pharmaceuticals Inc. 1,164,849 17,193
*,1 Esperion Therapeutics Inc. 328,826 16,872
* Inogen Inc. 469,806 16,687
*,1 SmileDirectClub Inc. Class A 2,042,261 16,134
* CorVel Corp. 226,881 16,084
* Radius Health Inc. 1,162,868 15,850
* Varex Imaging Corp. 980,128 14,849
* Orthofix Medical Inc. 457,222 14,631
* Pennant Group Inc. 629,698 14,231
* HealthStream Inc. 641,729 14,201
* Amneal Pharmaceuticals Inc. 2,954,502 14,063
* AnaptysBio Inc. 615,346 13,747
* Evolent Health Inc. Class A 1,928,534 13,731
* Brookdale Senior Living Inc. 4,591,638 13,545
  Phibro Animal Health Corp. Class A 508,635 13,362
* Sangamo Therapeutics Inc. 1,412,699 12,658
* Option Care Health Inc. 886,103 12,299
* Kiniksa Pharmaceuticals Ltd. Class A 471,856 12,023
* Atara Biotherapeutics Inc. 807,509 11,765
* Tivity Health Inc. 1,033,110 11,705
14

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* REVOLUTION Medicines Inc. 369,871 11,677
* Zentalis Pharmaceuticals Inc. 224,895 10,799
*,1 Immunovant Inc. 414,177 10,085
*,1 Black Diamond Therapeutics Inc. 225,126 9,491
* Natus Medical Inc. 424,710 9,267
* Beam Therapeutics Inc. 322,744 9,037
*,1 Stoke Therapeutics Inc. 371,963 8,864
* Inari Medical Inc. 181,959 8,814
*,1 ZIOPHARM Oncology Inc. 2,685,835 8,810
* G1 Therapeutics Inc. 354,735 8,606
*,1 Precigen Inc. 1,721,874 8,592
* NGM Biopharmaceuticals Inc. 427,184 8,433
*,1 Clovis Oncology Inc. 1,047,776 7,072
  Owens & Minor Inc. 750,308 5,717
*,1 Rubius Therapeutics Inc. 907,904 5,429
*,1 Akcea Therapeutics Inc. 381,680 5,229
* Spectrum Pharmaceuticals Inc. 1,459,390 4,933
* Phathom Pharmaceuticals Inc. 144,573 4,758
* Puma Biotechnology Inc. 419,351 4,374
* Surgery Partners Inc. 284,924 3,297
*,1 Vir Biotechnology Inc. 43,666 1,789
* Forma Therapeutics Holdings Inc. 27,911 1,298
* Five Star Senior Living Inc. 127,837 499
*,1,2 Synergy Pharmaceuticals Inc. 2,001,166 13
            13,425,268
Industrials (19.9%)
* Zebra Technologies Corp. Class A 1,329,219 340,214
  IDEX Corp. 1,887,759 298,341
* Fair Isaac Corp. 689,954 288,428
* Teledyne Technologies Inc. 917,892 285,419
  Booz Allen Hamilton Holding Corp. Class A 3,454,424 268,720
  Nordson Corp. 1,303,778 247,340
  Allegion plc 2,308,835 236,009
  Lennox International Inc. 909,840 211,984
  Graco Inc. 4,172,522 200,239
* Generac Holdings Inc. 1,569,735 191,398
* Trex Co. Inc. 1,448,455 188,401
  AptarGroup Inc. 1,607,648 180,024
* WEX Inc. 1,090,057 179,870
  Toro Co. 2,679,513 177,759
  Jack Henry & Associates Inc. 959,579 176,591
  Genpact Ltd. 4,769,921 174,198
  Carlisle Cos. Inc. 1,375,058 164,553
  Universal Display Corp. 1,061,690 158,850
  Howmet Aerospace Inc. 9,830,749 155,817
* Axon Enterprise Inc. 1,573,293 154,387
  Owens Corning 2,698,443 150,465
  Donaldson Co. Inc. 3,174,612 147,683
* Berry Global Group Inc. 3,318,280 147,066
  Watsco Inc. 820,501 145,803
  Robert Half International Inc. 2,727,406 144,089
* AECOM 3,807,007 143,067
* HD Supply Holdings Inc. 4,056,227 140,548
* Arrow Electronics Inc. 1,976,718 135,781
  Quanta Services Inc. 3,448,699 135,292
  BWX Technologies Inc. 2,382,909 134,968
  CoreLogic Inc. 1,987,262 133,584
  Knight-Swift Transportation Holdings Inc. Class A 3,190,364 133,070
  FLIR Systems Inc. 3,277,679 132,975
  Sonoco Products Co. 2,510,966 131,298
15

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Stericycle Inc. 2,289,705 128,178
  Sealed Air Corp. 3,899,179 128,088
* Paylocity Holding Corp. 874,183 127,535
  ITT Inc. 2,161,534 126,969
  Brunswick Corp. 1,981,932 126,864
  Lincoln Electric Holdings Inc. 1,486,170 125,195
  Oshkosh Corp. 1,704,288 122,061
  Cognex Corp. 2,040,697 121,870
* Euronet Worldwide Inc. 1,242,435 119,050
  Woodward Inc. 1,482,673 114,981
  MDU Resources Group Inc. 5,019,864 111,341
* Middleby Corp. 1,392,248 109,904
* Mercury Systems Inc. 1,390,965 109,413
  Jabil Inc. 3,395,206 108,918
  MAXIMUS Inc. 1,534,831 108,129
  Landstar System Inc. 960,299 107,851
  Tetra Tech Inc. 1,351,926 106,964
* FTI Consulting Inc. 928,253 106,331
  MSA Safety Inc. 923,971 105,739
  Exponent Inc. 1,290,072 104,406
*,1 Bill.com Holdings Inc. 1,136,417 102,516
*,1 II-VI Inc. 2,168,801 102,411
  ManpowerGroup Inc. 1,452,432 99,855
  Allison Transmission Holdings Inc. 2,690,808 98,968
  Littelfuse Inc. 577,666 98,567
  Graphic Packaging Holding Co. 6,989,715 97,786
  Acuity Brands Inc. 992,086 94,982
* TopBuild Corp. 833,837 94,866
1 Hexcel Corp. 2,088,649 94,449
  Armstrong World Industries Inc. 1,196,413 93,272
  Curtiss-Wright Corp. 1,042,557 93,080
  Flowserve Corp. 3,261,573 93,020
  Simpson Manufacturing Co. Inc. 1,087,249 91,720
  EMCOR Group Inc. 1,372,535 90,779
* Novanta Inc. 834,923 89,145
  Regal Beloit Corp. 1,013,996 88,542
* XPO Logistics Inc. 1,139,814 88,051
* ASGN Inc. 1,247,665 83,194
  AGCO Corp. 1,498,311 83,096
  Rexnord Corp. 2,844,510 82,917
  KBR Inc. 3,560,019 80,278
* RBC Bearings Inc. 595,057 79,761
  nVent Electric plc 4,254,270 79,683
  A O Smith Corp. 1,689,945 79,630
* Coherent Inc. 606,774 79,475
  Air Lease Corp. Class A 2,705,877 79,255
  Pentair plc 2,073,088 78,757
  Timken Co. 1,689,677 76,863
* Kirby Corp. 1,426,993 76,430
* Clean Harbors Inc. 1,251,031 75,037
* ACI Worldwide Inc. 2,755,659 74,375
* Aerojet Rocketdyne Holdings Inc. 1,866,243 73,978
  Crane Co. 1,232,563 73,288
  Eagle Materials Inc. 1,043,156 73,250
* Sensata Technologies Holding plc 1,966,272 73,204
* Saia Inc. 652,189 72,510
  Louisiana-Pacific Corp. 2,805,691 71,966
*,1 Proto Labs Inc. 632,461 71,133
  MSC Industrial Direct Co. Inc. Class A 965,862 70,324
* Colfax Corp. 2,514,722 70,161
  Avnet Inc. 2,469,791 68,870
16

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  UniFirst Corp. 381,327 68,238
  John Bean Technologies Corp. 793,084 68,221
  EnerSys 1,058,121 68,122
  Werner Enterprises Inc. 1,468,525 63,925
* Itron Inc. 955,282 63,287
  Spirit AeroSystems Holdings Inc. Class A 2,639,501 63,190
  Silgan Holdings Inc. 1,945,425 63,012
* MasTec Inc. 1,383,116 62,060
* TriNet Group Inc. 1,009,511 61,520
  ABM Industries Inc. 1,666,138 60,481
  Applied Industrial Technologies Inc. 967,881 60,386
* Builders FirstSource Inc. 2,915,736 60,356
  Advanced Drainage Systems Inc. 1,206,725 59,612
  Insperity Inc. 920,761 59,601
  Kennametal Inc. 2,073,352 59,526
* Green Dot Corp. Class A 1,192,009 58,504
* Rogers Corp. 466,634 58,143
  Valmont Industries Inc. 507,241 57,633
  Brink's Co. 1,262,197 57,443
* Fabrinet 918,210 57,315
  Brady Corp. Class A 1,210,568 56,679
  Macquarie Infrastructure Corp. 1,845,787 56,647
  AAON Inc. 1,040,654 56,497
  Watts Water Technologies Inc. Class A 687,178 55,661
  ESCO Technologies Inc. 650,875 55,018
* Advanced Disposal Services Inc. 1,808,664 54,567
  GATX Corp. 872,390 53,198
* AMN Healthcare Services Inc. 1,174,357 53,128
* ExlService Holdings Inc. 814,989 51,670
  Franklin Electric Co. Inc. 980,729 51,508
  Altra Industrial Motion Corp. 1,615,615 51,474
  Alliance Data Systems Corp. 1,130,944 51,028
  Vishay Intertechnology Inc. 3,312,655 50,584
  EVERTEC Inc. 1,796,274 50,475
  Ryder System Inc. 1,342,859 50,371
* Plexus Corp. 692,890 48,890
* Masonite International Corp. 612,539 47,643
  Barnes Group Inc. 1,197,190 47,361
  Trinity Industries Inc. 2,215,499 47,168
  ManTech International Corp. Class A 678,612 46,478
*,1,3 API Group Corp. 3,809,178 46,282
  Badger Meter Inc. 729,877 45,924
* Summit Materials Inc. Class A 2,851,312 45,849
  Albany International Corp. Class A 769,661 45,187
* Chart Industries Inc. 901,356 43,707
* SPX Corp. 1,057,815 43,529
* AeroVironment Inc. 539,483 42,959
  Hillenbrand Inc. 1,586,252 42,940
  Korn Ferry 1,379,609 42,395
* WESCO International Inc. 1,190,954 41,814
* Sanmina Corp. 1,624,594 40,680
* MACOM Technology Solutions Holdings Inc. 1,170,554 40,209
* SPX FLOW Inc. 1,069,250 40,033
  Moog Inc. Class A 752,410 39,863
* Pluralsight Inc. Class A 2,191,369 39,554
  Otter Tail Corp. 1,013,107 39,298
* Installed Building Products Inc. 560,140 38,526
* Hub Group Inc. Class A 798,546 38,218
  Fluor Corp. 3,150,959 38,064
  Schneider National Inc. Class B 1,534,570 37,858
  Cubic Corp. 781,421 37,532
17

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Ambarella Inc. 818,077 37,468
  Mueller Water Products Inc. Class A 3,954,907 37,295
  Triton International Ltd. 1,233,243 37,293
  Boise Cascade Co. 978,346 36,796
* Beacon Roofing Supply Inc. 1,380,423 36,402
  Belden Inc. 1,116,498 36,342
*,1 Virgin Galactic Holdings Inc. 2,208,423 36,086
* Resideo Technologies Inc. 3,074,670 36,035
  Mueller Industries Inc. 1,352,066 35,938
  Comfort Systems USA Inc. 868,848 35,406
* Vicor Corp. 491,386 35,355
  O-I Glass Inc. 3,925,079 35,247
* Navistar International Corp. 1,247,072 35,167
  Forward Air Corp. 701,310 34,939
* Meritor Inc. 1,720,831 34,072
* Verra Mobility Corp. Class A 3,242,771 33,336
  McGrath RentCorp 602,538 32,543
* Atkore International Group Inc. 1,182,966 32,354
* Allegheny Technologies Inc. 3,174,395 32,347
* OSI Systems Inc. 428,976 32,019
* Air Transport Services Group Inc. 1,419,181 31,605
  Matson Inc. 1,079,057 31,401
  Terex Corp. 1,650,418 30,978
* Dycom Industries Inc. 753,326 30,804
* TTM Technologies Inc. 2,530,277 30,009
*,1 Cimpress plc 389,256 29,716
* Casella Waste Systems Inc. Class A 563,677 29,379
  Kaman Corp. 693,053 28,831
  Tennant Co. 439,212 28,553
  Covanta Holding Corp. 2,977,180 28,551
* Atlas Air Worldwide Holdings Inc. 655,037 28,186
  Methode Electronics Inc. 883,308 27,612
  Helios Technologies Inc. 723,787 26,961
* AZEK Co. Inc. Class A 842,484 26,842
* Harsco Corp. 1,977,574 26,717
* JELD-WEN Holding Inc. 1,637,217 26,376
  Enerpac Tool Group Corp. Class A 1,497,816 26,362
  Astec Industries Inc. 566,167 26,219
* TriMas Corp. 1,088,136 26,061
1 Maxar Technologies Inc. 1,439,845 25,860
  EnPro Industries Inc. 514,331 25,351
* Huron Consulting Group Inc. 572,753 25,344
* Sykes Enterprises Inc. 913,800 25,276
  Lindsay Corp. 271,630 25,047
* GMS Inc. 1,007,962 24,786
  Deluxe Corp. 1,048,651 24,685
  Encore Wire Corp. 489,559 23,900
* FARO Technologies Inc. 444,153 23,807
* Kratos Defense & Security Solutions Inc. 1,519,251 23,746
  Heartland Express Inc. 1,121,689 23,354
* Parsons Corp. 630,947 22,866
  ADT Inc. 2,859,540 22,819
*,1 Livent Corp. 3,664,802 22,575
  AZZ Inc. 655,762 22,506
* Evo Payments Inc. Class A 985,112 22,490
  Granite Construction Inc. 1,173,696 22,465
  Greif Inc. Class A 646,742 22,254
*,1 Bloom Energy Corp. Class A 2,003,177 21,795
  TTEC Holdings Inc. 467,289 21,757
* Cardtronics plc Class A 891,774 21,385
  Primoris Services Corp. 1,149,399 20,413
18

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Benchmark Electronics Inc. 907,301 19,598
* Welbilt Inc. 3,192,483 19,442
  Raven Industries Inc. 898,309 19,323
* Herc Holdings Inc. 620,389 19,065
  Griffon Corp. 1,011,553 18,734
  Standex International Corp. 311,048 17,901
  Greenbrier Cos. Inc. 777,957 17,699
  AAR Corp. 835,943 17,279
  Gorman-Rupp Co. 523,258 16,263
  ArcBest Corp. 601,634 15,949
* Veeco Instruments Inc. 1,177,151 15,880
  H&E Equipment Services Inc. 810,520 14,978
  Kforce Inc. 494,562 14,466
  Apogee Enterprises Inc. 626,843 14,442
* TrueBlue Inc. 905,544 13,828
* SEACOR Holdings Inc. 484,210 13,713
* Shift4 Payments Inc. Class A 378,352 13,432
  Wabash National Corp. 1,258,604 13,366
  Kelly Services Inc. Class A 808,388 12,785
* CIRCOR International Inc. 501,026 12,766
* Tutor Perini Corp. 1,014,304 12,354
* Thermon Group Holdings Inc. 824,396 12,011
* Aegion Corp. Class A 730,725 11,597
  Quanex Building Products Corp. 818,795 11,365
* Gates Industrial Corp. plc 1,093,212 11,238
  Triumph Group Inc. 1,234,316 11,121
  Hyster-Yale Materials Handling Inc. 259,350 10,027
* Manitowoc Co. Inc. 865,068 9,412
* Conduent Inc. 3,930,721 9,394
  Resources Connection Inc. 765,442 9,162
  MTS Systems Corp. 482,227 8,482
  Greif Inc. Class B 175,249 7,331
*,1 GreenSky Inc. Class A 1,482,896 7,266
  International Seaways Inc. 307,256 5,021
  REV Group Inc. 634,110 3,868
* Astronics Corp. 276,955 2,925
* Team Inc. 364,633 2,031
* Mistras Group Inc. 218,643 864
            17,354,965
Oil & Gas (2.2%)
*,1 Enphase Energy Inc. 2,665,985 126,821
* First Solar Inc. 1,855,120 91,828
  Cabot Oil & Gas Corp. 4,984,963 85,642
  Parsley Energy Inc. Class A 7,571,933 80,868
  EQT Corp. 6,390,743 76,050
  Cimarex Energy Co. 2,560,421 70,386
  Apache Corp. 4,719,237 63,710
* WPX Energy Inc. 9,787,802 62,446
  Marathon Oil Corp. 9,917,276 60,694
  National Oilwell Varco Inc. 4,868,110 59,634
1 Ovintiv Inc. 6,172,177 58,944
  Targa Resources Corp. 2,768,517 55,564
  Devon Energy Corp. 4,781,078 54,217
  Noble Energy Inc. 5,996,630 53,730
  HollyFrontier Corp. 1,821,295 53,182
  Arcosa Inc. 1,204,842 50,844
  Murphy Oil Corp. 3,645,533 50,308
  Helmerich & Payne Inc. 2,548,146 49,714
*,1 ChampionX Corp. 4,741,802 46,280
1 Equitrans Midstream Corp. 5,174,421 42,999
19

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
1 Antero Midstream Corp. 7,736,647 39,457
  World Fuel Services Corp. 1,507,820 38,841
* Southwestern Energy Co. 13,579,208 34,763
  Delek US Holdings Inc. 1,842,977 32,086
* PDC Energy Inc. 2,495,313 31,042
1 Range Resources Corp. 5,449,465 30,681
* CNX Resources Corp. 3,282,518 28,394
*,1 Transocean Ltd. 14,636,260 26,784
* Dril-Quip Inc. 878,856 26,181
  Archrock Inc. 3,833,533 24,880
  PBF Energy Inc. Class A 2,406,211 24,640
  Cactus Inc. Class A 1,188,250 24,514
* NOW Inc. 2,740,316 23,649
*,1 Matador Resources Co. 2,775,835 23,595
  Core Laboratories NV 1,114,447 22,646
*,1 Magnolia Oil & Gas Corp. Class A 2,922,905 17,713
1 Continental Resources Inc. 915,584 16,050
* Oceaneering International Inc. 2,488,561 15,902
  Patterson-UTI Energy Inc. 4,441,477 15,412
  CVR Energy Inc. 755,920 15,202
*,1 SunPower Corp. 1,917,227 14,686
*,1 Antero Resources Corp. 5,718,627 14,525
* Helix Energy Solutions Group Inc. 3,572,379 12,396
* MRC Global Inc. 1,952,863 11,541
* ProPetro Holding Corp. 2,144,146 11,021
  SM Energy Co. 2,832,386 10,622
* NexTier Oilfield Solutions Inc. 4,019,538 9,848
  Liberty Oilfield Services Inc. Class A 1,547,234 8,479
  Berry Corp. 1,675,814 8,094
* Oil States International Inc. 1,451,290 6,894
*,1 Callon Petroleum Co. 4,725,365 5,434
* RPC Inc. 1,351,691 4,163
  QEP Resources Inc. 3,034,436 3,914
1 Nabors Industries Ltd. 86,856 3,215
*,1 Oasis Petroleum Inc. 4,060,284 3,045
* Newpark Resources Inc. 1,070,112 2,386
*,1 Tellurian Inc. 1,841,315 2,118
*,1 Centennial Resource Development Inc. Class A 2,256,391 2,008
* Gulfport Energy Corp. 1,702,565 1,856
*,1 Denbury Resources Inc. 6,345,726 1,752
*,1 Valaris plc Class A 2,647,551 1,726
*,1 Laredo Petroleum Inc. 112,476 1,559
*,1 Whiting Petroleum Corp. 1,160,261 1,311
*,1 Chesapeake Energy Corp. 23,071 113
            1,948,999
Other (0.0%)4
*,2 Alder Biopharmaceuticals Inc. CVR Exp. 12/31/2024 1,792,706 1,578
*,2 First Eagle Private Credit LLC CVR 651,238 461
*,2 Spirit MTA REIT 529,410 406
*,2 Media General Inc. CVR 2,475,062 96
*,2 Clinical Data Care CVR 297,875
            2,541
Technology (14.6%)
* Coupa Software Inc. 1,668,493 462,239
  Teradyne Inc. 4,150,532 350,761
* EPAM Systems Inc. 1,323,374 333,503
* MongoDB Inc. Class A 1,265,890 286,522
  Monolithic Power Systems Inc. 1,064,417 252,267
* Avalara Inc. 1,865,505 248,280
* HubSpot Inc. 1,037,980 232,871
20

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Ceridian HCM Holding Inc. 2,904,962 230,276
* Guidewire Software Inc. 2,075,478 230,067
* Zendesk Inc. 2,360,305 208,958
* Ciena Corp. 3,844,735 208,231
* Alteryx Inc. Class A 1,260,280 207,039
* ON Semiconductor Corp. 10,268,555 203,523
* PTC Inc. 2,608,170 202,890
  Entegris Inc. 3,369,255 198,954
* Zscaler Inc. 1,781,323 195,055
* Nuance Communications Inc. 7,044,225 178,254
* Aspen Technology Inc. 1,692,973 175,409
* Tyler Technologies Inc. 497,771 172,667
* Five9 Inc. 1,553,483 171,924
  Leidos Holdings Inc. 1,777,853 166,531
* Cree Inc. 2,708,729 160,330
* Proofpoint Inc. 1,435,032 159,461
* Dynatrace Inc. 3,868,308 157,053
  MKS Instruments Inc. 1,375,643 155,778
*,1 Fastly Inc. Class A 1,773,625 150,989
* Manhattan Associates Inc. 1,590,301 149,806
* Lumentum Holdings Inc. 1,780,552 144,990
* Inphi Corp. 1,208,047 141,946
* RealPage Inc. 2,155,184 140,108
* Anaplan Inc. 3,085,696 139,813
* Smartsheet Inc. Class A 2,690,151 136,982
* CACI International Inc. Class A 627,915 136,182
  CDK Global Inc. 3,042,063 126,002
*,1 Everbridge Inc. 860,674 119,083
  National Instruments Corp. 2,942,622 113,909
* Elastic NV 1,228,374 113,268
  Science Applications International Corp. 1,449,536 112,600
* Silicon Laboratories Inc. 1,094,354 109,731
  SYNNEX Corp. 901,686 107,995
* Nutanix Inc. Class A 4,491,671 106,475
  DXC Technology Co. 6,356,831 104,888
* Cloudflare Inc. Class A 2,893,675 104,028
  LogMeIn Inc. 1,220,783 103,486
* Pure Storage Inc. Class A 5,943,138 102,995
* Q2 Holdings Inc. 1,197,841 102,763
  Cabot Microelectronics Corp. 727,218 101,476
  Pegasystems Inc. 1,002,311 101,404
*,1 Livongo Health Inc. 1,347,294 101,303
* Blackline Inc. 1,199,232 99,428
* Lattice Semiconductor Corp. 3,368,682 95,637
* Envestnet Inc. 1,271,974 93,541
* New Relic Inc. 1,347,495 92,842
* Cirrus Logic Inc. 1,460,572 90,234
* Qualys Inc. 828,689 86,200
* Semtech Corp. 1,631,971 85,222
  Power Integrations Inc. 709,475 83,810
  Cogent Communications Holdings Inc. 1,063,160 82,246
  Brooks Automation Inc. 1,848,230 81,766
  Perspecta Inc. 3,414,712 79,324
* Box Inc. Class A 3,581,309 74,348
* Verint Systems Inc. 1,614,166 72,928
* Viavi Solutions Inc. 5,702,845 72,654
* J2 Global Inc. 1,134,138 71,689
* Alarm.com Holdings Inc. 1,097,359 71,120
  Blackbaud Inc. 1,241,385 70,858
*,1 Vertiv Holdings Co. 4,930,879 66,863
* Varonis Systems Inc. 747,771 66,163
21

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Cloudera Inc. 5,171,552 65,782
* SVMK Inc. 2,762,701 65,034
* Advanced Energy Industries Inc. 957,008 64,876
* FireEye Inc. 5,294,441 64,460
* Acacia Communications Inc. 942,724 63,342
* Change Healthcare Inc. 5,653,574 63,320
* LivePerson Inc. 1,489,879 61,726
* Premier Inc. Class A 1,794,307 61,509
* Cornerstone OnDemand Inc. 1,516,265 58,467
* Rapid7 Inc. 1,136,432 57,981
* Appfolio Inc. Class A 355,149 57,786
* Sailpoint Technologies Holdings Inc. 2,142,232 56,705
* ViaSat Inc. 1,475,757 56,625
* Teradata Corp. 2,719,842 56,573
* FormFactor Inc. 1,904,187 55,850
* Bottomline Technologies DE Inc. 1,098,196 55,755
* NCR Corp. 3,194,995 55,337
* Diodes Inc. 1,029,562 52,199
* Synaptics Inc. 810,655 48,737
*,1 Appian Corp. Class A 916,461 46,969
* Workiva Inc. Class A 822,171 43,978
* NetScout Systems Inc. 1,719,696 43,955
  InterDigital Inc. 770,857 43,654
*,1 Medallia Inc. 1,726,916 43,587
  Progress Software Corp. 1,122,635 43,502
* PROS Holdings Inc. 973,402 43,248
* Insight Enterprises Inc. 878,726 43,233
* Rambus Inc. 2,839,810 43,165
* Covetrus Inc. 2,377,642 42,536
* Tenable Holdings Inc. 1,375,063 40,991
* CommScope Holding Co. Inc. 4,892,718 40,756
* CommVault Systems Inc. 1,041,577 40,309
* Altair Engineering Inc. Class A 995,999 39,591
*,1 Yext Inc. 2,356,118 39,135
  Xperi Holding Corp. 2,587,328 38,189
  NIC Inc. 1,594,802 36,617
*,1 Cerence Inc. 869,174 35,497
* MaxLinear Inc. Class A 1,632,780 35,039
* Inovalon Holdings Inc. Class A 1,813,038 34,919
  Xerox Holdings Corp. 2,270,594 34,717
* EchoStar Corp. Class A 1,195,231 33,419
* SPS Commerce Inc. 437,995 32,902
  CSG Systems International Inc. 787,512 32,595
* Super Micro Computer Inc. 1,102,032 31,287
*,1 PagerDuty Inc. 1,081,440 30,951
* Zuora Inc. Class A 2,373,348 30,260
* Bandwidth Inc. Class A 231,442 29,393
*,1 Schrodinger Inc. 314,268 28,778
  Ubiquiti Inc. 159,679 27,874
*,1 SolarWinds Corp. 1,563,406 27,625
* Allscripts Healthcare Solutions Inc. 4,074,860 27,587
* Amkor Technology Inc. 2,116,098 26,049
* Avaya Holdings Corp. 2,075,197 25,649
*,1 Infinera Corp. 3,982,378 23,576
* MicroStrategy Inc. Class A 193,791 22,924
  Switch Inc. Class A 1,163,562 20,735
*,1 3D Systems Corp. 2,831,139 19,790
* CEVA Inc. 524,038 19,609
* nLight Inc. 868,442 19,331
* Ping Identity Holding Corp. 602,188 19,324
* NETGEAR Inc. 700,671 18,140
22

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Health Catalyst Inc. 619,391 18,068
  Shutterstock Inc. 491,266 17,180
* Unisys Corp. 1,499,627 16,361
* ScanSource Inc. 635,346 15,305
1 Ebix Inc. 650,138 14,537
* NextGen Healthcare Inc. 1,317,700 14,468
*,1 Eventbrite Inc. Class A 1,592,324 13,646
  ADTRAN Inc. 1,202,215 13,140
* Blucora Inc. 1,139,488 13,013
1 Plantronics Inc. 800,747 11,755
  Pitney Bowes Inc. 4,327,650 11,252
* Virtusa Corp. 339,922 11,037
* Sciplay Corp. Class A 569,605 8,447
* Forrester Research Inc. 258,634 8,287
* Sprout Social Inc. Class A 303,969 8,207
* Benefitfocus Inc. 723,461 7,784
* MobileIron Inc. 1,301,434 6,416
* Endurance International Group Holdings Inc. 1,584,403 6,385
  Loral Space & Communications Inc. 322,260 6,290
* Diebold Nixdorf Inc. 924,557 5,603
*,1 Gogo Inc. 629,837 1,990
* SecureWorks Corp. Class A 151,930 1,737
* Casa Systems Inc. 364,331 1,516
            12,713,811
Telecommunications (0.6%)
* GCI Liberty Inc. Class A 2,410,790 171,455
* Iridium Communications Inc. 2,811,071 71,514
* Vonage Holdings Corp. 5,828,255 58,632
  Shenandoah Telecommunications Co. 1,184,139 58,366
  Telephone & Data Systems Inc. 2,420,676 48,123
* 8x8 Inc. 2,468,395 39,494
  ATN International Inc. 260,385 15,772
* United States Cellular Corp. 328,135 10,130
* WideOpenWest Inc. 1,303,439 6,869
*,1 GTT Communications Inc. 663,476 5,414
*,1 Globalstar Inc. 14,641,159 4,782
            490,551
Utilities (3.3%)
  Atmos Energy Corp. 3,063,042 305,018
  Essential Utilities Inc. 6,137,307 259,240
*,1 PG&E Corp. 23,865,073 211,683
  UGI Corp. 5,215,869 165,865
  IDACORP Inc. 1,263,088 110,356
  ONE Gas Inc. 1,323,091 101,944
  Hawaiian Electric Industries Inc. 2,731,883 98,512
  NRG Energy Inc. 2,906,495 94,635
  Portland General Electric Co. 2,239,829 93,647
  Southwest Gas Holdings Inc. 1,308,889 90,379
  National Fuel Gas Co. 2,149,267 90,119
  Black Hills Corp. 1,570,216 88,968
  Spire Inc. 1,217,896 80,028
  New Jersey Resources Corp. 2,394,728 78,188
  PNM Resources Inc. 1,992,766 76,602
  OGE Energy Corp. 2,504,737 76,044
  American States Water Co. 924,538 72,696
  ALLETE Inc. 1,295,510 70,748
  NorthWestern Corp. 1,264,858 68,960
  El Paso Electric Co. 1,022,390 68,500
  Ormat Technologies Inc. 1,023,487 64,981
  Avista Corp. 1,686,814 61,383
23

Vanguard® Small-Cap Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  California Water Service Group 1,221,086 58,246
  MGE Energy Inc. 899,306 58,014
  South Jersey Industries Inc. 2,311,608 57,767
  Clearway Energy Inc. Class C 1,982,336 45,713
  Northwest Natural Holding Co. 762,487 42,539
  TerraForm Power Inc. Class A 2,271,650 41,889
* Sunrun Inc. 2,111,519 41,639
* Evoqua Water Technologies Corp. 2,052,618 38,179
  Clearway Energy Inc. Class A 867,362 18,189
*,1 Vivint Solar Inc. 625,170 6,189
            2,836,860
Total Common Stocks (Cost $75,043,210) 86,530,053
Preferred Stocks (0.0%)
  WESCO International Inc. Pfd., 10.625%, 6/22/25
(Cost $2,977)
112,338 2,979
      Coupon      
Temporary Cash Investments (2.8%)
Money Market Fund (2.7%)
5,6 Vanguard Market Liquidity Fund 0.227%   23,850,257 2,385,026
        Maturity
Date
Face
Amount
($000)
 
U.S. Government and Agency Obligations (0.1%)
7 United States Treasury Bill 0.102% 7/14/20 37,000 36,998
7 United States Treasury Bill 0.120% 7/30/20 33,650 33,647
7 United States Treasury Bill 0.210% 9/15/20 380 380
            71,025
Total Temporary Cash Investments (Cost $2,455,606) 2,456,051
Total Investments (102.1%) (Cost $77,501,793)   88,989,083
Other Assets and Liabilities—Net (-2.1%)   (1,844,966)
Net Assets (100%)   87,144,117
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 $1,787,026,000.
2 Security value determined using significant unobservable inputs.
3 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. At June 30, 2020, the aggregate value of these securities was $46,282,000, representing 0.1% of net assets.
4 “Other” represents securities that are not classified by the fund’s benchmark index.
5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
6 Collateral of $1,879,657,000 was received for securities on loan, of which $1,777,918,000 is held in Vanguard Market Liquidity Fund and $101,739,000 is held in cash.
7 Securities with a value of $40,704,000 have been segregated as initial margin for open futures contracts.
  CVR—Contingent Value Rights.
  REIT—Real Estate Investment Trust.
24

Vanguard® Small-Cap Growth Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
Common Stocks (99.8%)
Basic Materials (1.2%)
  Royal Gold Inc. 996,406 123,873
  NewMarket Corp. 132,967 53,251
  Balchem Corp. 491,018 46,578
* Ingevity Corp. 626,129 32,916
  Quaker Chemical Corp. 101,166 18,781
* Element Solutions Inc. 1,606,888 17,435
* Coeur Mining Inc. 1,657,662 8,421
  GrafTech International Ltd. 1,014,755 8,098
  American Vanguard Corp. 409,069 5,629
* PQ Group Holdings Inc. 311,432 4,123
* Univar Solutions Inc. 236 4
  US Silica Holdings Inc. 103
            319,109
Consumer Goods (5.5%)
  Pool Corp. 576,391 156,703
* Zynga Inc. Class A 13,078,083 124,765
  Gentex Corp. 3,720,417 95,875
*,1 Beyond Meat Inc. 661,818 88,670
* Post Holdings Inc. 932,297 81,688
* Boston Beer Co. Inc. Class A 132,022 70,850
* Skechers U.S.A. Inc. Class A 2,069,018 64,926
* Tempur Sealy International Inc. 743,746 53,513
* Fox Factory Holding Corp. 628,122 51,889
* YETI Holdings Inc. 1,189,047 50,808
* Deckers Outdoor Corp. 212,589 41,750
  LCI Industries 362,783 41,713
  WD-40 Co. 207,690 41,185
  Columbia Sportswear Co. 452,150 36,434
* Crocs Inc. 972,460 35,806
*,1 iRobot Corp. 402,403 33,762
  Steven Madden Ltd. 1,200,566 29,642
  J & J Snack Foods Corp. 229,585 29,187
* Dorman Products Inc. 418,968 28,100
  Carter's Inc. 331,340 26,739
* Freshpet Inc. 290,531 24,306
* Fitbit Inc. Class A 3,610,648 23,325
  Lancaster Colony Corp. 146,336 22,681
* Gentherm Inc. 495,313 19,268
* Sonos Inc. 1,241,106 18,157
  Coca-Cola Consolidated Inc. 70,521 16,163
* USANA Health Sciences Inc. 175,656 12,898
* Cavco Industries Inc. 66,347 12,795
  Callaway Golf Co. 712,625 12,478
* BellRing Brands Inc. Class A 597,062 11,905
  Medifast Inc. 85,125 11,813
*,1 National Beverage Corp. 177,082 10,806
* American Woodmark Corp. 116,576 8,819
* Sleep Number Corp. 199,478 8,306
  Inter Parfums Inc. 131,126 6,314
* elf Beauty Inc. 304,114 5,800
  Oxford Industries Inc. 121,157 5,332
* GoPro Inc. Class A 938,892 4,469
  Interface Inc. Class A 444,014 3,614
*,1 Revlon Inc. Class A 121,521 1,203
  Reynolds Consumer Products Inc. 69 2
            1,424,459
Consumer Services (12.2%)
* Etsy Inc. 1,803,051 191,538
25

Vanguard® Small-Cap Growth Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Cable One Inc. 81,761 145,114
* Trade Desk Inc. Class A 310,663 126,285
* Chegg Inc. 1,784,588 120,031
* Bright Horizons Family Solutions Inc. 916,421 107,405
* Caesars Entertainment Corp. 8,313,629 100,844
* Burlington Stores Inc. 499,455 98,358
* Grubhub Inc. 1,397,062 98,213
* Liberty Media Corp.-Liberty Formula One Class C 2,941,616 93,279
* Five Below Inc. 846,769 90,528
  Casey's General Stores Inc. 559,014 83,584
  Dunkin' Brands Group Inc. 1,247,569 81,379
* Floor & Decor Holdings Inc. Class A 1,401,874 80,818
* Ollie's Bargain Outlet Holdings Inc. 823,886 80,452
* IAA Inc. 2,034,976 78,489
* Planet Fitness Inc. Class A 1,214,692 73,574
* SiteOne Landscape Supply Inc. 636,689 72,563
  Churchill Downs Inc. 509,262 67,808
* Grand Canyon Education Inc. 718,842 65,077
  Wingstop Inc. 449,453 62,460
  Dolby Laboratories Inc. Class A 929,979 61,258
* RH 233,836 58,202
* frontdoor Inc. 1,297,568 57,521
  Vail Resorts Inc. 305,883 55,717
  Nexstar Media Group Inc. Class A 653,301 54,675
  Texas Roadhouse Inc. Class A 1,000,402 52,591
  Strategic Education Inc. 337,496 51,856
*,1 Eldorado Resorts Inc. 1,250,618 50,100
  Morningstar Inc. 325,076 45,826
* Stamps.com Inc. 246,587 45,296
  Choice Hotels International Inc. 546,711 43,135
* Madison Square Garden Sports Corp. 280,924 41,265
  Papa John's International Inc. 468,564 37,209
* National Vision Holdings Inc. 1,217,539 37,159
* 2U Inc. 923,119 35,042
* Cargurus Inc. Class A 1,267,098 32,121
1 World Wrestling Entertainment Inc. Class A 703,675 30,575
* Penn National Gaming Inc. 981,010 29,960
* Shake Shack Inc. Class A 550,976 29,191
  Monro Inc. 480,401 26,393
  Jack in the Box Inc. 344,464 25,521
  Boyd Gaming Corp. 1,183,218 24,729
* Simply Good Foods Co. 1,304,155 24,231
* Yelp Inc. Class A 1,037,529 23,998
  Six Flags Entertainment Corp. 1,222,347 23,481
* Madison Square Garden Entertainment Corp. 296,104 22,208
  Marriott Vacations Worldwide Corp. 265,132 21,797
1 Allegiant Travel Co. Class A 196,916 21,505
*,1 Stitch Fix Inc. Class A 772,880 19,276
* WW International Inc. 718,195 18,228
* Upwork Inc. 1,224,478 17,681
* Scientific Games Corp. 860,411 13,302
*,1 ANGI Homeservices Inc. Class A 1,059,534 12,873
* Hilton Grand Vacations Inc. 645,893 12,627
* SeaWorld Entertainment Inc. 772,408 11,439
* Liberty Media Corp.-Liberty Formula One Class A 367,148 10,713
  Red Rock Resorts Inc. Class A 972,751 10,613
1 Dave & Buster's Entertainment Inc. 719,939 9,597
* Vroom Inc. 175,045 9,127
* Quotient Technology Inc. 1,090,541 7,983
  EW Scripps Co. Class A 793,990 6,947
* Selectquote Inc. 244,619 6,196
26

Vanguard® Small-Cap Growth Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
*,1 Revolve Group Inc. Class A 239,855 3,564
* Vivint Smart Home Inc. 202,620 3,511
* TrueCar Inc. 732,900 1,891
* Albertsons Cos. Inc. Class A 14,216 224
*,1 Carvana Co. Class A 97 12
* ServiceMaster Global Holdings Inc. 187 7
* At Home Group Inc. 37
            3,156,172
Financials (12.2%)
  Equity LifeStyle Properties Inc. 2,628,996 164,260
  CyrusOne Inc. 1,750,176 127,325
*,1 Zillow Group Inc. Class C 2,019,982 116,371
  Americold Realty Trust 3,042,764 110,452
  American Homes 4 Rent Class A 3,878,312 104,327
  Kilroy Realty Corp. 1,748,291 102,625
  Healthcare Trust of America Inc. Class A 3,319,356 88,029
  Lamar Advertising Co. Class A 1,311,727 87,571
  STORE Capital Corp. Class A 3,343,242 79,603
  CubeSmart 2,941,232 79,384
  Apollo Global Management Inc. Class A 1,564,727 78,111
  Rexford Industrial Realty Inc. 1,862,318 77,156
  Erie Indemnity Co. Class A 385,954 74,065
  American Campus Communities Inc. 2,090,638 73,089
  CoreSite Realty Corp. 575,859 69,713
  STAG Industrial Inc. 2,259,297 66,243
  Tradeweb Markets Inc. Class A 1,084,049 63,027
*,1 Credit Acceptance Corp. 147,474 61,793
  Healthcare Realty Trust Inc. 2,050,045 60,046
  QTS Realty Trust Inc. Class A 915,643 58,684
  Hudson Pacific Properties Inc. 2,329,045 58,599
  Essent Group Ltd. 1,596,665 57,911
* Redfin Corp. 1,346,589 56,435
  Spirit Realty Capital Inc. 1,563,917 54,518
  Terreno Realty Corp. 1,028,371 54,133
  Physicians Realty Trust 3,077,452 53,917
  Western Alliance Bancorp 1,378,996 52,223
  Omega Healthcare Investors Inc. 1,723,629 51,243
  Kinsale Capital Group Inc. 321,174 49,849
  Pinnacle Financial Partners Inc. 1,094,710 45,967
  PS Business Parks Inc. 313,126 41,458
  FirstCash Inc. 598,055 40,357
  Douglas Emmett Inc. 1,265,908 38,813
* Zillow Group Inc. Class A 627,297 36,057
*,1 LendingTree Inc. 119,077 34,476
* Howard Hughes Corp. 625,987 32,520
  JBG SMITH Properties 964,165 28,510
  Hamilton Lane Inc. Class A 423,147 28,507
  Virtu Financial Inc. Class A 1,189,021 28,061
  Pacific Premier Bancorp Inc. 1,267,364 27,476
  Ryman Hospitality Properties Inc. 750,087 25,953
  CareTrust REIT Inc. 1,454,113 24,953
  ServisFirst Bancshares Inc. 695,224 24,861
  Cohen & Steers Inc. 363,326 24,724
  National Storage Affiliates Trust 828,134 23,734
  Ameris Bancorp 1,002,188 23,642
  Sabra Health Care REIT Inc. 1,561,489 22,532
  Independent Bank Group Inc. 555,617 22,514
  Paramount Group Inc. 2,917,654 22,495
  Houlihan Lokey Inc. Class A 373,573 20,786
* eHealth Inc. 184,810 18,156
27

Vanguard® Small-Cap Growth Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Sterling Bancorp 1,477,255 17,313
  Colony Capital Inc. 6,944,643 16,667
  Kennedy-Wilson Holdings Inc. 1,090,227 16,593
* Focus Financial Partners Inc. Class A 472,051 15,601
  Evercore Inc. Class A 261,809 15,426
  Universal Health Realty Income Trust 188,116 14,953
  Kite Realty Group Trust 1,276,256 14,728
  Uniti Group Inc. 1,474,464 13,786
  Pebblebrook Hotel Trust 993,279 13,568
  TFS Financial Corp. 851,128 12,180
  Simmons First National Corp. Class A 703,586 12,038
  National Bank Holdings Corp. Class A 441,074 11,909
* Texas Capital Bancshares Inc. 383,130 11,827
* Marcus & Millichap Inc. 356,739 10,295
* St. Joe Co. 492,277 9,560
  Kearny Financial Corp. 1,143,865 9,357
  Towne Bank 496,474 9,354
* Axos Financial Inc. 386,394 8,532
* Goosehead Insurance Inc. Class A 109,844 8,256
  Alexander's Inc. 31,037 7,477
  RMR Group Inc. Class A 231,983 6,836
  Safehold Inc. 116,258 6,684
  Alexander & Baldwin Inc. 526,090 6,413
  Redwood Trust Inc. 872,101 6,105
  Newmark Group Inc. Class A 1,133,087 5,507
  Front Yard Residential Corp. 616,442 5,363
* Assetmark Financial Holdings Inc. 137,441 3,751
  New Senior Investment Group Inc. 597,943 2,164
  GAMCO Investors Inc. Class A 80,573 1,072
  Bank OZK 173 4
  American Assets Trust Inc. 67 2
  Retail Opportunity Investments Corp. 154 2
1 Broadmark Realty Capital Inc. 175 2
            3,160,579
Health Care (24.6%)
* Teladoc Health Inc. 1,131,124 215,864
* Insulet Corp. 994,406 193,173
* Catalent Inc. 2,471,087 181,131
* Sarepta Therapeutics Inc. 1,125,605 180,480
* Neurocrine Biosciences Inc. 1,410,849 172,124
* Masimo Corp. 739,933 168,697
* Horizon Therapeutics plc 2,898,457 161,096
  Bio-Techne Corp. 580,726 153,352
* Bio-Rad Laboratories Inc. Class A 317,273 143,246
  West Pharmaceutical Services Inc. 559,194 127,032
* Quidel Corp. 542,362 121,348
* Ionis Pharmaceuticals Inc. 2,010,814 118,558
* Immunomedics Inc. 3,157,169 111,890
* Exelixis Inc. 4,658,918 110,603
  Chemed Corp. 241,148 108,775
* Avantor Inc. 6,114,313 103,943
  STERIS plc 644,250 98,854
* Amedisys Inc. 491,903 97,662
* PRA Health Sciences Inc. 968,158 94,192
* Guardant Health Inc. 1,120,390 90,897
* Repligen Corp. 715,205 88,407
* ACADIA Pharmaceuticals Inc. 1,777,179 86,140
* Tandem Diabetes Care Inc. 867,446 85,808
* Penumbra Inc. 452,074 80,840
* LHC Group Inc. 455,897 79,472
28

Vanguard® Small-Cap Growth Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Novocure Ltd. 1,296,998 76,912
* Syneos Health Inc. 1,266,117 73,751
* MyoKardia Inc. 719,244 69,493
* Haemonetics Corp. 765,486 68,557
* Acceleron Pharma Inc. 694,641 66,178
* Charles River Laboratories International Inc. 375,585 65,483
* Ultragenyx Pharmaceutical Inc. 816,943 63,901
* Arrowhead Pharmaceuticals Inc. 1,468,865 63,440
* Nektar Therapeutics Class A 2,706,924 62,692
* Neogen Corp. 803,802 62,375
  Bruker Corp. 1,523,117 61,960
* Blueprint Medicines Corp. 782,121 61,005
* HealthEquity Inc. 1,030,441 60,456
* Bluebird Bio Inc. 983,608 60,039
* Momenta Pharmaceuticals Inc. 1,788,263 59,496
* Amicus Therapeutics Inc. 3,914,426 59,030
* Nevro Corp. 491,139 58,676
*,1 Global Blood Therapeutics Inc. 925,835 58,448
* Wright Medical Group NV 1,958,144 58,196
  Hill-Rom Holdings Inc. 505,564 55,501
* ICU Medical Inc. 300,665 55,416
* Halozyme Therapeutics Inc. 2,063,369 55,319
* Globus Medical Inc. Class A 1,137,789 54,284
* Natera Inc. 1,076,206 53,660
* Emergent BioSolutions Inc. 676,581 53,504
* Arena Pharmaceuticals Inc. 848,308 53,401
* Integra LifeSciences Holdings Corp. 1,095,569 51,481
* Adaptive Biotechnologies Corp. 1,060,151 51,290
* Agios Pharmaceuticals Inc. 941,931 50,375
* NeoGenomics Inc. 1,594,182 49,388
* FibroGen Inc. 1,218,337 49,379
* iRhythm Technologies Inc. 410,781 47,605
* Alkermes plc 2,411,633 46,798
* PTC Therapeutics Inc. 907,439 46,043
* Omnicell Inc. 647,458 45,724
* HMS Holdings Corp. 1,343,119 43,504
* NuVasive Inc. 778,565 43,335
* Insmed Inc. 1,512,544 41,656
*,1 Allogene Therapeutics Inc. 936,835 40,115
* Medpace Holdings Inc. 403,078 37,494
* Merit Medical Systems Inc. 799,301 36,488
* Deciphera Pharmaceuticals Inc. 591,567 35,328
  Ensign Group Inc. 774,586 32,416
*,1 Allakos Inc. 444,521 31,943
* Pacira BioSciences Inc. 606,697 31,833
* Editas Medicine Inc. 926,644 27,410
* Xencor Inc. 822,701 26,647
* Corcept Therapeutics Inc. 1,567,000 26,357
*,1 Ligand Pharmaceuticals Inc. 231,648 25,910
* Glaukos Corp. 638,346 24,525
  Cantel Medical Corp. 544,200 24,070
* Ironwood Pharmaceuticals Inc. Class A 2,302,862 23,766
* BioTelemetry Inc. 492,696 22,265
  Luminex Corp. 660,930 21,500
* STAAR Surgical Co. 342,532 21,079
*,1 OPKO Health Inc. 6,088,785 20,763
* Alector Inc. 840,444 20,540
* Portola Pharmaceuticals Inc. 1,132,712 20,378
* Heron Therapeutics Inc. 1,308,154 19,243
* Intercept Pharmaceuticals Inc. 400,373 19,182
* Fate Therapeutics Inc. 541,434 18,577
29

Vanguard® Small-Cap Growth Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Epizyme Inc. 1,151,487 18,493
* Supernus Pharmaceuticals Inc. 758,197 18,007
* REGENXBIO Inc. 480,906 17,712
*,1 1Life Healthcare Inc. 479,420 17,413
* Shockwave Medical Inc. 360,630 17,083
* Theravance Biopharma Inc. 766,714 16,093
  CONMED Corp. 216,510 15,587
* Apellis Pharmaceuticals Inc. 455,904 14,890
*,1 Intellia Therapeutics Inc. 691,017 14,525
  Healthcare Services Group Inc. 567,782 13,888
* Innoviva Inc. 923,900 12,916
* Progyny Inc. 452,740 11,685
*,1 Aimmune Therapeutics Inc. 693,899 11,595
* Tricida Inc. 417,427 11,471
* Gossamer Bio Inc. 805,755 10,475
*,1 Esperion Therapeutics Inc. 200,042 10,264
* Inogen Inc. 286,443 10,175
* Silk Road Medical Inc. 233,740 9,791
*,1 SmileDirectClub Inc. Class A 1,237,435 9,776
* CorVel Corp. 137,475 9,746
* Radius Health Inc. 706,643 9,632
* Orthofix Medical Inc. 277,445 8,878
* Pennant Group Inc. 383,935 8,677
* HealthStream Inc. 388,650 8,601
* Evolent Health Inc. Class A 1,174,365 8,362
* Sangamo Therapeutics Inc. 856,075 7,670
* Option Care Health Inc. 536,703 7,449
* REVOLUTION Medicines Inc. 224,106 7,075
* Atara Biotherapeutics Inc. 483,714 7,048
* Zentalis Pharmaceuticals Inc. 136,230 6,542
* Natus Medical Inc. 256,708 5,601
*,1 Beam Therapeutics Inc. 195,457 5,473
*,1 ZIOPHARM Oncology Inc. 1,645,553 5,397
* Inari Medical Inc. 109,766 5,317
*,1 Precigen Inc. 1,039,049 5,185
*,1 Clovis Oncology Inc. 643,543 4,344
* Tivity Health Inc. 313,030 3,547
*,1 Rubius Therapeutics Inc. 550,071 3,289
*,1 Akcea Therapeutics Inc. 231,187 3,167
* Immunovant Inc. 125,429 3,054
* Spectrum Pharmaceuticals Inc. 884,295 2,989
* Phathom Pharmaceuticals Inc. 87,571 2,882
* Puma Biotechnology Inc. 253,885 2,648
*,1 Vir Biotechnology Inc. 11,837 485
* Forma Therapeutics Holdings Inc. 8,652 402
* Moderna Inc. 1,562 100
* Bridgebio Pharma Inc. 35 1
* Varex Imaging Corp. 55 1
* Black Diamond Therapeutics Inc. 11 1
* Lexicon Pharmaceuticals Inc. 58
* Stoke Therapeutics Inc. 11
*,1 TherapeuticsMD Inc. 323
            6,344,566
Industrials (18.0%)
* Zebra Technologies Corp. Class A 806,597 206,448
* Fair Isaac Corp. 418,612 174,997
* Teledyne Technologies Inc. 557,056 173,217
  Nordson Corp. 791,131 150,085
  Lennox International Inc. 551,993 128,609
  Graco Inc. 2,531,127 121,469
30

Vanguard® Small-Cap Growth Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Trex Co. Inc. 878,908 114,320
* WEX Inc. 661,035 109,077
  Toro Co. 1,625,333 107,825
  Jack Henry & Associates Inc. 581,986 107,103
  Genpact Ltd. 2,893,021 105,653
  Universal Display Corp. 644,105 96,371
* Axon Enterprise Inc. 964,468 94,643
* Berry Global Group Inc. 2,013,077 89,220
  Watsco Inc. 497,701 88,441
  BWX Technologies Inc. 1,446,884 81,951
  FLIR Systems Inc. 1,987,662 80,639
* Paylocity Holding Corp. 530,167 77,346
  Cognex Corp. 1,238,949 73,990
* Euronet Worldwide Inc. 753,488 72,199
  Woodward Inc. 899,053 69,722
* Mercury Systems Inc. 844,749 66,448
  MAXIMUS Inc. 931,492 65,624
  Landstar System Inc. 583,001 65,477
  Exponent Inc. 783,091 63,376
* II-VI Inc. 1,317,020 62,190
  Littelfuse Inc. 350,372 59,784
* TopBuild Corp. 506,261 57,597
  Simpson Manufacturing Co. Inc. 660,242 55,698
* Novanta Inc. 506,905 54,122
* ASGN Inc. 757,695 50,523
* RBC Bearings Inc. 361,427 48,446
  A O Smith Corp. 1,026,135 48,351
* Coherent Inc. 368,446 48,259
  Air Lease Corp. Class A 1,640,230 48,042
* Clean Harbors Inc. 759,884 45,578
* ACI Worldwide Inc. 1,673,489 45,167
* Aerojet Rocketdyne Holdings Inc. 1,133,581 44,935
  Eagle Materials Inc. 632,333 44,402
* Saia Inc. 396,113 44,040
* Proto Labs Inc. 384,113 43,201
  John Bean Technologies Corp. 481,877 41,451
* Itron Inc. 580,636 38,467
* TriNet Group Inc. 613,371 37,379
  Advanced Drainage Systems Inc. 733,173 36,219
  Insperity Inc. 559,500 36,216
* Rogers Corp. 283,524 35,327
* Fabrinet 557,836 34,820
  AAON Inc. 632,318 34,329
* Middleby Corp. 422,306 33,337
* Advanced Disposal Services Inc. 1,096,057 33,068
* AMN Healthcare Services Inc. 713,664 32,286
* ExlService Holdings Inc. 495,267 31,400
  Franklin Electric Co. Inc. 596,146 31,310
* Masonite International Corp. 371,393 28,887
  Hexcel Corp. 634,474 28,691
  Armstrong World Industries Inc. 363,240 28,318
  Badger Meter Inc. 442,335 27,832
  Albany International Corp. Class A 466,433 27,384
* Chart Industries Inc. 546,269 26,489
* AeroVironment Inc. 328,144 26,130
* Installed Building Products Inc. 339,355 23,341
* Kirby Corp. 433,295 23,207
  Cubic Corp. 475,611 22,844
* Ambarella Inc. 495,606 22,699
  Mueller Water Products Inc. Class A 2,396,938 22,603
*,1 Virgin Galactic Holdings Inc. 1,338,357 21,869
31

Vanguard® Small-Cap Growth Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Forward Air Corp. 425,093 21,178
* Vicor Corp. 291,864 21,000
* Verra Mobility Corp. Class A 1,968,325 20,234
* Air Transport Services Group Inc. 857,830 19,104
* Dycom Industries Inc. 456,585 18,670
*,1 Cimpress plc 235,880 18,007
* Casella Waste Systems Inc. Class A 341,323 17,790
  Tennant Co. 267,021 17,359
  Covanta Holding Corp. 1,803,771 17,298
  Helios Technologies Inc. 438,227 16,324
  Lindsay Corp. 164,599 15,178
* FARO Technologies Inc. 270,314 14,489
* Kratos Defense & Security Solutions Inc. 920,317 14,385
  Heartland Express Inc. 680,000 14,158
*,1,2 API Group Corp. 1,157,265 14,061
* Summit Materials Inc. Class A 867,024 13,942
* Parsons Corp. 382,557 13,864
* Livent Corp. 2,221,167 13,682
* Evo Payments Inc. Class A 596,908 13,627
*,1 Bloom Energy Corp. Class A 1,213,764 13,206
* MACOM Technology Solutions Holdings Inc. 355,703 12,218
* Pluralsight Inc. Class A 664,048 11,986
  Raven Industries Inc. 541,974 11,658
  Comfort Systems USA Inc. 263,196 10,725
* Allegheny Technologies Inc. 962,432 9,807
* Veeco Instruments Inc. 713,323 9,623
  Methode Electronics Inc. 267,626 8,366
* SEACOR Holdings Inc. 291,994 8,269
* AZEK Co. Inc. Class A 250,142 7,969
  EnPro Industries Inc. 155,844 7,682
* Thermon Group Holdings Inc. 501,856 7,312
* Welbilt Inc. 967,625 5,893
  Gorman-Rupp Co. 158,525 4,927
*,1 GreenSky Inc. Class A 906,883 4,444
  Apogee Enterprises Inc. 189,840 4,374
* Shift4 Payments Inc. Class A 116,567 4,138
  Quanex Building Products Corp. 249,934 3,469
* Astronics Corp. 165,755 1,750
* Mistras Group Inc. 132,083 522
* Green Dot Corp. Class A 63 3
* JELD-WEN Holding Inc. 92 1
  AZZ Inc. 39 1
* Herc Holdings Inc. 35 1
            4,633,182
Oil & Gas (1.7%)
* Enphase Energy Inc. 1,616,884 76,915
  Cabot Oil & Gas Corp. 3,027,963 52,020
  Parsley Energy Inc. Class A 4,589,645 49,017
* WPX Energy Inc. 5,949,769 37,960
*,1 ChampionX Corp. 2,883,534 28,143
* First Solar Inc. 563,177 27,877
  Cimarex Energy Co. 775,854 21,328
* PDC Energy Inc. 1,512,401 18,814
*,1 Transocean Ltd. 8,871,947 16,236
  Helmerich & Payne Inc. 775,820 15,136
  Cactus Inc. Class A 717,984 14,812
*,1 Matador Resources Co. 1,682,430 14,301
1 Antero Midstream Corp. 2,353,272 12,002
  Patterson-UTI Energy Inc. 2,693,223 9,346
  Core Laboratories NV 338,176 6,872
32

Vanguard® Small-Cap Growth Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* NexTier Oilfield Solutions Inc. 2,437,192 5,971
  Liberty Oilfield Services Inc. Class A 939,227 5,147
* Oceaneering International Inc. 757,299 4,839
* ProPetro Holding Corp. 642,312 3,302
*,1 Callon Petroleum Co. 2,866,440 3,296
*,1 Oasis Petroleum Inc. 2,462,282 1,847
* Newpark Resources Inc. 650,481 1,451
*,1 Tellurian Inc. 1,116,617 1,284
* Centennial Resource Development Inc. Class A 1,368,507 1,218
* Exterran Corp. 20
            429,134
Other (0.0%)3
*,4 Alder Biopharmaceuticals Inc. CVR Exp. 12/31/2024 1,054,451 928
*,4 First Eagle Private Credit LLC CVR 323,987 229
*,4 Media General Inc. CVR 1,362,047 53
*,4 Clinical Data Care CVR 132,154
            1,210
Technology (23.2%)
* Coupa Software Inc. 1,012,440 280,486
  Teradyne Inc. 2,518,247 212,817
* EPAM Systems Inc. 803,042 202,375
* MongoDB Inc. Class A 768,131 173,859
* Zendesk Inc. 1,735,417 153,636
  Monolithic Power Systems Inc. 645,725 153,037
* HubSpot Inc. 629,677 141,268
* Ceridian HCM Holding Inc. 1,761,355 139,623
* Guidewire Software Inc. 1,259,273 139,590
* Ciena Corp. 2,332,297 126,317
* PTC Inc. 1,581,986 123,063
  Entegris Inc. 2,045,008 120,758
* Zscaler Inc. 1,080,840 118,352
* Aspen Technology Inc. 1,027,049 106,413
* Tyler Technologies Inc. 302,121 104,800
* Five9 Inc. 942,376 104,293
* Cree Inc. 1,643,230 97,263
* Proofpoint Inc. 870,613 96,742
* Dynatrace Inc. 2,346,591 95,272
  MKS Instruments Inc. 835,022 94,558
* Alteryx Inc. Class A 574,540 94,385
* Fastly Inc. Class A 1,075,939 91,595
* Manhattan Associates Inc. 964,690 90,874
* Lumentum Holdings Inc. 1,081,085 88,033
* Inphi Corp. 732,536 86,073
* RealPage Inc. 1,308,119 85,041
* Anaplan Inc. 1,872,731 84,853
* Smartsheet Inc. Class A 1,631,850 83,094
  CDK Global Inc. 1,846,392 76,478
* Everbridge Inc. 521,991 72,223
  National Instruments Corp. 1,785,669 69,123
* Elastic NV 744,865 68,684
* Silicon Laboratories Inc. 663,712 66,550
* Nutanix Inc. Class A 2,728,153 64,671
* Cloudflare Inc. Class A 1,754,539 63,076
  LogMeIn Inc. 741,028 62,817
* Pure Storage Inc. Class A 3,608,635 62,538
* Q2 Holdings Inc. 727,406 62,404
  Cabot Microelectronics Corp. 441,539 61,612
  Pegasystems Inc. 608,413 61,553
* Livongo Health Inc. 816,529 61,395
* Blackline Inc. 728,161 60,372
33

Vanguard® Small-Cap Growth Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Lattice Semiconductor Corp. 2,045,217 58,064
* Envestnet Inc. 772,378 56,801
* New Relic Inc. 818,289 56,380
* Qualys Inc. 503,125 52,335
* Semtech Corp. 989,781 51,686
  Power Integrations Inc. 431,050 50,920
  Cogent Communications Holdings Inc. 645,441 49,931
  Brooks Automation Inc. 1,120,576 49,574
* Box Inc. Class A 2,175,082 45,155
* J2 Global Inc. 688,704 43,533
* Alarm.com Holdings Inc. 666,465 43,194
  Blackbaud Inc. 753,889 43,032
* Varonis Systems Inc. 454,199 40,187
* Cloudera Inc. 3,140,891 39,952
* Advanced Energy Industries Inc. 581,353 39,410
* FireEye Inc. 3,216,390 39,160
* Acacia Communications Inc. 571,095 38,372
* LivePerson Inc. 905,163 37,501
* Cornerstone OnDemand Inc. 921,344 35,527
* Rapid7 Inc. 690,548 35,232
* Appfolio Inc. Class A 215,820 35,116
* Sailpoint Technologies Holdings Inc. 1,302,302 34,472
* ViaSat Inc. 895,976 34,379
* FormFactor Inc. 1,157,049 33,936
* Bottomline Technologies DE Inc. 667,332 33,880
* Diodes Inc. 624,905 31,683
  InterDigital Inc. 467,316 26,464
* PROS Holdings Inc. 591,959 26,301
* Tenable Holdings Inc. 836,268 24,929
* CommVault Systems Inc. 629,965 24,380
*,1 Altair Engineering Inc. Class A 603,501 23,989
* Yext Inc. 1,427,611 23,713
  NIC Inc. 966,474 22,190
* MaxLinear Inc. Class A 986,268 21,165
* Inovalon Holdings Inc. Class A 1,098,184 21,151
* Vertiv Holdings Co. 1,496,499 20,292
* SPS Commerce Inc. 265,301 19,929
* PagerDuty Inc. 655,280 18,754
* Bandwidth Inc. Class A 140,188 17,804
  Ubiquiti Inc. 96,760 16,890
* SolarWinds Corp. 947,471 16,742
* Infinera Corp. 2,413,624 14,289
* MicroStrategy Inc. Class A 117,452 13,893
  Switch Inc. Class A 705,032 12,564
*,1 3D Systems Corp. 1,715,784 11,993
* CEVA Inc. 318,573 11,921
* nLight Inc. 526,207 11,713
* Zuora Inc. Class A 719,027 9,168
  Ebix Inc. 393,999 8,810
*,1 Eventbrite Inc. Class A 964,997 8,270
* Virtusa Corp. 205,804 6,682
* Ping Identity Holding Corp. 182,433 5,854
* Sciplay Corp. Class A 341,001 5,057
* Forrester Research Inc. 157,510 5,047
* Benefitfocus Inc. 438,296 4,716
* MobileIron Inc. 788,713 3,888
* Endurance International Group Holdings Inc. 959,780 3,868
  Loral Space & Communications Inc. 192,957 3,766
*,1 Gogo Inc. 381,312 1,205
* SecureWorks Corp. Class A 91,996 1,051
* Casa Systems Inc. 97,345 405
34

Vanguard® Small-Cap Growth Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* DocuSign Inc. Class A 808 139
  Plantronics Inc. 47 1
* Schrodinger Inc. 14 1
            5,980,372
Telecommunications (0.6%)
* GCI Liberty Inc. Class A 1,462,357 104,003
  Shenandoah Telecommunications Co. 719,254 35,452
  ATN International Inc. 158,781 9,617
* WideOpenWest Inc. 788,927 4,157
*,1 GTT Communications Inc. 401,939 3,280
*,1 Globalstar Inc. 9,028,529 2,949
            159,458
Utilities (0.6%)
  Ormat Technologies Inc. 620,318 39,384
  NRG Energy Inc. 881,104 28,689
  TerraForm Power Inc. Class A 1,376,564 25,384
* Sunrun Inc. 1,279,666 25,235
* Evoqua Water Technologies Corp. 1,244,014 23,138
* Vivint Solar Inc. 378,694 3,749
            145,579
Total Common Stocks (Cost $19,927,395) 25,753,820
      Coupon      
Temporary Cash Investments (1.9%)
Money Market Fund (1.9%)
5,6 Vanguard Market Liquidity Fund 0.227%   4,885,806 488,581
        Maturity
Date
Face
Amount
($000)
 
U.S. Government and Agency Obligations (0.0%)
  United States Treasury Bill 0.210% 9/15/20 1,500 1,500
7 United States Treasury Bill 0.116% 9/29/20 4,300 4,298
            5,798
Total Temporary Cash Investments (Cost $494,265) 494,379
Total Investments (101.7%) (Cost $20,421,660)   26,248,199
Other Assets and Liabilities—Net (-1.7%)   (444,892)
Net Assets (100%)   25,803,307
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 $444,758,000.
2 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. At June 30, 2020, the aggregate value of these securities was $14,061,000, representing 0.1% of net assets.
3 “Other” represents securities that are not classified by the fund’s benchmark index.
4 Security value determined using significant unobservable inputs.
5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
6 Collateral of $464,582,000 was received for securities on loan, of which $464,404,000 is held in Vanguard Market Liquidity Fund and $178,000 is held in cash.
7 Securities with a value of $2,005,000 have been segregated as initial margin for open futures contracts.
  CVR—Contingent Value Rights.
  REIT—Real Estate Investment Trust.
35

Vanguard® Small-Cap Value Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
Common Stocks (99.7%)
Basic Materials (5.8%)
  RPM International Inc. 1,945,281 146,013
  Reliance Steel & Aluminum Co. 954,741 90,634
  Scotts Miracle-Gro Co. 583,654 78,484
  Steel Dynamics Inc. 2,999,806 78,265
* Axalta Coating Systems Ltd. 3,181,401 71,741
  Ashland Global Holdings Inc. 908,076 62,748
  Valvoline Inc. 2,779,776 53,733
  Huntsman Corp. 2,982,276 53,591
  W R Grace & Co. 994,315 50,521
  UFP Industries Inc. 871,846 43,165
* Univar Solutions Inc. 2,537,427 42,781
  Chemours Co. 2,467,887 37,882
  Commercial Metals Co. 1,786,304 36,441
  PolyOne Corp. 1,373,537 36,028
  Mosaic Co. 2,847,398 35,621
  HB Fuller Co. 772,815 34,468
  Sensient Technologies Corp. 636,877 33,219
1 Cleveland-Cliffs Inc. 5,968,130 32,944
  Cabot Corp. 849,258 31,465
* Alcoa Corp. 2,789,427 31,353
  Stepan Co. 304,433 29,560
  Innospec Inc. 369,840 28,570
  Olin Corp. 2,376,509 27,306
  Hecla Mining Co. 7,899,446 25,831
1 United States Steel Corp. 3,451,709 24,921
  Compass Minerals International Inc. 508,441 24,786
  Minerals Technologies Inc. 511,640 24,011
  Worthington Industries Inc. 542,018 20,217
  Materion Corp. 305,513 18,786
1 Quaker Chemical Corp. 99,942 18,554
  Domtar Corp. 829,283 17,506
  Kaiser Aluminum Corp. 237,260 17,467
  Carpenter Technology Corp. 718,325 17,441
* Element Solutions Inc. 1,591,086 17,263
* GCP Applied Technologies Inc. 878,023 16,314
  Schweitzer-Mauduit International Inc. 469,268 15,678
* Ferro Corp. 1,237,638 14,777
  Warrior Met Coal Inc. 763,132 11,745
  P H Glatfelter Co. 669,201 10,741
  Tronox Holdings plc Class A 1,282,903 9,263
* Coeur Mining Inc. 1,634,441 8,303
* Kraton Corp. 451,292 7,798
  Schnitzer Steel Industries Inc. Class A 381,105 6,723
  Tredegar Corp. 424,775 6,542
  Arch Resources Inc. 214,538 6,095
* Koppers Holdings Inc. 297,278 5,601
* Century Aluminum Co. 733,788 5,232
  FutureFuel Corp. 391,453 4,678
* PQ Group Holdings Inc. 305,943 4,051
  Kronos Worldwide Inc. 344,620 3,587
  Haynes International Inc. 93,531 2,185
  Peabody Energy Corp. 509,222 1,467
            1,534,096
Consumer Goods (8.3%)
  Thor Industries Inc. 787,778 83,922
  Polaris Inc. 874,407 80,926
  Ingredion Inc. 955,971 79,346
* Helen of Troy Ltd. 379,246 71,511
36

Vanguard® Small-Cap Value Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Leggett & Platt Inc. 1,987,595 69,864
* US Foods Holding Corp. 3,310,438 65,282
* Herbalife Nutrition Ltd. 1,443,526 64,930
  Flowers Foods Inc. 2,701,718 60,410
* Darling Ingredients Inc. 2,432,194 59,881
  Hanesbrands Inc. 5,231,317 59,062
  Toll Brothers Inc. 1,713,466 55,842
  Harley-Davidson Inc. 2,301,497 54,707
*,1 Mattel Inc. 5,213,382 50,413
  Newell Brands Inc. 2,867,176 45,531
  Energizer Holdings Inc. 925,882 43,970
  Bunge Ltd. 1,014,770 41,737
* Deckers Outdoor Corp. 210,341 41,309
* Meritage Homes Corp. 536,578 40,844
  KB Home 1,290,721 39,599
* Hain Celestial Group Inc. 1,225,274 38,608
* TreeHouse Foods Inc. 847,890 37,138
* Taylor Morrison Home Corp. Class A 1,849,776 35,682
  Sanderson Farms Inc. 300,773 34,857
* Capri Holdings Ltd. 2,133,014 33,339
  Goodyear Tire & Rubber Co. 3,500,245 31,310
  Nu Skin Enterprises Inc. Class A 780,802 29,850
* TRI Pointe Group Inc. 1,960,910 28,806
* Visteon Corp. 418,778 28,686
  Spectrum Brands Holdings Inc. 615,632 28,257
  Wolverine World Wide Inc. 1,161,702 27,660
  Tapestry Inc. 2,071,182 27,505
  Reynolds Consumer Products Inc. 786,243 27,314
  MDC Holdings Inc. 759,886 27,128
  Dana Inc. 2,165,957 26,403
  Carter's Inc. 327,157 26,402
  PVH Corp. 532,804 25,601
* Edgewell Personal Care Co. 815,117 25,399
  Ralph Lauren Corp. Class A 341,285 24,750
1 B&G Foods Inc. 961,773 23,448
  Lancaster Colony Corp. 144,492 22,395
* Hostess Brands Inc. Class A 1,757,246 21,473
* Knowles Corp. 1,373,477 20,959
  Cooper Tire & Rubber Co. 755,521 20,860
  Herman Miller Inc. 881,985 20,824
* Central Garden & Pet Co. Class A 595,105 20,109
  Vector Group Ltd. 1,952,806 19,645
  HNI Corp. 640,657 19,585
* Cal-Maine Foods Inc. 429,507 19,104
  Sturm Ruger & Co. Inc. 249,627 18,972
  La-Z-Boy Inc. 691,976 18,725
* Delphi Technologies plc 1,297,494 18,437
  Acushnet Holdings Corp. 502,544 17,483
  Universal Corp. 349,249 14,847
  Steelcase Inc. Class A 1,189,474 14,345
* Under Armour Inc. Class A 1,427,130 13,900
1 Kontoor Brands Inc. 773,793 13,781
* Under Armour Inc. Class C 1,466,250 12,962
* Pilgrim's Pride Corp. 743,993 12,566
* American Axle & Manufacturing Holdings Inc. 1,619,008 12,304
  Fresh Del Monte Produce Inc. 432,390 10,645
  Seaboard Corp. 3,480 10,210
  ACCO Brands Corp. 1,357,218 9,636
  Knoll Inc. 765,628 9,333
  Coty Inc. Class A 1,994,112 8,914
* Smith & Wesson Brands Inc. 390,116 8,395
37

Vanguard® Small-Cap Value Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Sleep Number Corp. 196,028 8,163
1 Tootsie Roll Industries Inc. 237,251 8,131
* G-III Apparel Group Ltd. 609,096 8,095
  Signet Jewelers Ltd. 741,559 7,616
  National Presto Industries Inc. 78,517 6,862
  Inter Parfums Inc. 129,324 6,227
  Andersons Inc. 441,598 6,076
* Vista Outdoor Inc. 411,112 5,940
* Tenneco Inc. Class A 772,646 5,841
* elf Beauty Inc. 298,407 5,691
  Levi Strauss & Co. Class A 414,766 5,558
  Oxford Industries Inc. 118,855 5,231
* Central Garden & Pet Co. 143,337 5,159
* GoPro Inc. Class A 911,667 4,339
  Interface Inc. Class A 436,603 3,554
  Ethan Allen Interiors Inc. 158,572 1,876
* Cooper-Standard Holdings Inc. 125,731 1,666
  Movado Group Inc. 116,867 1,267
            2,204,930
Consumer Services (10.3%)
* Peloton Interactive Inc. Class A 2,941,396 169,924
  Service Corp. International 2,542,628 98,883
  Williams-Sonoma Inc. 1,160,206 95,148
  New York Times Co. Class A 2,243,097 94,277
* BJ's Wholesale Club Holdings Inc. 2,081,360 77,572
* ServiceMaster Global Holdings Inc. 1,982,487 70,755
  Wyndham Hotels & Resorts Inc. 1,398,110 59,587
  Wendy's Co. 2,675,452 58,271
* Performance Food Group Co. 1,990,989 58,017
* Qurate Retail Inc. Class A 5,820,936 55,299
  Gap Inc. 4,199,828 53,002
  L Brands Inc. 3,324,385 49,766
  Lithia Motors Inc. Class A 316,445 47,888
* Murphy USA Inc. 416,486 46,892
  Aaron's Inc. 1,015,519 46,105
  Foot Locker Inc. 1,565,868 45,661
* Sprouts Farmers Market Inc. 1,769,904 45,292
* Grocery Outlet Holding Corp. 1,092,468 44,573
* AutoNation Inc. 1,179,754 44,335
* JetBlue Airways Corp. 4,050,684 44,152
  H&R Block Inc. 2,892,149 41,300
  AMERCO 132,592 40,068
  Cracker Barrel Old Country Store Inc. 359,870 39,913
  Nielsen Holdings plc 2,679,651 39,820
* LiveRamp Holdings Inc. 932,827 39,617
  Dick's Sporting Goods Inc. 927,960 38,288
  TEGNA Inc. 3,284,774 36,592
  Wyndham Destinations Inc. 1,280,192 36,076
  Alaska Air Group Inc. 920,757 33,387
  Sabre Corp. 4,142,135 33,386
1 Macy's Inc. 4,656,965 32,040
* Norwegian Cruise Line Holdings Ltd. 1,925,325 31,633
*,1 Penn National Gaming Inc. 971,155 29,659
  TripAdvisor Inc. 1,462,335 27,799
  Extended Stay America Inc. 2,404,961 26,911
  KAR Auction Services Inc. 1,944,969 26,763
1 Nordstrom Inc. 1,648,253 25,531
  Big Lots Inc. 589,446 24,757
  John Wiley & Sons Inc. Class A 633,727 24,715
1 American Eagle Outfitters Inc. 2,232,548 24,335
38

Vanguard® Small-Cap Value Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Kohl's Corp. 1,166,315 24,224
  SkyWest Inc. 714,468 23,306
*,1 Spirit Airlines Inc. 1,290,371 22,969
  PriceSmart Inc. 370,068 22,326
* Adtalem Global Education Inc. 699,187 21,780
  Marriott Vacations Worldwide Corp. 262,158 21,552
* Asbury Automotive Group Inc. 275,034 21,268
* Sally Beauty Holdings Inc. 1,693,951 21,225
  Graham Holdings Co. Class B 60,988 20,899
  Rent-A-Center Inc. 727,015 20,226
1 Bed Bath & Beyond Inc. 1,806,452 19,148
  Penske Automotive Group Inc. 483,406 18,713
  Office Depot Inc. 7,901,373 18,568
*,1 Avis Budget Group Inc. 783,894 17,943
  Cinemark Holdings Inc. 1,499,147 17,315
  Rush Enterprises Inc. Class A 414,930 17,203
  Group 1 Automotive Inc. 259,631 17,128
  Core-Mark Holding Co. Inc. 677,865 16,916
* Laureate Education Inc. Class A 1,611,305 16,057
* K12 Inc. 585,668 15,954
  Brinker International Inc. 660,050 15,841
* United Natural Foods Inc. 806,701 14,690
1 Sinclair Broadcast Group Inc. Class A 792,034 14,621
1 Cheesecake Factory Inc. 615,968 14,118
*,1 Rite Aid Corp. 823,436 14,048
  Hyatt Hotels Corp. Class A 268,452 13,500
* Urban Outfitters Inc. 883,649 13,449
* AMC Networks Inc. Class A 549,880 12,862
  Bloomin' Brands Inc. 1,186,480 12,648
* Hilton Grand Vacations Inc. 641,309 12,538
  Weis Markets Inc. 243,343 12,196
* Lions Gate Entertainment Corp. Class B 1,635,032 11,167
  Sonic Automotive Inc. Class A 326,581 10,421
  Dine Brands Global Inc. 235,677 9,922
  Abercrombie & Fitch Co. Class A 931,125 9,907
  Scholastic Corp. 320,526 9,597
  Hawaiian Holdings Inc. 660,148 9,268
*,1 RealReal Inc. 713,340 9,124
* Vroom Inc. 174,254 9,086
  Matthews International Corp. Class A 442,997 8,461
* Zumiez Inc. 307,899 8,430
  Meredith Corp. 571,032 8,309
*,1 Michaels Cos. Inc. 1,098,578 7,767
1 Children's Place Inc. 206,052 7,710
* BrightView Holdings Inc. 625,923 7,010
*,1 Lions Gate Entertainment Corp. Class A 940,408 6,968
1 Buckle Inc. 442,145 6,933
  BJ's Restaurants Inc. 315,434 6,605
* Groupon Inc. Class A 359,975 6,523
  Designer Brands Inc. Class A 910,918 6,167
* Selectquote Inc. 241,824 6,125
* MSG Networks Inc. Class A 610,937 6,079
  Guess? Inc. 605,333 5,854
* Cars.com Inc. 951,244 5,479
* Clear Channel Outdoor Holdings Inc. 5,226,971 5,436
  Caleres Inc. 569,989 4,754
* Genesco Inc. 208,013 4,506
* El Pollo Loco Holdings Inc. 261,787 3,864
*,1 Vivint Smart Home Inc. 199,232 3,453
1 AMC Entertainment Holdings Inc. Class A 743,402 3,189
* American Public Education Inc. 104,700 3,099
39

Vanguard® Small-Cap Value Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Rush Enterprises Inc. Class B 86,886 3,098
* Regis Corp. 344,767 2,820
* At Home Group Inc. 407,068 2,642
1 Dillard's Inc. Class A 100,109 2,582
  Systemax Inc. 111,811 2,297
* GameStop Corp. Class A 432,306 1,876
* Houghton Mifflin Harcourt Co. 793,778 1,437
  National CineMedia Inc. 444,592 1,320
  Gannett Co. Inc. 934,673 1,290
  Chico's FAS Inc. 896,566 1,237
  Entercom Communications Corp. Class A 847,986 1,170
* Liberty TripAdvisor Holdings Inc. Class A 537,448 1,145
*,1 Hertz Global Holdings Inc. 634,504 895
* Lands' End Inc. 84,399 679
  Emerald Holding Inc. 186,177 573
* Albertsons Cos. Inc. Class A 18,623 294
* Party City Holdco Inc. 19,275 29
  ODP Corp. 2,385
            2,739,817
Financials (31.1%)
  Medical Properties Trust Inc. 7,936,249 149,201
  Brown & Brown Inc. 3,618,697 147,498
  RenaissanceRe Holdings Ltd. 744,177 127,277
  VICI Properties Inc. 6,039,946 121,946
  Gaming and Leisure Properties Inc. 3,111,499 107,658
  LPL Financial Holdings Inc. 1,184,960 92,901
  Assurant Inc. 896,136 92,562
  National Retail Properties Inc. 2,583,556 91,665
  Commerce Bancshares Inc. 1,508,009 89,681
  Apartment Investment & Management Co. Class A 2,236,316 84,175
  Signature Bank 770,582 82,391
  Jones Lang LaSalle Inc. 775,829 80,267
  Prosperity Bancshares Inc. 1,322,422 78,525
  Apollo Global Management Inc. Class A 1,546,814 77,217
  East West Bancorp Inc. 2,126,025 77,047
  First American Financial Corp. 1,590,259 76,364
  People's United Financial Inc. 6,379,061 73,806
  First Industrial Realty Trust Inc. 1,910,502 73,440
  Carlyle Group Inc. 2,616,583 73,003
  American Financial Group Inc. 1,147,698 72,833
  Primerica Inc. 612,861 71,460
  Old Republic International Corp. 4,339,375 70,775
  EastGroup Properties Inc. 586,657 69,583
  Kemper Corp. 931,508 67,553
  New York Community Bancorp Inc. 6,620,638 67,530
  TCF Financial Corp. 2,285,781 67,248
  Life Storage Inc. 704,508 66,893
  Cousins Properties Inc. 2,231,157 66,555
  Legg Mason Inc. 1,321,707 65,755
  Cullen/Frost Bankers Inc. 845,868 63,195
  Eaton Vance Corp. 1,626,482 62,782
  Starwood Property Trust Inc. 4,029,232 60,277
  First Financial Bankshares Inc. 2,028,156 58,593
  Highwoods Properties Inc. 1,560,220 58,243
  Brixmor Property Group Inc. 4,454,042 57,101
  Equity Commonwealth 1,732,616 55,790
  Ares Management Corp. Class A 1,393,041 55,304
  United Bankshares Inc. 1,947,644 53,872
  Agree Realty Corp. 808,631 53,135
* Cannae Holdings Inc. 1,284,592 52,797
40

Vanguard® Small-Cap Value Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  RLI Corp. 641,503 52,667
  Hanover Insurance Group Inc. 513,831 52,066
  Omega Healthcare Investors Inc. 1,704,232 50,667
  South State Corp. 1,063,004 50,663
  Glacier Bancorp Inc. 1,433,322 50,582
  Affiliated Managers Group Inc. 674,225 50,270
  Blackstone Mortgage Trust Inc. Class A 2,074,616 49,977
  Axis Capital Holdings Ltd. 1,203,286 48,805
  Rayonier Inc. 1,941,901 48,140
  Popular Inc. 1,287,525 47,857
  Selective Insurance Group Inc. 897,620 47,340
  Janus Henderson Group plc 2,222,277 47,023
  First Horizon National Corp. 4,684,470 46,657
  New Residential Investment Corp. 6,245,878 46,407
  Stifel Financial Corp. 977,929 46,383
  Unum Group 2,750,448 45,630
  Valley National Bancorp 5,762,056 45,059
  Community Bank System Inc. 782,570 44,622
  Radian Group Inc. 2,861,393 44,380
  Voya Financial Inc. 946,255 44,143
  Jefferies Financial Group Inc. 2,825,135 43,931
  Lexington Realty Trust 4,115,047 43,414
* Athene Holding Ltd. Class A 1,386,272 43,238
  Bank OZK 1,840,561 43,198
  Synovus Financial Corp. 2,102,617 43,167
  Lazard Ltd. Class A 1,492,410 42,728
  Corporate Office Properties Trust 1,684,598 42,688
  Zions Bancorp NA 1,229,812 41,814
  MGIC Investment Corp. 5,087,913 41,670
  Reinsurance Group of America Inc. 509,693 39,980
  Comerica Inc. 1,044,994 39,814
  Kimco Realty Corp. 3,088,421 39,655
  SLM Corp. 5,632,700 39,598
  White Mountains Insurance Group Ltd. 44,307 39,343
* Brighthouse Financial Inc. 1,409,631 39,216
  Webster Financial Corp. 1,355,164 38,771
  National Health Investors Inc. 637,260 38,694
  EPR Properties 1,163,955 38,562
  Douglas Emmett Inc. 1,252,585 38,404
  Wintrust Financial Corp. 865,106 37,736
  Invesco Ltd. 3,450,663 37,129
  Bank of Hawaii Corp. 601,373 36,930
  FNB Corp. 4,853,652 36,402
  PotlatchDeltic Corp. 956,028 36,358
  CVB Financial Corp. 1,934,237 36,248
  UMB Financial Corp. 687,215 35,426
  Umpqua Holdings Corp. 3,308,920 35,207
  Park Hotels & Resorts Inc. 3,539,341 35,004
  Weingarten Realty Investors 1,829,791 34,638
  PacWest Bancorp 1,750,647 34,505
  Home BancShares Inc. 2,235,088 34,376
  IBERIABANK Corp. 752,138 34,252
  Federated Hermes Inc. Class B 1,441,353 34,160
  Old National Bancorp 2,481,791 34,149
  BancorpSouth Bank 1,496,587 34,032
  American Equity Investment Life Holding Co. 1,376,355 34,010
  First Hawaiian Inc. 1,951,596 33,646
  CNO Financial Group Inc. 2,159,053 33,616
  Independent Bank Corp. 495,251 33,226
  Taubman Centers Inc. 879,856 33,223
  Associated Banc-Corp 2,310,868 31,613
41

Vanguard® Small-Cap Value Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Piedmont Office Realty Trust Inc. Class A 1,894,759 31,472
  Apple Hospitality REIT Inc. 3,189,148 30,807
  Outfront Media Inc. 2,170,297 30,753
  CIT Group Inc. 1,479,178 30,663
  Washington Federal Inc. 1,139,106 30,574
  Columbia Banking System Inc. 1,076,870 30,524
  Assured Guaranty Ltd. 1,241,895 30,315
  Cathay General Bancorp 1,137,509 29,916
  Investors Bancorp Inc. 3,374,017 28,679
  SL Green Realty Corp. 574,799 28,332
  JBG SMITH Properties 955,244 28,247
  Artisan Partners Asset Management Inc. Class A 867,507 28,194
  BankUnited Inc. 1,390,834 28,164
* Enstar Group Ltd. 182,258 27,844
  Brandywine Realty Trust 2,555,184 27,826
1 Chimera Investment Corp. 2,893,445 27,806
  Hancock Whitney Corp. 1,299,053 27,540
  Washington REIT 1,239,612 27,519
  Atlantic Union Bankshares Corp. 1,179,532 27,318
  OneMain Holdings Inc. 1,112,250 27,295
* PRA Group Inc. 686,087 26,524
  Sunstone Hotel Investors Inc. 3,231,390 26,336
  PennyMac Mortgage Investment Trust 1,497,447 26,250
  Moelis & Co. Class A 832,024 25,926
  International Bancshares Corp. 806,262 25,816
  Fulton Financial Corp. 2,425,425 25,540
  PennyMac Financial Services Inc. 595,193 24,873
  BOK Financial Corp. 421,662 23,799
  United Community Banks Inc. 1,174,384 23,629
  Retail Properties of America Inc. Class A 3,219,218 23,565
  RLJ Lodging Trust 2,476,277 23,376
  First Midwest Bancorp Inc. 1,713,754 22,879
  Horace Mann Educators Corp. 619,574 22,757
  Apollo Commercial Real Estate Finance Inc. 2,309,684 22,658
  Columbia Property Trust Inc. 1,717,808 22,572
  Walker & Dunlop Inc. 442,729 22,495
  Global Net Lease Inc. 1,342,417 22,459
  First Merchants Corp. 811,991 22,387
  Sabra Health Care REIT Inc. 1,542,221 22,254
  Capitol Federal Financial Inc. 2,017,099 22,208
  Santander Consumer USA Holdings Inc. 1,204,329 22,172
  LTC Properties Inc. 588,403 22,165
  National General Holdings Corp. 1,024,181 22,133
  Westamerica Bancorp 384,115 22,056
  WSFS Financial Corp. 760,395 21,823
  American Assets Trust Inc. 767,285 21,361
  Trustmark Corp. 856,683 21,006
  Two Harbors Investment Corp. 4,104,662 20,687
* Cushman & Wakefield plc 1,654,321 20,613
  Houlihan Lokey Inc. Class A 369,059 20,534
  GEO Group Inc. 1,730,431 20,471
  Navient Corp. 2,907,692 20,441
1 Macerich Co. 2,242,566 20,116
  Industrial Logistics Properties Trust 978,722 20,113
  Hilltop Holdings Inc. 1,084,500 20,009
  Renasant Corp. 801,636 19,961
  Urban Edge Properties 1,663,317 19,744
  First Interstate BancSystem Inc. Class A 637,569 19,739
  First Citizens BancShares Inc. Class A 48,176 19,512
  WesBanco Inc. 957,092 19,439
  First Financial Bancorp 1,399,074 19,433
42

Vanguard® Small-Cap Value Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  NBT Bancorp Inc. 621,974 19,132
  Banner Corp. 502,096 19,080
  SITE Centers Corp. 2,328,498 18,861
  Retail Opportunity Investments Corp. 1,660,980 18,819
  Office Properties Income Trust 723,870 18,799
  Mack-Cali Realty Corp. 1,224,869 18,728
  Northwest Bancshares Inc. 1,822,545 18,636
  Empire State Realty Trust Inc. Class A 2,620,616 18,344
  First Bancorp 3,278,321 18,326
1 Broadmark Realty Capital Inc. 1,885,988 17,860
* Genworth Financial Inc. Class A 7,603,309 17,564
  Service Properties Trust 2,470,554 17,516
  Argo Group International Holdings Ltd. 494,457 17,222
  Sterling Bancorp 1,461,414 17,128
  MFA Financial Inc. 6,809,571 16,956
  Mercury General Corp. 416,082 16,955
  CoreCivic Inc. 1,797,357 16,823
  Acadia Realty Trust 1,293,848 16,794
  Safety Insurance Group Inc. 218,677 16,676
  DiamondRock Hospitality Co. 2,995,905 16,567
  Kennedy-Wilson Holdings Inc. 1,078,646 16,417
  Hope Bancorp Inc. 1,759,921 16,226
  Cadence Bancorp Class A 1,799,381 15,943
  Xenia Hotels & Resorts Inc. 1,703,078 15,890
  Diversified Healthcare Trust 3,577,623 15,831
  Getty Realty Corp. 529,180 15,706
  Evercore Inc. Class A 259,546 15,292
* Encore Capital Group Inc. 446,382 15,257
  Piper Sandler Cos. 256,636 15,183
  Flagstar Bancorp Inc. 512,582 15,085
  City Holding Co. 230,975 15,053
  BancFirst Corp. 368,620 14,955
  Waddell & Reed Financial Inc. Class A 938,385 14,554
  Eagle Bancorp Inc. 436,657 14,301
  Uniti Group Inc. 1,462,222 13,672
  iStar Inc. 1,094,991 13,490
  Pebblebrook Hotel Trust 984,399 13,447
  S&T Bancorp Inc. 561,713 13,172
  Employers Holdings Inc. 434,658 13,105
  American Finance Trust Inc. Class A 1,635,228 12,976
  Park National Corp. 184,160 12,961
  Investors Real Estate Trust 183,369 12,926
  Provident Financial Services Inc. 893,920 12,917
  Realogy Holdings Corp. 1,737,354 12,874
  Virtus Investment Partners Inc. 110,204 12,816
  Tompkins Financial Corp. 191,053 12,374
  First Commonwealth Financial Corp. 1,479,957 12,254
  BGC Partners Inc. Class A 4,463,317 12,229
  Simmons First National Corp. Class A 698,565 11,952
  Ladder Capital Corp. Class A 1,470,080 11,908
  ProAssurance Corp. 806,565 11,671
* Texas Capital Bancshares Inc. 376,491 11,622
  Great Western Bancorp Inc. 829,860 11,419
  Brookline Bancorp Inc. 1,130,341 11,394
  Nelnet Inc. Class A 231,622 11,058
* Columbia Financial Inc. 781,972 10,912
  OFG Bancorp 775,747 10,372
1 Invesco Mortgage Capital Inc. 2,714,436 10,152
* Ambac Financial Group Inc. 682,688 9,776
1 Tanger Factory Outlet Centers Inc. 1,342,094 9,569
  National Western Life Group Inc. Class A 46,799 9,509
43

Vanguard® Small-Cap Value Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Towne Bank 488,092 9,196
  ARMOUR Residential REIT Inc. 968,916 9,098
* Third Point Reinsurance Ltd. 1,202,746 9,033
  Colony Credit Real Estate Inc. 1,264,361 8,876
  United Fire Group Inc. 317,116 8,787
  Heartland Financial USA Inc. 260,768 8,720
  American National Insurance Co. 120,275 8,668
* Axos Financial Inc. 378,602 8,360
  Boston Private Financial Holdings Inc. 1,178,492 8,108
  RPT Realty 1,160,618 8,078
1 Brookfield Property REIT Inc. Class A 804,749 8,015
  Capstead Mortgage Corp. 1,437,019 7,889
  TPG RE Finance Trust Inc. 914,257 7,863
  Berkshire Hills Bancorp Inc. 711,247 7,838
  Northfield Bancorp Inc. 661,611 7,622
  Franklin Street Properties Corp. 1,465,722 7,461
  KKR Real Estate Finance Trust Inc. 421,507 6,989
  WisdomTree Investments Inc. 1,982,992 6,881
* MBIA Inc. 908,348 6,586
  Central Pacific Financial Corp. 398,357 6,386
  Saul Centers Inc. 194,447 6,275
  Alexander & Baldwin Inc. 512,197 6,244
  Redwood Trust Inc. 873,775 6,116
  Granite Point Mortgage Trust Inc. 822,055 5,902
  Dime Community Bancshares Inc. 422,155 5,796
*,1 Seritage Growth Properties Class A 489,564 5,581
  Newmark Group Inc. Class A 1,113,308 5,411
  Urstadt Biddle Properties Inc. Class A 451,655 5,366
  FBL Financial Group Inc. Class A 146,948 5,274
*,1 World Acceptance Corp. 72,797 4,770
  State Auto Financial Corp. 261,666 4,671
  Summit Hotel Properties Inc. 787,471 4,670
* LendingClub Corp. 989,475 4,502
* Tejon Ranch Co. 311,955 4,492
* Forestar Group Inc. 250,788 3,782
* Assetmark Financial Holdings Inc. 134,833 3,680
  Hersha Hospitality Trust Class A 273,832 1,577
  Retail Value Inc. 118,060 1,459
  CorePoint Lodging Inc. 281,410 1,185
1 Washington Prime Group Inc. 1,395,098 1,173
  Associated Capital Group Inc. Class A 25,357 930
1 AG Mortgage Investment Trust Inc. 244,211 779
1 Pennsylvania REIT 499,362 679
  Urstadt Biddle Properties Inc. 32,340 325
*,2 Frontier Financial Corp. 2
            8,254,725
Health Care (6.7%)
  PerkinElmer Inc. 1,673,158 164,120
* Molina Healthcare Inc. 889,538 158,320
  STERIS plc 636,909 97,727
  Encompass Health Corp. 1,494,986 92,584
* United Therapeutics Corp. 627,988 75,987
* 10X Genomics Inc. Class A 783,409 69,966
* Charles River Laboratories International Inc. 371,639 64,795
* Mirati Therapeutics Inc. 555,722 63,447
* Reata Pharmaceuticals Inc. Class A 359,757 56,129
  Hill-Rom Holdings Inc. 499,875 54,876
* Iovance Biotherapeutics Inc. 1,944,759 53,384
* Envista Holdings Corp. 2,392,267 50,453
* Jazz Pharmaceuticals plc 394,818 43,564
44

Vanguard® Small-Cap Value Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
*,1 Novavax Inc. 447,638 37,311
* Integer Holdings Corp. 493,575 36,056
* Bridgebio Pharma Inc. 1,095,232 35,715
* Sage Therapeutics Inc. 780,589 32,457
* Acadia Healthcare Co. Inc. 1,270,524 31,916
* Turning Point Therapeutics Inc. 475,598 30,719
* Tenet Healthcare Corp. 1,575,586 28,534
  Patterson Cos. Inc. 1,292,723 28,440
* Prestige Consumer Healthcare Inc. 753,909 28,317
* Denali Therapeutics Inc. 1,113,615 26,927
* Magellan Health Inc. 337,044 24,597
* Select Medical Holdings Corp. 1,607,732 23,682
* Intra-Cellular Therapies Inc. 847,560 21,757
* ChemoCentryx Inc. 377,283 21,709
* Kodiak Sciences Inc. 401,021 21,703
* Avanos Medical Inc. 716,843 21,068
* MEDNAX Inc. 1,219,563 20,855
* Axsome Therapeutics Inc. 195,481 16,084
*,1 Viela Bio Inc. 369,939 16,026
  CONMED Corp. 214,667 15,454
* Meridian Bioscience Inc. 644,812 15,018
*,1 Madrigal Pharmaceuticals Inc. 127,831 14,477
  Healthcare Services Group Inc. 560,269 13,704
* Karuna Therapeutics Inc. 118,255 13,181
* Myriad Genetics Inc. 1,068,166 12,113
* Endo International plc 3,464,035 11,882
  National HealthCare Corp. 185,298 11,755
* Zogenix Inc. 417,667 11,281
* Aerie Pharmaceuticals Inc. 701,753 10,358
* Silk Road Medical Inc. 232,566 9,742
* Varex Imaging Corp. 583,502 8,840
* Amneal Pharmaceuticals Inc. 1,762,105 8,388
* AnaptysBio Inc. 366,117 8,179
  Phibro Animal Health Corp. Class A 307,649 8,082
* Brookdale Senior Living Inc. 2,731,624 8,058
* Kiniksa Pharmaceuticals Ltd. Class A 280,751 7,154
* Black Diamond Therapeutics Inc. 133,970 5,648
* Stoke Therapeutics Inc. 221,509 5,279
* G1 Therapeutics Inc. 211,053 5,120
* NGM Biopharmaceuticals Inc. 254,371 5,021
* Tivity Health Inc. 307,698 3,486
  Owens & Minor Inc. 446,356 3,401
* Immunovant Inc. 123,327 3,003
* Surgery Partners Inc. 169,569 1,962
*,1 Vir Biotechnology Inc. 13,168 539
* Forma Therapeutics Holdings Inc. 8,360 389
* Five Star Senior Living Inc. 55,327 216
*,1,2 Synergy Pharmaceuticals Inc. 1,169,882 7
            1,770,962
Industrials (21.9%)
  IDEX Corp. 1,132,586 178,994
  Booz Allen Hamilton Holding Corp. Class A 2,071,909 161,174
  Allegion plc 1,385,267 141,602
* Generac Holdings Inc. 941,583 114,807
  AptarGroup Inc. 964,218 107,973
  Carlisle Cos. Inc. 825,077 98,737
  Howmet Aerospace Inc. 5,897,613 93,477
  Owens Corning 1,619,873 90,324
  Donaldson Co. Inc. 1,904,799 88,611
  Robert Half International Inc. 1,635,230 86,389
45

Vanguard® Small-Cap Value Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* AECOM 2,284,717 85,860
* HD Supply Holdings Inc. 2,433,726 84,329
* Arrow Electronics Inc. 1,185,273 81,416
  Quanta Services Inc. 2,067,674 81,115
  CoreLogic Inc. 1,192,963 80,191
  Knight-Swift Transportation Holdings Inc. Class A 1,913,355 79,806
  Sonoco Products Co. 1,507,616 78,833
* Stericycle Inc. 1,373,376 76,882
  Sealed Air Corp. 2,339,014 76,837
  ITT Inc. 1,296,899 76,180
  Brunswick Corp. 1,189,109 76,115
  Lincoln Electric Holdings Inc. 892,220 75,161
  Oshkosh Corp. 1,022,813 73,254
  MDU Resources Group Inc. 3,013,168 66,832
  Jabil Inc. 2,038,030 65,380
  Tetra Tech Inc. 811,772 64,227
* FTI Consulting Inc. 557,303 63,839
  MSA Safety Inc. 554,474 63,454
* Bill.com Holdings Inc. 682,559 61,574
  ManpowerGroup Inc. 872,167 59,961
  Allison Transmission Holdings Inc. 1,615,247 59,409
  Graphic Packaging Holding Co. 4,195,180 58,691
  Acuity Brands Inc. 595,558 57,019
  Curtiss-Wright Corp. 625,820 55,873
  Flowserve Corp. 1,955,827 55,780
  EMCOR Group Inc. 824,186 54,512
  Regal Beloit Corp. 608,640 53,146
* XPO Logistics Inc. 684,542 52,881
  AGCO Corp. 900,031 49,916
  Rexnord Corp. 1,709,282 49,826
  KBR Inc. 2,138,151 48,215
  nVent Electric plc 2,554,420 47,844
  Pentair plc 1,244,798 47,290
  Timken Co. 1,015,260 46,184
  Crane Co. 740,947 44,057
* Sensata Technologies Holding plc 1,180,562 43,952
  Louisiana-Pacific Corp. 1,685,491 43,233
  MSC Industrial Direct Co. Inc. Class A 579,884 42,221
* Colfax Corp. 1,511,192 42,162
  Avnet Inc. 1,483,041 41,355
  UniFirst Corp. 229,090 40,996
  EnerSys 635,636 40,922
  Werner Enterprises Inc. 882,054 38,396
  Spirit AeroSystems Holdings Inc. Class A 1,585,919 37,967
  Silgan Holdings Inc. 1,165,842 37,762
* MasTec Inc. 831,242 37,298
  ABM Industries Inc. 1,001,067 36,339
  Applied Industrial Technologies Inc. 581,626 36,288
* Builders FirstSource Inc. 1,751,747 36,261
  Kennametal Inc. 1,246,029 35,773
* Green Dot Corp. Class A 717,490 35,214
  Valmont Industries Inc. 305,069 34,662
  Brink's Co. 758,858 34,536
  Brady Corp. Class A 728,188 34,094
  Macquarie Infrastructure Corp. 1,109,673 34,056
  Watts Water Technologies Inc. Class A 413,249 33,473
  ESCO Technologies Inc. 391,534 33,096
* Middleby Corp. 417,613 32,966
  GATX Corp. 524,353 31,975
  Altra Industrial Motion Corp. 972,672 30,989
  Alliance Data Systems Corp. 680,509 30,705
46

Vanguard® Small-Cap Value Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Vishay Intertechnology Inc. 1,994,752 30,460
  EVERTEC Inc. 1,081,522 30,391
  Ryder System Inc. 808,559 30,329
* Plexus Corp. 417,428 29,454
  Barnes Group Inc. 721,460 28,541
  Hexcel Corp. 627,302 28,367
  Trinity Industries Inc. 1,330,182 28,320
  Armstrong World Industries Inc. 359,116 27,997
  ManTech International Corp. Class A 407,659 27,921
* SPX Corp. 634,912 26,127
  Hillenbrand Inc. 952,161 25,775
  Korn Ferry 825,537 25,369
* WESCO International Inc. 714,840 25,098
* Sanmina Corp. 971,638 24,330
* SPX FLOW Inc. 640,315 23,973
  Moog Inc. Class A 450,148 23,849
  Otter Tail Corp. 606,187 23,514
* Kirby Corp. 427,756 22,911
* Hub Group Inc. Class A 478,533 22,903
  Fluor Corp. 1,891,007 22,843
  Schneider National Inc. Class B 917,872 22,644
  Triton International Ltd. 738,550 22,334
  Boise Cascade Co. 588,300 22,126
* Beacon Roofing Supply Inc. 827,508 21,821
  Belden Inc. 667,878 21,739
* Resideo Technologies Inc. 1,850,465 21,687
  Mueller Industries Inc. 809,649 21,520
  O-I Glass Inc. 2,350,421 21,107
* Navistar International Corp. 746,805 21,060
* Meritor Inc. 1,031,918 20,432
  McGrath RentCorp 362,684 19,589
* Atkore International Group Inc. 709,010 19,391
* OSI Systems Inc. 257,009 19,183
  Matson Inc. 646,585 18,816
  Terex Corp. 989,923 18,581
* TTM Technologies Inc. 1,516,804 17,989
  Kaman Corp. 415,701 17,293
* Atlas Air Worldwide Holdings Inc. 392,889 16,906
* Harsco Corp. 1,186,437 16,029
* JELD-WEN Holding Inc. 982,872 15,834
  Enerpac Tool Group Corp. Class A 898,556 15,815
  Astec Industries Inc. 339,763 15,734
* TriMas Corp. 652,970 15,639
1 Maxar Technologies Inc. 863,754 15,513
* Huron Consulting Group Inc. 343,770 15,212
* Sykes Enterprises Inc. 548,416 15,169
* GMS Inc. 605,156 14,881
  Deluxe Corp. 629,299 14,814
  Encore Wire Corp. 293,951 14,351
*,1,3 API Group Corp. 1,148,302 13,952
* Summit Materials Inc. Class A 859,935 13,828
1 ADT Inc. 1,717,914 13,709
  AZZ Inc. 394,228 13,530
  Granite Construction Inc. 705,295 13,499
  TTEC Holdings Inc. 280,933 13,080
  Greif Inc. Class A 373,655 12,857
* Cardtronics plc Class A 535,909 12,851
  Primoris Services Corp. 691,242 12,276
* MACOM Technology Solutions Holdings Inc. 352,133 12,096
* Pluralsight Inc. Class A 659,397 11,902
  Benchmark Electronics Inc. 550,259 11,886
47

Vanguard® Small-Cap Value Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Herc Holdings Inc. 373,577 11,480
  Griffon Corp. 602,382 11,156
  Standex International Corp. 187,348 10,782
  Comfort Systems USA Inc. 261,649 10,662
  Greenbrier Cos. Inc. 468,599 10,661
  AAR Corp. 503,550 10,408
* Allegheny Technologies Inc. 945,450 9,634
  ArcBest Corp. 363,101 9,626
  H&E Equipment Services Inc. 489,233 9,041
  Kforce Inc. 298,816 8,740
  Methode Electronics Inc. 266,949 8,345
* TrueBlue Inc. 538,705 8,226
* AZEK Co. Inc. Class A 255,786 8,149
  Wabash National Corp. 748,758 7,952
  Kelly Services Inc. Class A 480,926 7,606
* CIRCOR International Inc. 298,046 7,594
  EnPro Industries Inc. 153,175 7,550
* Tutor Perini Corp. 603,424 7,350
* Aegion Corp. Class A 434,726 6,899
* Gates Industrial Corp. plc 650,400 6,686
  Triumph Group Inc. 734,377 6,617
  Hyster-Yale Materials Handling Inc. 154,280 5,964
* Welbilt Inc. 950,827 5,790
* Manitowoc Co. Inc. 514,634 5,599
* Conduent Inc. 2,338,157 5,588
  Resources Connection Inc. 455,488 5,452
  MTS Systems Corp. 286,890 5,046
  Greif Inc. Class B 116,740 4,883
  Gorman-Rupp Co. 155,703 4,839
  Apogee Enterprises Inc. 186,690 4,301
* Shift4 Payments Inc. Class A 115,507 4,100
  Quanex Building Products Corp. 245,993 3,414
  International Seaways Inc. 182,812 2,987
  REV Group Inc. 377,385 2,302
* Team Inc. 216,617 1,206
  Mobile Mini Inc. 201 6
            5,834,456
Oil & Gas (2.8%)
  EQT Corp. 3,838,341 45,676
  Apache Corp. 2,837,089 38,301
  Marathon Oil Corp. 5,931,665 36,302
  National Oilwell Varco Inc. 2,920,012 35,770
1 Ovintiv Inc. 3,712,498 35,454
  Targa Resources Corp. 1,666,817 33,453
  Devon Energy Corp. 2,879,497 32,653
  Noble Energy Inc. 3,609,948 32,345
  HollyFrontier Corp. 1,096,607 32,021
  Arcosa Inc. 725,357 30,610
  Murphy Oil Corp. 2,194,701 30,287
* First Solar Inc. 558,139 27,628
1 Equitrans Midstream Corp. 3,093,523 25,707
  World Fuel Services Corp. 902,200 23,241
  Cimarex Energy Co. 767,113 21,088
* Southwestern Energy Co. 8,127,839 20,807
  Delek US Holdings Inc. 1,103,513 19,212
  Range Resources Corp. 3,265,737 18,386
* CNX Resources Corp. 1,968,084 17,024
* Dril-Quip Inc. 527,222 15,706
  Helmerich & Payne Inc. 768,596 14,995
  Archrock Inc. 2,301,763 14,938
48

Vanguard® Small-Cap Value Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  PBF Energy Inc. Class A 1,445,023 14,797
* NOW Inc. 1,645,436 14,200
  Antero Midstream Corp. 2,338,564 11,927
* Magnolia Oil & Gas Corp. Class A 1,759,832 10,665
1 Continental Resources Inc. 545,240 9,558
  CVR Energy Inc. 456,548 9,181
*,1 SunPower Corp. 1,140,507 8,736
*,1 Antero Resources Corp. 3,401,656 8,640
* Helix Energy Solutions Group Inc. 2,124,957 7,374
* MRC Global Inc. 1,161,684 6,866
  Core Laboratories NV 331,800 6,742
  SM Energy Co. 1,685,013 6,319
  Berry Corp. 1,011,050 4,883
* Oceaneering International Inc. 739,893 4,728
* Oil States International Inc. 873,051 4,147
* ProPetro Holding Corp. 637,563 3,277
* RPC Inc. 805,410 2,481
  QEP Resources Inc. 1,803,684 2,327
1 Nabors Industries Ltd. 51,635 1,912
* Gulfport Energy Corp. 1,011,729 1,103
*,1 Denbury Resources Inc. 3,772,204 1,042
*,1 Valaris plc Class A 1,574,888 1,027
* Laredo Petroleum Inc. 66,820 926
*,1 Whiting Petroleum Corp. 692,131 782
*,1 Chesapeake Energy Corp. 13,714 67
            745,311
Other (0.0%)4
*,2 Spirit MTA REIT 334,911 257
*,2 Clinical Data Care CVR 62,138
            257
Technology (6.4%)
* Avalara Inc. 1,119,451 148,988
* ON Semiconductor Corp. 6,160,602 122,103
* Nuance Communications Inc. 4,225,645 106,930
  Leidos Holdings Inc. 1,066,554 99,904
* CACI International Inc. Class A 376,804 81,721
  Science Applications International Corp. 870,084 67,588
  SYNNEX Corp. 541,416 64,845
  DXC Technology Co. 3,812,246 62,902
* Cirrus Logic Inc. 876,731 54,164
  Perspecta Inc. 2,050,922 47,643
* Verint Systems Inc. 969,898 43,820
* Viavi Solutions Inc. 3,428,550 43,680
* SVMK Inc. 1,659,969 39,076
* Change Healthcare Inc. 3,397,206 38,049
* Premier Inc. Class A 1,075,951 36,884
* Teradata Corp. 1,630,930 33,923
* NCR Corp. 1,921,526 33,281
* Synaptics Inc. 486,597 29,254
*,1 Appian Corp. Class A 552,168 28,299
* Workiva Inc. Class A 491,718 26,302
* NetScout Systems Inc. 1,028,613 26,291
* Medallia Inc. 1,036,188 26,153
  Progress Software Corp. 671,513 26,021
* Insight Enterprises Inc. 525,451 25,852
* Rambus Inc. 1,698,297 25,814
* Covetrus Inc. 1,426,251 25,516
* CommScope Holding Co. Inc. 2,934,998 24,449
  Xperi Holding Corp. 1,549,059 22,864
*,1 Cerence Inc. 520,243 21,247
49

Vanguard® Small-Cap Value Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Xerox Holdings Corp. 1,359,897 20,793
* Vertiv Holdings Co. 1,481,214 20,085
* EchoStar Corp. Class A 715,734 20,012
  CSG Systems International Inc. 471,531 19,517
* Super Micro Computer Inc. 663,700 18,842
* Schrodinger Inc. 188,581 17,268
* Allscripts Healthcare Solutions Inc. 2,445,014 16,553
* Amkor Technology Inc. 1,270,268 15,637
* Avaya Holdings Corp. 1,244,560 15,383
* NETGEAR Inc. 422,211 10,931
*,1 Health Catalyst Inc. 368,756 10,757
  Shutterstock Inc. 296,039 10,352
* Unisys Corp. 904,431 9,867
* ScanSource Inc. 383,536 9,239
* Zuora Inc. Class A 715,879 9,127
* NextGen Healthcare Inc. 796,160 8,742
  ADTRAN Inc. 727,408 7,951
* Blucora Inc. 677,813 7,741
  Plantronics Inc. 476,672 6,998
  Pitney Bowes Inc. 2,574,523 6,694
* Ping Identity Holding Corp. 178,913 5,741
* Sprout Social Inc. Class A 181,411 4,898
* Diebold Nixdorf Inc. 550,020 3,333
* Casa Systems Inc. 102,524 427
*,2 Tech Data Corp. 162 23
            1,710,474
Telecommunications (0.5%)
* Iridium Communications Inc. 1,689,841 42,990
* Vonage Holdings Corp. 3,503,132 35,242
  Telephone & Data Systems Inc. 1,453,125 28,888
* 8x8 Inc. 1,476,969 23,631
* United States Cellular Corp. 195,169 6,025
            136,776
Utilities (5.9%)
  Atmos Energy Corp. 1,837,533 182,981
  Essential Utilities Inc. 3,681,384 155,502
*,1 PG&E Corp. 14,321,422 127,031
  UGI Corp. 3,129,902 99,531
  IDACORP Inc. 758,069 66,232
  ONE Gas Inc. 795,073 61,260
  Hawaiian Electric Industries Inc. 1,640,093 59,142
  Portland General Electric Co. 1,344,487 56,213
  Southwest Gas Holdings Inc. 786,135 54,283
  National Fuel Gas Co. 1,289,816 54,082
  Black Hills Corp. 942,937 53,427
  Spire Inc. 731,671 48,078
  New Jersey Resources Corp. 1,440,233 47,024
  PNM Resources Inc. 1,196,770 46,004
  OGE Energy Corp. 1,503,427 45,644
  American States Water Co. 554,275 43,583
  ALLETE Inc. 778,338 42,505
  NorthWestern Corp. 759,736 41,421
  El Paso Electric Co. 612,253 41,021
  Avista Corp. 1,011,041 36,792
  California Water Service Group 732,227 34,927
  MGE Energy Inc. 540,793 34,886
  South Jersey Industries Inc. 1,390,570 34,750
  NRG Energy Inc. 871,087 28,363
  Clearway Energy Inc. Class C 1,194,237 27,539
  Northwest Natural Holding Co. 457,966 25,550
50

Vanguard® Small-Cap Value Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Clearway Energy Inc. Class A 516,003 10,820
            1,558,591
Total Common Stocks (Cost $27,206,538) 26,490,395
Preferred Stocks (0.0%)
  WESCO International Inc. Pfd., 10.625%, 6/22/25
(Cost $1,812)
68,380 1,813
      Coupon      
Temporary Cash Investments (1.8%)
Money Market Fund (1.8%)
5,6 Vanguard Market Liquidity Fund 0.227%   4,889,620 488,962
        Maturity
Date
Face
Amount
($000)
 
U.S. Government and Agency Obligations (0.0%)
7 United States Treasury Bill 0.116% 9/29/20 3,000 2,999
7 United States Treasury Bill 0.165% 11/3/20 2,140 2,139
            5,138
Total Temporary Cash Investments (Cost $494,039) 494,100
Total Investments (101.5%) (Cost $27,702,389)   26,986,308
Other Assets and Liabilities—Net (-1.5%)   (405,565)
Net Assets (100%)   26,580,743
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 $384,902,000.
2 Security value determined using significant unobservable inputs.
3 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. At June 30, 2020, the aggregate value of these securities was $13,952,000, representing 0.1% of net assets.
4 “Other” represents securities that are not classified by the fund’s benchmark index.
5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
6 Collateral of $415,898,000 was received for securities on loan, of which $408,466,000 is held in Vanguard Market Liquidity Fund and $7,432,000 is held in cash.
7 Securities with a value of $5,138,000 have been segregated as initial margin for open futures contracts.
  CVR—Contingent Value Rights.
  REIT—Real Estate Investment Trust.
51

© 2020 The Vanguard Group, Inc.
All rights reserved.
Vanguard Marketing Corporation, Distributor.
SNA482 082020

 

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
Common Stocks (99.0%)
Communication Services (4.6%)
* IAC/interactivecorp 1,040,698 336,562
* Snap Inc. Class A 11,719,579 275,293
* Liberty Broadband Corp. Class C 2,218,603 275,018
  Cable One Inc. 75,294 133,636
* Zynga Inc. Class A 13,652,750 130,247
* Liberty Global plc Class C 5,606,052 120,586
* Roku Inc. Class A 984,360 114,707
*,1 Zillow Group Inc. Class C 1,926,177 110,967
* GCI Liberty Inc. Class A 1,362,307 96,887
* Liberty Media Corp.-Liberty Formula One Class C 2,931,288 92,951
  Sirius XM Holdings Inc. 15,316,765 89,909
* Altice USA Inc. Class A 3,879,278 87,439
*,1 Match Group Inc. 815,836 87,335
  New York Times Co. Class A 2,067,902 86,914
* Liberty Media Corp.-Liberty SiriusXM Class C 2,471,859 85,156
  Nexstar Media Group Inc. Class A 647,456 54,186
* Liberty Global plc Class A 2,282,073 49,886
  Cogent Communications Holdings Inc. 592,987 45,873
* Liberty Media Corp.-Liberty SiriusXM Class A 1,108,059 38,250
* Liberty Broadband Corp. Class A 311,358 38,045
* Madison Square Garden Sports Corp. 250,089 36,736
* Pinterest Inc. Class A 1,617,216 35,854
* Iridium Communications Inc. 1,378,785 35,076
  TEGNA Inc. 3,137,471 34,951
* Vonage Holdings Corp. 3,302,279 33,221
  Shenandoah Telecommunications Co. 661,123 32,587
*,1 Warner Music Group Corp. Class A 1,100,516 32,465
* Zillow Group Inc. Class A 562,580 32,337
* Bandwidth Inc. Class A 240,599 30,556
1 World Wrestling Entertainment Inc. Class A 661,910 28,760
  TripAdvisor Inc. 1,420,785 27,009
  Telephone & Data Systems Inc. 1,351,651 26,871
* Cargurus Inc. Class A 1,043,475 26,452
  John Wiley & Sons Inc. Class A 621,070 24,222
* Yelp Inc. Class A 942,506 21,800
* Cardlytics Inc. 292,425 20,464
* Madison Square Garden Entertainment Corp. 251,616 18,871
  Cinemark Holdings Inc. 1,544,476 17,839
* Glu Mobile Inc. 1,867,812 17,315
* Gray Television Inc. 1,174,440 16,383
* Liberty Latin America Ltd. Class C 1,616,159 15,257
1 Sinclair Broadcast Group Inc. Class A 764,532 14,113
* AMC Networks Inc. Class A 568,461 13,296
  Scholastic Corp. 407,228 12,192
* Lions Gate Entertainment Corp. Class B 1,723,041 11,768
* Cincinnati Bell Inc. 732,532 10,878
*,1 ANGI Homeservices Inc. Class A 891,819 10,836
* Liberty Media Corp.-Liberty Braves Class C 548,033 10,818
* TechTarget Inc. 346,435 10,403
* Liberty Media Corp.-Liberty Formula One Class A 350,346 10,223
  ATN International Inc. 159,625 9,668
* EverQuote Inc. Class A 154,794 9,003
* Boingo Wireless Inc. 653,577 8,706
  Meredith Corp. 586,340 8,531
* Anterix Inc. 175,296 7,948
* QuinStreet Inc. 698,295 7,304
* Consolidated Communications Holdings Inc. 1,078,385 7,301
1

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  EW Scripps Co. Class A 815,076 7,132
*,1 iHeartMedia Inc. Class A 842,327 7,033
* United States Cellular Corp. 221,301 6,832
* Liberty Latin America Ltd. Class A 649,277 6,311
* Meet Group Inc. 990,650 6,182
* Cars.com Inc. 1,000,530 5,763
* MSG Networks Inc. Class A 561,459 5,587
* Clear Channel Outdoor Holdings Inc. 5,332,970 5,546
*,1 Lions Gate Entertainment Corp. Class A 673,675 4,992
* Ooma Inc. 301,377 4,967
* Sciplay Corp. Class A 331,015 4,909
* Central European Media Enterprises Ltd. Class A 1,361,000 4,818
*,1 Eventbrite Inc. Class A 548,891 4,704
* ORBCOMM Inc. 1,203,581 4,634
  Marcus Corp. 349,077 4,632
  Loral Space & Communications Inc. 202,518 3,953
*,1 Daily Journal Corp. 14,184 3,830
* TrueCar Inc. 1,461,647 3,771
1 AMC Entertainment Holdings Inc. Class A 769,748 3,302
*,1 Globalstar Inc. 9,520,655 3,109
*,1,2 NII Holdings Inc. 1,297,367 2,815
  Tribune Publishing Co. 279,881 2,796
  National CineMedia Inc. 937,393 2,784
  Gannett Co. Inc. 1,874,581 2,587
* Hemisphere Media Group Inc. Class A 262,218 2,578
*,1 Gogo Inc. 809,961 2,559
  Spok Holdings Inc. 270,024 2,525
  Entercom Communications Corp. Class A 1,769,692 2,442
* Boston Omaha Corp. Class A 147,014 2,352
* Liberty Media Corp.-Liberty Braves Class A 114,559 2,300
* Liberty TripAdvisor Holdings Inc. Class A 1,073,098 2,286
* comScore Inc. 736,758 2,284
* WideOpenWest Inc. 370,234 1,951
*,1 Gaia Inc. Class A 195,135 1,635
*,1 LiveXLive Media Inc. 448,654 1,624
  Saga Communications Inc. Class A 60,105 1,539
* DHI Group Inc. 725,260 1,523
  Alaska Communications Systems Group Inc. 539,199 1,504
* IDT Corp. Class B 209,246 1,366
* MDC Partners Inc. Class A 607,963 1,265
  Entravision Communications Corp. Class A 871,053 1,246
  Emerald Holding Inc. 380,346 1,171
* Cinedigm Corp. Class A 564,999 1,079
* ZoomInfo Technologies Inc. Class A 18,673 953
* Fluent Inc. 524,848 934
* Reading International Inc. Class A 213,227 906
*,1 Cumulus Media Inc. Class A 202,948 802
*,1 Lee Enterprises Inc. 710,819 697
*,1 Marchex Inc. Class B 399,306 631
  Townsquare Media Inc. Class A 132,690 593
* Travelzoo 94,794 535
* Urban One Inc. 239,794 458
  A H Belo Corp. Class A 209,330 362
*,1 Chicken Soup For The Soul Entertainment Inc. Class A 50,268 347
* Ballantyne Strong Inc. 208,983 343
  Beasley Broadcast Group Inc. Class A 93,910 228
*,1 SRAX Inc. Class A 89,052 225
*,1 IZEA Worldwide Inc. 172,428 197
*,1 AutoWeb Inc. 151,988 196
* Otelco Inc. Class A 14,646 165
*,1 Global Eagle Entertainment Inc. 31,302 148
2

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Salem Media Group Inc. Class A 117,723 133
* Zedge Inc. Class B 78,380 116
* Harte Hanks Inc. 32,072 98
* Insignia Systems Inc. 125,777 90
* Dolphin Entertainment Inc. 99,800 87
*,1 Creative Realities Inc. 25,519 64
* SPAR Group Inc. 80,427 60
*,1 Professional Diversity Network Inc. 20,497 59
*,1 Urban One Inc. Class A 2,500 51
* Super League Gaming Inc. 17,881 43
* NTN Buzztime Inc. 16,227 36
* Mediaco Holding Inc. Class A 5,127 27
*,1,2 SRAX Inc. Rights 74,416 13
  John Wiley & Sons Inc. Class B 328 13
            3,235,689
Consumer Discretionary (13.4%)
*,1 Tesla Inc. 2,052,467 2,216,274
* Lululemon Athletica Inc. 1,632,804 509,451
* Burlington Stores Inc. 939,114 184,940
* Etsy Inc. 1,696,731 180,244
*,1 Wayfair Inc. Class A 837,194 165,438
  Pool Corp. 569,951 154,953
* DraftKings Inc. Class A 3,503,687 116,533
* Chegg Inc. 1,682,087 113,137
  Vail Resorts Inc. 575,771 104,877
  Service Corp. International 2,554,325 99,338
* Caesars Entertainment Corp. 8,073,167 97,928
* Bright Horizons Family Solutions Inc. 833,198 97,651
*,1 Carvana Co. Class A 791,415 95,128
* Grubhub Inc. 1,316,057 92,519
  Williams-Sonoma Inc. 1,112,866 91,266
  Gentex Corp. 3,489,559 89,926
* Five Below Inc. 798,057 85,320
  Lear Corp. 777,382 84,750
  Thor Industries Inc. 791,816 84,352
  Aramark 3,604,004 81,342
* Deckers Outdoor Corp. 400,306 78,616
* Ollie's Bargain Outlet Holdings Inc. 803,575 78,469
  Dunkin' Brands Group Inc. 1,175,084 76,651
  Polaris Inc. 821,223 76,004
  Autoliv Inc. 1,120,793 72,302
  Brunswick Corp. 1,128,637 72,244
* Planet Fitness Inc. Class A 1,144,931 69,348
* Helen of Troy Ltd. 362,000 68,259
* ServiceMaster Global Holdings Inc. 1,890,516 67,473
  Churchill Downs Inc. 503,314 67,016
* Grand Canyon Education Inc. 679,238 61,491
* Skechers U.S.A. Inc. Class A 1,951,167 61,228
* RH 237,924 59,219
* Floor & Decor Holdings Inc. Class A 1,013,994 58,457
  Wingstop Inc. 420,120 58,384
  Wyndham Hotels & Resorts Inc. 1,338,120 57,031
* Penn National Gaming Inc. 1,849,808 56,493
  Wendy's Co. 2,551,249 55,566
* TopBuild Corp. 478,670 54,458
  Toll Brothers Inc. 1,659,514 54,084
* frontdoor Inc. 1,212,866 53,766
* Qurate Retail Inc. Class A 5,513,893 52,382
  Harley-Davidson Inc. 2,193,692 52,144
  Carter's Inc. 623,936 50,352
3

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Strategic Education Inc. 319,509 49,093
  Texas Roadhouse Inc. Class A 930,844 48,934
* Fox Factory Holding Corp. 587,529 48,536
*,1 Eldorado Resorts Inc. 1,194,354 47,846
* Mattel Inc. 4,946,897 47,836
  Lithia Motors Inc. Class A 313,896 47,502
* Tempur Sealy International Inc. 618,959 44,534
* Murphy USA Inc. 391,760 44,108
  Aaron's Inc. 953,147 43,273
  Foot Locker Inc. 1,478,943 43,126
  Marriott Vacations Worldwide Corp. 523,582 43,044
* Stamps.com Inc. 230,979 42,429
*,1 YETI Holdings Inc. 958,218 40,945
  LCI Industries 354,613 40,773
  Dick's Sporting Goods Inc. 932,561 38,477
* Meritage Homes Corp. 504,997 38,440
  KB Home 1,249,044 38,321
  Cracker Barrel Old Country Store Inc. 336,905 37,366
* Taylor Morrison Home Corp. Class A 1,848,314 35,654
  Choice Hotels International Inc. 450,070 35,511
* Crocs Inc. 960,068 35,350
* National Vision Holdings Inc. 1,151,084 35,131
*,1 Chewy Inc. Class A 771,419 34,475
  Wyndham Destinations Inc. 1,213,790 34,205
*,1 iRobot Corp. 396,764 33,288
* Capri Holdings Ltd. 2,124,256 33,202
  Columbia Sportswear Co. 406,185 32,730
  Winnebago Industries Inc. 474,079 31,583
* AutoNation Inc. 817,224 30,711
1 Macy's Inc. 4,454,692 30,648
  Goodyear Tire & Rubber Co. 3,344,491 29,916
  Extended Stay America Inc. 2,526,555 28,272
  Wolverine World Wide Inc. 1,167,112 27,789
* Dorman Products Inc. 406,896 27,291
* TRI Pointe Group Inc. 1,850,787 27,188
* LGI Homes Inc. 308,449 27,153
* Visteon Corp. 391,250 26,801
  Monro Inc. 481,273 26,441
* Shake Shack Inc. Class A 498,965 26,435
  Steven Madden Ltd. 1,068,950 26,392
  MDC Holdings Inc. 733,004 26,168
  Papa John's International Inc. 319,182 25,346
  Hyatt Hotels Corp. Class A 503,464 25,319
  Dana Inc. 2,071,477 25,251
  Boyd Gaming Corp. 1,159,472 24,233
* Cavco Industries Inc. 125,152 24,136
  Jack in the Box Inc. 323,200 23,946
  American Eagle Outfitters Inc. 2,186,531 23,833
  Callaway Golf Co. 1,353,609 23,702
1 Nordstrom Inc. 1,528,837 23,682
  Big Lots Inc. 563,535 23,668
* Hilton Grand Vacations Inc. 1,194,821 23,359
* Adtalem Global Education Inc. 731,899 22,799
  Six Flags Entertainment Corp. 1,135,678 21,816
* Asbury Automotive Group Inc. 266,520 20,610
* Adient plc 1,254,292 20,595
* Peloton Interactive Inc. Class A 354,785 20,496
  Graham Holdings Co. Class B 59,524 20,397
* Sally Beauty Holdings Inc. 1,622,106 20,325
* Installed Building Products Inc. 294,767 20,274
  Cooper Tire & Rubber Co. 724,534 20,004
4

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
1 Bed Bath & Beyond Inc. 1,831,354 19,412
  Rent-A-Center Inc. 670,964 18,666
  Sturm Ruger & Co. Inc. 239,679 18,216
* Skyline Champion Corp. 728,445 17,730
* Delphi Technologies plc 1,247,202 17,723
  Penske Automotive Group Inc. 454,851 17,607
  Office Depot Inc. 7,421,660 17,441
* Gentherm Inc. 445,361 17,325
  La-Z-Boy Inc. 634,895 17,180
* Smith & Wesson Brands Inc. 794,754 17,103
* WW International Inc. 672,676 17,073
  Acushnet Holdings Corp. 466,186 16,219
* Sleep Number Corp. 380,755 15,855
*,1 Veoneer Inc. 1,469,717 15,711
* Laureate Education Inc. Class A 1,575,244 15,697
  Group 1 Automotive Inc. 236,330 15,591
* Urban Outfitters Inc. 1,023,949 15,584
* Malibu Boats Inc. Class A 297,422 15,451
* K12 Inc. 562,736 15,329
  Brinker International Inc. 636,498 15,276
  Core-Mark Holding Co. Inc. 611,337 15,256
* Perdoceo Education Corp. 948,897 15,116
* M/I Homes Inc. 417,865 14,391
1 Cheesecake Factory Inc. 601,200 13,779
* Sonos Inc. 933,747 13,661
*,1 Workhorse Group Inc. 782,896 13,615
  Bloomin' Brands Inc. 1,271,478 13,554
*,1 Overstock.com Inc. 464,252 13,199
1 Camping World Holdings Inc. Class A 478,673 13,001
* Century Communities Inc. 420,260 12,885
* American Axle & Manufacturing Holdings Inc. 1,653,672 12,568
* Scientific Games Corp. 801,653 12,394
  Standard Motor Products Inc. 295,757 12,185
* Vista Outdoor Inc. 841,501 12,160
1 Kontoor Brands Inc. 669,454 11,923
  Red Rock Resorts Inc. Class A 1,039,089 11,336
  Sonic Automotive Inc. Class A 352,574 11,251
  Oxford Industries Inc. 250,653 11,031
  PetMed Express Inc. 297,878 10,616
  Dine Brands Global Inc. 239,786 10,095
  Shutterstock Inc. 285,404 9,981
  Abercrombie & Fitch Co. Class A 918,028 9,768
* Universal Electronics Inc. 203,341 9,520
*,1 Vivint Smart Home Inc. 547,556 9,489
* Boot Barn Holdings Inc. 422,431 9,108
*,1 GoPro Inc. Class A 1,896,024 9,025
*,1 Stitch Fix Inc. Class A 358,375 8,938
* Rubicon Project Inc. 1,339,013 8,931
1 Dave & Buster's Entertainment Inc. 665,859 8,876
* SeaWorld Entertainment Inc. 585,266 8,668
* Sportsman's Warehouse Holdings Inc. 590,317 8,412
* Stoneridge Inc. 405,144 8,370
* G-III Apparel Group Ltd. 627,881 8,345
* Denny's Corp. 824,283 8,325
* Quotient Technology Inc. 1,121,289 8,208
* Zumiez Inc. 298,587 8,175
* America's Car-Mart Inc. 92,919 8,165
  Johnson Outdoors Inc. Class A 89,225 8,121
1 Children's Place Inc. 213,820 8,001
* Michaels Cos. Inc. 1,109,797 7,846
  Signet Jewelers Ltd. 761,530 7,821
5

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
1 Levi Strauss & Co. Class A 579,942 7,771
* MarineMax Inc. 322,568 7,222
* 1-800-Flowers.com Inc. Class A 339,461 6,796
  Twin River Worldwide Holdings Inc. 302,299 6,738
* American Public Education Inc. 224,430 6,643
  Buckle Inc. 423,122 6,635
* Tenneco Inc. Class A 848,771 6,417
* Everi Holdings Inc. 1,222,836 6,310
* Monarch Casino & Resort Inc. 182,742 6,228
* Garrett Motion Inc. 1,112,905 6,165
  Guess? Inc. 629,663 6,089
  BJ's Restaurants Inc. 283,751 5,942
* Groupon Inc. Class A 327,001 5,925
* Lumber Liquidators Holdings Inc. 427,039 5,919
*,1 Accel Entertainment Inc. 597,467 5,754
  Designer Brands Inc. Class A 817,280 5,533
* MasterCraft Boat Holdings Inc. 283,989 5,410
  Winmark Corp. 31,265 5,354
* Hibbett Sports Inc. 252,676 5,291
* Motorcar Parts of America Inc. 293,434 5,185
  Caleres Inc. 603,613 5,034
* Genesco Inc. 210,982 4,570
  Carriage Services Inc. Class A 248,550 4,504
*,1 At Home Group Inc. 687,480 4,462
* Green Brick Partners Inc. 376,307 4,459
  Haverty Furniture Cos. Inc. 278,332 4,453
* Beazer Homes USA Inc. 440,035 4,431
* El Pollo Loco Holdings Inc. 299,172 4,416
* Modine Manufacturing Co. 764,915 4,222
  Ethan Allen Interiors Inc. 355,368 4,204
* GameStop Corp. Class A 964,666 4,187
* Nautilus Inc. 433,092 4,015
  Clarus Corp. 344,486 3,989
  Shoe Carnival Inc. 136,208 3,987
  Collectors Universe Inc. 112,406 3,853
*,1 XPEL Inc. 245,951 3,847
* Chuy's Holdings Inc. 254,566 3,788
*,1 Lovesac Co. 139,590 3,661
1 Franchise Group Inc. 164,353 3,596
* US Auto Parts Network Inc. 401,422 3,476
1 Dillard's Inc. Class A 133,877 3,453
  Hooker Furniture Corp. 176,140 3,426
  Tupperware Brands Corp. 714,518 3,394
* Cooper-Standard Holdings Inc. 254,266 3,369
  Citi Trends Inc. 164,127 3,319
  Ruth's Hospitality Group Inc. 405,418 3,308
* Fossil Group Inc. 701,801 3,263
* Lindblad Expeditions Holdings Inc. 397,587 3,069
* Del Taco Restaurants Inc. 515,550 3,057
* Purple Innovation Inc. Class A 168,004 3,024
*,1 Revolve Group Inc. Class A 200,866 2,985
* Regis Corp. 363,325 2,972
*,1 RealReal Inc. 232,234 2,970
* Unifi Inc. 228,433 2,942
* Playa Hotels & Resorts NV 800,306 2,897
* Carrols Restaurant Group Inc. 596,238 2,886
* Houghton Mifflin Harcourt Co. 1,558,299 2,821
*,1 Turtle Beach Corp. 189,495 2,789
* Conn's Inc. 274,163 2,766
* Noodles & Co. Class A 455,461 2,756
  Cato Corp. Class A 331,389 2,711
6

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Movado Group Inc. 248,315 2,692
* Universal Technical Institute Inc. 376,994 2,620
* Golden Entertainment Inc. 284,677 2,539
* GrowGeneration Corp. 366,800 2,509
  BBX Capital Corp. Class A 975,788 2,478
  Chico's FAS Inc. 1,730,097 2,388
  OneSpaWorld Holdings Ltd. 498,258 2,377
  Nathan's Famous Inc. 40,865 2,298
* Liquidity Services Inc. 384,483 2,292
*,1 Lakeland Industries Inc. 97,647 2,190
*,1 Waitr Holdings Inc. 814,892 2,143
* Aspen Group Inc. 235,192 2,128
  Rocky Brands Inc. 103,317 2,124
* Fiesta Restaurant Group Inc. 305,677 1,950
* Lands' End Inc. 238,373 1,917
*,1 Red Robin Gourmet Burgers Inc. 187,905 1,917
  Tilly's Inc. Class A 323,580 1,835
  Escalade Inc. 128,577 1,795
* VOXX International Corp. Class A 310,185 1,793
  RCI Hospitality Holdings Inc. 125,912 1,745
* Century Casinos Inc. 408,393 1,695
* OneWater Marine Inc. Class A 69,700 1,692
  Weyco Group Inc. 77,311 1,669
  Marine Products Corp. 118,751 1,645
*,1 Drive Shack Inc. 888,069 1,643
  Superior Group of Cos. Inc. 116,940 1,567
*,1 XpresSpa Group Inc. 372,774 1,562
* Express Inc. 992,974 1,529
* Vera Bradley Inc. 344,179 1,528
* Hovnanian Enterprises Inc. Class A 64,852 1,517
* Funko Inc. Class A 251,532 1,459
*,1 Genius Brands International Inc. 635,209 1,429
*,1 ZAGG Inc. 421,612 1,324
* PlayAGS Inc. 388,471 1,313
  Flexsteel Industries Inc. 103,832 1,311
*,1 Duluth Holdings Inc. Class B 177,191 1,306
  Culp Inc. 148,464 1,278
* Zovio Inc. Class A 399,526 1,223
*,1 Remark Holdings Inc. 501,492 1,184
*,1 Party City Holdco Inc. 786,838 1,172
*,1 Blink Charging Co. 201,097 1,142
* Biglari Holdings Inc. Class B 16,477 1,137
* TravelCenters of America Inc. 70,275 1,082
  Bassett Furniture Industries Inc. 144,743 1,064
*,1 Vuzix Corp. 438,724 1,049
*,1 Blue Apron Holdings Inc. Class A 93,541 1,037
  Lifetime Brands Inc. 154,073 1,035
* Delta Apparel Inc. 79,196 960
* Barnes & Noble Education Inc. 581,320 930
  Hamilton Beach Brands Holding Co. Class A 76,216 907
* J Alexander's Holdings Inc. Class A 179,472 883
*,1 Potbelly Corp. 378,112 862
* Target Hospitality Corp. 498,211 842
* Select Interior Concepts Inc. Class A 232,840 815
*,1 Leaf Group Ltd. 220,847 810
* Red Lion Hotels Corp. 327,789 764
*,1 Container Store Group Inc. 233,508 757
* Legacy Housing Corp. 52,717 750
1 Tailored Brands Inc. 736,781 691
* Horizon Global Corp. 308,335 678
* Kura Sushi USA Inc. Class A 46,926 670
7

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Strattec Security Corp. 41,856 667
* New Home Co. Inc. 194,068 652
1 Big 5 Sporting Goods Corp. 328,849 638
*,1 Kirkland's Inc. 228,692 620
* ONE Group Hospitality Inc. 370,160 603
  Bluegreen Vacations Corp. 110,468 599
* Vroom Inc. 11,060 577
*,1 Inspired Entertainment Inc. 196,612 570
  Educational Development Corp. 57,944 557
  Superior Industries International Inc. 326,845 556
  Ark Restaurants Corp. 38,576 478
* Build-A-Bear Workshop Inc. 196,911 429
* Lincoln Educational Services Corp. 107,689 420
* Full House Resorts Inc. 302,969 403
  Crown Crafts Inc. 80,356 392
* BBQ Holdings Inc. 115,967 380
* Greenlane Holdings Inc. Class A 94,720 377
*,1 JAKKS Pacific Inc. 412,051 338
* Shiloh Industries Inc. 207,670 336
* Destination XL Group Inc. 512,322 333
  Dover Motorsports Inc. 181,111 281
*,1 Arcimoto Inc. 52,107 277
* Tandy Leather Factory Inc. 82,294 275
* Biglari Holdings Inc. Class A 733 246
* Vince Holding Corp. 40,363 224
* iMedia Brands Inc. 62,799 218
* Luby's Inc. 146,561 212
*,1 Ascena Retail Group Inc. 124,112 181
*,1 Stein Mart Inc. 402,522 169
*,1 Francesca's Holdings Corp. 42,358 163
* Dixie Group Inc. 168,576 158
* Monaker Group Inc. 78,800 154
*,1 Casper Sleep Inc. 16,849 151
* Forward Industries Inc. 115,757 150
*,1 J. Jill Inc. 211,775 147
* Unique Fabricating Inc. 45,041 144
  AMCON Distributing Co. 2,126 120
* Good Times Restaurants Inc. 96,730 119
* Charles & Colvard Ltd. 160,570 117
*,1 Town Sports International Holdings Inc. 205,987 111
*,1 Sequential Brands Group Inc. 507,312 107
*,1 FAT Brands Inc. 30,842 105
* Lazydays Holdings Inc. 12,000 105
* Iconix Brand Group Inc. 105,013 98
* Flanigan's Enterprises Inc. 6,352 97
*,1 RumbleON Inc. Class B 9,270 90
*,1 Trans World Entertainment Corp. 12,368 85
*,1 RTW Retailwinds Inc. 404,818 81
*,1 Nova Lifestyle Inc. 42,072 81
* Rave Restaurant Group Inc. 103,389 78
* Sypris Solutions Inc. 86,639 64
* Edison Nation Inc. 20,400 62
* Nephros Inc. 7,214 61
*,1 Toughbuilt Industries Inc. 77,084 60
* Live Ventures Inc. 5,291 51
* Mohawk Group Holdings Inc. 6,400 35
  Lennar Corp. Class A 471 29
*,1 Apex Global Brands Inc. 26,110 29
  Canterbury Park Holding Corp. 2,730 29
* Xcel Brands Inc. 12,396 11
* Comstock Holding Cos. Inc. Class A 2,809 8
8

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
*,1 AYRO Inc. 2,828 8
* Koss Corp. 4,492 6
* Yunhong CTI Ltd. 1,768 5
  Bowl America Inc. Class A 405 4
  P&F Industries Inc. Class A 574 3
  ODP Corp. 663
            9,347,043
Consumer Staples (2.7%)
  Keurig Dr Pepper Inc. 4,807,965 136,546
  Bunge Ltd. 2,024,765 83,279
* Post Holdings Inc. 916,134 80,272
  Ingredion Inc. 956,722 79,408
  Casey's General Stores Inc. 526,408 78,709
* Boston Beer Co. Inc. Class A 138,287 74,212
* BJ's Wholesale Club Holdings Inc. 1,749,425 65,201
* US Foods Holding Corp. 3,145,828 62,036
  Flowers Foods Inc. 2,746,892 61,420
* Herbalife Nutrition Ltd. 1,325,226 59,609
* Darling Ingredients Inc. 2,345,965 57,758
* Performance Food Group Co. 1,898,450 55,321
  Lancaster Colony Corp. 281,219 43,586
  Energizer Holdings Inc. 911,640 43,294
* Sprouts Farmers Market Inc. 1,666,705 42,651
* Freshpet Inc. 497,888 41,653
  WD-40 Co. 193,197 38,311
* Grocery Outlet Holding Corp. 914,440 37,309
* TreeHouse Foods Inc. 809,850 35,471
* Hain Celestial Group Inc. 1,117,997 35,228
  Sanderson Farms Inc. 283,672 32,875
  Nu Skin Enterprises Inc. Class A 737,671 28,201
  Spectrum Brands Holdings Inc. 580,303 26,636
  J & J Snack Foods Corp. 207,963 26,438
* Edgewell Personal Care Co. 782,840 24,393
  Reynolds Consumer Products Inc. 692,204 24,047
  Medifast Inc. 168,868 23,434
1 B&G Foods Inc. 923,045 22,504
* Simply Good Foods Co. 1,182,730 21,975
* Hostess Brands Inc. Class A 1,766,383 21,585
*,1 Beyond Meat Inc. 152,369 20,414
* Central Garden & Pet Co. Class A 590,516 19,954
* Cal-Maine Foods Inc. 436,712 19,425
  PriceSmart Inc. 303,668 18,320
  Vector Group Ltd. 1,699,844 17,100
  Coca-Cola Consolidated Inc. 67,706 15,518
  Calavo Growers Inc. 238,896 15,029
  Universal Corp. 333,030 14,157
* United Natural Foods Inc. 774,472 14,103
*,1 Rite Aid Corp. 785,252 13,396
* Pilgrim's Pride Corp. 740,007 12,499
  Weis Markets Inc. 245,772 12,318
  Inter Parfums Inc. 255,549 12,305
* USANA Health Sciences Inc. 165,157 12,127
* BellRing Brands Inc. Class A 578,742 11,540
  John B Sanfilippo & Son Inc. 131,000 11,178
  Seaboard Corp. 3,788 11,113
  SpartanNash Co. 522,010 11,093
  Fresh Del Monte Produce Inc. 435,056 10,711
*,1 National Beverage Corp. 170,595 10,410
  Ingles Markets Inc. Class A 211,488 9,109
1 Tootsie Roll Industries Inc. 253,277 8,680
9

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* elf Beauty Inc. 389,695 7,431
  MGP Ingredients Inc. 195,260 7,167
  Andersons Inc. 486,343 6,692
* Chefs' Warehouse Inc. 456,753 6,203
*,1 Celsius Holdings Inc. 450,390 5,301
*,1 HF Foods Group Inc. 495,962 4,488
* Landec Corp. 464,973 3,701
* Central Garden & Pet Co. 102,481 3,688
* Seneca Foods Corp. Class A 107,094 3,621
  Limoneira Co. 248,262 3,597
  Village Super Market Inc. Class A 124,634 3,455
1 Turning Point Brands Inc. 129,588 3,228
* Craft Brew Alliance Inc. 162,584 2,502
* Lifevantage Corp. 168,510 2,278
  Oil-Dri Corp. of America 65,419 2,270
* Veru Inc. 618,564 2,066
  Natural Grocers by Vitamin Cottage Inc. 121,761 1,812
*,1 New Age Beverages Corp. 1,142,893 1,749
  Alico Inc. 46,718 1,456
*,1 22nd Century Group Inc. 1,688,581 1,291
* Farmer Bros Co. 169,421 1,244
*,1 Revlon Inc. Class A 109,653 1,086
* Nature's Sunshine Products Inc. 93,878 846
  United-Guardian Inc. 56,697 838
*,1 Alkaline Water Co. Inc. 505,193 722
  Natural Health Trends Corp. 116,955 667
* S&W Seed Co. 246,506 562
* Natural Alternatives International Inc. 73,591 506
* Albertsons Cos. Inc. Class A 31,874 503
  Rocky Mountain Chocolate Factory Inc. 96,131 409
  Ocean Bio-Chem Inc. 24,821 346
* Arcadia Biosciences Inc. 90,707 341
* RiceBran Technologies 378,072 313
*,1 Guardion Health Sciences Inc. 688,575 302
*,1 Reed's Inc. 303,758 291
* Lifeway Foods Inc. 87,868 202
*,1 Youngevity International Inc. 135,091 193
* Coffee Holding Co. Inc. 55,673 166
*,1 Eastside Distilling Inc. 86,197 126
*,1 Ifresh Inc. 116,086 124
  Mannatech Inc. 7,785 115
* Summer Infant Inc. 9,483 78
* Bridgford Foods Corp. 4,554 75
*,1 MYOS RENS Technology Inc. 69,110 61
* Standard Diversified Inc. Class A 1,829 24
* Reliv International Inc. 4,459 16
* Willamette Valley Vineyards Inc. 1,134 7
* Cyanotech Corp. 2,701 6
            1,848,026
Energy (1.6%)
* Cheniere Energy Inc. 3,281,602 158,567
  Targa Resources Corp. 3,331,668 66,867
1 Equitrans Midstream Corp. 5,794,441 48,152
  Parsley Energy Inc. Class A 4,398,624 46,977
  EQT Corp. 3,649,751 43,432
  Cimarex Energy Co. 1,447,365 39,788
* WPX Energy Inc. 5,807,312 37,051
1 Ovintiv Inc. 3,697,030 35,307
  Helmerich & Payne Inc. 1,503,962 29,342
  Murphy Oil Corp. 2,055,860 28,371
10

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
*,1 ChampionX Corp. 2,662,269 25,984
* CNX Resources Corp. 2,685,536 23,230
  World Fuel Services Corp. 892,631 22,994
1 Continental Resources Inc. 1,164,336 20,411
1 Antero Midstream Corp. 4,000,352 20,402
* Southwestern Energy Co. 7,822,476 20,026
  Delek US Holdings Inc. 1,062,451 18,497
1 Range Resources Corp. 3,056,022 17,205
* PDC Energy Inc. 1,332,329 16,574
*,1 Transocean Ltd. 8,307,289 15,202
  PBF Energy Inc. Class A 1,479,740 15,153
* Dril-Quip Inc. 484,240 14,425
  Cactus Inc. Class A 685,363 14,139
* Renewable Energy Group Inc. 564,817 13,996
* Matador Resources Co. 1,579,052 13,422
  Core Laboratories NV 641,359 13,032
  Archrock Inc. 1,856,725 12,050
* Oceaneering International Inc. 1,453,240 9,286
* Magnolia Oil & Gas Corp. Class A 1,510,548 9,154
  Kosmos Energy Ltd. 5,302,543 8,802
  Patterson-UTI Energy Inc. 2,530,919 8,782
  CVR Energy Inc. 424,968 8,546
* SEACOR Holdings Inc. 256,105 7,253
* Helix Energy Solutions Group Inc. 2,053,662 7,126
*,1 Callon Petroleum Co. 5,731,882 6,592
*,1 Antero Resources Corp. 2,558,005 6,497
  Arch Resources Inc. 219,485 6,236
* ProPetro Holding Corp. 1,195,186 6,143
  International Seaways Inc. 366,233 5,984
  DMC Global Inc. 216,214 5,967
  SM Energy Co. 1,565,045 5,869
* REX American Resources Corp. 83,503 5,793
* NexTier Oilfield Solutions Inc. 2,343,638 5,742
  Brigham Minerals Inc. Class A 422,622 5,219
* Green Plains Inc. 496,883 5,076
* Par Pacific Holdings Inc. 555,191 4,991
* Select Energy Services Inc. Class A 949,981 4,655
* Clean Energy Fuels Corp. 2,061,629 4,577
  QEP Resources Inc. 3,495,873 4,510
  Liberty Oilfield Services Inc. Class A 768,752 4,213
* Oil States International Inc. 873,683 4,150
* Bonanza Creek Energy Inc. 277,258 4,109
1 US Silica Holdings Inc. 1,089,386 3,933
* Matrix Service Co. 382,167 3,715
1 Nabors Industries Ltd. 98,017 3,629
* Comstock Resources Inc. 816,067 3,574
  Solaris Oilfield Infrastructure Inc. Class A 466,531 3,462
* Frank's International NV 1,519,498 3,388
* Tidewater Inc. 593,438 3,317
*,1 W&T Offshore Inc. 1,399,336 3,190
*,1 Oasis Petroleum Inc. 4,146,192 3,110
  Peabody Energy Corp. 1,047,118 3,016
* Newpark Resources Inc. 1,349,732 3,010
* Dorian LPG Ltd. 387,054 2,996
*,1 Northern Oil and Gas Inc. 3,439,849 2,886
  Berry Corp. 583,629 2,819
* Talos Energy Inc. 291,157 2,679
*,1 Contango Oil & Gas Co. 1,154,630 2,644
* Centennial Resource Development Inc. Class A 2,925,756 2,604
* Diamond S Shipping Inc. 322,798 2,579
* RPC Inc. 779,297 2,400
11

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Gulfport Energy Corp. 2,191,077 2,388
* Exterran Corp. 418,359 2,255
*,1 Uranium Energy Corp. 2,432,660 2,135
*,1 Denbury Resources Inc. 7,010,391 1,936
* CONSOL Energy Inc. 380,416 1,929
* Aspen Aerogels Inc. 292,292 1,923
  Falcon Minerals Corp. 587,838 1,881
*,1 Valaris plc Class A 2,861,539 1,865
* Penn Virginia Corp. 192,756 1,837
* Laredo Petroleum Inc. 128,731 1,784
* Overseas Shipholding Group Inc. Class A 895,213 1,665
*,1 Tellurian Inc. 1,350,528 1,553
* Bristow Group Inc. Class A 100,851 1,405
  NACCO Industries Inc. Class A 60,211 1,403
* Geospace Technologies Corp. 179,738 1,352
* Montage Resources Corp. 308,998 1,221
  Evolution Petroleum Corp. 435,404 1,219
*,1 Noble Corp. plc 3,702,138 1,189
* Natural Gas Services Group Inc. 179,377 1,125
*,1 Ring Energy Inc. 912,398 1,058
* TETRA Technologies Inc. 1,796,542 960
* VAALCO Energy Inc. 745,157 924
* Centrus Energy Corp. Class A 86,440 868
*,1 California Resources Corp. 706,447 862
* Earthstone Energy Inc. Class A 295,017 838
* Goodrich Petroleum Corp. 113,962 821
* SEACOR Marine Holdings Inc. 290,748 741
*,1 KLX Energy Services Holdings Inc. 341,016 733
  Adams Resources & Energy Inc. 26,556 711
* Gulf Island Fabrication Inc. 228,031 700
*,1 Forum Energy Technologies Inc. 1,199,939 634
  Panhandle Oil and Gas Inc. Class A 223,317 598
* SandRidge Energy Inc. 435,952 562
*,1 Abraxas Petroleum Corp. 2,401,966 561
*,1 Altus Midstream Co. 827,553 524
*,1 HighPoint Resources Corp. 1,658,527 489
* Pacific Ethanol Inc. 606,815 431
*,1 RigNet Inc. 184,815 397
* Dawson Geophysical Co. 260,463 375
* Profire Energy Inc. 441,797 368
  Amplify Energy Corp. 294,559 362
*,1 Chaparral Energy Inc. Class A 557,958 362
*,1 Nine Energy Service Inc. 182,835 357
* ION Geophysical Corp. 146,956 344
*,1 Smart Sand Inc. 317,809 334
* PrimeEnergy Resources Corp. 4,191 298
*,1 Zion Oil & Gas Inc. 991,380 295
*,1 SilverBow Resources Inc. 77,094 247
*,1 Torchlight Energy Resources Inc. 631,684 229
* Vertex Energy Inc. 318,653 227
*,1 Covia Holdings Corp. 464,175 223
* Mitcham Industries Inc. 137,162 219
*,1 Mammoth Energy Services Inc. 180,337 213
*,1 Independence Contract Drilling Inc. 53,285 207
* Ranger Energy Services Inc. Class A 66,043 195
  Hallador Energy Co. 269,977 177
*,1 Hi-Crush Inc. 1,115,249 169
* US Well Services Inc. Class A 342,236 167
*,1 FTS International Inc. 23,837 164
* NextDecade Corp. 74,778 162
* Lonestar Resources US Inc. Class A 327,678 154
12

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* NCS Multistage Holdings Inc. 202,955 117
* Quintana Energy Services Inc. 114,748 114
*,1 Rosehill Resources Inc. Class A 125,800 91
* TransAtlantic Petroleum Ltd. 337,879 91
* Aemetis Inc. 113,906 90
*,1 Gevo Inc. 107,879 86
*,1 Enservco Corp. 450,210 78
*,1 Chesapeake Energy Corp. 15,657 77
* Superior Drilling Products Inc. 91,783 68
*,1 PEDEVCO Corp. 60,609 49
* ENGlobal Corp. 44,862 46
* Barnwell Industries Inc. 44,204 40
* Camber Energy Inc. 32,106 38
*,1 New Concept Energy Inc. 29,463 36
*,1 Lilis Energy Inc. 545,141 29
* Tengasco Inc. 47,328 26
* US Energy Corp. Wyoming 2,833 15
*,1 Houston American Energy Corp. 98,784 14
* Westwater Resources Inc. 4,747 13
*,2 Alta Mesa Resources Inc. Class A 1,665,337 7
* Mexco Energy Corp. 600 2
*,1,2 Harvest Natural Resources Inc. 133,886
            1,097,271
Financials (14.2%)
  Blackstone Group Inc. Class A 9,560,791 541,714
  KKR & Co. Inc. 7,979,238 246,399
* Markel Corp. 196,428 181,336
  FactSet Research Systems Inc. 539,785 177,303
* Arch Capital Group Ltd. 5,789,956 165,882
  Apollo Global Management Inc. Class A 2,940,374 146,783
  TD Ameritrade Holding Corp. 3,782,149 137,595
  Brown & Brown Inc. 3,350,354 136,560
  Annaly Capital Management Inc. 20,401,821 133,836
  Fidelity National Financial Inc. 4,121,201 126,356
  RenaissanceRe Holdings Ltd. 718,152 122,826
  Equitable Holdings Inc. 5,772,406 111,350
  Ally Financial Inc. 5,326,522 105,625
  AGNC Investment Corp. 7,920,940 102,180
  Alleghany Corp. 204,292 99,927
  SEI Investments Co. 1,772,131 97,432
  LPL Financial Holdings Inc. 1,127,876 88,425
  Commerce Bancshares Inc. 1,434,471 85,308
  Voya Financial Inc. 1,800,290 83,984
  Signature Bank 765,930 81,893
  Prosperity Bancshares Inc. 1,324,253 78,634
*,1 Credit Acceptance Corp. 186,850 78,292
  First American Financial Corp. 1,590,328 76,368
  Reinsurance Group of America Inc. 969,079 76,015
  East West Bancorp Inc. 2,025,244 73,395
  Primerica Inc. 584,378 68,138
  New York Community Bancorp Inc. 6,637,282 67,700
  American Financial Group Inc. 1,066,288 67,667
  Old Republic International Corp. 4,080,190 66,548
  TCF Financial Corp. 2,180,125 64,139
  Tradeweb Markets Inc. Class A 1,099,190 63,907
  Kemper Corp. 877,413 63,630
  Eaton Vance Corp. 1,637,683 63,215
  Cullen/Frost Bankers Inc. 814,773 60,872
  Starwood Property Trust Inc. 4,022,580 60,178
  Legg Mason Inc. 1,189,675 59,186
13

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  First Financial Bankshares Inc. 2,002,253 57,845
  Essent Group Ltd. 1,579,834 57,301
  Hanover Insurance Group Inc. 543,659 55,089
* Athene Holding Ltd. Class A 1,692,410 52,786
  Erie Indemnity Co. Class A 262,934 50,457
  Western Alliance Bancorp 1,331,535 50,425
  Affiliated Managers Group Inc. 674,919 50,322
  Jefferies Financial Group Inc. 3,213,143 49,964
  United Bankshares Inc. 1,805,171 49,931
  Blackstone Mortgage Trust Inc. Class A 2,070,073 49,868
* Cannae Holdings Inc. 1,212,046 49,815
  South State Corp. 1,016,446 48,444
  Axis Capital Holdings Ltd. 1,192,742 48,378
  Popular Inc. 1,257,072 46,725
  RLI Corp. 568,878 46,705
  Janus Henderson Group plc 2,202,305 46,601
  Stifel Financial Corp. 977,239 46,350
  Lazard Ltd. Class A 1,607,170 46,013
1 Carlyle Group Inc. 1,647,443 45,964
  First Citizens BancShares Inc. Class A 112,660 45,630
  Kinsale Capital Group Inc. 293,936 45,622
  Interactive Brokers Group Inc. Class A 1,089,780 45,520
  First Horizon National Corp. 4,479,845 44,619
  Selective Insurance Group Inc. 845,740 44,604
  Glacier Bancorp Inc. 1,263,836 44,601
  Valley National Bancorp 5,547,764 43,384
  New Residential Investment Corp. 5,829,938 43,316
  Radian Group Inc. 2,791,197 43,291
  Pinnacle Financial Partners Inc. 1,021,541 42,895
  Community Bank System Inc. 747,966 42,649
  Synovus Financial Corp. 2,077,076 42,642
  Ares Management Corp. Class A 1,062,040 42,163
  Morningstar Inc. 291,639 41,112
  FirstCash Inc. 595,947 40,215
  Bank OZK 1,709,257 40,116
  MGIC Investment Corp. 4,833,686 39,588
  Houlihan Lokey Inc. Class A 689,213 38,348
  SLM Corp. 5,371,921 37,765
  White Mountains Insurance Group Ltd. 42,239 37,507
* Brighthouse Financial Inc. 1,327,945 36,943
  Webster Financial Corp. 1,276,063 36,508
  Wintrust Financial Corp. 826,038 36,032
* eHealth Inc. 366,365 35,992
  CVB Financial Corp. 1,852,636 34,718
  Bank of Hawaii Corp. 565,079 34,702
  IBERIABANK Corp. 757,013 34,474
* Green Dot Corp. Class A 697,438 34,230
  FNB Corp. 4,495,751 33,718
  Evercore Inc. Class A 571,527 33,674
  Home BancShares Inc. 2,167,579 33,337
* Enstar Group Ltd. 217,501 33,228
  Umpqua Holdings Corp. 3,078,494 32,755
  American Equity Investment Life Holding Co. 1,310,560 32,384
  Old National Bancorp 2,328,342 32,038
  PacWest Bancorp 1,622,846 31,986
  Sterling Bancorp 2,728,945 31,983
*,1 LendingTree Inc. 110,396 31,963
  Federated Hermes Inc. Class B 1,344,840 31,873
  BancorpSouth Bank 1,400,034 31,837
  Independent Bank Corp. 470,078 31,538
  First Hawaiian Inc. 1,822,224 31,415
14

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  CNO Financial Group Inc. 1,999,222 31,128
  UMB Financial Corp. 599,059 30,881
  Assured Guaranty Ltd. 1,225,966 29,926
  Hannon Armstrong Sustainable Infrastructure Capital Inc. 1,043,658 29,703
  Associated Banc-Corp 2,132,402 29,171
  Washington Federal Inc. 1,077,516 28,921
  Cathay General Bancorp 1,092,294 28,727
  CIT Group Inc. 1,381,925 28,647
  Columbia Banking System Inc. 1,002,464 28,415
  Hamilton Lane Inc. Class A 416,005 28,026
  Simmons First National Corp. Class A 1,539,945 26,348
  OneMain Holdings Inc. 1,065,896 26,157
  Chimera Investment Corp. 2,706,556 26,010
  BankUnited Inc. 1,283,217 25,985
  Atlantic Union Bankshares Corp. 1,111,629 25,745
  Virtu Financial Inc. Class A 1,087,888 25,674
  Hancock Whitney Corp. 1,205,444 25,555
  Artisan Partners Asset Management Inc. Class A 783,887 25,476
  PennyMac Mortgage Investment Trust 1,452,650 25,465
* PRA Group Inc. 657,712 25,427
  International Bancshares Corp. 791,251 25,336
  PennyMac Financial Services Inc. 603,076 25,203
  Pacific Premier Bancorp Inc. 1,160,464 25,159
  BOK Financial Corp. 443,348 25,023
  Investors Bancorp Inc. 2,914,025 24,769
1 Santander Consumer USA Holdings Inc. 1,341,478 24,697
  ServisFirst Bancshares Inc. 679,715 24,307
  Fulton Financial Corp. 2,255,177 23,747
  Moelis & Co. Class A 724,683 22,581
  Westamerica Bancorp 391,369 22,472
* Texas Capital Bancshares Inc. 727,910 22,471
  Horace Mann Educators Corp. 599,527 22,021
* Palomar Holdings Inc. 255,339 21,898
  United Community Banks Inc. 1,085,668 21,844
  Capitol Federal Financial Inc. 1,974,697 21,741
  Trustmark Corp. 882,378 21,636
  Cohen & Steers Inc. 316,569 21,543
  Independent Bank Group Inc. 530,858 21,510
  First Midwest Bancorp Inc. 1,610,633 21,502
  Ameris Bancorp 905,648 21,364
  Walker & Dunlop Inc. 418,325 21,255
  First Merchants Corp. 761,861 21,005
  WSFS Financial Corp. 718,974 20,635
  National General Holdings Corp. 945,209 20,426
  Apollo Commercial Real Estate Finance Inc. 2,049,952 20,110
  Two Harbors Investment Corp. 3,948,902 19,902
  James River Group Holdings Ltd. 438,260 19,722
  NBT Bancorp Inc. 639,406 19,668
* NMI Holdings Inc. Class A 1,217,790 19,582
  Renasant Corp. 781,821 19,467
  First Financial Bancorp 1,342,868 18,652
*,1 Trupanion Inc. 431,769 18,432
  Hilltop Holdings Inc. 996,583 18,387
  Banner Corp. 482,329 18,329
  WesBanco Inc. 891,060 18,097
  Towne Bank 953,075 17,956
  Northwest Bancshares Inc. 1,745,678 17,850
  Lakeland Financial Corp. 378,740 17,645
  First Bancorp (XNYS) 3,137,917 17,541
  Argo Group International Holdings Ltd. 501,032 17,451
  AMERISAFE Inc. 283,208 17,321
15

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Navient Corp. 2,448,430 17,212
1 Broadmark Realty Capital Inc. 1,766,768 16,731
* Genworth Financial Inc. Class A 7,196,933 16,625
  Sandy Spring Bancorp Inc. 661,961 16,403
  Heartland Financial USA Inc. 483,504 16,168
  Cadence Bancorp Class A 1,824,066 16,161
* Axos Financial Inc. 727,318 16,059
  Mercury General Corp. 393,571 16,038
1 MFA Financial Inc. 6,405,851 15,951
  First Interstate BancSystem Inc. Class A 509,433 15,772
  City Holding Co. 241,331 15,728
* Seacoast Banking Corp. of Florida 767,552 15,658
  Hope Bancorp Inc. 1,682,648 15,514
  OceanFirst Financial Corp. 874,050 15,410
  Flagstar Bancorp Inc. 519,323 15,284
  PJT Partners Inc. Class A 296,376 15,216
  Safety Insurance Group Inc. 197,844 15,088
  Eagle Bancorp Inc. 451,054 14,772
* Focus Financial Partners Inc. Class A 444,908 14,704
  Park National Corp. 208,667 14,686
  Waddell & Reed Financial Inc. Class A 915,855 14,205
  First Busey Corp. 749,455 13,977
  New York Mortgage Trust Inc. 5,266,852 13,746
* Encore Capital Group Inc. 399,639 13,660
  Nelnet Inc. Class A 284,372 13,576
  S&T Bancorp Inc. 565,248 13,255
* Mr Cooper Group Inc. 1,063,760 13,233
  Stock Yards Bancorp Inc. 324,604 13,049
* Goosehead Insurance Inc. Class A 173,391 13,032
* INTL. FCStone Inc. 235,801 12,969
1 Arbor Realty Trust Inc. 1,398,442 12,922
  Provident Financial Services Inc. 890,553 12,868
  Employers Holdings Inc. 418,155 12,607
  National Bank Holdings Corp. Class A 462,281 12,482
  Virtus Investment Partners Inc. 106,412 12,375
  Enterprise Financial Services Corp. 392,928 12,228
  First Commonwealth Financial Corp. 1,472,535 12,193
  CNA Financial Corp. 378,511 12,169
  Piper Sandler Cos. 205,472 12,156
  German American Bancorp Inc. 384,836 11,968
  Brookline Bancorp Inc. 1,186,184 11,957
  Tompkins Financial Corp. 183,354 11,876
  Ladder Capital Corp. Class A 1,445,611 11,709
  Redwood Trust Inc. 1,670,980 11,697
  Southside Bancshares Inc. 418,471 11,600
  ProAssurance Corp. 786,707 11,384
  Great Western Bancorp Inc. 822,864 11,323
  BGC Partners Inc. Class A 4,081,315 11,183
  Stewart Information Services Corp. 343,841 11,178
  BancFirst Corp. 270,704 10,982
  Veritex Holdings Inc. 615,100 10,887
  Heritage Financial Corp. 539,773 10,795
  TFS Financial Corp. 740,522 10,597
  TriCo Bancshares 347,788 10,590
* Columbia Financial Inc. 751,158 10,482
  Brightsphere Investment Group Inc. 833,512 10,386
  OFG Bancorp 764,384 10,220
  Premier Financial Corp. 559,885 9,893
* Ambac Financial Group Inc. 687,044 9,838
  First Bancorp (XNGS) 389,558 9,770
1 Invesco Mortgage Capital Inc. 2,587,764 9,678
16

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Meridian Bancorp Inc. 826,171 9,584
  First Foundation Inc. 581,789 9,506
  TrustCo Bank Corp. 1,489,301 9,427
  American National Insurance Co. 128,542 9,264
* Third Point Reinsurance Ltd. 1,198,534 9,001
  United Fire Group Inc. 317,683 8,803
  Federal Agricultural Mortgage Corp. Class C 137,510 8,802
  Preferred Bank 202,267 8,667
  Lakeland Bancorp Inc. 751,851 8,594
  Colony Credit Real Estate Inc. 1,212,772 8,514
  Community Trust Bancorp Inc. 259,433 8,499
  Bryn Mawr Bank Corp. 305,467 8,449
  1st Source Corp. 235,496 8,379
  Boston Private Financial Holdings Inc. 1,215,845 8,365
* Blucora Inc. 730,657 8,344
  Kearny Financial Corp. 1,010,327 8,264
  ARMOUR Residential REIT Inc. 878,182 8,246
  Camden National Corp. 238,743 8,246
  ConnectOne Bancorp Inc. 504,721 8,136
  Universal Insurance Holdings Inc. 449,658 7,981
  Meta Financial Group Inc. 431,477 7,840
  Northfield Bancorp Inc. 677,018 7,799
* BRP Group Inc. Class A 451,189 7,792
* HarborOne Bancorp Inc. 900,671 7,692
* Nicolet Bankshares Inc. 139,914 7,667
  First Financial Corp. 207,341 7,638
  Capstead Mortgage Corp. 1,390,112 7,632
  HomeStreet Inc. 303,924 7,480
  Washington Trust Bancorp Inc. 227,538 7,452
  Allegiance Bancshares Inc. 292,525 7,427
* Bancorp Inc. 756,610 7,415
  Univest Financial Corp. 453,693 7,323
  QCR Holdings Inc. 233,007 7,265
  Arrow Financial Corp. 240,879 7,161
  Ellington Financial Inc. 605,571 7,134
  Banc of California Inc. 654,224 7,085
  Great Southern Bancorp Inc. 174,776 7,054
* Triumph Bancorp Inc. 287,041 6,966
  First Bancshares Inc. 307,858 6,927
  Berkshire Hills Bancorp Inc. 626,225 6,901
  Heritage Commerce Corp. 913,746 6,858
  TPG RE Finance Trust Inc. 793,278 6,822
  Central Pacific Financial Corp. 425,341 6,818
  Bridge Bancorp Inc. 296,197 6,765
  Origin Bancorp Inc. 304,947 6,709
  National Western Life Group Inc. Class A 32,874 6,680
  Cowen Inc. Class A 410,920 6,661
  Bank of Marin Bancorp 193,138 6,437
  Peoples Bancorp Inc. 302,319 6,433
  FB Financial Corp. 256,856 6,362
  WisdomTree Investments Inc. 1,785,712 6,196
* MBIA Inc. 842,461 6,108
  Live Oak Bancshares Inc. 413,829 6,005
  First of Long Island Corp. 365,938 5,979
* Enova International Inc. 400,514 5,956
  Mercantile Bank Corp. 261,525 5,910
  Granite Point Mortgage Trust Inc. 811,062 5,823
* TriState Capital Holdings Inc. 366,945 5,765
  CBTX Inc. 268,265 5,634
  KKR Real Estate Finance Trust Inc. 338,783 5,617
  People's Utah Bancorp 245,256 5,511
17

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  FBL Financial Group Inc. Class A 152,868 5,486
  Diamond Hill Investment Group Inc. 48,089 5,466
  Independent Bank Corp. 365,985 5,435
  First Community Bankshares Inc. 241,109 5,413
  Bar Harbor Bankshares 238,969 5,351
  Franklin Financial Network Inc. 206,948 5,329
* Amerant Bancorp Inc. Class A 346,962 5,218
  Waterstone Financial Inc. 351,112 5,207
* Customers Bancorp Inc. 432,050 5,193
* World Acceptance Corp. 78,787 5,162
  Dynex Capital Inc. 360,616 5,157
  Cambridge Bancorp 86,747 5,139
  First Mid Bancshares Inc. 193,321 5,071
  Dime Community Bancshares Inc. 365,320 5,016
* Assetmark Financial Holdings Inc. 183,618 5,011
  Heritage Insurance Holdings Inc. 382,794 5,011
  Flushing Financial Corp. 431,473 4,971
  Ready Capital Corp. 568,910 4,944
  Farmers National Banc Corp. 414,721 4,919
  Horizon Bancorp Inc. 455,753 4,872
* EZCORP Inc. Class A 768,871 4,844
  Byline Bancorp Inc. 369,644 4,842
  State Auto Financial Corp. 269,662 4,813
  Peapack-Gladstone Financial Corp. 256,003 4,795
  Financial Institutions Inc. 256,879 4,781
  Midland States Bancorp Inc. 318,723 4,765
  HCI Group Inc. 101,992 4,710
1 Orchid Island Capital Inc. 978,666 4,610
  B. Riley Financial Inc. 210,261 4,575
*,1 Citizens Inc. Class A 762,416 4,567
  Republic Bancorp Inc. Class A 139,043 4,548
  Ares Commercial Real Estate Corp. 495,048 4,515
  Hanmi Financial Corp. 464,512 4,510
1 Bank First Corp. 70,114 4,494
  West Bancorp Inc. 252,293 4,413
  Citizens & Northern Corp. 210,577 4,348
  Sierra Bancorp 229,060 4,325
  Hingham Institution For Savings 25,651 4,304
* LendingClub Corp. 945,704 4,303
* Atlantic Capital Bancshares Inc. 351,904 4,279
  Capital City Bank Group Inc. 201,401 4,219
  CNB Financial Corp. 227,524 4,080
  HomeTrust Bancshares Inc. 253,891 4,062
  Merchants Bancorp 216,736 4,007
  Peoples Financial Services Corp. 103,660 3,959
* Equity Bancshares Inc. Class A 224,198 3,910
  Civista Bancshares Inc. 253,576 3,905
1 Victory Capital Holdings Inc. Class A 225,416 3,875
* Donnelley Financial Solutions Inc. 459,437 3,859
  American National Bankshares Inc. 150,509 3,769
  Metrocity Bankshares Inc. 259,740 3,722
  Century Bancorp Inc. Class A 46,269 3,596
  MidWestOne Financial Group Inc. 176,910 3,538
  Sculptor Capital Management Inc. Class A 273,528 3,537
* Metropolitan Bank Holding Corp. 109,222 3,504
  Old Second Bancorp Inc. 448,468 3,489
  PCSB Financial Corp. 274,310 3,478
*,1 Benefytt Technologies Inc. Class A 166,977 3,416
  First Bancorp Inc. 150,877 3,274
  Farmers & Merchants Bancorp Inc. 152,161 3,232
  SmartFinancial Inc. 198,659 3,214
18

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Southern First Bancshares Inc. 113,853 3,155
  ACNB Corp. 120,407 3,152
  Oppenheimer Holdings Inc. Class A 144,218 3,143
  Southern National Bancorp of Virginia Inc. 323,379 3,134
  Amalgamated Bank Class A 239,547 3,028
* Bridgewater Bancshares Inc. 295,255 3,026
* Spirit of Texas Bancshares Inc. 244,049 3,004
  Territorial Bancorp Inc. 125,627 2,989
* Greenlight Capital Re Ltd. Class A 448,774 2,926
  Red River Bancshares Inc. 66,269 2,909
  Business First Bancshares Inc. 188,510 2,894
  Home Bancorp Inc. 107,508 2,876
  Carter Bank & Trust 348,424 2,812
  Guaranty Bancshares Inc. 107,455 2,780
  United Insurance Holdings Corp. 353,757 2,766
  RBB Bancorp 201,517 2,751
  Northrim Bancorp Inc. 108,606 2,730
1 First Capital Inc. 39,234 2,726
  Anworth Mortgage Asset Corp. 1,601,888 2,723
  Great Ajax Corp. 289,298 2,662
  Macatawa Bank Corp. 337,024 2,636
  LCNB Corp. 160,966 2,569
  Investors Title Co. 21,152 2,566
  National Bankshares Inc. 88,924 2,543
* Regional Management Corp. 142,709 2,527
  Enterprise Bancorp Inc. 105,588 2,515
  Luther Burbank Corp. 248,538 2,485
  Cherry Hill Mortgage Investment Corp. 268,537 2,422
  Protective Insurance Corp. Class B 160,081 2,412
  Reliant Bancorp Inc. 147,388 2,401
  Southern Missouri Bancorp Inc. 96,799 2,352
  First Internet Bancorp 140,291 2,332
  Ames National Corp. 118,092 2,331
* Baycom Corp. 177,771 2,295
  Western Asset Mortgage Capital Corp. 828,019 2,269
  Capstar Financial Holdings Inc. 188,394 2,261
  FS Bancorp Inc. 58,205 2,245
  Tiptree Inc. Class A 347,173 2,239
* Howard Bancorp Inc. 209,553 2,225
  Safeguard Scientifics Inc. 317,551 2,223
  Independence Holding Co. 70,062 2,143
  Mid Penn Bancorp Inc. 115,488 2,128
  Greenhill & Co. Inc. 210,921 2,107
  SB One Bancorp 103,961 2,048
  Orrstown Financial Services Inc. 137,192 2,024
  First Northwest Bancorp 161,403 2,005
1 Fidelity D&D Bancorp Inc. 41,088 1,976
  Summit Financial Group Inc. 119,570 1,971
  First Choice Bancorp 119,990 1,965
  Middlefield Banc Corp. 94,048 1,951
  Norwood Financial Corp. 78,111 1,936
  Penns Woods Bancorp Inc. 85,255 1,936
  Central Valley Community Bancorp 125,718 1,935
* Select Bancorp Inc. 236,802 1,928
  Investar Holding Corp. 132,768 1,925
  First Business Financial Services Inc. 116,955 1,924
  Western New England Bancorp Inc. 330,798 1,915
  Crawford & Co. Class B 269,380 1,894
  Associated Capital Group Inc. Class A 51,604 1,893
  Bank of Commerce Holdings 247,276 1,874
  Westwood Holdings Group Inc. 118,862 1,872
19

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Donegal Group Inc. Class A 131,533 1,870
  Global Indemnity Ltd. 77,442 1,854
  ESSA Bancorp Inc. 133,034 1,852
* Republic First Bancorp Inc. 756,181 1,845
* Coastal Financial Corp. 126,394 1,835
  Arlington Asset Investment Corp. Class A 616,281 1,830
  Northeast Bank 102,577 1,800
  Community Financial Corp. 73,134 1,784
  Premier Financial Bancorp Inc. 137,424 1,762
  Evans Bancorp Inc. 75,622 1,759
* Esquire Financial Holdings Inc. 103,937 1,757
  PCB Bancorp 168,864 1,739
* NI Holdings Inc. 117,411 1,734
  BCB Bancorp Inc. 186,501 1,731
  BankFinancial Corp. 204,346 1,717
  Shore Bancshares Inc. 154,409 1,712
* California Bancorp Inc. 111,000 1,654
  FedNat Holding Co. 148,849 1,648
  HBT Financial Inc. 123,300 1,644
  Codorus Valley Bancorp Inc. 118,516 1,639
* Professional Holding Corp. Class A 118,100 1,639
  Curo Group Holdings Corp. 199,879 1,633
1 Ellington Residential Mortgage REIT 156,703 1,614
  MVB Financial Corp. 120,372 1,601
  Timberland Bancorp Inc. 87,696 1,597
  Parke Bancorp Inc. 117,162 1,588
  CB Financial Services Inc. 71,072 1,551
  Richmond Mutual Bancorp Inc. 136,621 1,536
  Bank of Princeton 75,810 1,522
  Community Bankers Trust Corp. 275,595 1,516
  SB Financial Group Inc. 88,836 1,476
  County Bancorp Inc. 70,459 1,475
  Riverview Bancorp Inc. 256,932 1,452
  Nexpoint Real Estate Finance Inc. 86,163 1,443
  First Bank 221,122 1,442
1 AG Mortgage Investment Trust Inc. 448,553 1,431
1 GAIN Capital Holdings Inc. 234,497 1,412
  Hawthorn Bancshares Inc. 70,904 1,396
  Unity Bancorp Inc. 96,925 1,386
  1st Constitution Bancorp 110,376 1,369
1 Citizens Holding Co. 54,367 1,359
  First United Corp. 101,549 1,355
* Oportun Financial Corp. 100,069 1,345
  Mackinac Financial Corp. 128,400 1,332
  Exantas Capital Corp. 501,358 1,329
  First Guaranty Bancshares Inc. 108,429 1,326
  United Security Bancshares 196,870 1,317
* MMA Capital Holdings Inc. 56,912 1,316
  Peoples Bancorp of North Carolina Inc. 74,425 1,315
* Malvern Bancorp Inc. 102,938 1,310
  First Community Corp. 86,350 1,308
* Meridian Corp. 82,000 1,300
* FVCBankcorp Inc. 120,415 1,296
  Standard AVB Financial Corp. 54,796 1,271
  Eagle Bancorp Montana Inc. 72,809 1,265
  Chemung Financial Corp. 46,289 1,264
  Citizens Community Bancorp Inc. 184,213 1,264
* Security National Financial Corp. Class A 186,502 1,258
  Franklin Financial Services Corp. 47,974 1,243
  C&F Financial Corp. 36,886 1,226
* Maiden Holdings Ltd. 986,848 1,224
20

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Pzena Investment Management Inc. Class A 224,114 1,219
  Bankwell Financial Group Inc. 75,757 1,205
  Provident Financial Holdings Inc. 89,437 1,199
  FNCB Bancorp Inc. 204,000 1,173
  Alerus Financial Corp. 58,635 1,159
* MainStreet Bancshares Inc. 87,486 1,155
* PDL Community Bancorp 113,139 1,152
* ProSight Global Inc. 126,419 1,125
* CrossFirst Bankshares Inc. 114,600 1,121
*,1 Ocwen Financial Corp. 1,667,699 1,107
  Salisbury Bancorp Inc. 26,823 1,099
  Ohio Valley Banc Corp. 45,934 1,036
  Oak Valley Bancorp 80,206 1,017
  Marlin Business Services Corp. 119,039 1,007
  First Financial Northwest Inc. 103,776 1,006
1 Auburn National Bancorp Inc. 17,501 999
  Silvercrest Asset Management Group Inc. Class A 78,526 998
  GAMCO Investors Inc. Class A 73,907 984
  Prudential Bancorp Inc. 80,339 967
  First Savings Financial Group Inc. 21,830 946
  Colony Bankcorp Inc. 79,731 938
  First National Corp. 64,822 908
  Severn Bancorp Inc. 139,320 903
  Sterling Bancorp Inc. 251,548 901
* Watford Holdings Ltd. 53,134 887
* Silvergate Capital Corp. Class A 61,919 867
* Pioneer Bancorp Inc. 94,381 864
  Provident Bancorp Inc. 108,071 849
  Plumas Bancorp 37,646 833
  American River Bankshares 77,554 830
* Nicholas Financial Inc. 107,396 828
* Selectquote Inc. 31,866 807
  Donegal Group Inc. Class B 63,192 803
  South Plains Financial Inc. 56,000 797
  Sachem Capital Corp. 264,111 782
* Pacific Mercantile Bancorp 212,182 777
  United Bancorp Inc. 67,245 774
  Summit State Bank 78,386 761
  Level One Bancorp Inc. 44,589 746
  AmeriServ Financial Inc. 243,264 744
* A-Mark Precious Metals Inc. 38,995 743
* Atlanticus Holdings Corp. 71,283 737
  Union Bankshares Inc. 38,465 720
  Manning & Napier Inc. Class A 250,397 716
  Federal Agricultural Mortgage Corp. Class A 12,586 706
* HMN Financial Inc. 47,410 696
* Capital Bancorp Inc. 63,563 680
* Siebert Financial Corp. 129,565 656
  Old Point Financial Corp. 42,408 647
* Great Elm Capital Group Inc. 276,253 644
* Central Federal Corp. 63,590 642
  Crawford & Co. Class A 78,780 622
* Hallmark Financial Services Inc. 170,838 596
* Consumer Portfolio Services Inc. 209,871 594
  IF Bancorp Inc. 36,116 594
  Guaranty Federal Bancshares Inc. 38,891 593
  Hunt Cos. Finance Trust Inc. 223,295 592
  Greene County Bancorp Inc. 25,448 567
  Bancorp 34 Inc. 46,824 554
* Medallion Financial Corp. 206,616 548
  Kingstone Cos. Inc. 123,825 547
21

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* On Deck Capital Inc. 756,961 544
  Sound Financial Bancorp Inc. 22,640 538
  First US Bancshares Inc. 77,118 532
  Landmark Bancorp Inc. 19,639 485
  Community West Bancshares 54,114 476
  MSB Financial Corp. 42,744 470
1 Hennessy Advisors Inc. 57,467 455
* Limestone Bancorp Inc. 33,851 445
  Bank of South Carolina Corp. 23,946 402
  Bank7 Corp. 35,700 388
  OP Bancorp 54,998 379
* Randolph Bancorp Inc. 36,223 364
  Manhattan Bridge Capital Inc. 76,762 358
  Oconee Federal Financial Corp. 13,333 344
* Elevate Credit Inc. 229,193 339
* FlexShopper Inc. 181,219 315
* Impac Mortgage Holdings Inc. 181,058 306
  US Global Investors Inc. Class A 159,768 302
  Pathfinder Bancorp Inc. 31,500 300
  Tremont Mortgage Trust 94,591 297
  Emclaire Financial Corp. 14,818 297
* First Western Financial Inc. 19,296 275
  United Bancshares Inc. 13,889 249
* Asta Funding Inc. 18,311 237
  Elmira Savings Bank 20,034 211
* Ashford Inc. 19,599 199
  Fauquier Bankshares Inc. 12,871 192
  CBM Bancorp Inc. 15,795 191
*,2 First Eagle Private Credit LLC CVR 225,787 160
* Rhinebeck Bancorp Inc. 21,520 141
  Mid-Southern Bancorp Inc. 10,233 124
  Bank of the James Financial Group Inc. 12,209 115
* Atlas Financial Holdings Inc. 163,656 109
  Ottawa Bancorp Inc. 8,666 91
* Magyar Bancorp Inc. 10,465 89
* Kingsway Financial Services Inc. 39,077 87
* FFBW Inc. 10,044 86
  Glen Burnie Bancorp 9,237 76
  Kentucky First Federal Bancorp 9,399 64
* Conifer Holdings Inc. 24,973 61
* Community First Bancshares Inc. 7,805 60
  Riverview Financial Corp. 10,855 58
  Home Federal Bancorp Inc. of Louisiana 2,217 57
  Value Line Inc. 1,919 52
* Broadway Financial Corp. 22,638 48
* 1347 Property Insurance Holdings Inc. 10,409 46
* Village Bank and Trust Financial Corp. 1,338 43
* Medley Management Inc. Class A 53,857 42
* ICC Holdings Inc. 2,593 30
* National Holdings Corp. 13,459 27
* LM Funding America Inc. 19,336 26
* GWG Holdings Inc. 2,941 23
  National Security Group Inc. 1,272 18
  Patriot National Bancorp Inc. 3,079 18
* HV Bancorp Inc. 525 7
* Unico American Corp. 1,377 7
* Atlantic American Corp. 2,591 4
  Lake Shore Bancorp Inc. 300 4
* Carver Bancorp Inc. 445 3
  WVS Financial Corp. 100 1
* Cohen & Co. Inc. 64 1
22

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* National Holdings Corp. Warrants Exp. 01/18/2022 7,766 1
*,2 Frontier Financial Corp. 1
            9,833,330
Health Care (15.9%)
* Veeva Systems Inc. Class A 1,860,173 436,062
* BioMarin Pharmaceutical Inc. 2,582,904 318,575
*,1 Moderna Inc. 4,223,769 271,208
* Seattle Genetics Inc. 1,581,752 268,771
* Alnylam Pharmaceuticals Inc. 1,618,115 239,659
* Teladoc Health Inc. 1,064,466 203,143
* Insulet Corp. 934,477 181,532
* Exact Sciences Corp. 2,033,493 176,792
* Catalent Inc. 2,325,479 170,458
* Sarepta Therapeutics Inc. 1,060,518 170,043
* Masimo Corp. 710,507 161,989
* Neurocrine Biosciences Inc. 1,327,088 161,905
* Horizon Therapeutics plc 2,728,420 151,646
* Molina Healthcare Inc. 845,173 150,424
  Bio-Techne Corp. 545,815 144,133
* Charles River Laboratories International Inc. 706,817 123,234
* Elanco Animal Health Inc. 5,701,512 122,297
* Quidel Corp. 546,588 122,294
* Ionis Pharmaceuticals Inc. 1,812,843 106,885
* Immunomedics Inc. 2,976,462 105,486
  Hill-Rom Holdings Inc. 950,508 104,347
* Exelixis Inc. 4,382,529 104,041
  Chemed Corp. 225,324 101,637
* Amedisys Inc. 460,723 91,472
* PRA Health Sciences Inc. 909,585 88,494
  Encompass Health Corp. 1,411,440 87,410
* Jazz Pharmaceuticals plc 791,455 87,329
* Penumbra Inc. 472,003 84,404
* Repligen Corp. 673,837 83,293
* Tandem Diabetes Care Inc. 817,392 80,856
* ACADIA Pharmaceuticals Inc. 1,623,588 78,695
* United Therapeutics Corp. 626,510 75,808
* LHC Group Inc. 422,820 73,706
* MyoKardia Inc. 757,158 73,157
*,1 Novavax Inc. 828,462 69,052
* Avantor Inc. 3,856,201 65,555
* Haemonetics Corp. 720,620 64,539
* Acceleron Pharma Inc. 665,248 63,378
* Arrowhead Pharmaceuticals Inc. 1,456,117 62,890
* Ultragenyx Pharmaceutical Inc. 801,833 62,719
* Mirati Therapeutics Inc. 537,799 61,401
* Blueprint Medicines Corp. 773,408 60,326
* Guardant Health Inc. 742,008 60,199
* HealthEquity Inc. 1,015,790 59,596
* Nektar Therapeutics Class A 2,559,798 59,285
  Bruker Corp. 1,455,120 59,194
* Reata Pharmaceuticals Inc. Class A 376,939 58,810
* Neogen Corp. 750,956 58,274
* Nevro Corp. 486,743 58,151
*,1 Inovio Pharmaceuticals Inc. 2,125,600 57,285
* Bluebird Bio Inc. 925,196 56,474
* Amicus Therapeutics Inc. 3,704,540 55,864
* Momenta Pharmaceuticals Inc. 1,675,013 55,728
* Global Blood Therapeutics Inc. 878,792 55,478
* Wright Medical Group NV 1,838,114 54,629
* Royalty Pharma plc Class A 1,101,889 53,497
23

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Iovance Biotherapeutics Inc. 1,914,978 52,566
* Syneos Health Inc. 887,094 51,673
* Globus Medical Inc. Class A 1,082,941 51,667
* ICU Medical Inc. 277,538 51,153
* Emergent BioSolutions Inc. 638,048 50,457
* Arena Pharmaceuticals Inc. 793,447 49,948
*,1 Invitae Corp. 1,619,035 49,041
* NeoGenomics Inc. 1,535,828 47,580
* Envista Holdings Corp. 2,253,345 47,523
* Integra LifeSciences Holdings Corp. 1,006,766 47,308
* Natera Inc. 948,129 47,274
* Biohaven Pharmaceutical Holding Co. Ltd. 640,512 46,828
* Agios Pharmaceuticals Inc. 875,049 46,798
* FibroGen Inc. 1,153,595 46,755
* PTC Therapeutics Inc. 905,373 45,939
* iRhythm Technologies Inc. 388,048 44,971
* Alkermes plc 2,278,942 44,223
* Halozyme Therapeutics Inc. 1,619,366 43,415
* Omnicell Inc. 611,264 43,167
* NuVasive Inc. 731,205 40,699
* HMS Holdings Corp. 1,245,330 40,336
* Insmed Inc. 1,454,169 40,048
* ChemoCentryx Inc. 691,913 39,813
*,1 Allogene Therapeutics Inc. 926,020 39,652
* Medpace Holdings Inc. 384,727 35,787
* Merit Medical Systems Inc. 777,524 35,494
* Change Healthcare Inc. 3,101,211 34,734
* Integer Holdings Corp. 471,451 34,440
* LivaNova plc 697,321 33,562
* Fate Therapeutics Inc. 956,441 32,816
* Premier Inc. Class A 947,446 32,478
* Axsome Therapeutics Inc. 389,020 32,009
* Pacira BioSciences Inc. 609,683 31,990
* Acadia Healthcare Co. Inc. 1,272,210 31,958
* Sage Therapeutics Inc. 751,492 31,247
* AMN Healthcare Services Inc. 672,974 30,445
  Ensign Group Inc. 723,147 30,264
  CONMED Corp. 409,436 29,475
* AtriCure Inc. 635,679 28,574
* TG Therapeutics Inc. 1,404,264 27,355
* Akebia Therapeutics Inc. 2,009,393 27,288
  Patterson Cos. Inc. 1,237,640 27,228
* Tenet Healthcare Corp. 1,501,458 27,191
* Prestige Consumer Healthcare Inc. 701,383 26,344
* Denali Therapeutics Inc. 1,085,097 26,238
* STAAR Surgical Co. 422,787 26,018
* Editas Medicine Inc. 874,681 25,873
*,1 Ligand Pharmaceuticals Inc. 225,590 25,232
* Allakos Inc. 350,373 25,178
* Corcept Therapeutics Inc. 1,494,062 25,130
* Covetrus Inc. 1,401,344 25,070
* Apellis Pharmaceuticals Inc. 750,259 24,503
* PPD Inc. 895,806 24,008
* Ironwood Pharmaceuticals Inc. Class A 2,294,273 23,677
* Xencor Inc. 719,228 23,296
* Magellan Health Inc. 317,378 23,162
  Cantel Medical Corp. 515,789 22,813
* Select Medical Holdings Corp. 1,539,292 22,674
* BioTelemetry Inc. 494,919 22,365
* Glaukos Corp. 573,218 22,023
* Dicerna Pharmaceuticals Inc. 840,102 21,339
24

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Inovalon Holdings Inc. Class A 1,099,696 21,180
* MEDNAX Inc. 1,238,562 21,179
* Intra-Cellular Therapies Inc. 806,992 20,716
* Inspire Medical Systems Inc. 234,869 20,438
*,1 OPKO Health Inc. 5,980,693 20,394
* Zogenix Inc. 753,331 20,347
* Cytokinetics Inc. 862,039 20,318
* Avanos Medical Inc. 689,059 20,251
  Luminex Corp. 615,832 20,033
* MacroGenics Inc. 711,256 19,858
* CareDx Inc. 558,197 19,777
* Adverum Biotechnologies Inc. 945,235 19,737
* Twist Bioscience Corp. 428,376 19,405
* Kodiak Sciences Inc. 356,130 19,274
*,1 Esperion Therapeutics Inc. 372,806 19,129
* Portola Pharmaceuticals Inc. 1,039,167 18,695
* Turning Point Therapeutics Inc. 288,036 18,604
* Supernus Pharmaceuticals Inc. 763,479 18,133
* Addus HomeCare Corp. 195,694 18,113
* Epizyme Inc. 1,115,525 17,915
*,1 Karyopharm Therapeutics Inc. 937,318 17,753
* Intercept Pharmaceuticals Inc. 370,102 17,732
* Schrodinger Inc. 191,146 17,503
* Mersana Therapeutics Inc. 743,693 17,402
* Deciphera Pharmaceuticals Inc. 289,450 17,286
* Revance Therapeutics Inc. 703,943 17,190
* REGENXBIO Inc. 464,053 17,091
* Veracyte Inc. 658,108 17,045
*,1 CryoPort Inc. 557,154 16,854
* Heron Therapeutics Inc. 1,142,280 16,803
* Karuna Therapeutics Inc. 149,944 16,713
* R1 RCM Inc. 1,479,558 16,497
* Principia Biopharma Inc. 273,717 16,366
* Allscripts Healthcare Solutions Inc. 2,374,795 16,077
* Cardiovascular Systems Inc. 507,883 16,024
*,1 Tabula Rasa HealthCare Inc. 291,540 15,956
* Adaptive Biotechnologies Corp. 328,320 15,884
* Cerus Corp. 2,398,713 15,832
*,1 Coherus Biosciences Inc. 877,681 15,675
*,1 Madrigal Pharmaceuticals Inc. 137,979 15,626
* Sangamo Therapeutics Inc. 1,707,236 15,297
* Translate Bio Inc. 844,016 15,125
*,1 1Life Healthcare Inc. 415,686 15,098
  US Physical Therapy Inc. 185,870 15,059
* 10X Genomics Inc. Class A 166,989 14,914
* Theravance Biopharma Inc. 704,083 14,779
* Arcus Biosciences Inc. 596,445 14,756
* Livongo Health Inc. 195,608 14,708
* NanoString Technologies Inc. 498,558 14,633
*,1 Sorrento Therapeutics Inc. 2,313,840 14,531
* Meridian Bioscience Inc. 616,969 14,369
*,1 Intellia Therapeutics Inc. 657,423 13,819
* Lantheus Holdings Inc. 964,626 13,794
* Innoviva Inc. 974,557 13,624
* Alector Inc. 551,419 13,477
* GenMark Diagnostics Inc. 905,328 13,317
  Atrion Corp. 20,477 13,044
* Providence Service Corp. 164,816 13,006
*,1 Dynavax Technologies Corp. 1,465,358 12,998
* Retrophin Inc. 630,009 12,859
  Mesa Laboratories Inc. 59,074 12,807
25

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
*,1 IGM Biosciences Inc. 171,301 12,505
* Atara Biotherapeutics Inc. 856,178 12,475
* Myriad Genetics Inc. 1,078,953 12,235
* OraSure Technologies Inc. 1,037,740 12,069
* Enanta Pharmaceuticals Inc. 235,049 11,802
*,1 Tactile Systems Technology Inc. 283,786 11,757
* ImmunoGen Inc. 2,534,600 11,659
* Heska Corp. 121,912 11,359
* Kura Oncology Inc. 687,725 11,210
* Tricida Inc. 403,284 11,082
*,1 Omeros Corp. 750,188 11,043
* Cara Therapeutics Inc. 642,700 10,990
* Kadmon Holdings Inc. 2,136,960 10,941
* Vapotherm Inc. 264,965 10,861
* Y-mAbs Therapeutics Inc. 251,192 10,852
* Rocket Pharmaceuticals Inc. 517,447 10,830
* Natus Medical Inc. 494,360 10,787
  Simulations Plus Inc. 179,432 10,734
* CryoLife Inc. 555,106 10,641
  National HealthCare Corp. 167,028 10,596
*,1 Aimmune Therapeutics Inc. 614,331 10,265
* Rhythm Pharmaceuticals Inc. 457,532 10,203
* Endo International plc 2,966,686 10,176
*,1 Axonics Modulation Technologies Inc. 288,852 10,142
*,1 VBI Vaccines Inc. 3,259,901 10,106
  National Research Corp. 173,517 10,100
* G1 Therapeutics Inc. 414,668 10,060
* Assembly Biosciences Inc. 428,963 10,003
* Vocera Communications Inc. 469,377 9,951
* Arcturus Therapeutics Holdings Inc. 212,498 9,932
* Athenex Inc. 719,634 9,902
* Amphastar Pharmaceuticals Inc. 438,707 9,853
* Constellation Pharmaceuticals Inc. 325,542 9,783
* Bridgebio Pharma Inc. 299,923 9,781
* RadNet Inc. 607,453 9,640
*,1 PetIQ Inc. Class A 274,190 9,553
* Inogen Inc. 264,075 9,380
*,1 Geron Corp. 4,279,861 9,330
* Aerie Pharmaceuticals Inc. 628,701 9,280
*,1 ZIOPHARM Oncology Inc. 2,825,990 9,269
* Vericel Corp. 661,807 9,146
* BioCryst Pharmaceuticals Inc. 1,911,196 9,107
* Hanger Inc. 548,243 9,079
* Vanda Pharmaceuticals Inc. 792,629 9,068
* Orthofix Medical Inc. 283,087 9,059
* CorVel Corp. 127,753 9,056
* Gossamer Bio Inc. 687,533 8,938
* Immunovant Inc. 360,234 8,772
*,1 Relmada Therapeutics Inc. 195,963 8,769
* Pennant Group Inc. 379,475 8,576
*,1 Clovis Oncology Inc. 1,267,923 8,558
* Radius Health Inc. 627,648 8,555
* Surmodics Inc. 197,606 8,545
* Varex Imaging Corp. 562,600 8,523
* Codexis Inc. 739,896 8,435
* HealthStream Inc. 380,424 8,419
* AnaptysBio Inc. 367,191 8,203
* Flexion Therapeutics Inc. 619,280 8,144
* Evolent Health Inc. Class A 1,135,413 8,084
* Silk Road Medical Inc. 192,442 8,061
*,1 Corbus Pharmaceuticals Holdings Inc. 958,020 8,038
26

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Anika Therapeutics Inc. 211,666 7,986
* NextGen Healthcare Inc. 723,340 7,942
  Phibro Animal Health Corp. Class A 298,646 7,845
* Brookdale Senior Living Inc. 2,650,646 7,819
* Collegium Pharmaceutical Inc. 446,647 7,816
* Agenus Inc. 1,988,035 7,813
* Cue Biopharma Inc. 315,772 7,740
* Amneal Pharmaceuticals Inc. 1,612,995 7,678
*,1 Arvinas Inc. 227,718 7,638
*,1 Viela Bio Inc. 174,364 7,553
* Pacific Biosciences of California Inc. 2,125,826 7,334
* Odonate Therapeutics Inc. 172,840 7,318
* Protagonist Therapeutics Inc. 410,424 7,248
* Tivity Health Inc. 638,458 7,234
*,1 CEL-SCI Corp. 484,556 7,230
* Eagle Pharmaceuticals Inc. 150,175 7,205
* Ocular Therapeutix Inc. 859,800 7,162
*,1 Provention Bio Inc. 505,971 7,139
*,1 Athersys Inc. 2,557,876 7,060
* Bioxcel Therapeutics Inc. 131,849 6,989
*,1 Viking Therapeutics Inc. 968,543 6,983
  Owens & Minor Inc. 907,445 6,915
* Black Diamond Therapeutics Inc. 163,909 6,910
* Krystal Biotech Inc. 165,036 6,836
* Option Care Health Inc. 490,509 6,808
* Phreesia Inc. 239,097 6,762
*,1 SmileDirectClub Inc. Class A 849,865 6,714
*,1 Neoleukin Therapeutics Inc. 402,203 6,677
* Durect Corp. 2,875,661 6,672
* Catalyst Pharmaceuticals Inc. 1,432,535 6,618
* Ardelyx Inc. 952,794 6,593
  LeMaitre Vascular Inc. 249,295 6,581
* Triple-S Management Corp. Class B 342,710 6,518
* Avrobio Inc. 371,637 6,485
* REVOLUTION Medicines Inc. 205,027 6,473
* Intersect ENT Inc. 474,039 6,419
* OrthoPediatrics Corp. 145,363 6,361
* Zentalis Pharmaceuticals Inc. 132,411 6,358
*,1 Phathom Pharmaceuticals Inc. 192,254 6,327
* Antares Pharma Inc. 2,278,182 6,265
* Shockwave Medical Inc. 130,334 6,174
* Apollo Medical Holdings Inc. 372,162 6,141
* Kala Pharmaceuticals Inc. 580,090 6,097
*,1 NantKwest Inc. 489,245 6,008
*,1 Accelerate Diagnostics Inc. 395,820 6,001
* Prothena Corp. plc 565,610 5,916
* Spectrum Pharmaceuticals Inc. 1,702,998 5,756
* Quanterix Corp. 209,815 5,747
* CytomX Therapeutics Inc. 683,983 5,698
* AngioDynamics Inc. 554,972 5,644
*,1 Zynex Inc. 224,896 5,593
* Syndax Pharmaceuticals Inc. 376,888 5,585
* Homology Medicines Inc. 367,202 5,578
* SpringWorks Therapeutics Inc. 132,392 5,560
*,1 Vaxart Inc. 618,107 5,470
*,1 Co-Diagnostics Inc. 282,594 5,468
* Syros Pharmaceuticals Inc. 510,983 5,447
* BioSpecifics Technologies Corp. 87,231 5,346
* Community Health Systems Inc. 1,759,689 5,297
*,1 Precigen Inc. 1,058,678 5,283
* MEI Pharma Inc. 1,272,257 5,254
27

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Puma Biotechnology Inc. 502,153 5,237
* PDL BioPharma Inc. 1,792,773 5,217
* Albireo Pharma Inc. 194,452 5,151
*,1 MannKind Corp. 2,883,367 5,046
* BioDelivery Sciences International Inc. 1,146,506 4,999
* Axogen Inc. 533,685 4,931
* Voyager Therapeutics Inc. 384,667 4,855
* Aeglea BioTherapeutics Inc. 519,633 4,807
* Rigel Pharmaceuticals Inc. 2,596,010 4,751
  Utah Medical Products Inc. 53,120 4,708
* SI-BONE Inc. 292,785 4,667
* Molecular Templates Inc. 338,350 4,666
* Passage Bio Inc. 166,455 4,549
* Beam Therapeutics Inc. 162,352 4,546
* Kiniksa Pharmaceuticals Ltd. Class A 178,301 4,543
* ANI Pharmaceuticals Inc. 139,528 4,512
* Scholar Rock Holding Corp. 246,981 4,498
  Computer Programs & Systems Inc. 195,667 4,459
*,1 Arcutis Biotherapeutics Inc. 146,033 4,416
* SIGA Technologies Inc. 746,752 4,413
* Avid Bioservices Inc. 671,313 4,407
* Calithera Biosciences Inc. 824,858 4,355
* Applied Therapeutics Inc. 119,991 4,338
* CytoSorbents Corp. 437,664 4,333
*,1 TherapeuticsMD Inc. 3,371,800 4,215
* Fluidigm Corp. 1,042,834 4,182
*,1 AMAG Pharmaceuticals Inc. 522,660 3,998
* Pfenex Inc. 475,251 3,968
*,1 BrainStorm Cell Therapeutics Inc. 351,062 3,935
* Ovid therapeutics Inc. 531,010 3,914
*,1 Eidos Therapeutics Inc. 79,454 3,788
* Replimune Group Inc. 152,256 3,784
* Progyny Inc. 145,451 3,754
* Celldex Therapeutics Inc. 288,606 3,752
* Oyster Point Pharma Inc. 128,766 3,719
* Crinetics Pharmaceuticals Inc. 209,850 3,677
* Lannett Co. Inc. 504,723 3,664
* Seres Therapeutics Inc. 760,462 3,620
* SeaSpine Holdings Corp. 344,418 3,606
*,1 Akcea Therapeutics Inc. 261,528 3,583
* Aprea Therapeutics Inc. 91,698 3,556
* ViewRay Inc. 1,553,601 3,480
*,1 Verastem Inc. 2,021,579 3,477
*,1 ORIC Pharmaceuticals Inc. 102,966 3,473
*,1 Anavex Life Sciences Corp. 704,331 3,465
*,1 Cortexyme Inc. 74,783 3,462
* Cross Country Healthcare Inc. 562,037 3,462
* Cymabay Therapeutics Inc. 973,275 3,397
* Surgery Partners Inc. 291,284 3,370
* MediciNova Inc. 611,820 3,316
  Invacare Corp. 515,380 3,283
*,1 UNITY Biotechnology Inc. 378,230 3,283
*,1 Mallinckrodt plc 1,224,056 3,280
* Health Catalyst Inc. 111,713 3,259
* Concert Pharmaceuticals Inc. 324,844 3,232
*,1 Menlo Therapeutics Inc. 1,860,768 3,219
* Eiger BioPharmaceuticals Inc. 334,778 3,214
*,1 XBiotech Inc. 234,421 3,214
*,1 iBio Inc. 1,440,725 3,198
* Five Prime Therapeutics Inc. 515,570 3,145
* RTI Surgical Holdings Inc. 968,632 3,080
28

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Rubius Therapeutics Inc. 514,389 3,076
* Keros Therapeutics Inc. 81,583 3,060
* NextCure Inc. 141,921 3,043
*,1 Agile Therapeutics Inc. 1,090,844 3,033
* Alphatec Holdings Inc. 641,075 3,013
* Stoke Therapeutics Inc. 125,813 2,998
* Misonix Inc. 220,408 2,991
* Paratek Pharmaceuticals Inc. 571,553 2,984
* TCR2 Therapeutics Inc. 192,237 2,953
* Marinus Pharmaceuticals Inc. 1,150,434 2,922
* ADMA Biologics Inc. 994,181 2,913
* ChromaDex Corp. 621,919 2,855
* iCAD Inc. 285,566 2,853
* Chiasma Inc. 527,697 2,839
* Accuray Inc. 1,389,006 2,820
*,1 Aspira Women's Health Inc. 734,004 2,819
*,1 Optinose Inc. 372,229 2,769
*,1 WaVe Life Sciences Ltd. 263,586 2,744
* BioLife Solutions Inc. 162,945 2,664
* Cutera Inc. 218,292 2,657
* Spero Therapeutics Inc. 195,836 2,650
* Abeona Therapeutics Inc. 892,142 2,601
* RAPT Therapeutics Inc. 89,262 2,590
* Kindred Biosciences Inc. 572,961 2,573
*,1 Cellular Biomedicine Group Inc. 168,430 2,521
* Sientra Inc. 650,398 2,517
* Satsuma Pharmaceuticals Inc. 86,694 2,493
* Joint Corp. 161,765 2,470
*,1 Morphic Holding Inc. 91,190 2,467
* IVERIC bio Inc. 477,468 2,435
* Castle Biosciences Inc. 64,343 2,425
* Fulgent Genetics Inc. 150,829 2,413
* Exicure Inc. 978,130 2,387
* Atreca Inc. Class A 111,979 2,383
*,1 CorMedix Inc. 376,392 2,371
*,1 Dyadic International Inc. 269,600 2,335
* Akero Therapeutics Inc. 91,940 2,291
* OptimizeRx Corp. 174,066 2,268
* Apyx Medical Corp. 405,359 2,250
*,1 ContraFect Corp. 351,300 2,245
* Kezar Life Sciences Inc. 431,321 2,234
*,1 Frequency Therapeutics Inc. 95,116 2,211
* Repro-Med Systems Inc. 244,900 2,199
* Sutro Biopharma Inc. 280,161 2,174
* Chimerix Inc. 693,525 2,150
* InfuSystem Holdings Inc. 183,833 2,121
*,1 Mirum Pharmaceuticals Inc. 108,542 2,112
*,1 BioSig Technologies Inc. 289,425 2,084
* Pieris Pharmaceuticals Inc. 670,079 2,077
* Stereotaxis Inc. 464,200 2,070
* KalVista Pharmaceuticals Inc. 170,428 2,062
*,1 XOMA Corp. 102,805 2,031
* NGM Biopharmaceuticals Inc. 102,682 2,027
* X4 Pharmaceuticals Inc. 217,541 2,027
* FONAR Corp. 92,762 1,982
*,1 Altimmune Inc. 184,284 1,974
*,1 Catasys Inc. 79,026 1,955
* GlycoMimetics Inc. 517,431 1,946
*,1 Gritstone Oncology Inc. 282,287 1,874
*,1 Trevena Inc. 1,245,403 1,868
* CASI Pharmaceuticals Inc. 746,587 1,866
29

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
*,1 Actinium Pharmaceuticals Inc. 5,211,572 1,832
*,1 IMARA Inc. 65,866 1,820
* iRadimed Corp. 78,349 1,818
*,1 Pulse Biosciences Inc. 172,984 1,809
* Magenta Therapeutics Inc. 239,773 1,801
* Minerva Neurosciences Inc. 491,858 1,776
* Aduro Biotech Inc. 752,907 1,739
*,1 Rockwell Medical Inc. 883,024 1,722
* 89bio Inc. 85,717 1,708
*,1 Evolus Inc. 320,037 1,696
*,1 Galectin Therapeutics Inc. 552,413 1,690
* Harrow Health Inc. 324,355 1,690
* Personalis Inc. 129,779 1,683
* Aravive Inc. 142,905 1,663
* Verrica Pharmaceuticals Inc. 150,052 1,652
* Jounce Therapeutics Inc. 237,499 1,639
*,1 Prevail Therapeutics Inc. 108,403 1,615
*,1 Harvard Bioscience Inc. 518,619 1,608
* TransMedics Group Inc. 89,378 1,602
*,1 T2 Biosystems Inc. 1,260,915 1,601
*,1 Matinas BioPharma Holdings Inc. 2,065,004 1,596
*,1 Cabaletta Bio Inc. 142,439 1,587
* NantHealth Inc. 342,985 1,571
*,1 Biocept Inc. 2,206,892 1,570
* Electromed Inc. 98,539 1,517
* Bellerophon Therapeutics Inc. 120,212 1,509
* IntriCon Corp. 111,252 1,504
* Fortress Biotech Inc. 554,496 1,486
* Catalyst Biosciences Inc. 250,653 1,471
*,1 Palatin Technologies Inc. 2,873,298 1,471
* Harpoon Therapeutics Inc. 87,537 1,453
* Axcella Health Inc. 260,381 1,440
* American Renal Associates Holdings Inc. 216,904 1,414
*,1 AcelRx Pharmaceuticals Inc. 1,166,168 1,411
* Applied Genetic Technologies Corp. 252,967 1,401
* Xeris Pharmaceuticals Inc. 523,933 1,394
* Strongbridge Biopharma plc 368,728 1,394
* Catabasis Pharmaceuticals Inc. 216,039 1,389
* Aptinyx Inc. 331,120 1,381
* Otonomy Inc. 377,846 1,368
* Aldeyra Therapeutics Inc. 326,118 1,360
* Cyclerion Therapeutics Inc. 229,038 1,354
*,1 Osmotica Pharmaceuticals plc 200,978 1,353
*,1 Lineage Cell Therapeutics Inc. 1,526,332 1,328
* Mustang Bio Inc. 408,642 1,299
*,1 La Jolla Pharmaceutical Co. 299,121 1,274
*,1 Selecta Biosciences Inc. 448,406 1,273
* Enzo Biochem Inc. 565,801 1,267
*,1 VolitionRX Ltd. 324,381 1,262
* Arbutus Biopharma Corp. 687,217 1,251
*,1 Nemaura Medical Inc. 134,794 1,247
* Liquidia Technologies Inc. 147,990 1,246
*,1 Urovant Sciences Ltd. 125,487 1,235
*,1 Lexicon Pharmaceuticals Inc. 607,920 1,213
* Checkpoint Therapeutics Inc. 606,328 1,201
*,1 Aquestive Therapeutics Inc. 241,425 1,173
* Fulcrum Therapeutics Inc. 63,951 1,170
* Sharps Compliance Corp. 164,555 1,157
* Recro Pharma Inc. 251,310 1,143
*,1 Enochian Biosciences Inc. 265,200 1,117
* Beyond Air Inc. 153,531 1,113
30

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Celsion Corp. 298,955 1,112
*,1 Ampio Pharmaceuticals Inc. 1,727,758 1,100
*,1 Navidea Biopharmaceuticals Inc. 278,365 1,097
*,1 Milestone Scientific Inc. 550,601 1,074
* Eloxx Pharmaceuticals Inc. 350,354 1,062
*,1 Zynerba Pharmaceuticals Inc. 312,352 1,053
* Clearside Biomedical Inc. 556,949 1,047
* Evofem Biosciences Inc. 366,920 1,038
* Precision BioSciences Inc. 124,006 1,033
* Cidara Therapeutics Inc. 277,760 1,025
*,1 cbdMD Inc. 532,486 1,017
*,1 Tyme Technologies Inc. 763,112 1,015
* Five Star Senior Living Inc. 254,958 994
* DiaMedica Therapeutics Inc. 142,785 990
*,1 AVEO Pharmaceuticals Inc. 191,218 985
*,1 PhaseBio Pharmaceuticals Inc. 213,386 982
* Retractable Technologies Inc. 139,679 981
*,1 Vir Biotechnology Inc. 23,900 979
* Sesen Bio Inc. 1,318,350 949
* Savara Inc. 376,982 939
*,1 Genprex Inc. 293,690 922
* Castlight Health Inc. Class B 1,102,720 915
* Exagen Inc. 71,287 885
*,1 Aclaris Therapeutics Inc. 543,376 880
* LogicBio Therapeutics Inc. 103,600 876
* Cerecor Inc. 335,944 873
*,1 AIM ImmunoTech Inc. 351,955 873
* Surface Oncology Inc. 132,306 868
* Orgenesis Inc. 142,071 864
* Organovo Holdings Inc. 1,555,099 855
* AdaptHealth Corp. Class A 53,047 854
* MTBC Inc. 101,280 840
* Assertio Holdings Inc. 968,008 830
*,1 Senseonics Holdings Inc. 2,117,374 826
*,1 Conformis Inc. 991,093 813
* Organogenesis Holdings Inc. Class A 211,241 811
*,1 Marker Therapeutics Inc. 384,300 796
*,1 Venus Concept Inc. 227,801 795
*,1 Biomerica Inc. 109,410 793
* CTI BioPharma Corp. 679,123 788
*,1 Evoke Pharma Inc. 221,682 785
*,1 Cocrystal Pharma Inc. 489,424 744
*,1 EyePoint Pharmaceuticals Inc. 937,334 710
* Oncocyte Corp. 368,592 704
* Adamas Pharmaceuticals Inc. 274,226 702
*,1 Trevi Therapeutics Inc. 106,574 701
*,1 Lumos Pharma Inc. 42,462 700
*,1 Proteostasis Therapeutics Inc. 507,408 695
*,1 Chembio Diagnostics Inc. 213,621 694
*,1 Heat Biologics Inc. 806,376 680
* Infinity Pharmaceuticals Inc. 727,899 658
*,1 Soliton Inc. 83,690 651
* Microbot Medical Inc. 94,041 650
*,1 Anixa Biosciences Inc. 210,084 643
* Hookipa Pharma Inc. 54,060 628
*,1 Kaleido Biosciences Inc. 84,000 624
* Solid Biosciences Inc. 213,039 624
*,1 NanoViricides Inc. 82,788 619
  Merrimack Pharmaceuticals Inc. 185,083 616
*,1 Idera Pharmaceuticals Inc. 343,475 615
*,1 PAVmed Inc. 286,425 604
31

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Calyxt Inc. 120,425 594
* Genocea Biosciences Inc. 255,951 589
* Cohbar Inc. 378,132 586
* Champions Oncology Inc. 59,932 573
*,1 Allied Healthcare Products Inc. 48,445 571
* Bioanalytical Systems Inc. 111,396 566
*,1 Lipocine Inc. 448,810 566
*,1 Zosano Pharma Corp. 651,222 558
*,1 Cassava Sciences Inc. 180,551 556
* AquaBounty Technologies Inc. 171,931 554
*,1 Moleculin Biotech Inc. 563,784 546
* Avenue Therapeutics Inc. 50,589 545
*,1 Onconova Therapeutics Inc. 944,318 535
* Celcuity Inc. 76,715 532
* SCYNEXIS Inc. 707,382 531
* Soleno Therapeutics Inc. 238,385 529
* Larimar Therapeutics Inc. 41,009 527
*,1 Acorda Therapeutics Inc. 681,674 501
* HTG Molecular Diagnostics Inc. 688,962 496
* Aridis Pharmaceuticals Inc. 74,302 490
* resTORbio Inc. 218,384 470
* Synlogic Inc. 226,766 460
* Atossa Therapeutics Inc. 120,689 459
*,1 Adamis Pharmaceuticals Corp. 852,552 458
* Motus GI Holdings Inc. 343,367 450
*,1 Bellicum Pharmaceuticals Inc. 60,267 448
* IsoRay Inc. 801,772 445
*,1 Corvus Pharmaceuticals Inc. 162,701 443
*,1 Pulmatrix Inc. 257,302 443
* Neubase Therapeutics Inc. 50,394 442
* Curis Inc. 363,068 439
*,1,2 SCWorx Corp. 76,340 439
*,1 Advaxis Inc. 811,182 435
*,1 Genesis Healthcare Inc. Class A 629,322 434
*,1 Baudax Bio Inc. 104,376 433
  Psychemedics Corp. 78,603 432
* scPharmaceuticals Inc. 58,690 432
*,1 Aytu BioScience Inc. 300,918 427
* Aerpio Pharmaceuticals Inc. 339,608 425
* Sensus Healthcare Inc. 130,738 404
*,1 Neos Therapeutics Inc. 585,390 401
*,1 Outlook Therapeutics Inc. 307,542 397
* CARDIFF ONCOLOGY Inc. 77,584 389
*,1 PolarityTE Inc. 306,870 381
* Soligenix Inc. 175,944 371
*,1 Ekso Bionics Holdings Inc. 43,998 370
* Miragen Therapeutics Inc. 330,060 366
*,1 Evelo Biosciences Inc. 72,515 355
* Leap Therapeutics Inc. 168,963 353
*,1 Titan Pharmaceuticals Inc. 1,150,353 352
* IRIDEX Corp. 164,887 350
* Opiant Pharmaceuticals Inc. 38,303 343
* PLx Pharma Inc. 106,697 338
*,1 Sunesis Pharmaceuticals Inc. 1,263,683 333
* Pro-Dex Inc. 17,890 319
* Generation Bio Co. 15,040 316
*,2 Alder Biopharmaceuticals Inc. CVR Exp. 12/31/2024 355,460 313
* ThermoGenesis Holdings Inc. 56,165 312
* aTyr Pharma Inc. 69,113 307
* Capital Senior Living Corp. 426,946 303
*,1 OpGen Inc. 147,343 301
32

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
*,1 Aptevo Therapeutics Inc. 34,832 291
* Forte Biosciences Inc. 19,887 290
* Seelos Therapeutics Inc. 285,349 288
* Vaxcyte Inc. 9,026 285
*,1 Eton Pharmaceuticals Inc. 51,740 282
* Alimera Sciences Inc. 44,102 278
* Cumberland Pharmaceuticals Inc. 83,401 278
* Diffusion Pharmaceuticals Inc. 282,429 275
*,1 vTv Therapeutics Inc. Class A 122,316 275
* Alpine Immune Sciences Inc. 28,198 274
* Protara Therapeutics Inc. 9,212 270
* Allena Pharmaceuticals Inc. 166,781 264
* Applied Molecular Transport Inc. 10,436 262
* Neuronetics Inc. 135,446 261
*,1 Aethlon Medical Inc. 122,512 249
*,1 Millendo Therapeutics Inc. 138,462 244
* Pliant Therapeutics Inc. 7,487 243
* Spring Bank Pharmaceuticals Inc. 163,351 240
*,1 Tonix Pharmaceuticals Holding Corp. 383,084 234
*,1 Acer Therapeutics Inc. 68,311 234
* Apollo Endosurgery Inc. 142,486 231
*,1 Novan Inc. 448,124 217
* ClearPoint Neuro Inc. 59,879 215
* Oragenics Inc. 310,237 215
* VistaGen Therapeutics Inc. 405,784 214
* Capricor Therapeutics Inc. 45,019 207
* Equillium Inc. 69,754 206
*,1 AgeX Therapeutics Inc. 213,656 202
  Kewaunee Scientific Corp. 21,515 200
* Endologix Inc. 245,938 198
* Tela Bio Inc. 14,664 190
* Progenity Inc. 20,845 188
* SELLAS Life Sciences Group Inc. 63,604 186
*,1 Bio-Path Holdings Inc. 36,520 184
* Oncternal Therapeutics Inc. 64,176 182
*,1 BioNano Genomics Inc. 354,773 181
* Tetraphase Pharmaceuticals Inc. 68,689 173
* Avidity Biosciences Inc. 6,030 170
* Caladrius Biosciences Inc. 94,915 169
* AzurRx BioPharma Inc. 185,715 168
* Akouos Inc. 7,364 166
*,1 OncoSec Medical Inc. 80,495 165
* Galera Therapeutics Inc. 22,299 159
*,1 Teligent Inc. 64,224 157
*,1 Rexahn Pharmaceuticals Inc. 54,692 155
*,1 ElectroCore Inc. 187,833 154
* Inari Medical Inc. 3,179 154
* Interpace Biosciences Inc. 31,834 148
* Adial Pharmaceuticals Inc. 106,632 148
* CHF Solutions Inc. 302,881 145
* Entasis Therapeutics Holdings Inc. 49,097 145
* Ideaya Biosciences Inc. 10,017 142
*,1 Achieve Life Sciences Inc. 356,131 141
* NovaBay Pharmaceuticals Inc. 120,224 138
* Histogen Inc. 36,286 138
*,1 Immunic Inc. 11,330 137
* Cleveland BioLabs Inc. 51,060 131
* ImmuCell Corp. 26,496 125
* Streamline Health Solutions Inc. 92,404 123
*,1 TransEnterix Inc. 223,142 121
* Citius Pharmaceuticals Inc. 103,906 117
33

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Eyenovia Inc. 41,215 117
* Helius Medical Technologies Inc. Class A 273,690 117
*,1 9 Meters Biopharma Inc. 200,245 115
*,1 Precipio Inc. 78,152 112
* Dare Bioscience Inc. 109,627 108
* Hoth Therapeutics Inc. 41,045 106
* Brickell Biotech Inc. 104,311 104
* Digirad Corp. 36,396 102
* Strata Skin Sciences Inc. 83,712 96
* ENDRA Life Sciences Inc. 97,900 94
*,2 Ligand Pharmaceuticals Beta CVR 395,811 87
*,1 Biolase Inc. 184,507 85
*,1 VIVUS Inc. 103,440 85
* Neurotrope Inc. 67,260 78
* Myomo Inc. 20,856 77
* Kadmon Holdings Inc. Warrants Exp. 09/28/2022 105,015 74
*,1 Ocugen Inc. 329,385 73
* Lyra Therapeutics Inc. 6,169 70
  ProPhase Labs Inc. 41,556 61
* Vaccinex Inc. 16,724 60
* Armata Pharmaceuticals Inc. 15,150 59
* EyeGate Pharmaceuticals Inc. 11,673 57
* Predictive Oncology Inc. 34,404 56
*,1 Second Sight Medical Products Inc. 57,555 56
* SunLink Health Systems Inc. 57,952 52
* Unum Therapeutics Inc. 101,693 47
* Sonoma Pharmaceuticals Inc. 6,407 46
* NeuroBo Pharmaceuticals Inc. 5,194 42
*,1,2 Oncternal Therapeutics Inc. CVR 20,153 41
* Xtant Medical Holdings Inc. 44,170 40
*,1 RA Medical Systems Inc. 78,850 39
* CynergisTek Inc. 25,990 38
* Avinger Inc. 123,737 38
* DarioHealth Corp. 5,860 37
* ARCA biopharma Inc. 5,604 37
*,1 Dynatronics Corp. 39,566 35
*,1 NeuroMetrix Inc. 15,945 33
* Cancer Genetics Inc. 10,519 32
* Plus Therapeutics Inc. 15,281 32
*,1 Obalon Therapeutics Inc. 43,043 30
* PDS Biotechnology Corp. 14,707 30
* Aileron Therapeutics Inc. 24,778 29
* Tracon Pharmaceuticals Inc. 14,546 29
* Imac Holdings Inc. 22,771 28
* Novus Therapeutics Inc. 54,790 25
* Cyclacel Pharmaceuticals Inc. 5,308 25
* Regulus Therapeutics Inc. 32,503 22
* Cellectar Biosciences Inc. 16,755 21
*,2 Aevi Genomic Medicine Inc. CVR 631,947 21
* Akers Biosciences Inc. 5,991 21
* Senestech Inc. 9,545 19
*,2 Elanco Animal Health Inc. CVR 701,074 18
* AIkido Pharma Inc. 20,740 17
*,1 Timber Pharmaceuticals Inc. 7,728 17
* Regional Health Properties Inc. 11,594 16
*,1 Yield10 Bioscience Inc. 2,584 16
*,2 Salarius Pharmaceuticals Inc. Rights 119,407 15
* Jaguar Health Inc. 30,283 15
* Phio Pharmaceuticals Corp. 6,781 15
*,1 Pulse Biosciences Inc. Warrants Exp. 06/05/2025 4,424 15
* Edesa Biotech Inc. 2,900 14
34

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* NanoVibronix Inc. 5,700 14
*,1 Qualigen Therapeutics Inc. 3,643 14
*,2 Ambit Biosciences Corp. CVR 22,388 13
* American Shared Hospital Services 5,681 12
* SiNtx Technologies Inc. 6,221 12
* Tenax Therapeutics Inc. 12,200 11
* Synthetic Biologics Inc. 18,146 9
*,1,2 Stemline Therapeutics Inc. CVR 28,478 9
*,1 CNS Pharmaceuticals Inc. 3,410 7
* Ligand Pharmaceuticals Glucagon CVR 395,811 6
*,1 Salarius Pharmaceuticals Inc. 4,776 6
* Seneca Biopharma Inc. 8,277 6
*,2 Qualigen Therapeutics Inc. CVR 91,096 6
* InVivo Therapeutics Holdings Corp. 2,864 5
* Ligand Pharmaceuticals Roche CVR 395,811 5
* Hepion Pharmaceuticals Inc. 1,446 4
* InspireMD Inc. 7,471 3
* Ligand Pharmaceuticals General CVR 395,811 3
*,1,2 Seelos Therapeutics Inc. CVR 5,736 3
* Viveve Medical Inc. 5,706 3
* Xenetic Biosciences Inc. 2,950 3
* Sonnet BioTherapeutics Holdings Inc. 871 3
* Biolase Inc. Rights Exp. 07/15/2020 184,507 2
*,2 Clinical Data Care CVR 131,308
*,1 Nobilis Health Corp. 49,611
*,2 Achillion Pharmaceuticals Inc. 374
* Advaxis Inc. Warrants Exp. 09/11/2024 47,130
*,2 Adolor Corp. Rights 596,841
* BioNTech SE ADR 1
*,2 Progenics Pharmaceuticals Inc. CVR 1,316,898
            11,056,475
Industrials (11.9%)
* CoStar Group Inc. 561,792 399,249
  TransUnion 2,703,933 235,350
  Nordson Corp. 732,617 138,985
  Lennox International Inc. 495,660 115,484
  Graco Inc. 2,373,160 113,888
* Generac Holdings Inc. 896,687 109,333
* Trex Co. Inc. 826,804 107,542
  Toro Co. 1,527,901 101,361
* XPO Logistics Inc. 1,302,915 100,650
*,1 Lyft Inc. Class A 3,030,293 100,030
  Hubbell Inc. Class B 773,154 96,923
  Carlisle Cos. Inc. 787,325 94,219
* Uber Technologies Inc. 2,970,820 92,333
* Axon Enterprise Inc. 897,509 88,073
* AECOM 2,292,296 86,144
  Owens Corning 1,535,493 85,619
  Donaldson Co. Inc. 1,800,948 83,780
* Sensata Technologies Holding plc 2,247,932 83,691
  Watsco Inc. 468,036 83,170
  HEICO Corp. Class A 1,016,971 82,619
* HD Supply Holdings Inc. 2,318,213 80,326
  BWX Technologies Inc. 1,360,011 77,031
  CoreLogic Inc. 1,134,644 76,271
* IAA Inc. 1,916,059 73,902
* Stericycle Inc. 1,308,797 73,266
  Knight-Swift Transportation Holdings Inc. Class A 1,750,287 73,004
  ITT Inc. 1,236,902 72,656
  Lincoln Electric Holdings Inc. 848,390 71,468
35

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Oshkosh Corp. 973,100 69,693
* SiteOne Landscape Supply Inc. 595,911 67,916
* Middleby Corp. 794,939 62,753
* Mercury Systems Inc. 796,617 62,662
  Woodward Inc. 807,885 62,651
  Landstar System Inc. 549,807 61,749
  Tetra Tech Inc. 772,580 61,127
* FTI Consulting Inc. 530,793 60,802
  Exponent Inc. 737,625 59,696
  Allison Transmission Holdings Inc. 1,613,757 59,354
  HEICO Corp. 594,624 59,254
  MSA Safety Inc. 511,651 58,553
  ManpowerGroup Inc. 828,726 56,975
  Acuity Brands Inc. 563,759 53,974
  Hexcel Corp. 1,191,274 53,869
  Curtiss-Wright Corp. 596,781 53,281
  Armstrong World Industries Inc. 683,432 53,280
  EMCOR Group Inc. 785,977 51,985
  Regal Beloit Corp. 581,945 50,815
  Rexnord Corp. 1,719,230 50,116
* ASGN Inc. 748,967 49,941
  AGCO Corp. 888,775 49,291
* RBC Bearings Inc. 357,125 47,869
  Simpson Manufacturing Co. Inc. 565,283 47,687
  MSC Industrial Direct Co. Inc. Class A 651,536 47,438
* Kirby Corp. 849,722 45,511
  Air Lease Corp. Class A 1,512,729 44,308
* Clean Harbors Inc. 727,232 43,619
  Timken Co. 957,458 43,555
* Proto Labs Inc. 379,585 42,692
  UFP Industries Inc. 854,222 42,293
  Crane Co. 708,043 42,100
* JetBlue Airways Corp. 3,805,047 41,475
  nVent Electric plc 2,208,400 41,363
* Saia Inc. 368,089 40,924
* Aerojet Rocketdyne Holdings Inc. 1,027,905 40,746
  UniFirst Corp. 217,330 38,891
  EnerSys 598,717 38,545
  John Bean Technologies Corp. 446,557 38,413
* TriNet Group Inc. 613,624 37,394
* MasTec Inc. 829,293 37,210
  Advanced Drainage Systems Inc. 752,007 37,149
  Spirit AeroSystems Holdings Inc. Class A 1,509,018 36,126
  Werner Enterprises Inc. 808,094 35,176
*,1 Plug Power Inc. 4,283,590 35,168
  ABM Industries Inc. 955,760 34,694
* Builders FirstSource Inc. 1,669,482 34,558
  AMERCO 113,665 34,348
  Macquarie Infrastructure Corp. 1,119,026 34,343
  Valmont Industries Inc. 302,263 34,343
  Applied Industrial Technologies Inc. 547,172 34,138
* Colfax Corp. 1,207,933 33,701
  Insperity Inc. 515,680 33,380
  Kennametal Inc. 1,161,026 33,333
* Casella Waste Systems Inc. Class A 638,785 33,293
  Brink's Co. 725,510 33,018
* Univar Solutions Inc. 1,943,315 32,764
  Brady Corp. Class A 679,543 31,816
  Watts Water Technologies Inc. Class A 387,311 31,372
  ESCO Technologies Inc. 365,562 30,901
  AAON Inc. 568,357 30,856
36

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Advanced Disposal Services Inc. 1,017,582 30,700
  GATX Corp. 491,443 29,968
  Hillenbrand Inc. 1,080,665 29,254
  Ryder System Inc. 772,893 28,991
  Altra Industrial Motion Corp. 902,845 28,765
  Arcosa Inc. 675,407 28,502
  Trinity Industries Inc. 1,331,101 28,339
  Franklin Electric Co. Inc. 537,441 28,226
* Masonite International Corp. 344,867 26,824
* Navistar International Corp. 946,523 26,692
* SPX Corp. 644,849 26,536
  Barnes Group Inc. 663,739 26,258
  Healthcare Services Group Inc. 1,071,663 26,213
* Beacon Roofing Supply Inc. 990,644 26,123
*,1 Cimpress plc 340,347 25,982
  Albany International Corp. Class A 442,520 25,980
  KAR Auction Services Inc. 1,855,029 25,525
  Federal Signal Corp. 840,785 24,997
* AeroVironment Inc. 311,660 24,818
* WESCO International Inc. 702,852 24,677
  Fluor Corp. 2,022,133 24,427
* BMC Stock Holdings Inc. 971,462 24,423
* Chart Industries Inc. 490,049 23,762
* Kratos Defense & Security Solutions Inc. 1,501,711 23,472
  Korn Ferry 762,572 23,434
* Hub Group Inc. Class A 484,828 23,204
* SPX FLOW Inc. 615,150 23,031
  SkyWest Inc. 700,314 22,844
* Sunrun Inc. 1,149,007 22,658
* Gibraltar Industries Inc. 469,296 22,531
*,1 Spirit Airlines Inc. 1,256,327 22,363
  Moog Inc. Class A 419,232 22,211
  Cubic Corp. 453,201 21,767
  Triton International Ltd. 717,397 21,694
1 Allegiant Travel Co. Class A 190,310 20,784
* Resideo Technologies Inc. 1,771,348 20,760
  Mueller Industries Inc. 780,486 20,745
  Comfort Systems USA Inc. 501,938 20,454
  Mueller Water Products Inc. Class A 2,158,036 20,350
  Herman Miller Inc. 846,951 19,997
* Meritor Inc. 1,009,450 19,987
* Evoqua Water Technologies Corp. 1,063,318 19,778
  Patrick Industries Inc. 318,038 19,480
*,1 Virgin Galactic Holdings Inc. 1,188,595 19,422
* Vicor Corp. 267,899 19,275
* Air Transport Services Group Inc. 858,388 19,116
  Forward Air Corp. 383,108 19,086
  Mobile Mini Inc. 642,718 18,960
* Dycom Industries Inc. 456,462 18,665
* Atkore International Group Inc. 682,346 18,662
*,3 API Group Corp. 1,513,428 18,388
  McGrath RentCorp 333,504 18,013
* CBIZ Inc. 750,579 17,991
  Matson Inc. 614,646 17,886
  ICF International Inc. 272,449 17,663
  HNI Corp. 573,898 17,544
  Tennant Co. 269,576 17,525
*,1 Avis Budget Group Inc. 759,419 17,383
* American Woodmark Corp. 226,801 17,158
  Kadant Inc. 167,386 16,682
  Rush Enterprises Inc. Class A 401,914 16,663
37

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Terex Corp. 880,847 16,534
  Covanta Holding Corp. 1,713,261 16,430
* Atlas Air Worldwide Holdings Inc. 376,281 16,191
  Helios Technologies Inc. 424,462 15,811
* JELD-WEN Holding Inc. 975,691 15,718
  Kaman Corp. 377,329 15,697
1 Maxar Technologies Inc. 864,656 15,529
* Harsco Corp. 1,142,808 15,439
  Astec Industries Inc. 331,086 15,333
  CSW Industrials Inc. 221,472 15,306
* GMS Inc. 616,848 15,168
* Huron Consulting Group Inc. 332,248 14,702
  Lindsay Corp. 158,448 14,611
  Alamo Group Inc. 142,272 14,603
  Heartland Express Inc. 694,413 14,458
* TriMas Corp. 603,404 14,452
  Deluxe Corp. 609,786 14,354
  Marten Transport Ltd. 568,733 14,309
  Steelcase Inc. Class A 1,186,073 14,304
  Enerpac Tool Group Corp. Class A 787,315 13,857
* NOW Inc. 1,604,959 13,851
  Encore Wire Corp. 278,608 13,602
* PGT Innovations Inc. 862,491 13,524
  EnPro Industries Inc. 273,295 13,471
* Upwork Inc. 932,523 13,466
  AZZ Inc. 383,719 13,169
  Granite Construction Inc. 680,072 13,017
  US Ecology Inc. 380,496 12,891
  ADT Inc. 1,543,038 12,313
  Schneider National Inc. Class B 495,400 12,222
  Douglas Dynamics Inc. 336,853 11,830
  Columbus McKinnon Corp. 352,246 11,783
  Griffon Corp. 630,997 11,686
* Welbilt Inc. 1,917,098 11,675
  Raven Industries Inc. 537,750 11,567
* Herc Holdings Inc. 354,591 10,897
  Greenbrier Cos. Inc. 475,600 10,820
  Standex International Corp. 187,434 10,787
* TPI Composites Inc. 460,556 10,763
  Primoris Services Corp. 562,003 9,981
  AAR Corp. 482,831 9,980
* Parsons Corp. 274,274 9,940
* WillScot Corp. 803,841 9,879
  ArcBest Corp. 371,445 9,847
  Hawaiian Holdings Inc. 683,750 9,600
  Argan Inc. 195,142 9,246
  Knoll Inc. 744,632 9,077
  Matthews International Corp. Class A 470,766 8,992
  Apogee Enterprises Inc. 387,852 8,936
* Great Lakes Dredge & Dock Corp. 953,015 8,825
  ACCO Brands Corp. 1,225,781 8,703
* Echo Global Logistics Inc. 399,308 8,633
  H&E Equipment Services Inc. 465,898 8,610
* Construction Partners Inc. Class A 484,174 8,599
  Gorman-Rupp Co. 271,643 8,443
  Wabash National Corp. 794,186 8,434
* Vectrus Inc. 171,386 8,420
* MYR Group Inc. 252,453 8,056
* Ameresco Inc. Class A 286,116 7,948
  Shyft Group Inc. 465,438 7,838
* NV5 Global Inc. 153,955 7,826
38

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Kelly Services Inc. Class A 491,201 7,768
* CIRCOR International Inc. 293,341 7,474
* Aegion Corp. Class A 469,162 7,446
* TrueBlue Inc. 471,291 7,197
* Thermon Group Holdings Inc. 489,740 7,136
* MRC Global Inc. 1,205,364 7,124
* SP Plus Corp. 343,592 7,116
  Interface Inc. Class A 873,289 7,109
  Ennis Inc. 390,641 7,086
  Kforce Inc. 240,992 7,049
* Tutor Perini Corp. 576,939 7,027
* Gates Industrial Corp. plc 676,328 6,953
  Quanex Building Products Corp. 496,558 6,892
*,1 FuelCell Energy Inc. 3,024,391 6,835
  Triumph Group Inc. 738,116 6,650
  National Presto Industries Inc. 75,671 6,613
  Pitney Bowes Inc. 2,540,505 6,605
  Kimball International Inc. Class B 565,038 6,532
  GrafTech International Ltd. 806,551 6,436
*,1 Vivint Solar Inc. 648,733 6,422
*,1 PAE Inc. 649,761 6,212
  Heidrick & Struggles International Inc. 286,040 6,184
  Barrett Business Services Inc. 114,017 6,058
  Hyster-Yale Materials Handling Inc. 151,701 5,865
  Viad Corp. 301,454 5,734
* Manitowoc Co. Inc. 516,987 5,625
* Ducommun Inc. 160,909 5,611
  Resources Connection Inc. 462,845 5,540
  Insteel Industries Inc. 283,028 5,397
  Miller Industries Inc. 179,531 5,345
* Forrester Research Inc. 157,974 5,062
* BrightView Holdings Inc. 448,244 5,020
* DXP Enterprises Inc. 242,592 4,830
  Systemax Inc. 228,393 4,691
  CRA International Inc. 114,862 4,537
  Omega Flex Inc. 41,017 4,340
* Sterling Construction Co. Inc. 407,859 4,270
* Foundation Building Materials Inc. 268,729 4,195
  VSE Corp. 132,053 4,145
* Cornerstone Building Brands Inc. 678,946 4,114
  Allied Motion Technologies Inc. 114,087 4,027
* CAI International Inc. 240,740 4,011
*,1 Energy Recovery Inc. 521,297 3,959
* Northwest Pipe Co. 155,463 3,897
* Willdan Group Inc. 153,823 3,847
* Lawson Products Inc. 116,764 3,767
*,1 Bloom Energy Corp. Class A 344,544 3,749
* Astronics Corp. 348,476 3,680
  Powell Industries Inc. 133,179 3,648
* Lydall Inc. 267,887 3,633
* Blue Bird Corp. 232,282 3,482
  Park Aerospace Corp. 302,744 3,373
* Heritage-Crystal Clean Inc. 191,040 3,336
* Daseke Inc. 844,277 3,318
* CECO Environmental Corp. 498,059 3,282
* Titan Machinery Inc. 296,020 3,215
* Franklin Covey Co. 150,124 3,213
* Veritiv Corp. 189,376 3,212
  NN Inc. 638,831 3,028
* Acacia Research Corp. 697,292 2,852
* Covenant Transportation Group Inc. Class A 187,559 2,706
39

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* IES Holdings Inc. 116,079 2,690
* Team Inc. 467,912 2,606
  Hurco Cos. Inc. 92,077 2,575
* PICO Holdings Inc. 300,962 2,537
*,1 Eagle Bulk Shipping Inc. 1,157,957 2,536
  REV Group Inc. 395,709 2,414
* Alta Equipment Group Inc. 297,100 2,308
* American Superconductor Corp. 282,265 2,295
  LSI Industries Inc. 349,760 2,263
  Universal Logistics Holdings Inc. 126,422 2,197
  Park-Ohio Holdings Corp. 129,136 2,142
* US Xpress Enterprises Inc. Class A 345,894 2,075
* Radiant Logistics Inc. 526,477 2,069
* Transcat Inc. 78,204 2,022
*,1 HC2 Holdings Inc. 573,698 1,916
*,1 Alpha Pro Tech Ltd. 103,209 1,827
* GP Strategies Corp. 205,507 1,763
  Graham Corp. 137,367 1,750
  Preformed Line Products Co. 33,964 1,699
* L B Foster Co. Class A 128,097 1,636
* General Finance Corp. 238,390 1,600
  Quad/Graphics Inc. 487,675 1,585
  BG Staffing Inc. 136,163 1,541
*,1 Red Violet Inc. 87,096 1,536
  Eastern Co. 83,819 1,498
* Gencor Industries Inc. 115,798 1,464
*,1 EVI Industries Inc. 66,865 1,452
* Orion Group Holdings Inc. 461,407 1,449
* Concrete Pumping Holdings Inc. 414,814 1,444
  Genco Shipping & Trading Ltd. 229,101 1,439
  Rush Enterprises Inc. Class B 37,409 1,334
*,1 LiqTech International Inc. 244,091 1,333
* Mesa Air Group Inc. 382,180 1,315
*,1 ExOne Co. 151,850 1,298
* Mastech Digital Inc. 48,402 1,255
1 RR Donnelley & Sons Co. 1,046,134 1,245
* Orion Energy Systems Inc. 355,935 1,232
* Commercial Vehicle Group Inc. 414,106 1,197
*,1 BlueLinx Holdings Inc. 136,061 1,166
* Goldfield Corp. 302,912 1,124
*,1 Aqua Metals Inc. 792,756 1,110
*,1 Babcock & Wilcox Enterprises Inc. 482,400 1,100
1 Titan International Inc. 732,490 1,069
* Mistras Group Inc. 261,576 1,033
* PAM Transportation Services Inc. 33,178 1,020
* Willis Lease Finance Corp. 41,290 1,003
*,1 YRC Worldwide Inc. 533,166 986
*,1 Energous Corp. 347,708 981
* Manitex International Inc. 197,034 979
* Ultralife Corp. 137,561 964
* Hill International Inc. 611,000 929
* USA Truck Inc. 113,813 882
1 Briggs & Stratton Corp. 638,583 837
* Nesco Holdings Inc. 198,846 799
* InnerWorkings Inc. 579,995 766
* Armstrong Flooring Inc. 252,356 755
* Mayville Engineering Co. Inc. 94,477 746
* Twin Disc Inc. 130,235 722
* DLH Holdings Corp. 98,035 720
* Innovative Solutions & Support Inc. 116,655 583
  Acme United Corp. 25,248 580
40

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
*,1 Infrastructure and Energy Alternatives Inc. 144,791 576
* Houston Wire & Cable Co. 241,458 570
* Perma-Fix Environmental Services Inc. 86,926 555
  ARC Document Solutions Inc. 549,008 549
* Broadwind Inc. 145,905 547
*,1 Hudson Technologies Inc. 511,921 517
* CPI Aerostructures Inc. 150,962 497
  Pangaea Logistics Solutions Ltd. 198,063 497
* Rekor Systems Inc. 118,364 473
  NL Industries Inc. 135,037 460
* Virco Manufacturing Corp. 163,028 427
*,1 Odyssey Marine Exploration Inc. 84,811 396
* HyreCar Inc. 129,780 380
* Taylor Devices Inc. 36,095 361
* Perma-Pipe International Holdings Inc. 63,262 356
* Jewett-Cameron Trading Co. Ltd. 47,428 340
*,1 Akerna Corp. 31,806 280
* Huttig Building Products Inc. 247,746 277
*,1 Capstone Turbine Corp. 91,048 275
* Charah Solutions Inc. 86,291 274
*,1 India Globalization Capital Inc. 454,110 272
* FreightCar America Inc. 208,190 258
* AMREP Corp. 56,720 256
* Performant Financial Corp. 352,668 236
* Fuel Tech Inc. 210,035 176
* Astrotech Corp. 58,922 168
* Air T Inc. 14,989 165
* Hudson Global Inc. 18,306 160
* LS Starrett Co. Class A 44,550 151
*,1 Document Security Systems Inc. 18,331 150
  Servotronics Inc. 19,402 147
* SIFCO Industries Inc. 33,067 132
*,1 DPW Holdings Inc. 53,961 132
*,1 Polar Power Inc. 26,498 131
* Air Industries Group 108,223 129
* Volt Information Sciences Inc. 99,718 129
*,1,2 FTE Networks Inc. 82,837 124
* RCM Technologies Inc. 90,641 121
  Patriot Transportation Holding Inc. 13,915 118
* Lightbridge Corp. 24,698 111
  Espey Manufacturing & Electronics Corp. 5,392 93
*,1 Energy Focus Inc. 12,891 89
*,1 AgEagle Aerial Systems Inc. 61,167 73
*,1 Ideal Power Inc. 9,571 63
  Chicago Rivet & Machine Co. 2,905 62
*,1 BioHiTech Global Inc. 19,881 50
* Limbach Holdings Inc. 13,289 49
* Avalon Holdings Corp. Class A 25,600 41
  CompX International Inc. 2,808 39
* ShiftPixy Inc. 5,864 32
* Pioneer Power Solutions Inc. 17,498 31
* SG Blocks Inc. 11,191 30
  Staffing 360 Solutions Inc. 31,036 25
* HireQuest Inc. 3,536 23
* Sunworks Inc. 35,817 22
*,1 Sigma Labs Inc. 7,054 19
* GEE Group Inc. 27,339 15
* VirTra Inc. 3,900 15
* Ocean Power Technologies Inc. 18,163 13
* Art's-Way Manufacturing Co. Inc. 4,243 10
* JanOne Inc. 2,300 7
41

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Quest Resource Holding Corp. 4,835 7
*,2 Industrial Services of America Inc. 43,054 5
* Air T Funding Warrants Exp. 09/08/2020 36,997 3
* AeroCentury Corp. 800 2
* Amergent Inc. 22,675
            8,265,737
Information Technology (21.2%)
* Square Inc. Class A 4,873,897 511,467
  NXP Semiconductors NV 3,983,824 454,315
* Workday Inc. Class A 2,195,235 411,299
* Splunk Inc. 2,048,577 407,052
* Twilio Inc. Class A 1,637,592 359,320
* Okta Inc. Class A 1,658,813 332,144
  Marvell Technology Group Ltd. 9,468,568 331,968
* DocuSign Inc. Class A 1,857,758 319,925
* Palo Alto Networks Inc. 1,377,147 316,289
* RingCentral Inc. Class A 1,100,307 313,598
* Coupa Software Inc. 952,480 263,875
* Trade Desk Inc. Class A 584,498 237,598
* EPAM Systems Inc. 794,084 200,117
  Teradyne Inc. 2,367,380 200,067
  SS&C Technologies Holdings Inc. 3,184,093 179,838
*,1 VMware Inc. Class A 1,136,022 175,924
* Fair Isaac Corp. 413,892 173,023
* GoDaddy Inc. Class A 2,358,427 172,943
* Black Knight Inc. 2,137,374 155,088
* Trimble Inc. 3,570,995 154,231
  Booz Allen Hamilton Holding Corp. Class A 1,963,790 152,763
  Cognex Corp. 2,457,003 146,732
* Zendesk Inc. 1,634,112 144,668
  Monolithic Power Systems Inc. 593,496 140,659
* HubSpot Inc. 586,664 131,618
* Guidewire Software Inc. 1,185,508 131,414
* Avalara Inc. 975,983 129,894
* Dell Technologies Inc. Class C 2,208,377 121,328
* Ciena Corp. 2,196,789 118,978
* MongoDB Inc. Class A 518,131 117,274
* Alteryx Inc. Class A 712,814 117,101
* ON Semiconductor Corp. 5,862,075 116,186
* PTC Inc. 1,483,815 115,426
* Ceridian HCM Holding Inc. 1,452,002 115,100
  Entegris Inc. 1,923,809 113,601
* Zscaler Inc. 943,549 103,319
* Zoom Video Communications Inc. Class A 406,951 103,178
* WEX Inc. 622,209 102,671
* Nuance Communications Inc. 4,022,362 101,786
* Aspen Technology Inc. 965,644 100,050
* SolarEdge Technologies Inc. 709,713 98,494
* Five9 Inc. 888,338 98,312
* Cree Inc. 1,548,343 91,646
* Dynatrace Inc. 2,252,028 91,432
* Proofpoint Inc. 820,244 91,146
  Universal Display Corp. 606,160 90,694
  MKS Instruments Inc. 786,123 89,021
* Lumentum Holdings Inc. 1,071,926 87,287
* Manhattan Associates Inc. 907,146 85,453
* Inphi Corp. 690,223 81,101
* RealPage Inc. 1,238,526 80,517
  Genpact Ltd. 2,199,346 80,320
* CACI International Inc. Class A 357,799 77,599
42

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Arrow Electronics Inc. 1,127,729 77,464
* Paylocity Holding Corp. 515,236 75,168
  CDK Global Inc. 1,734,625 71,848
* Euronet Worldwide Inc. 746,471 71,527
  SYNNEX Corp. 585,933 70,177
* Dropbox Inc. Class A 3,165,042 68,903
* Everbridge Inc. 491,905 68,060
* Smartsheet Inc. Class A 1,316,427 67,032
  National Instruments Corp. 1,684,421 65,204
  Jabil Inc. 1,966,062 63,071
* Silicon Laboratories Inc. 621,547 62,323
  MAXIMUS Inc. 874,001 61,573
  Dolby Laboratories Inc. Class A 917,987 60,468
* Q2 Holdings Inc. 703,148 60,323
  Littelfuse Inc. 349,758 59,679
* II-VI Inc. 1,255,920 59,305
  LogMeIn Inc. 691,783 58,642
  Cabot Microelectronics Corp. 416,911 58,176
* Pure Storage Inc. Class A 3,328,557 57,684
* Anaplan Inc. 1,259,911 57,087
* Envestnet Inc. 767,196 56,420
  Pegasystems Inc. 550,587 55,703
* Enphase Energy Inc. 1,163,489 55,347
  Science Applications International Corp. 702,911 54,602
* Lattice Semiconductor Corp. 1,906,229 54,118
* Novanta Inc. 504,146 53,828
* First Solar Inc. 1,084,303 53,673
* Cirrus Logic Inc. 836,554 51,682
* Blackline Inc. 623,110 51,662
* Nutanix Inc. Class A 2,150,005 50,966
  Power Integrations Inc. 427,646 50,518
* New Relic Inc. 730,231 50,313
* Qualys Inc. 480,826 50,016
* Semtech Corp. 933,425 48,743
* Cloudera Inc. 3,732,297 47,475
  Brooks Automation Inc. 1,059,006 46,850
  KBR Inc. 2,026,214 45,691
* Coherent Inc. 347,181 45,474
  Perspecta Inc. 1,956,667 45,453
* Box Inc. Class A 2,162,482 44,893
* ACI Worldwide Inc. 1,648,539 44,494
* Elastic NV 479,160 44,183
* Viavi Solutions Inc. 3,264,664 41,592
* Verint Systems Inc. 914,624 41,323
* J2 Global Inc. 648,070 40,965
  Blackbaud Inc. 710,002 40,527
* Varonis Systems Inc. 451,181 39,920
* LiveRamp Holdings Inc. 931,073 39,543
* Alarm.com Holdings Inc. 608,281 39,423
* FireEye Inc. 3,189,006 38,826
  Avnet Inc. 1,385,314 38,629
* SPS Commerce Inc. 491,849 36,948
* Advanced Energy Industries Inc. 539,941 36,603
* Acacia Communications Inc. 541,443 36,380
* LivePerson Inc. 864,185 35,803
* Datadog Inc. Class A 401,916 34,947
* 2U Inc. 919,065 34,888
* Appfolio Inc. Class A 211,163 34,358
* Itron Inc. 516,112 34,192
* Rogers Corp. 268,220 33,420
* Rapid7 Inc. 645,941 32,956
43

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Sailpoint Technologies Holdings Inc. 1,234,346 32,673
* Fabrinet 521,911 32,578
* ViaSat Inc. 839,485 32,211
  Sabre Corp. 3,955,329 31,880
* Teradata Corp. 1,530,516 31,835
* SVMK Inc. 1,334,140 31,406
* FormFactor Inc. 1,065,424 31,249
* ExlService Holdings Inc. 492,267 31,210
* NCR Corp. 1,796,643 31,118
* Diodes Inc. 600,472 30,444
* Cornerstone OnDemand Inc. 776,427 29,939
  Ubiquiti Inc. 171,216 29,887
* Workiva Inc. Class A 556,641 29,775
* Crowdstrike Holdings Inc. Class A 296,743 29,760
* Synaptics Inc. 490,213 29,472
* Plexus Corp. 409,429 28,889
  Vishay Intertechnology Inc. 1,862,223 28,436
*,1 Slack Technologies Inc. Class A 912,840 28,380
* Bill.com Holdings Inc. 303,982 27,422
  Alliance Data Systems Corp. 602,051 27,165
* Bottomline Technologies DE Inc. 531,902 27,005
  ManTech International Corp. Class A 388,639 26,618
*,1 Appian Corp. Class A 501,328 25,693
  Badger Meter Inc. 407,989 25,671
* PROS Holdings Inc. 569,616 25,308
* Pluralsight Inc. Class A 1,393,761 25,157
  Progress Software Corp. 646,828 25,065
* Rambus Inc. 1,633,675 24,832
  InterDigital Inc. 432,239 24,478
* Insight Enterprises Inc. 495,764 24,392
* Sanmina Corp. 951,103 23,816
* CommVault Systems Inc. 613,708 23,750
* CommScope Holding Co. Inc. 2,843,904 23,690
* 8x8 Inc. 1,480,231 23,684
  Xperi Holding Corp. 1,581,966 23,350
  EVERTEC Inc. 829,427 23,307
* Fastly Inc. Class A 271,373 23,102
* Yext Inc. 1,389,711 23,083
* Onto Innovation Inc. 677,757 23,071
* MACOM Technology Solutions Holdings Inc. 669,804 23,008
* NetScout Systems Inc. 897,210 22,933
* Altair Engineering Inc. Class A 568,200 22,586
  NIC Inc. 966,276 22,186
* Fitbit Inc. Class A 3,326,589 21,490
*,1 Cerence Inc. 523,982 21,399
* Cloudflare Inc. Class A 594,628 21,377
* Ambarella Inc. 462,518 21,183
* MaxLinear Inc. Class A 955,666 20,509
* Verra Mobility Corp. Class A 1,924,388 19,783
  CSG Systems International Inc. 477,030 19,744
* Knowles Corp. 1,257,137 19,184
* Tenable Holdings Inc. 631,709 18,831
* Amkor Technology Inc. 1,527,011 18,798
* EchoStar Corp. Class A 665,327 18,603
  Kulicke & Soffa Industries Inc. 871,201 18,147
* Super Micro Computer Inc. 619,157 17,578
* OSI Systems Inc. 232,168 17,329
  Belden Inc. 528,429 17,200
* TTM Technologies Inc. 1,448,602 17,180
* Perficient Inc. 478,784 17,131
* SolarWinds Corp. 936,089 16,541
44

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Methode Electronics Inc. 508,813 15,905
  Switch Inc. Class A 828,160 14,758
* Avaya Holdings Corp. 1,167,097 14,425
* Sykes Enterprises Inc. 516,899 14,297
* FARO Technologies Inc. 265,463 14,229
* Virtusa Corp. 435,269 14,133
* ePlus Inc. 198,885 14,057
* Model N Inc. 402,854 14,003
* Evo Payments Inc. Class A 600,750 13,715
* Infinera Corp. 2,313,617 13,697
* Axcelis Technologies Inc. 483,153 13,456
* OneSpan Inc. 476,274 13,302
* Ultra Clean Holdings Inc. 581,672 13,163
* Zuora Inc. Class A 1,028,775 13,117
* Repay Holdings Corp. Class A 525,002 12,931
* MicroStrategy Inc. Class A 108,026 12,778
* Limelight Networks Inc. 1,730,148 12,734
* Cardtronics plc Class A 518,442 12,432
*,1 3D Systems Corp. 1,750,331 12,235
* ForeScout Technologies Inc. 568,489 12,052
* CEVA Inc. 321,880 12,045
  TTEC Holdings Inc. 256,828 11,958
* Digital Turbine Inc. 936,860 11,776
*,1 Inseego Corp. 973,221 11,289
* NETGEAR Inc. 433,931 11,234
* Upland Software Inc. 315,212 10,957
* nLight Inc. 489,524 10,897
* Calix Inc. 728,534 10,855
  Cohu Inc. 619,024 10,734
  Benchmark Electronics Inc. 489,909 10,582
* Ping Identity Holding Corp. 318,119 10,208
* Medallia Inc. 393,735 9,938
* Veeco Instruments Inc. 733,737 9,898
*,1 SunPower Corp. 1,286,848 9,857
  CTS Corp. 486,076 9,741
* Photronics Inc. 874,322 9,731
* Domo Inc. Class B 301,238 9,691
* ScanSource Inc. 379,657 9,146
* Ichor Holdings Ltd. 337,484 8,970
* PDF Solutions Inc. 429,214 8,395
* Unisys Corp. 762,271 8,316
* ACM Research Inc. Class A 131,708 8,213
  ADTRAN Inc. 714,803 7,813
* Extreme Networks Inc. 1,785,665 7,750
  PC Connection Inc. 163,526 7,581
  Ebix Inc. 327,868 7,331
  Cass Information Systems Inc. 184,920 7,217
  QAD Inc. Class A 173,763 7,173
  Plantronics Inc. 485,099 7,121
  American Software Inc. Class A 449,729 7,088
* Diebold Nixdorf Inc. 1,141,360 6,917
* Harmonic Inc. 1,440,509 6,842
* MobileIron Inc. 1,378,746 6,797
* I3 Verticals Inc. Class A 219,282 6,633
* ChannelAdvisor Corp. 409,134 6,481
  Comtech Telecommunications Corp. 367,111 6,201
* Impinj Inc. 224,797 6,175
* Rosetta Stone Inc. 365,943 6,170
1 VirnetX Holding Corp. 924,257 6,008
* A10 Networks Inc. 867,692 5,909
* Mitek Systems Inc. 609,369 5,856
45

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Zix Corp. 835,173 5,763
* Conduent Inc. 2,403,940 5,745
  Hackett Group Inc. 412,297 5,583
* NeoPhotonics Corp. 622,879 5,531
* DSP Group Inc. 347,092 5,512
* Agilysys Inc. 305,725 5,485
* SMART Global Holdings Inc. 197,406 5,365
*,1 PAR Technology Corp. 174,803 5,232
* Ribbon Communications Inc. 1,325,451 5,209
* Digi International Inc. 431,995 5,033
* Vishay Precision Group Inc. 200,886 4,938
* Kimball Electronics Inc. 357,633 4,842
* Benefitfocus Inc. 445,818 4,797
* International Money Express Inc. 384,649 4,793
* Endurance International Group Holdings Inc. 1,170,668 4,718
  NVE Corp. 75,863 4,691
  MTS Systems Corp. 266,440 4,687
* Brightcove Inc. 577,383 4,550
*,1 Veritone Inc. 302,302 4,492
* CalAmp Corp. 525,210 4,207
* Napco Security Technologies Inc. 172,888 4,044
*,1 Paysign Inc. 402,365 3,907
* PagerDuty Inc. 136,454 3,905
* Avid Technology Inc. 511,470 3,718
* CyberOptics Corp. 111,747 3,599
*,1 GTT Communications Inc. 438,360 3,577
* eGain Corp. 309,674 3,440
* Sprout Social Inc. Class A 125,327 3,384
*,1 Akoustis Technologies Inc. 398,819 3,306
* Alpha & Omega Semiconductor Ltd. 291,488 3,171
* Telenav Inc. 577,172 3,169
*,1 Digimarc Corp. 193,646 3,096
*,1 ShotSpotter Inc. 120,462 3,036
*,1 Applied Optoelectronics Inc. 278,449 3,027
* Immersion Corp. 483,604 3,013
* Arlo Technologies Inc. 1,160,614 2,994
*,1 GreenSky Inc. Class A 603,546 2,957
*,1 Intelligent Systems Corp. 83,556 2,848
* SiTime Corp. 58,500 2,773
* Iteris Inc. 547,555 2,604
* AXT Inc. 536,699 2,555
  Daktronics Inc. 578,920 2,518
* Grid Dynamics Holdings Inc. 337,700 2,330
* GTY Technology Holdings Inc. 535,668 2,231
*,1 MicroVision Inc. 1,599,327 2,175
* Clearfield Inc. 139,964 1,954
*,1 Synchronoss Technologies Inc. 539,046 1,903
* ServiceSource International Inc. 1,185,529 1,873
* Casa Systems Inc. 444,441 1,849
* PCTEL Inc. 276,829 1,849
* Luna Innovations Inc. 313,613 1,831
* Quantum Corp. 473,300 1,827
* KVH Industries Inc. 203,900 1,821
* PRGX Global Inc. 353,952 1,664
* SecureWorks Corp. Class A 144,423 1,651
  Bel Fuse Inc. Class B 153,335 1,645
* Genasys Inc. 329,911 1,603
* GSI Technology Inc. 220,551 1,584
* Pixelworks Inc. 489,594 1,581
* Smith Micro Software Inc. 352,527 1,572
* Intevac Inc. 282,964 1,545
46

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Powerfleet Inc. 326,775 1,510
*,1 MoneyGram International Inc. 466,181 1,496
  GlobalSCAPE Inc. 147,867 1,442
* EMCORE Corp. 439,935 1,399
* PFSweb Inc. 204,650 1,367
*,1 Resonant Inc. 582,788 1,358
*,1 Kopin Corp. 979,351 1,303
*,1 Wrap Technologies Inc. 122,054 1,279
*,1 SharpSpring Inc. 137,815 1,210
*,1 Research Frontiers Inc. 290,116 1,178
* Asure Software Inc. 182,092 1,171
*,1 Atomera Inc. 129,495 1,165
*,1 Pareteum Corp. 1,850,955 1,148
* Airgain Inc. 103,786 1,115
* Intellicheck Inc. 141,432 1,068
* Rimini Street Inc. 192,247 990
*,1 Digital Ally Inc. 310,530 975
*,1 Eastman Kodak Co. 427,279 953
* LightPath Technologies Inc. Class A 281,831 941
* Everspin Technologies Inc. 126,537 888
* Information Services Group Inc. 416,590 862
* StarTek Inc. 161,812 822
* Park City Group Inc. 194,170 821
* IEC Electronics Corp. 84,880 817
* Amtech Systems Inc. 166,221 809
* DASAN Zhone Solutions Inc. 90,450 808
* Key Tronic Corp. 153,764 807
* Frequency Electronics Inc. 90,022 789
* Identiv Inc. 154,044 786
* Lantronix Inc. 209,543 777
* Aviat Networks Inc. 41,586 759
*,1 Riot Blockchain Inc. 327,912 728
*,1 ClearSign Technologies Corp. 337,298 702
* SeaChange International Inc. 436,330 659
  AstroNova Inc. 81,755 651
* Computer Task Group Inc. 154,714 623
* Aware Inc. 183,320 601
  TransAct Technologies Inc. 118,987 545
* LGL Group Inc. 63,393 539
  CSP Inc. 63,390 515
* WidePoint Corp. 702,924 489
*,1 Phunware Inc. 394,501 485
  Wayside Technology Group Inc. 18,491 475
  Richardson Electronics Ltd. 116,609 471
  TESSCO Technologies Inc. 83,660 460
* Data I/O Corp. 131,998 445
  Communications Systems Inc. 84,005 426
*,1 Neonode Inc. 49,070 417
* Synacor Inc. 363,282 411
* RealNetworks Inc. 302,891 394
  RF Industries Ltd. 83,949 391
*,1 Net Element Inc. 44,862 391
*,1 Exela Technologies Inc. 684,046 379
  QAD Inc. Class B 11,928 358
* Finjan Holdings Inc. 230,934 356
*,1 Applied DNA Sciences Inc. 43,418 350
* Issuer Direct Corp. 34,425 349
* Aehr Test Systems 176,801 345
* NetSol Technologies Inc. 126,277 336
* eMagin Corp. 416,604 329
*,1 Vislink Technologies Inc. 523,289 323
47

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
*,1 QuickLogic Corp. 104,999 321
* Steel Connect Inc. 529,960 318
* AudioEye Inc. 31,131 311
* Majesco 38,482 302
* BSQUARE Corp. 186,526 293
* Innodata Inc. 215,507 291
* Qumu Corp. 80,502 289
* Shift4 Payments Inc. Class A 7,908 281
* inTEST Corp. 75,524 255
* Optical Cable Corp. 101,490 254
*,1 Coda Octopus Group Inc. 45,539 235
* Perceptron Inc. 70,502 233
* Wireless Telecom Group Inc. 233,098 231
* ClearOne Inc. 114,463 229
* Inuvo Inc. 407,207 217
* CVD Equipment Corp. 68,981 206
  Support.com Inc. 145,787 206
  Network-1 Technologies Inc. 93,241 202
* Orbital Energy Group Inc. 317,250 197
* GSE Systems Inc. 180,096 182
* Image Sensing Systems Inc. 44,750 151
  BK Technologies Corp. 40,918 139
*,1 NXT-ID Inc. 270,096 136
* TSR Inc. 23,470 113
* Evolving Systems Inc. 93,207 102
* Usio Inc. 46,196 90
  Bel Fuse Inc. Class A 8,959 89
* Schmitt Industries Inc. 25,576 89
* Westell Technologies Inc. Class A 109,328 86
*,1 Superconductor Technologies Inc. 204,013 78
* One Stop Systems Inc. 38,877 77
* MICT Inc. 48,420 72
* ADDvantage Technologies Group Inc. 20,563 71
* Bio-key International Inc. 78,056 69
* Technical Communications Corp. 20,218 67
* Boxlight Corp. Class A 69,543 64
* Marin Software Inc. 41,968 57
* SigmaTron International Inc. 16,060 54
* Marathon Patent Group Inc. 57,647 52
* Sonim Technologies Inc. 59,459 48
* Socket Mobile Inc. 27,598 43
* Nortech Systems Inc. 9,269 39
* Cemtrex Inc. 22,059 36
* ALJ Regional Holdings Inc. 64,383 32
* Envision Solar International Inc. 1,998 20
* MoSys Inc. 10,086 18
* Trio-Tech International 4,900 15
* CPS Technologies Corp. 6,074 15
* Verb Technology Co. Inc. 13,063 14
* Oblong Inc. 8,920 13
* Blonder Tongue Laboratories Inc. 16,400 12
* AMERI Holdings Inc. 7,332 11
  Taitron Components Inc. Class A 2,300 6
* Rubicon Technology Inc. 361 3
* Inpixon 372 1
* Summit Wireless Technologies Inc. 288 1
* Priority Technology Holdings Inc. 106
            14,732,438
Materials (3.6%)
  RPM International Inc. 1,847,983 138,710
48

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Crown Holdings Inc. 1,917,953 124,916
  Royal Gold Inc. 937,504 116,551
  AptarGroup Inc. 912,904 102,227
  Reliance Steel & Aluminum Co. 897,644 85,213
* Berry Global Group Inc. 1,889,609 83,747
  Steel Dynamics Inc. 2,982,050 77,802
  Scotts Miracle-Gro Co. 563,166 75,729
  Sonoco Products Co. 1,430,225 74,786
* Axalta Coating Systems Ltd. 2,995,547 67,550
  Ashland Global Holdings Inc. 861,435 59,525
  Graphic Packaging Holding Co. 3,993,726 55,872
  Valvoline Inc. 2,647,627 51,179
  Huntsman Corp. 2,801,960 50,351
  Balchem Corp. 457,353 43,385
  NewMarket Corp. 102,995 41,247
  Eagle Materials Inc. 586,949 41,216
  Louisiana-Pacific Corp. 1,588,964 40,757
  W R Grace & Co. 793,597 40,323
  Chemours Co. 2,356,683 36,175
  Silgan Holdings Inc. 1,087,200 35,214
  Commercial Metals Co. 1,710,762 34,900
  PolyOne Corp. 1,313,196 34,445
  Quaker Chemical Corp. 181,807 33,752
* Element Solutions Inc. 3,107,988 33,722
  HB Fuller Co. 742,903 33,133
  Sensient Technologies Corp. 614,427 32,049
1 Cleveland-Cliffs Inc. 5,728,517 31,621
* Ingevity Corp. 584,699 30,738
* Alcoa Corp. 2,679,659 30,119
  Cabot Corp. 791,496 29,325
  Stepan Co. 279,198 27,110
  Innospec Inc. 341,692 26,396
* Summit Materials Inc. Class A 1,639,489 26,363
  Westlake Chemical Corp. 480,933 25,802
  Olin Corp. 2,227,721 25,597
  Hecla Mining Co. 7,557,429 24,713
  Compass Minerals International Inc. 490,564 23,915
1 United States Steel Corp. 3,155,918 22,786
  Minerals Technologies Inc. 476,642 22,369
  Boise Cascade Co. 567,472 21,343
  O-I Glass Inc. 2,258,206 20,279
* Arconic Corp. 1,380,043 19,224
* Allegheny Technologies Inc. 1,819,017 18,536
  Worthington Industries Inc. 493,170 18,395
  Materion Corp. 295,857 18,192
* Coeur Mining Inc. 3,517,062 17,867
  Kaiser Aluminum Corp. 228,907 16,852
  Carpenter Technology Corp. 691,598 16,792
  Greif Inc. Class A 481,087 16,554
  Domtar Corp. 750,285 15,839
  Schweitzer-Mauduit International Inc. 458,465 15,317
* GCP Applied Technologies Inc. 795,472 14,780
* Ferro Corp. 1,198,543 14,311
*,1 Livent Corp. 2,123,113 13,078
  Neenah Inc. 250,103 12,370
  Warrior Met Coal Inc. 742,786 11,431
  Trinseo SA 510,301 11,308
  Chase Corp. 107,109 10,979
  P H Glatfelter Co. 664,511 10,665
  Tronox Holdings plc Class A 1,382,296 9,980
* Clearwater Paper Corp. 240,920 8,704
49

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Kraton Corp. 463,427 8,008
  Myers Industries Inc. 533,203 7,758
* PQ Group Holdings Inc. 562,862 7,452
  Schnitzer Steel Industries Inc. Class A 393,769 6,946
  Verso Corp. Class A 520,446 6,225
  Hawkins Inc. 144,161 6,138
* Koppers Holdings Inc. 310,474 5,849
* US Concrete Inc. 234,560 5,817
  Tredegar Corp. 374,187 5,762
  American Vanguard Corp. 411,128 5,657
* Century Aluminum Co. 755,209 5,385
  Mercer International Inc. 612,893 5,001
* AdvanSix Inc. 415,887 4,883
*,1 McEwen Mining Inc. 4,745,743 4,793
  FutureFuel Corp. 396,282 4,736
  Haynes International Inc. 196,949 4,601
* UFP Technologies Inc. 102,605 4,521
*,1 Amyris Inc. 1,035,685 4,422
  Gold Resource Corp. 1,004,092 4,127
  SunCoke Energy Inc. 1,285,052 3,804
  Kronos Worldwide Inc. 340,384 3,543
* Forterra Inc. 280,249 3,128
* Ranpak Holdings Corp. Class A 400,005 2,976
* Resolute Forest Products Inc. 1,390,933 2,935
* TimkenSteel Corp. 612,825 2,384
  United States Lime & Minerals Inc. 27,879 2,354
* Rayonier Advanced Materials Inc. 732,636 2,059
*,1 Loop Industries Inc. 195,418 1,759
* Trecora Resources 261,514 1,640
  Olympic Steel Inc. 138,199 1,624
  Tecnoglass Inc. 274,478 1,496
* Intrepid Potash Inc. 1,485,228 1,470
* Ryerson Holding Corp. 243,758 1,372
* Venator Materials plc 730,367 1,307
1 Advanced Emissions Solutions Inc. 254,307 1,233
* AgroFresh Solutions Inc. 396,351 1,201
*,1 Marrone Bio Innovations Inc. 967,209 1,132
* Universal Stainless & Alloy Products Inc. 114,415 984
* Flotek Industries Inc. 776,697 932
* Contura Energy Inc. 261,236 794
* Synalloy Corp. 106,210 794
  Northern Technologies International Corp. 84,376 673
* Ampco-Pittsburgh Corp. 182,383 560
* Core Molding Technologies Inc. 98,285 405
  Friedman Industries Inc. 71,623 362
* LSB Industries Inc. 291,929 339
*,1 Golden Minerals Co. 648,415 279
* Ramaco Resources Inc. 91,534 196
* Paramount Gold Nevada Corp. 131,789 163
* General Moly Inc. 684,877 138
* United States Antimony Corp. 177,515 87
* Solitario Zinc Corp. 258,205 81
* US Gold Corp. 11,779 80
* Comstock Mining Inc. 47,870 45
  Greif Inc. Class B 880 37
* Ikonics Corp. 926 3
            2,476,576
Other (0.0%)4
*,2 Spirit MTA REIT 653,668 502
*,2 Tobira Therapeutics Inc. CVR Exp. 12/31/2038 87,894 398
50

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
*,2 Media General Inc. CVR 1,202,098 47
*,2 Ocera Therapeutics Inc. CVR 48,417 13
*,2 GenVec Inc. CPR 26,612 12
*,2 Alexza Pharmaceuticals Inc. CVR 128,704 5
*,2 OncoMed Pharmaceuticals Inc. CVR 287,555 3
*,2 NeuroBo Pharmaceuticals Inc. CVR 129,871 1
*,1,2 Biosante Pharmaceutical Inc. CVR 44,795
*,2 Seventy Seven Energy Inc. 3,457
            981
Real Estate (7.6%)
  Invitation Homes Inc. 7,753,362 213,450
  Sun Communities Inc. 1,402,542 190,297
  WP Carey Inc. 2,461,846 166,544
  Equity LifeStyle Properties Inc. 2,598,408 162,349
  Medical Properties Trust Inc. 7,548,898 141,919
  VICI Properties Inc. 6,693,560 135,143
  Camden Property Trust 1,390,344 126,827
  CyrusOne Inc. 1,645,359 119,700
  Americold Realty Trust 2,865,582 104,021
  Gaming and Leisure Properties Inc. 2,958,072 102,349
  VEREIT Inc. 15,410,251 99,088
  American Homes 4 Rent Class A 3,648,898 98,155
  Omega Healthcare Investors Inc. 3,244,080 96,446
  Kilroy Realty Corp. 1,515,378 88,953
  National Retail Properties Inc. 2,460,874 87,312
  Lamar Advertising Co. Class A 1,235,054 82,452
  Healthcare Trust of America Inc. Class A 3,040,195 80,626
  Jones Lang LaSalle Inc. 734,568 75,998
  CubeSmart 2,770,172 74,767
  STORE Capital Corp. Class A 3,133,667 74,613
  Douglas Emmett Inc. 2,367,069 72,574
  Rexford Industrial Realty Inc. 1,724,942 71,464
  First Industrial Realty Trust Inc. 1,826,646 70,216
  CoreSite Realty Corp. 576,222 69,757
  American Campus Communities Inc. 1,970,645 68,894
  EastGroup Properties Inc. 561,485 66,598
  Life Storage Inc. 670,091 63,625
  Cousins Properties Inc. 2,128,208 63,484
  STAG Industrial Inc. 2,135,138 62,602
  Healthcare Realty Trust Inc. 1,935,122 56,680
  Equity Commonwealth 1,727,741 55,633
  Highwoods Properties Inc. 1,488,158 55,553
  Hudson Pacific Properties Inc. 2,194,215 55,206
  QTS Realty Trust Inc. Class A 852,747 54,653
  Brixmor Property Group Inc. 4,226,330 54,182
* Redfin Corp. 1,267,139 53,106
  Terreno Realty Corp. 974,882 51,318
  Spirit Realty Capital Inc. 1,465,005 51,070
  Agree Realty Corp. 773,008 50,794
  Physicians Realty Trust 2,892,896 50,684
  JBG SMITH Properties 1,688,018 49,915
  Rayonier Inc. 1,977,217 49,015
  Sabra Health Care REIT Inc. 2,912,421 42,026
  Lexington Realty Trust 3,926,586 41,425
  Corporate Office Properties Trust 1,589,527 40,279
  National Health Investors Inc. 641,402 38,946
  PS Business Parks Inc. 289,471 38,326
  EPR Properties 1,093,883 36,240
  PotlatchDeltic Corp. 946,900 36,011
  Taubman Centers Inc. 883,184 33,349
51

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Howard Hughes Corp. 641,189 33,310
  Park Hotels & Resorts Inc. 3,323,235 32,867
  Weingarten Realty Investors 1,691,948 32,029
  Piedmont Office Realty Trust Inc. Class A 1,826,230 30,334
  Outfront Media Inc. 2,067,903 29,302
  Apple Hospitality REIT Inc. 2,951,729 28,514
  Ryman Hospitality Properties Inc. 790,558 27,353
  Kennedy-Wilson Holdings Inc. 1,777,863 27,059
  Washington REIT 1,183,982 26,284
  Uniti Group Inc. 2,783,856 26,029
  Brandywine Realty Trust 2,357,584 25,674
  Pebblebrook Hotel Trust 1,875,827 25,624
  National Storage Affiliates Trust 891,152 25,540
  Easterly Government Properties Inc. 1,084,630 25,077
  Four Corners Property Trust Inc. 1,017,532 24,828
  Sunstone Hotel Investors Inc. 3,000,513 24,454
  Innovative Industrial Properties Inc. 275,352 24,236
  CareTrust REIT Inc. 1,385,708 23,779
  Retail Properties of America Inc. Class A 3,088,214 22,606
  RLJ Lodging Trust 2,312,451 21,830
  Global Net Lease Inc. 1,300,518 21,758
  Monmouth Real Estate Investment Corp. 1,449,449 21,003
  Columbia Property Trust Inc. 1,589,639 20,888
  GEO Group Inc. 1,754,808 20,759
  LTC Properties Inc. 546,709 20,595
  Mack-Cali Realty Corp. 1,315,715 20,117
  Paramount Group Inc. 2,567,208 19,793
  Industrial Logistics Properties Trust 960,149 19,731
  American Assets Trust Inc. 700,883 19,513
  Retail Opportunity Investments Corp. 1,706,603 19,336
  Essential Properties Realty Trust Inc. 1,294,301 19,207
  Urban Edge Properties 1,526,910 18,124
  Office Properties Income Trust 697,024 18,102
  SITE Centers Corp. 2,153,055 17,440
  Service Properties Trust 2,373,807 16,830
  CoreCivic Inc. 1,728,541 16,179
  DiamondRock Hospitality Co. 2,889,727 15,980
  Colony Capital Inc. 6,643,621 15,945
1 Independence Realty Trust Inc. 1,353,805 15,555
  Xenia Hotels & Resorts Inc. 1,641,014 15,311
  Acadia Realty Trust 1,172,666 15,221
  Diversified Healthcare Trust 3,423,568 15,149
  Getty Realty Corp. 508,899 15,104
1 Macerich Co. 1,679,985 15,069
  Universal Health Realty Income Trust 185,930 14,780
  Kite Realty Group Trust 1,233,158 14,231
  Empire State Realty Trust Inc. Class A 1,925,988 13,482
  American Finance Trust Inc. Class A 1,589,411 12,612
  Community Healthcare Trust Inc. 305,202 12,483
  Alexander & Baldwin Inc. 1,006,071 12,264
  Realogy Holdings Corp. 1,651,565 12,238
  Investors Real Estate Trust 172,286 12,144
  iStar Inc. 984,772 12,132
  NexPoint Residential Trust Inc. 321,759 11,374
  Safehold Inc. 193,648 11,133
  Newmark Group Inc. Class A 2,273,613 11,050
* Marcus & Millichap Inc. 343,118 9,902
1 Tanger Factory Outlet Centers Inc. 1,367,158 9,748
  Gladstone Commercial Corp. 516,295 9,681
  Summit Hotel Properties Inc. 1,554,344 9,217
* St. Joe Co. 455,873 8,853
52

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  RE/MAX Holdings Inc. Class A 265,588 8,347
  RPT Realty 1,195,283 8,319
  Armada Hoffler Properties Inc. 827,203 8,231
  Franklin Street Properties Corp. 1,591,411 8,100
  Alexander's Inc. 30,942 7,454
  UMH Properties Inc. 560,075 7,242
  RMR Group Inc. Class A 228,718 6,740
  Global Medical REIT Inc. 587,989 6,662
  CatchMark Timber Trust Inc. Class A 749,418 6,632
  City Office REIT Inc. 633,556 6,374
  Front Yard Residential Corp. 730,322 6,354
  Saul Centers Inc. 183,437 5,919
  Urstadt Biddle Properties Inc. Class A 487,136 5,787
*,1 eXp World Holdings Inc. 337,220 5,750
*,1 Seritage Growth Properties Class A 490,880 5,596
  Preferred Apartment Communities Inc. Class A 691,373 5,254
  New Senior Investment Group Inc. 1,278,972 4,630
  Jernigan Capital Inc. 337,299 4,614
  Whitestone REIT 629,295 4,575
* Tejon Ranch Co. 316,212 4,553
  Gladstone Land Corp. 279,151 4,427
  Chatham Lodging Trust 709,009 4,339
  One Liberty Properties Inc. 241,695 4,259
* FRP Holdings Inc. 101,186 4,106
* Forestar Group Inc. 250,384 3,776
  Hersha Hospitality Trust Class A 526,022 3,030
1 Farmland Partners Inc. 432,882 2,965
  Plymouth Industrial REIT Inc. 230,615 2,952
  CTO Realty Growth Inc. 74,129 2,928
  Retail Value Inc. 230,518 2,849
  Bluerock Residential Growth REIT Inc. Class A 340,350 2,750
  CorePoint Lodging Inc. 607,060 2,556
1 Washington Prime Group Inc. 2,725,539 2,292
* Rafael Holdings Inc. Class B 148,313 2,131
* Altisource Portfolio Solutions SA 141,724 2,089
  Griffin Industrial Realty Inc. 33,575 1,819
* Stratus Properties Inc. 87,388 1,731
  CorEnergy Infrastructure Trust Inc. 187,282 1,714
  Clipper Realty Inc. 196,786 1,594
  BRT Apartments Corp. 146,907 1,590
  Alpine Income Property Trust Inc. 92,900 1,511
  Braemar Hotels & Resorts Inc. 447,352 1,279
1 Pennsylvania REIT 898,490 1,222
  Cedar Realty Trust Inc. 1,224,066 1,212
* Maui Land & Pineapple Co. Inc. 87,932 976
  Ashford Hospitality Trust Inc. 1,264,180 913
*,1 CBL & Associates Properties Inc. 2,570,027 701
* Transcontinental Realty Investors Inc. 22,564 677
  Postal Realty Trust Inc. Class A 36,302 579
  Sotherly Hotels Inc. 166,788 419
* Trinity Place Holdings Inc. 293,641 405
  Condor Hospitality Trust Inc. 70,224 288
  Global Self Storage Inc. 71,316 280
  CIM Commercial Trust Corp. 25,043 270
*,1 Wheeler REIT Inc. 136,025 238
* InterGroup Corp. 6,800 181
* JW Mays Inc. 4,600 97
* American Realty Investors Inc. 6,484 58
* Altisource Asset Management Corp. 2,628 43
* Power REIT 1,219 35
* HMG/Courtland Properties Inc. 1,000 11
53

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* CKX Lands Inc. 1,000 8
  Urstadt Biddle Properties Inc. 366 4
  InnSuites Hospitality Trust 108
            5,285,833
Utilities (2.3%)
  Essential Utilities Inc. 3,156,064 133,312
  Vistra Energy Corp. 6,061,318 112,862
  UGI Corp. 2,975,418 94,618
  OGE Energy Corp. 2,865,680 87,002
  MDU Resources Group Inc. 2,865,396 63,554
  IDACORP Inc. 722,905 63,160
  ONE Gas Inc. 757,120 58,336
  Hawaiian Electric Industries Inc. 1,565,005 56,434
  Southwest Gas Holdings Inc. 780,594 53,900
  Portland General Electric Co. 1,279,107 53,479
  National Fuel Gas Co. 1,268,825 53,202
  Black Hills Corp. 897,476 50,851
  Spire Inc. 727,981 47,836
  Ormat Technologies Inc. 727,888 46,214
  New Jersey Resources Corp. 1,361,923 44,467
  PNM Resources Inc. 1,134,555 43,612
  American States Water Co. 527,155 41,450
  ALLETE Inc. 733,572 40,060
  NorthWestern Corp. 723,841 39,464
  El Paso Electric Co. 578,936 38,789
  Avista Corp. 961,799 35,000
  California Water Service Group 696,057 33,202
  MGE Energy Inc. 512,696 33,074
  Avangrid Inc. 775,368 32,550
  South Jersey Industries Inc. 1,297,008 32,412
  Clearway Energy Inc. Class C 1,118,724 25,798
  Northwest Natural Holding Co. 446,289 24,898
  SJW Group 372,575 23,141
  Otter Tail Corp. 588,198 22,816
  TerraForm Power Inc. Class A 1,145,623 21,125
  Chesapeake Utilities Corp. 243,795 20,479
  Middlesex Water Co. 253,702 17,044
  Unitil Corp. 225,757 10,118
  Clearway Energy Inc. Class A 473,552 9,930
1 York Water Co. 195,560 9,379
*,1 Cadiz Inc. 483,449 4,912
  Artesian Resources Corp. Class A 126,333 4,585
* Sunnova Energy International Inc. 203,218 3,469
  RGC Resources Inc. 89,040 2,152
  Genie Energy Ltd. Class B 286,048 2,105
* Pure Cycle Corp. 214,655 1,973
  Global Water Resources Inc. 120,540 1,271
  Spark Energy Inc. Class A 165,482 1,170
            1,595,205
Total Common Stocks (Cost $56,325,566) 68,774,604
Preferred Stocks (0.0%)
  WESCO International Inc. Pfd., 10.625%, 6/22/25 161,972 4,296
  Air T Funding Pfd., 8.000%, 6/7/24 704 15
Total Preferred Stocks (Cost $4,307) 4,311
54

Vanguard® Extended Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
      Coupon   Shares Market
Value
($000)
Temporary Cash Investments (3.3%)
Money Market Fund (3.2%)
5,6 Vanguard Market Liquidity Fund 0.227%   22,446,236 2,244,623
        Maturity
Date
Face
Amount
($000)
 
U.S. Government and Agency Obligations (0.1%)
7 United States Treasury Bill 0.102% 7/14/20 34,000 33,999
7 United States Treasury Bill 0.210% 9/15/20 2,715 2,714
7 United States Treasury Bill 0.116% 9/29/20 1,500 1,499
7 United States Treasury Bill 0.135% 10/20/20 9,000 8,996
            47,208
Total Temporary Cash Investments (Cost $2,291,520) 2,291,831
Total Investments (102.3%) (Cost $58,621,393)   71,070,746
Other Assets and Liabilities-Net (-2.3%)   (1,624,199)
Net Assets (100%)   69,446,547
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 $1,581,489,000.
2 Security value determined using significant unobservable inputs.
3 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. At June 30, 2020, the aggregate value of these securities was $18,388,000, representing 0.0% of net assets.
4 “Other” represents securities that are not classified by the fund’s benchmark index.
5 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
6 Collateral of $1,696,420,000 was received for securities on loan, of which $1,667,119,000 is held in Vanguard Market Liquidity Fund and $29,301,000 is held in cash.
7 Securities with a value of $36,478,000 have been segregated as initial margin for open futures contracts.
  ADR—American Depositary Receipt.
  CPR—Contingent Payment Rights.
  CVR—Contingent Value Rights.
  REIT—Real Estate Investment Trust.
55

© 2020 The Vanguard Group, Inc.
All rights reserved.
Vanguard Marketing Corporation, Distributor.
SNA982 082020

 

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
Common Stocks (99.5%)
Basic Materials (2.1%)
  Linde plc 14,966,557 3,174,556
  Air Products & Chemicals Inc. 6,292,310 1,519,341
  Ecolab Inc. 7,289,972 1,450,340
  Newmont Corp. 22,870,892 1,412,049
  DuPont de Nemours Inc. 20,912,872 1,111,101
  Dow Inc. 21,166,101 862,730
  PPG Industries Inc. 6,727,085 713,475
  Fastenal Co. 16,363,856 701,028
  Freeport-McMoRan Inc. 41,491,661 480,059
  LyondellBasell Industries NV Class A 7,138,834 469,164
  International Paper Co. 11,230,519 395,427
1 International Flavors & Fragrances Inc. 3,050,242 373,533
  FMC Corp. 3,692,519 367,849
  Nucor Corp. 8,605,055 356,335
  Celanese Corp. Class A 3,368,277 290,817
  RPM International Inc. 3,688,106 276,829
  Eastman Chemical Co. 3,873,502 269,751
1 Albemarle Corp. 3,034,639 234,305
  Royal Gold Inc. 1,870,705 232,566
  Reliance Steel & Aluminum Co. 1,814,983 172,296
  CF Industries Holdings Inc. 6,109,886 171,932
  Steel Dynamics Inc. 5,714,203 149,084
  Scotts Miracle-Gro Co. 1,103,717 148,417
* Axalta Coating Systems Ltd. 6,033,177 136,048
  Mosaic Co. 10,859,092 135,847
  Ashland Global Holdings Inc. 1,731,989 119,680
  Valvoline Inc. 5,279,738 102,057
  Huntsman Corp. 5,669,713 101,885
  NewMarket Corp. 249,037 99,734
  W R Grace & Co. 1,872,165 95,125
  Balchem Corp. 914,180 86,719
  UFP Industries Inc. 1,667,118 82,539
* Univar Solutions Inc. 4,793,205 80,813
  Chemours Co. 4,712,421 72,336
  Quaker Chemical Corp. 378,829 70,330
  Commercial Metals Co. 3,374,483 68,839
  PolyOne Corp. 2,618,894 68,694
* Element Solutions Inc. 6,044,997 65,588
  HB Fuller Co. 1,445,776 64,482
1 Cleveland-Cliffs Inc. 11,492,075 63,436
  Sensient Technologies Corp. 1,194,928 62,327
* Ingevity Corp. 1,159,390 60,949
  Cabot Corp. 1,616,065 59,875
* Alcoa Corp. 5,286,741 59,423
  Stepan Co. 566,928 55,049
  Innospec Inc. 704,460 54,420
  Olin Corp. 4,551,404 52,296
  Hecla Mining Co. 15,061,495 49,251
  Westlake Chemical Corp. 913,362 49,002
  Compass Minerals International Inc. 959,459 46,774
1 United States Steel Corp. 6,312,607 45,577
  Minerals Technologies Inc. 960,086 45,057
* Arconic Corp. 3,125,050 43,532
  Worthington Industries Inc. 1,003,291 37,423
  Materion Corp. 578,639 35,581
  Domtar Corp. 1,606,799 33,920
  Kaiser Aluminum Corp. 442,965 32,611
1

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Carpenter Technology Corp. 1,338,504 32,499
* GCP Applied Technologies Inc. 1,677,846 31,174
* Coeur Mining Inc. 6,130,070 31,141
  Schweitzer-Mauduit International Inc. 877,213 29,308
* Ferro Corp. 2,325,346 27,765
  Neenah Inc. 464,621 22,980
  Warrior Met Coal Inc. 1,462,508 22,508
  Chase Corp. 194,498 19,936
  P H Glatfelter Co. 1,229,327 19,731
  Tronox Holdings plc Class A 2,354,332 16,998
* Clearwater Paper Corp. 457,545 16,531
* PQ Group Holdings Inc. 1,176,972 15,583
  GrafTech International Ltd. 1,920,752 15,328
* Kraton Corp. 868,419 15,006
  Tredegar Corp. 846,997 13,044
  Schnitzer Steel Industries Inc. Class A 710,840 12,539
  Hawkins Inc. 280,320 11,936
  Arch Resources Inc. 397,750 11,300
* Koppers Holdings Inc. 583,279 10,989
  Verso Corp. Class A 896,856 10,726
  American Vanguard Corp. 779,242 10,722
  Omega Flex Inc. 97,647 10,331
* AdvanSix Inc. 834,522 9,797
* Century Aluminum Co. 1,364,694 9,730
  FutureFuel Corp. 731,582 8,742
  Haynes International Inc. 363,127 8,483
  SunCoke Energy Inc. 2,663,409 7,884
1 US Silica Holdings Inc. 2,092,484 7,554
  Gold Resource Corp. 1,828,458 7,515
  Kronos Worldwide Inc. 658,631 6,856
  Peabody Energy Corp. 1,924,636 5,543
*,1 Uranium Energy Corp. 5,431,157 4,767
* Ryerson Holding Corp. 841,613 4,738
* Rayonier Advanced Materials Inc. 1,616,669 4,543
* TimkenSteel Corp. 1,118,631 4,351
*,1 Energy Fuels Inc. 2,667,456 4,028
  Olympic Steel Inc. 302,343 3,553
  NACCO Industries Inc. Class A 151,945 3,540
* Resolute Forest Products Inc. 1,670,830 3,525
* Intrepid Potash Inc. 3,447,014 3,413
* CONSOL Energy Inc. 655,451 3,323
* AgroFresh Solutions Inc. 1,033,962 3,133
*,1 Marrone Bio Innovations Inc. 2,120,014 2,480
* Universal Stainless & Alloy Products Inc. 275,820 2,372
*,1 Ur-Energy Inc. 4,610,759 2,341
*,1 Synalloy Corp. 280,770 2,100
* Centrus Energy Corp. Class A 207,299 2,081
  Northern Technologies International Corp. 236,637 1,888
* Contura Energy Inc. 526,551 1,601
* Core Molding Technologies Inc. 379,867 1,565
* Ampco-Pittsburgh Corp. 420,452 1,291
  United-Guardian Inc. 60,506 894
* LSB Industries Inc. 681,035 790
* Finjan Holdings Inc. 417,164 642
  Friedman Industries Inc. 125,686 635
* Ramaco Resources Inc. 231,486 495
*,1 American Resources Corp. Class A 296,782 350
*,1 Hi-Crush Inc. 2,164,803 329
* General Moly Inc. 1,633,202 328
  Hallador Energy Co. 471,119 309
* United States Antimony Corp. 409,122 200
2

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Flexible Solutions International Inc. 86,857 177
  NL Industries Inc. 26,976 92
* US Gold Corp. 12,675 86
* Paramount Gold Nevada Corp. 65,976 82
* Golden Minerals Co. 87,820 38
* Solitario Zinc Corp. 107,374 34
            18,216,496
Consumer Goods (7.9%)
  Procter & Gamble Co. 70,566,225 8,437,604
  PepsiCo Inc. 39,549,628 5,230,834
  Coca-Cola Co. 110,173,647 4,922,559
* Tesla Inc. 4,229,915 4,567,505
  NIKE Inc. Class B 35,341,023 3,465,187
  Philip Morris International Inc. 44,382,314 3,109,425
  Mondelez International Inc. Class A 40,676,428 2,079,786
  Altria Group Inc. 52,973,357 2,079,204
  Colgate-Palmolive Co. 24,418,415 1,788,893
  Activision Blizzard Inc. 21,953,969 1,666,306
  Kimberly-Clark Corp. 9,707,615 1,372,171
  Estee Lauder Cos. Inc. Class A 5,765,907 1,087,911
* Electronic Arts Inc. 8,223,559 1,085,921
  General Mills Inc. 17,269,272 1,064,651
* Lululemon Athletica Inc. 3,365,218 1,049,982
  General Motors Co. 36,708,343 928,721
  Constellation Brands Inc. Class A 4,551,578 796,299
  Clorox Co. 3,589,313 787,388
* Monster Beverage Corp. 10,502,891 728,060
  Ford Motor Co. 111,432,603 677,510
  Stanley Black & Decker Inc. 4,553,227 634,629
  McCormick & Co. Inc. (Non-Voting) 3,522,940 632,051
  Archer-Daniels-Midland Co. 15,817,319 631,111
  Kraft Heinz Co. 19,160,140 611,017
  Aptiv plc 7,635,914 594,990
  Corteva Inc. 21,345,979 571,859
  Brown-Forman Corp. Class B 8,806,788 560,640
  Hershey Co. 4,202,299 544,702
  DR Horton Inc. 9,820,796 544,563
  Church & Dwight Co. Inc. 7,022,621 542,849
  VF Corp. 8,866,037 540,296
  Tyson Foods Inc. Class A 8,385,276 500,685
  Kellogg Co. 7,329,099 484,160
  Lennar Corp. Class A 7,734,862 476,622
  Conagra Brands Inc. 13,202,723 464,340
* Take-Two Interactive Software Inc. 3,245,772 453,012
  Tiffany & Co. 3,461,112 422,048
  Garmin Ltd. 4,084,918 398,280
  Hormel Foods Corp. 7,662,308 369,860
  Genuine Parts Co. 3,911,156 340,114
  J M Smucker Co. 3,091,864 327,150
* NVR Inc. 99,669 324,796
  Pool Corp. 1,079,453 293,471
  Keurig Dr Pepper Inc. 10,036,601 285,039
  Campbell Soup Co. 5,596,425 277,751
  Hasbro Inc. 3,705,326 277,714
  Lamb Weston Holdings Inc. 4,161,017 266,014
  Fortune Brands Home & Security Inc. 3,940,390 251,909
  PulteGroup Inc. 7,259,011 247,024
* Zynga Inc. Class A 24,527,964 233,997
  Whirlpool Corp. 1,774,489 229,850
  BorgWarner Inc. 5,898,785 208,227
3

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* LKQ Corp. 7,810,304 204,630
  Lear Corp. 1,702,808 185,640
  Gentex Corp. 6,958,023 179,308
  Newell Brands Inc. 10,909,741 173,247
  Molson Coors Beverage Co. Class B 5,031,698 172,889
*,1 Beyond Meat Inc. 1,245,757 166,907
* Mohawk Industries Inc. 1,637,820 166,665
  Thor Industries Inc. 1,497,218 159,499
  Bunge Ltd. 3,864,916 158,964
* Deckers Outdoor Corp. 798,738 156,864
  Polaris Inc. 1,662,508 153,865
* Post Holdings Inc. 1,753,287 153,623
  Ingredion Inc. 1,805,281 149,838
* Helen of Troy Ltd. 719,643 135,696
* Boston Beer Co. Inc. Class A 248,050 133,116
  Leggett & Platt Inc. 3,786,121 133,082
* US Foods Holding Corp. 6,302,194 124,279
* Herbalife Nutrition Ltd. 2,747,195 123,569
* Skechers U.S.A. Inc. Class A 3,889,239 122,044
  Flowers Foods Inc. 5,112,830 114,323
* Darling Ingredients Inc. 4,592,186 113,060
  Hanesbrands Inc. 9,939,126 112,213
  Toll Brothers Inc. 3,255,767 106,105
  Tapestry Inc. 7,908,204 105,021
  Harley-Davidson Inc. 4,353,941 103,493
* Tempur Sealy International Inc. 1,399,404 100,687
  Carter's Inc. 1,240,080 100,074
  PVH Corp. 2,031,573 97,617
* Fox Factory Holding Corp. 1,174,449 97,021
*,1 Mattel Inc. 9,922,977 95,955
* YETI Holdings Inc. 2,237,069 95,590
  Ralph Lauren Corp. Class A 1,295,877 93,977
* Freshpet Inc. 1,095,090 91,615
  Lancaster Colony Corp. 546,710 84,735
  Energizer Holdings Inc. 1,766,824 83,906
  LCI Industries 682,912 78,521
* Meritage Homes Corp. 1,022,675 77,846
  WD-40 Co. 386,532 76,649
  KB Home 2,454,522 75,305
* Hain Celestial Group Inc. 2,327,571 73,342
* TreeHouse Foods Inc. 1,600,687 70,110
  Columbia Sportswear Co. 848,239 68,351
* Taylor Morrison Home Corp. Class A 3,523,326 67,965
* Crocs Inc. 1,822,606 67,108
  Sanderson Farms Inc. 569,353 65,982
*,1 iRobot Corp. 758,988 63,679
* Capri Holdings Ltd. 3,995,368 62,448
  Winnebago Industries Inc. 908,873 60,549
  Primo Water Corp. 4,354,207 59,870
  Goodyear Tire & Rubber Co. 6,684,731 59,795
  Nu Skin Enterprises Inc. Class A 1,493,101 57,081
  Steven Madden Ltd. 2,261,753 55,843
* Visteon Corp. 797,471 54,627
* TRI Pointe Group Inc. 3,712,583 54,538
  Spectrum Brands Holdings Inc. 1,177,564 54,050
  J & J Snack Foods Corp. 423,953 53,897
* LGI Homes Inc. 609,128 53,622
* Under Armour Inc. Class A 5,487,152 53,445
* Dorman Products Inc. 787,500 52,818
  Wolverine World Wide Inc. 2,188,699 52,113
  Reynolds Consumer Products Inc. 1,495,024 51,937
4

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  MDC Holdings Inc. 1,448,891 51,725
  Dana Inc. 4,127,035 50,309
* Under Armour Inc. Class C 5,553,056 49,089
* Cavco Industries Inc. 250,360 48,282
* Edgewell Personal Care Co. 1,539,211 47,962
  Callaway Golf Co. 2,670,516 46,761
1 B&G Foods Inc. 1,815,371 44,259
* Fitbit Inc. Class A 6,810,596 43,996
  Medifast Inc. 310,742 43,122
* Hostess Brands Inc. Class A 3,399,480 41,542
* Knowles Corp. 2,631,959 40,164
  Herman Miller Inc. 1,670,474 39,440
  Cooper Tire & Rubber Co. 1,415,075 39,070
  Vector Group Ltd. 3,735,676 37,581
  HNI Corp. 1,224,680 37,438
* Glu Mobile Inc. 3,997,200 37,054
* Gentherm Inc. 940,475 36,584
  Sturm Ruger & Co. Inc. 465,515 35,379
* Cal-Maine Foods Inc. 792,113 35,233
  La-Z-Boy Inc. 1,293,616 35,005
* Skyline Champion Corp. 1,428,348 34,766
* Delphi Technologies plc 2,444,867 34,742
  Coty Inc. Class A 7,711,368 34,470
* Central Garden & Pet Co. Class A 1,013,334 34,241
* Sonos Inc. 2,340,409 34,240
  Acushnet Holdings Corp. 960,718 33,423
* Smith & Wesson Brands Inc. 1,490,049 32,066
* American Woodmark Corp. 420,824 31,835
* Sleep Number Corp. 761,164 31,695
  Calavo Growers Inc. 486,268 30,591
* Malibu Boats Inc. Class A 576,631 29,956
  Coca-Cola Consolidated Inc. 130,483 29,905
  Universal Corp. 678,267 28,833
* M/I Homes Inc. 820,220 28,248
  Steelcase Inc. Class A 2,187,085 26,376
1 Kontoor Brands Inc. 1,469,909 26,179
  Lennar Corp. Class B 556,529 25,650
* Century Communities Inc. 824,395 25,276
1 Camping World Holdings Inc. Class A 910,481 24,729
* USANA Health Sciences Inc. 330,329 24,256
* Pilgrim's Pride Corp. 1,407,788 23,778
* Vista Outdoor Inc. 1,591,559 22,998
  Inter Parfums Inc. 472,115 22,732
* American Axle & Manufacturing Holdings Inc. 2,985,340 22,689
* BellRing Brands Inc. Class A 1,110,314 22,140
* elf Beauty Inc. 1,159,932 22,120
  Standard Motor Products Inc. 533,613 21,985
1 Levi Strauss & Co. Class A 1,583,870 21,224
  John B Sanfilippo & Son Inc. 245,273 20,929
*,1 National Beverage Corp. 337,733 20,608
  Seaboard Corp. 6,880 20,185
  Fresh Del Monte Produce Inc. 792,667 19,515
  Oxford Industries Inc. 438,601 19,303
  ACCO Brands Corp. 2,664,348 18,917
  Knoll Inc. 1,416,742 17,270
*,1 GoPro Inc. Class A 3,447,520 16,410
1 Tootsie Roll Industries Inc. 466,941 16,002
* G-III Apparel Group Ltd. 1,189,195 15,804
* Stoneridge Inc. 724,796 14,974
  Signet Jewelers Ltd. 1,425,518 14,640
* Universal Electronics Inc. 309,849 14,507
5

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  MGP Ingredients Inc. 383,209 14,066
  Interface Inc. Class A 1,683,601 13,705
* Central Garden & Pet Co. 375,601 13,518
  Johnson Outdoors Inc. Class A 143,760 13,085
  National Presto Industries Inc. 145,765 12,738
  Kimball International Inc. Class B 1,009,180 11,666
  Andersons Inc. 833,173 11,464
* Tenneco Inc. Class A 1,464,804 11,074
*,2 Lifevantage Corp. 792,935 10,721
*,1 Motorcar Parts of America Inc. 584,271 10,324
* MasterCraft Boat Holdings Inc. 529,487 10,087
  Alico Inc. 317,747 9,901
*,1 Celsius Holdings Inc. 760,229 8,948
  Limoneira Co. 593,312 8,597
  Clarus Corp. 716,229 8,294
  Ethan Allen Interiors Inc. 692,745 8,195
*,1 Veru Inc. 2,435,099 8,133
* Beazer Homes USA Inc. 792,006 7,976
* Green Brick Partners Inc. 661,222 7,835
*,1 Lovesac Co. 297,476 7,803
*,1 Nautilus Inc. 817,099 7,575
  Hooker Furniture Corp. 377,372 7,340
*,1 Akoustis Technologies Inc. 879,110 7,288
  Oil-Dri Corp. of America 209,425 7,267
*,1 XPEL Inc. 430,919 6,740
* Seneca Foods Corp. Class A 197,843 6,689
1 Tupperware Brands Corp. 1,371,793 6,516
  Rocky Brands Inc. 309,693 6,367
* Cooper-Standard Holdings Inc. 468,855 6,212
* Fossil Group Inc. 1,295,446 6,024
* Unifi Inc. 465,553 5,996
* Landec Corp. 740,154 5,892
1 Turning Point Brands Inc. 222,195 5,535
*,1 GrowGeneration Corp. 806,556 5,517
* Craft Brew Alliance Inc. 344,815 5,307
*,1 Turtle Beach Corp. 346,228 5,096
* US Auto Parts Network Inc. 577,382 5,000
  Movado Group Inc. 443,817 4,811
*,1 New Age Beverages Corp. 3,096,562 4,738
*,1 Lakeland Industries Inc. 206,607 4,634
  Weyco Group Inc. 193,893 4,186
* Farmer Bros Co. 543,382 3,988
  Superior Group of Cos. Inc. 281,058 3,766
*,1 Funko Inc. Class A 585,723 3,397
*,1 Arcimoto Inc. 627,149 3,336
*,1 VOXX International Corp. Class A 558,673 3,229
* Hovnanian Enterprises Inc. Class A 136,508 3,193
  Culp Inc. 360,480 3,104
  Escalade Inc. 203,212 2,837
*,1 22nd Century Group Inc. 3,650,521 2,790
  Marine Products Corp. 201,101 2,785
* Vera Bradley Inc. 617,233 2,741
  Flexsteel Industries Inc. 205,657 2,597
* Delta Apparel Inc. 211,648 2,565
*,1 Casper Sleep Inc. 282,181 2,531
* Legacy Housing Corp. 175,028 2,489
  Strattec Security Corp. 154,397 2,461
* Nature's Sunshine Products Inc. 272,379 2,454
*,1 ZAGG Inc. 780,631 2,451
  Hamilton Beach Brands Holding Co. Class A 192,248 2,288
  Ocean Bio-Chem Inc. 149,450 2,085
6

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Lifetime Brands Inc. 304,548 2,047
*,1 Eastman Kodak Co. 882,036 1,967
  Bassett Furniture Industries Inc. 259,296 1,906
*,1 Revlon Inc. Class A 177,613 1,758
  Acme United Corp. 74,339 1,708
*,1 Vuzix Corp. 699,898 1,673
*,1 Alkaline Water Co. Inc. 1,103,203 1,578
* Natural Alternatives International Inc. 213,596 1,470
*,1 cbdMD Inc. 678,500 1,296
* S&W Seed Co. 431,256 983
  Kewaunee Scientific Corp. 97,556 906
* Bridgford Foods Corp. 52,027 862
* Shiloh Industries Inc. 465,350 754
  Superior Industries International Inc. 435,941 741
  Rocky Mountain Chocolate Factory Inc. 162,623 691
* Coffee Holding Co. Inc. 230,234 686
* Reed's Inc. 681,674 653
* Arcadia Biosciences Inc. 165,644 623
  Crown Crafts Inc. 123,894 605
* RiceBran Technologies 695,111 576
  Mannatech Inc. 37,357 553
*,1 Youngevity International Inc. 363,755 520
* Vince Holding Corp. 85,346 474
* New Home Co. Inc. 136,011 457
* Charles & Colvard Ltd. 609,632 445
* Willamette Valley Vineyards Inc. 66,863 405
* LS Starrett Co. Class A 85,681 290
* Greenlane Holdings Inc. Class A 56,000 223
*,1 JAKKS Pacific Inc. 260,169 213
  Jerash Holdings US Inc. 41,854 204
*,1 Sequential Brands Group Inc. 860,887 181
  CompX International Inc. 12,502 173
* Zedge Inc. Class B 81,694 121
* Lifeway Foods Inc. 43,222 99
  P&F Industries Inc. Class A 19,462 97
* Unique Fabricating Inc. 26,466 84
* Hovnanian Enterprises Inc. Class B 772 18
* Cyanotech Corp. 600 1
            68,905,485
Consumer Services (14.0%)
* Amazon.com Inc. 12,084,402 33,338,690
  Home Depot Inc. 30,655,371 7,679,477
  Walt Disney Co. 51,482,023 5,740,760
* Netflix Inc. 12,536,027 5,704,394
  Comcast Corp. Class A 129,812,324 5,060,084
  Walmart Inc. 40,386,945 4,837,548
  McDonald's Corp. 21,188,546 3,908,651
  Costco Wholesale Corp. 12,586,759 3,816,431
  Lowe's Cos. Inc. 21,517,378 2,907,428
  Starbucks Corp. 33,290,739 2,449,866
  CVS Health Corp. 37,254,225 2,420,407
* Charter Communications Inc. Class A 4,117,896 2,100,292
* Booking Holdings Inc. 1,166,556 1,857,554
  Target Corp. 14,247,064 1,708,650
  TJX Cos. Inc. 30,725,484 1,553,481
  Dollar General Corp. 7,173,838 1,366,688
* Uber Technologies Inc. 32,125,913 998,473
  eBay Inc. 19,022,945 997,753
  Walgreens Boots Alliance Inc. 21,251,558 900,854
* O'Reilly Automotive Inc. 2,115,601 892,086
7

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Ross Stores Inc. 10,128,355 863,341
* Chipotle Mexican Grill Inc. Class A 794,160 835,742
  Sysco Corp. 13,740,777 751,071
* AutoZone Inc. 665,548 750,818
  Yum! Brands Inc. 8,583,294 745,974
  Kroger Co. 21,283,736 720,454
  McKesson Corp. 4,619,790 708,768
* Dollar Tree Inc. 6,761,343 626,641
  Marriott International Inc. Class A 6,923,726 593,571
  Hilton Worldwide Holdings Inc. 7,908,739 580,897
  Best Buy Co. Inc. 6,624,322 578,105
  Southwest Airlines Co. 16,813,882 574,699
* Liberty Broadband Corp. Class C 4,606,891 571,070
1 Delta Air Lines Inc. 18,194,213 510,348
* Copart Inc. 6,019,736 501,263
  Las Vegas Sands Corp. 10,896,868 496,243
* Trade Desk Inc. Class A 1,166,927 474,356
  Tractor Supply Co. 3,299,292 434,814
* CarMax Inc. 4,646,729 416,115
  Domino's Pizza Inc. 1,115,554 412,130
  AmerisourceBergen Corp. Class A 4,052,366 408,357
* Burlington Stores Inc. 1,877,473 369,731
  ViacomCBS Inc. Class B 15,594,041 363,653
* Etsy Inc. 3,381,026 359,166
  FactSet Research Systems Inc. 1,078,640 354,301
*,1 Wayfair Inc. Class A 1,737,706 343,388
* Roku Inc. Class A 2,903,450 338,339
  Omnicom Group Inc. 6,117,039 333,990
* Peloton Interactive Inc. Class A 5,581,635 322,451
  Expedia Group Inc. 3,867,091 317,875
* Ulta Beauty Inc. 1,527,284 310,680
  Darden Restaurants Inc. 3,673,135 278,313
  Cable One Inc. 153,578 272,578
* United Airlines Holdings Inc. 7,856,036 271,897
  Advance Auto Parts Inc. 1,868,826 266,214
  Fox Corp. Class A 9,416,594 252,553
*,1 DraftKings Inc. Class A 7,532,055 250,516
1 Royal Caribbean Cruises Ltd. 4,781,405 240,505
* DISH Network Corp. Class A 6,928,462 239,101
*,1 Carvana Co. Class A 1,974,868 237,379
* Chegg Inc. 3,356,516 225,759
1 Carnival Corp. 13,697,246 224,909
  MGM Resorts International 12,653,459 212,578
  Vail Resorts Inc. 1,146,864 208,901
  Wynn Resorts Ltd. 2,778,242 206,951
* Bright Horizons Family Solutions Inc. 1,721,049 201,707
* Lyft Inc. Class A 5,958,110 196,677
  Interpublic Group of Cos. Inc. 11,132,702 191,037
*,1 Caesars Entertainment Corp. 15,631,744 189,613
  Service Corp. International 4,815,508 187,275
1 American Airlines Group Inc. 14,198,889 185,580
* Grubhub Inc. 2,628,312 184,770
1 Sirius XM Holdings Inc. 31,220,735 183,266
* Altice USA Inc. Class A 8,065,756 181,802
  Williams-Sonoma Inc. 2,206,697 180,971
  New York Times Co. Class A 4,264,555 179,239
  Rollins Inc. 4,209,137 178,425
* Live Nation Entertainment Inc. 3,987,567 176,769
* Discovery Inc. Class C 9,007,255 173,480
* Liberty Media Corp.-Liberty Formula One Class C 5,377,801 170,530
* Five Below Inc. 1,583,111 169,250
8

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  News Corp. Class A 13,851,375 164,277
  Casey's General Stores Inc. 1,050,710 157,102
  Dunkin' Brands Group Inc. 2,344,062 152,903
* Floor & Decor Holdings Inc. Class A 2,639,705 152,179
  Nielsen Holdings plc 10,187,373 151,384
* Ollie's Bargain Outlet Holdings Inc. 1,549,231 151,282
* Liberty Media Corp.-Liberty SiriusXM Class C 4,322,292 148,903
* IAA Inc. 3,825,991 147,569
  Aramark 6,499,551 146,695
* BJ's Wholesale Club Holdings Inc. 3,926,136 146,327
* Planet Fitness Inc. Class A 2,286,933 138,520
* SiteOne Landscape Supply Inc. 1,186,085 135,178
* ServiceMaster Global Holdings Inc. 3,775,818 134,759
  Fox Corp. Class B 4,856,211 130,341
  Churchill Downs Inc. 954,895 127,144
  Alaska Air Group Inc. 3,500,178 126,916
* Grand Canyon Education Inc. 1,353,142 122,500
*,1 Norwegian Cruise Line Holdings Ltd. 7,340,211 120,600
  Wingstop Inc. 839,872 116,717
  Dolby Laboratories Inc. Class A 1,732,415 114,114
  Wyndham Hotels & Resorts Inc. 2,667,569 113,692
*,1 Penn National Gaming Inc. 3,682,200 112,454
  Wendy's Co. 5,093,662 110,940
* Performance Food Group Co. 3,787,477 110,367
* RH 440,011 109,519
* frontdoor Inc. 2,416,708 107,133
* Qurate Retail Inc. Class A 11,029,705 104,782
  Nexstar Media Group Inc. Class A 1,230,482 102,979
  Gap Inc. 8,013,118 101,126
  Texas Roadhouse Inc. Class A 1,877,246 98,687
  Strategic Education Inc. 635,645 97,667
*,1 Discovery Inc. Class A 4,514,344 95,253
  L Brands Inc. 6,334,230 94,823
*,1 Eldorado Resorts Inc. 2,335,729 93,569
  Kohl's Corp. 4,451,150 92,450
  Lithia Motors Inc. Class A 595,510 90,119
* Murphy USA Inc. 790,856 89,043
  Aaron's Inc. 1,920,738 87,202
  Foot Locker Inc. 2,987,157 87,106
* Sprouts Farmers Market Inc. 3,359,229 85,963
  Morningstar Inc. 605,634 85,376
* Grocery Outlet Holding Corp. 2,084,728 85,057
* Stamps.com Inc. 461,691 84,808
* AutoNation Inc. 2,239,071 84,144
* JetBlue Airways Corp. 7,717,385 84,120
  Marriott Vacations Worldwide Corp. 999,184 82,143
  Choice Hotels International Inc. 1,023,995 80,793
* Liberty Media Corp.-Liberty SiriusXM Class A 2,293,064 79,157
  H&R Block Inc. 5,497,476 78,504
* Madison Square Garden Sports Corp. 529,245 77,741
  Cracker Barrel Old Country Store Inc. 685,261 76,002
  AMERCO 250,450 75,684
* LiveRamp Holdings Inc. 1,780,599 75,622
*,1 Chewy Inc. Class A 1,684,344 75,273
  Dick's Sporting Goods Inc. 1,750,385 72,221
  Papa John's International Inc. 879,284 69,824
  TEGNA Inc. 6,183,489 68,884
* National Vision Holdings Inc. 2,255,877 68,849
  Wyndham Destinations Inc. 2,441,128 68,791
* 2U Inc. 1,729,522 65,653
*,1 Warner Music Group Corp. Class A 2,209,636 65,184
9

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Sabre Corp. 7,866,104 63,401
1 Macy's Inc. 8,867,134 61,006
* Cargurus Inc. Class A 2,404,390 60,951
  World Wrestling Entertainment Inc. Class A 1,318,447 57,287
*,1 Shake Shack Inc. Class A 1,041,833 55,196
  TripAdvisor Inc. 2,788,503 53,009
  Extended Stay America Inc. 4,587,068 51,329
  KAR Auction Services Inc. 3,687,808 50,744
  Hyatt Hotels Corp. Class A 1,005,525 50,568
  Monro Inc. 896,738 49,267
1 Nordstrom Inc. 3,148,950 48,777
* Cardlytics Inc. 693,686 48,544
  Jack in the Box Inc. 647,531 47,976
  John Wiley & Sons Inc. Class A 1,219,813 47,573
* Hilton Grand Vacations Inc. 2,413,009 47,174
  Big Lots Inc. 1,120,790 47,073
  Boyd Gaming Corp. 2,189,289 45,756
1 American Eagle Outfitters Inc. 4,196,187 45,738
* Yelp Inc. Class A 1,976,212 45,710
* Simply Good Foods Co. 2,432,210 45,190
  Six Flags Entertainment Corp. 2,299,824 44,180
  SkyWest Inc. 1,346,127 43,911
*,1 Spirit Airlines Inc. 2,461,886 43,822
  PriceSmart Inc. 711,263 42,911
* Madison Square Garden Entertainment Corp. 561,075 42,081
* Adtalem Global Education Inc. 1,340,869 41,768
* Sally Beauty Holdings Inc. 3,235,410 40,540
* Asbury Automotive Group Inc. 520,033 40,214
1 Allegiant Travel Co. Class A 361,610 39,491
  Graham Holdings Co. Class B 113,010 38,725
  Rent-A-Center Inc. 1,386,844 38,582
  Rush Enterprises Inc. Class A 891,149 36,947
1 Bed Bath & Beyond Inc. 3,451,563 36,587
*,1 Stitch Fix Inc. Class A 1,454,942 36,286
  Office Depot Inc. 15,072,927 35,421
  Penske Automotive Group Inc. 894,709 34,634
* Vroom Inc. 659,957 34,410
*,1 Avis Budget Group Inc. 1,494,662 34,213
* WW International Inc. 1,340,528 34,023
  Cinemark Holdings Inc. 2,870,121 33,150
* Gray Television Inc. 2,369,962 33,061
  Group 1 Automotive Inc. 496,268 32,739
* Upwork Inc. 2,255,306 32,567
  Core-Mark Holding Co. Inc. 1,271,829 31,739
* Overstock.com Inc. 1,106,582 31,460
* Laureate Education Inc. Class A 3,065,676 30,549
* Perdoceo Education Corp. 1,902,164 30,302
* Liberty Broadband Corp. Class A 246,633 30,136
  Brinker International Inc. 1,252,770 30,067
* K12 Inc. 1,093,894 29,798
* Digital Turbine Inc. 2,249,327 28,274
1 Sinclair Broadcast Group Inc. Class A 1,523,338 28,121
* United Natural Foods Inc. 1,512,842 27,549
1 Cheesecake Factory Inc. 1,168,028 26,771
* Urban Outfitters Inc. 1,688,914 25,705
*,1 Rite Aid Corp. 1,493,922 25,486
* Scientific Games Corp. 1,607,946 24,859
* Liberty Media Corp.-Liberty Formula One Class A 850,357 24,813
* AMC Networks Inc. Class A 1,044,995 24,442
  Bloomin' Brands Inc. 2,276,900 24,272
*,1 ANGI Homeservices Inc. Class A 1,952,083 23,718
10

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Selectquote Inc. 934,998 23,684
  Weis Markets Inc. 466,563 23,384
* SeaWorld Entertainment Inc. 1,447,131 21,432
* Liberty Media Corp.-Liberty Braves Class C 1,042,261 20,574
  Red Rock Resorts Inc. Class A 1,877,119 20,479
  SpartanNash Co. 943,720 20,054
1 PetMed Express Inc. 551,563 19,658
  Sonic Automotive Inc. Class A 602,365 19,221
* TechTarget Inc. 636,531 19,115
  Abercrombie & Fitch Co. Class A 1,789,315 19,038
  Dine Brands Global Inc. 449,725 18,933
* Rubicon Project Inc. 2,743,627 18,300
  Scholastic Corp. 610,102 18,266
1 Dave & Buster's Entertainment Inc. 1,365,181 18,198
  Hawaiian Holdings Inc. 1,288,966 18,097
* Lions Gate Entertainment Corp. Class B 2,638,789 18,023
* EverQuote Inc. Class A 308,162 17,923
* Boot Barn Holdings Inc. 823,525 17,755
*,1 RealReal Inc. 1,381,861 17,674
*,1 Accel Entertainment Inc. 1,813,010 17,459
  Ingles Markets Inc. Class A 402,369 17,330
  Matthews International Corp. Class A 850,775 16,250
* Sportsman's Warehouse Holdings Inc. 1,138,601 16,225
*,1 Lions Gate Entertainment Corp. Class A 2,144,468 15,891
  Meredith Corp. 1,091,314 15,879
* Zumiez Inc. 575,081 15,746
* Denny's Corp. 1,517,253 15,324
*,1 Michaels Cos. Inc. 2,157,408 15,253
* America's Car-Mart Inc. 168,194 14,779
1 Franchise Group Inc. 673,566 14,738
* Quotient Technology Inc. 1,973,065 14,443
1 Children's Place Inc. 385,515 14,426
* QuinStreet Inc. 1,303,122 13,631
*,1 iHeartMedia Inc. Class A 1,624,773 13,567
* 1-800-Flowers.com Inc. Class A 674,765 13,509
* BrightView Holdings Inc. 1,202,066 13,463
*,1 Vivint Smart Home Inc. 776,300 13,453
* MarineMax Inc. 595,827 13,341
* Monarch Casino & Resort Inc. 384,332 13,098
* SP Plus Corp. 628,858 13,024
  EW Scripps Co. Class A 1,478,806 12,940
  BJ's Restaurants Inc. 613,730 12,852
* American Public Education Inc. 432,743 12,809
1 Buckle Inc. 801,888 12,574
*,1 Groupon Inc. Class A 687,718 12,461
* Chefs' Warehouse Inc. 902,890 12,261
  Designer Brands Inc. Class A 1,752,178 11,862
* MSG Networks Inc. Class A 1,189,509 11,836
  Winmark Corp. 67,877 11,623
* Lumber Liquidators Holdings Inc. 787,021 10,908
  Viad Corp. 569,244 10,827
* Clear Channel Outdoor Holdings Inc. 10,163,212 10,570
* Cars.com Inc. 1,820,148 10,484
* Hibbett Sports Inc. 497,904 10,426
  Guess? Inc. 1,063,566 10,285
*,1 At Home Group Inc. 1,510,035 9,800
*,1 HF Foods Group Inc. 1,079,144 9,766
  Twin River Worldwide Holdings Inc. 432,812 9,647
  Caleres Inc. 1,114,907 9,298
  Collectors Universe Inc. 263,597 9,036
* Clean Energy Fuels Corp. 3,934,637 8,735
11

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Carriage Services Inc. Class A 475,058 8,608
* Genesco Inc. 387,551 8,394
  Marcus Corp. 630,851 8,371
  Systemax Inc. 402,152 8,260
  News Corp. Class B 658,934 7,874
* Titan Machinery Inc. 704,565 7,652
*,1 GameStop Corp. Class A 1,726,742 7,494
  Shoe Carnival Inc. 243,919 7,140
* TrueCar Inc. 2,755,353 7,109
*,1 Revolve Group Inc. Class A 471,012 6,999
* Chuy's Holdings Inc. 468,760 6,975
* El Pollo Loco Holdings Inc. 471,635 6,961
  Ruth's Hospitality Group Inc. 852,074 6,953
  Village Super Market Inc. Class A 247,358 6,857
*,1 Daily Journal Corp. 25,274 6,824
1 AMC Entertainment Holdings Inc. Class A 1,521,097 6,526
  Haverty Furniture Cos. Inc. 402,249 6,436
* Universal Technical Institute Inc. 879,658 6,114
* Aspen Group Inc. 665,010 6,018
  National CineMedia Inc. 2,007,893 5,963
* Boston Omaha Corp. Class A 370,603 5,930
  Nathan's Famous Inc. 105,338 5,924
  Citi Trends Inc. 286,431 5,792
* Liquidity Services Inc. 970,270 5,783
* Noodles & Co. Class A 940,036 5,687
* Liberty Media Corp.-Liberty Braves Class A 280,496 5,632
*,1 Waitr Holdings Inc. 2,136,937 5,620
* Houghton Mifflin Harcourt Co. 3,097,144 5,606
* Regis Corp. 652,761 5,340
* comScore Inc. 1,720,013 5,332
  Wayside Technology Group Inc. 204,596 5,258
  Cato Corp. Class A 595,368 4,870
1 Dillard's Inc. Class A 187,056 4,824
* Lindblad Expeditions Holdings Inc. 610,468 4,713
* Carrols Restaurant Group Inc. 972,026 4,705
* Hemisphere Media Group Inc. Class A 472,660 4,646
  Entercom Communications Corp. Class A 3,356,559 4,632
  Chico's FAS Inc. 3,330,225 4,596
* Fiesta Restaurant Group Inc. 713,508 4,552
  Gannett Co. Inc. 3,294,405 4,546
* Golden Entertainment Inc. 485,967 4,335
  Tilly's Inc. Class A 754,341 4,277
* MDC Partners Inc. Class A 1,952,546 4,061
* Gaia Inc. Class A 482,474 4,043
* Liberty TripAdvisor Holdings Inc. Class A 1,852,182 3,945
  Natural Grocers by Vitamin Cottage Inc. 261,649 3,893
*,1 Alta Equipment Group Inc. 496,300 3,856
*,1 Party City Holdco Inc. 2,542,218 3,788
*,1 Conn's Inc. 368,611 3,719
  RCI Hospitality Holdings Inc. 258,506 3,583
*,1 Red Robin Gourmet Burgers Inc. 349,374 3,564
*,1 A-Mark Precious Metals Inc. 184,872 3,522
*,1 Hertz Global Holdings Inc. 2,480,357 3,497
  Tribune Publishing Co. 348,497 3,482
*,1 Drive Shack Inc. 1,829,837 3,385
* Mesa Air Group Inc. 934,774 3,216
  Saga Communications Inc. Class A 118,530 3,034
*,1 Blink Charging Co. 521,114 2,960
* Express Inc. 1,921,945 2,960
* OneWater Marine Inc. Class A 114,173 2,772
* PlayAGS Inc. 798,443 2,699
12

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* J Alexander's Holdings Inc. Class A 546,582 2,689
* Century Casinos Inc. 599,954 2,490
* Envela Corp. 406,268 2,478
* Zovio Inc. Class A 809,284 2,476
* TravelCenters of America Inc. 154,862 2,385
*,1 Duluth Holdings Inc. Class B 311,560 2,296
* Reading International Inc. Class A 532,243 2,262
* Lands' End Inc. 272,581 2,192
*,1 Blue Apron Holdings Inc. Class A 194,549 2,158
*,1 LiveXLive Media Inc. 585,301 2,119
  Emerald Holding Inc. 654,750 2,017
* Kura Sushi USA Inc. Class A 136,273 1,946
  Entravision Communications Corp. Class A 1,328,107 1,899
* Fluent Inc. 1,032,518 1,838
*,1 Container Store Group Inc. 563,280 1,825
*,1 Cumulus Media Inc. Class A 451,713 1,784
*,1 Leaf Group Ltd. 432,519 1,587
*,1 Marchex Inc. Class B 968,568 1,530
* Barnes & Noble Education Inc. 954,599 1,527
* Biglari Holdings Inc. Class A 4,283 1,435
*,1 Lee Enterprises Inc. 1,439,334 1,411
*,1 Red Lion Hotels Corp. 544,100 1,268
1 Tailored Brands Inc. 1,333,636 1,251
*,1 GNC Holdings Inc. Class A 2,187,089 1,203
*,1 Net Element Inc. 135,845 1,183
  Educational Development Corp. 122,697 1,180
* Urban One Inc. 614,875 1,174
*,1 Potbelly Corp. 502,785 1,146
1 Big 5 Sporting Goods Corp. 576,882 1,119
  Townsquare Media Inc. Class A 239,377 1,070
* Full House Resorts Inc. 803,159 1,068
  Value Line Inc. 36,763 992
* Albertsons Cos. Inc. Class A 62,913 992
*,1 Chicken Soup For The Soul Entertainment Inc. Class A 131,647 910
* Travelzoo 153,651 867
* Biglari Holdings Inc. Class B 12,371 853
* Build-A-Bear Workshop Inc. 380,602 830
* iMedia Brands Inc. 229,675 797
* RealNetworks Inc. 585,135 761
* FlexShopper Inc. 424,874 739
  Beasley Broadcast Group Inc. Class A 297,756 724
*,1 Destination XL Group Inc. 1,098,835 715
* HyreCar Inc. 238,994 700
*,1 ONE Group Hospitality Inc. 398,718 650
  Ark Restaurants Corp. 42,422 526
*,1 SRAX Inc. Class A 204,105 516
  A H Belo Corp. Class A 270,109 467
* Good Times Restaurants Inc. 350,735 431
*,1 Kirkland's Inc. 153,618 416
* VistaGen Therapeutics Inc. 735,612 388
* BBQ Holdings Inc. 118,073 387
  Canterbury Park Holding Corp. 35,605 383
*,1 Dolphin Entertainment Inc. 427,208 372
* Mediaco Holding Inc. Class A 67,571 352
* Profire Energy Inc. 396,273 330
* Harte Hanks Inc. 104,139 317
* Tandy Leather Factory Inc. 93,624 313
*,1 Francesca's Holdings Corp. 81,140 312
  Rush Enterprises Inc. Class B 7,769 277
*,1 Ascena Retail Group Inc. 179,430 262
*,1 Monaker Group Inc. 129,486 253
13

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Salem Media Group Inc. Class A 220,213 249
*,1 Eastside Distilling Inc. 144,325 211
*,1 Stein Mart Inc. 499,303 210
* Lazydays Holdings Inc. 21,194 185
*,1 J. Jill Inc. 217,239 150
*,1 BioHiTech Global Inc. 50,469 127
* Luby's Inc. 81,695 118
* Rave Restaurant Group Inc. 135,922 102
* Town Sports International Holdings Inc. 157,546 85
*,1 RTW Retailwinds Inc. 260,051 52
*,1 FAT Brands Inc. 13,323 45
* SPAR Group Inc. 51,600 39
* Live Ventures Inc. 3,993 38
*,1,3 SRAX Inc. Rights 148,260 27
*,3 Universal Travel Group 42,843
  ODP Corp. 4,165
            122,597,390
Financials (16.2%)
* Berkshire Hathaway Inc. Class B 52,329,990 9,341,427
  Visa Inc. Class A 47,860,095 9,245,135
  Mastercard Inc. Class A 25,472,132 7,532,109
  JPMorgan Chase & Co. 76,899,506 7,233,168
  Bank of America Corp. 220,472,752 5,236,228
  American Tower Corp. 12,635,323 3,266,736
  Citigroup Inc. 59,313,875 3,030,939
  Wells Fargo & Co. 105,070,881 2,689,815
  S&P Global Inc. 6,864,142 2,261,598
  BlackRock Inc. 4,127,095 2,245,511
  Crown Castle International Corp. 11,878,330 1,987,839
  Prologis Inc. 21,049,031 1,964,506
  Goldman Sachs Group Inc. 9,799,847 1,936,646
  Equinix Inc. 2,522,814 1,771,772
  CME Group Inc. 10,221,092 1,661,336
  American Express Co. 17,202,607 1,637,688
  Morgan Stanley 33,673,479 1,626,429
  Marsh & McLennan Cos. Inc. 14,542,642 1,561,443
  Truist Financial Corp. 38,392,782 1,441,649
  Intercontinental Exchange Inc. 15,594,820 1,428,486
  US Bancorp 38,619,949 1,421,987
  Chubb Ltd. 10,935,369 1,384,636
  Progressive Corp. 16,681,994 1,336,395
  Aon plc Class A 6,586,184 1,268,499
  Moody's Corp. 4,540,279 1,247,351
  PNC Financial Services Group Inc. 11,481,511 1,207,970
  Charles Schwab Corp. 33,023,469 1,114,212
  Digital Realty Trust Inc. 7,647,478 1,086,783
  Blackstone Group Inc. Class A 19,088,089 1,081,531
  SBA Communications Corp. Class A 3,180,365 947,494
  Bank of New York Mellon Corp. 22,700,583 877,378
  Allstate Corp. 8,946,863 867,756
  Travelers Cos. Inc. 7,206,566 821,909
  Public Storage 4,231,380 811,960
  Capital One Financial Corp. 12,967,440 811,632
* CoStar Group Inc. 1,122,518 797,740
  IHS Markit Ltd. 10,226,315 772,087
  American International Group Inc. 24,540,722 765,180
  T. Rowe Price Group Inc. 6,157,894 760,500
  MSCI Inc. Class A 2,263,042 755,449
  Willis Towers Watson plc 3,672,013 723,203
  MetLife Inc. 19,364,489 707,191
14

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Aflac Inc. 19,418,618 699,653
  Prudential Financial Inc. 11,251,667 685,227
  Equity Residential 10,601,381 623,573
  AvalonBay Communities Inc. 4,010,317 620,155
  Welltower Inc. 11,898,829 615,764
  State Street Corp. 9,524,582 605,287
  Simon Property Group Inc. 8,713,507 595,830
  Alexandria Real Estate Equities Inc. 3,595,840 583,425
  Realty Income Corp. 9,786,184 582,278
  Arthur J Gallagher & Co. 5,412,161 527,632
  Ameriprise Financial Inc. 3,483,992 522,738
  First Republic Bank 4,877,132 516,927
  MarketAxess Holdings Inc. 1,027,127 514,508
  Weyerhaeuser Co. 21,285,128 478,064
1 KKR & Co. Inc. 15,152,494 467,909
  Northern Trust Corp. 5,641,789 447,620
  Invitation Homes Inc. 15,898,899 437,697
  Discover Financial Services 8,738,153 437,694
  Essex Property Trust Inc. 1,863,630 427,088
  Healthpeak Properties Inc. 15,372,134 423,656
  Broadridge Financial Solutions Inc. 3,271,622 412,846
* CBRE Group Inc. Class A 9,064,617 409,902
  Hartford Financial Services Group Inc. 10,222,285 394,069
  Fifth Third Bancorp 20,300,427 391,392
  Nasdaq Inc. 3,275,367 391,308
  Ventas Inc. 10,641,173 389,680
  Sun Communities Inc. 2,803,420 380,368
  Mid-America Apartment Communities Inc. 3,263,265 374,199
  Duke Realty Corp. 10,515,140 372,131
  Boston Properties Inc. 3,993,364 360,920
  M&T Bank Corp. 3,467,774 360,544
  Synchrony Financial 15,784,795 349,791
* Markel Corp. 373,664 344,955
  Extra Space Storage Inc. 3,681,469 340,057
  KeyCorp 27,721,808 337,652
  WP Carey Inc. 4,916,785 332,621
  Principal Financial Group Inc. 7,810,071 324,430
* SVB Financial Group 1,468,760 316,562
* Arch Capital Group Ltd. 10,980,832 314,601
  UDR Inc. 8,408,617 314,314
  E*TRADE Financial Corp. 6,304,954 313,545
  Equity LifeStyle Properties Inc. 4,931,062 308,093
  Citizens Financial Group Inc. 12,160,113 306,921
  Regions Financial Corp. 27,332,406 303,936
  Apollo Global Management Inc. Class A 5,875,951 293,327
  Cboe Global Markets Inc. 3,128,676 291,843
  Medical Properties Trust Inc. 15,054,702 283,028
  TD Ameritrade Holding Corp. 7,717,298 280,755
  Cincinnati Financial Corp. 4,369,186 279,759
  Brown & Brown Inc. 6,840,204 278,807
* Berkshire Hathaway Inc. Class A 1,041 278,259
  Annaly Capital Management Inc. 40,774,183 267,479
  Huntington Bancshares Inc. 28,910,721 261,208
  Camden Property Trust 2,837,058 258,796
  Western Union Co. 11,709,822 253,166
1 VICI Properties Inc. 12,357,403 249,496
  Fidelity National Financial Inc. 8,098,013 248,285
  RenaissanceRe Holdings Ltd. 1,412,934 241,654
  CyrusOne Inc. 3,277,514 238,439
  Everest Re Group Ltd. 1,140,335 235,137
  Loews Corp. 6,831,493 234,252
15

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Equitable Holdings Inc. 11,525,252 222,322
  Regency Centers Corp. 4,827,957 221,555
  W R Berkley Corp. 3,825,310 219,152
  Host Hotels & Resorts Inc. 20,073,002 216,588
1 Iron Mountain Inc. 8,223,648 214,637
  Ally Financial Inc. 10,637,524 210,942
  Raymond James Financial Inc. 3,057,384 210,440
  SEI Investments Co. 3,790,387 208,395
  Americold Realty Trust 5,699,675 206,898
  AGNC Investment Corp. 15,912,829 205,275
  Gaming and Leisure Properties Inc. 5,906,384 204,361
  Lincoln National Corp. 5,511,228 202,758
  Globe Life Inc. 2,730,835 202,710
  VEREIT Inc. 30,600,860 196,764
  American Homes 4 Rent Class A 7,275,015 195,698
  Kilroy Realty Corp. 3,286,342 192,908
  Omega Healthcare Investors Inc. 6,481,037 192,681
  Alleghany Corp. 387,414 189,500
  Vornado Realty Trust 4,879,741 186,455
  Federal Realty Investment Trust 2,152,760 183,437
  LPL Financial Holdings Inc. 2,242,168 175,786
  Assurant Inc. 1,695,471 175,125
*,1 Zillow Group Inc. Class C 3,015,596 173,728
  National Retail Properties Inc. 4,891,910 173,565
  Commerce Bancshares Inc. 2,853,937 169,724
  Voya Financial Inc. 3,606,077 168,223
  Healthcare Trust of America Inc. Class A 6,236,665 165,396
  Lamar Advertising Co. Class A 2,460,874 164,288
* Athene Holding Ltd. Class A 5,257,399 163,978
  Franklin Resources Inc. 7,760,539 162,738
  Apartment Investment & Management Co. Class A 4,253,045 160,085
  Zions Bancorp NA 4,663,305 158,552
  Signature Bank 1,453,308 155,388
  Jones Lang LaSalle Inc. 1,469,687 152,054
  Reinsurance Group of America Inc. 1,931,633 151,517
  Kimco Realty Corp. 11,745,053 150,806
  Comerica Inc. 3,946,343 150,356
  STORE Capital Corp. Class A 6,292,185 149,817
  CubeSmart 5,523,287 149,074
  Prosperity Bancshares Inc. 2,503,514 148,659
  Douglas Emmett Inc. 4,764,068 146,066
  East West Bancorp Inc. 4,014,095 145,471
  Rexford Industrial Realty Inc. 3,502,339 145,102
  First American Financial Corp. 3,013,629 144,714
  Invesco Ltd. 13,124,911 141,224
  People's United Financial Inc. 12,046,400 139,377
  First Industrial Realty Trust Inc. 3,624,910 139,342
  Erie Indemnity Co. Class A 724,566 139,044
1 Carlyle Group Inc. 4,982,378 139,008
  American Financial Group Inc. 2,167,138 137,527
  American Campus Communities Inc. 3,924,237 137,191
  Primerica Inc. 1,166,351 135,997
  Old Republic International Corp. 8,273,178 134,936
  EastGroup Properties Inc. 1,115,184 132,272
  CoreSite Realty Corp. 1,082,171 131,008
  Kemper Corp. 1,766,591 128,113
  New York Community Bancorp Inc. 12,533,934 127,846
  TCF Financial Corp. 4,330,074 127,391
  Life Storage Inc. 1,338,364 127,078
  Cousins Properties Inc. 4,207,450 125,508
  STAG Industrial Inc. 4,254,760 124,750
16

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Legg Mason Inc. 2,507,333 124,740
  Cullen/Frost Bankers Inc. 1,602,000 119,685
  Eaton Vance Corp. 3,075,450 118,712
  Tradeweb Markets Inc. Class A 2,038,229 118,503
*,1 Credit Acceptance Corp. 277,099 116,107
  Starwood Property Trust Inc. 7,604,684 113,766
  Healthcare Realty Trust Inc. 3,845,182 112,625
* Zillow Group Inc. Class A 1,957,051 112,491
  First Financial Bankshares Inc. 3,850,269 111,234
  Hudson Pacific Properties Inc. 4,385,728 110,345
1 QTS Realty Trust Inc. Class A 1,716,948 110,039
  Highwoods Properties Inc. 2,944,744 109,927
  Essent Group Ltd. 2,999,465 108,791
  Brixmor Property Group Inc. 8,434,137 108,126
  SL Green Realty Corp. 2,188,672 107,880
  JBG SMITH Properties 3,620,252 107,051
* Redfin Corp. 2,532,301 106,129
  Ares Management Corp. Class A 2,654,927 105,401
  Equity Commonwealth 3,262,418 105,050
1 Spirit Realty Capital Inc. 2,946,294 102,708
  United Bankshares Inc. 3,709,248 102,598
  Physicians Realty Trust 5,785,324 101,359
  Agree Realty Corp. 1,537,620 101,037
  Terreno Realty Corp. 1,912,753 100,687
* Cannae Holdings Inc. 2,441,932 100,363
  RLI Corp. 1,215,488 99,792
  Hanover Insurance Group Inc. 970,191 98,309
  Western Alliance Bancorp 2,591,306 98,133
  Glacier Bancorp Inc. 2,718,761 95,945
  Affiliated Managers Group Inc. 1,281,850 95,575
  South State Corp. 1,999,240 95,284
  Blackstone Mortgage Trust Inc. Class A 3,933,314 94,754
  Kinsale Capital Group Inc. 604,100 93,762
  Axis Capital Holdings Ltd. 2,291,265 92,934
  Rayonier Inc. 3,690,468 91,487
  Popular Inc. 2,421,754 90,017
  Janus Henderson Group plc 4,236,430 89,643
  Selective Insurance Group Inc. 1,696,400 89,468
  First Horizon National Corp. 8,948,720 89,129
  New Residential Investment Corp. 11,889,582 88,340
  Stifel Financial Corp. 1,851,073 87,796
  Interactive Brokers Group Inc. Class A 2,082,592 86,990
  Unum Group 5,215,004 86,517
  Pinnacle Financial Partners Inc. 2,057,306 86,386
  Valley National Bancorp 10,929,584 85,469
  Sabra Health Care REIT Inc. 5,888,033 84,964
  Community Bank System Inc. 1,479,620 84,368
  Radian Group Inc. 5,431,205 84,238
  Jefferies Financial Group Inc. 5,361,221 83,367
  Synovus Financial Corp. 4,004,514 82,213
  Bank OZK 3,492,531 81,970
  Lexington Realty Trust 7,736,579 81,621
  Lazard Ltd. Class A 2,844,294 81,432
  Corporate Office Properties Trust 3,191,253 80,866
  MGIC Investment Corp. 9,658,995 79,107
  Houlihan Lokey Inc. Class A 1,400,258 77,910
  PS Business Parks Inc. 587,869 77,834
  FirstCash Inc. 1,115,490 75,273
  SLM Corp. 10,689,789 75,149
  White Mountains Insurance Group Ltd. 84,605 75,127
* Brighthouse Financial Inc. 2,667,812 74,219
17

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  National Health Investors Inc. 1,217,899 73,951
  Webster Financial Corp. 2,562,729 73,320
  EPR Properties 2,197,128 72,791
  Wintrust Financial Corp. 1,632,030 71,189
  Bank of Hawaii Corp. 1,145,925 70,371
  FNB Corp. 9,197,279 68,980
  PotlatchDeltic Corp. 1,802,961 68,567
  CVB Financial Corp. 3,656,634 68,525
  UMB Financial Corp. 1,314,142 67,744
*,1 eHealth Inc. 686,649 67,456
  Umpqua Holdings Corp. 6,305,767 67,093
  Park Hotels & Resorts Inc. 6,675,632 66,022
  PacWest Bancorp 3,335,304 65,739
  Weingarten Realty Investors 3,470,135 65,690
  Sterling Bancorp 5,564,896 65,221
  Old National Bancorp 4,735,263 65,157
  Home BancShares Inc. 4,230,755 65,069
  BancorpSouth Bank 2,860,202 65,041
  IBERIABANK Corp. 1,421,516 64,736
*,1 LendingTree Inc. 223,275 64,645
  Federated Hermes Inc. Class B 2,714,748 64,340
  American Equity Investment Life Holding Co. 2,596,949 64,171
  CNO Financial Group Inc. 4,105,086 63,916
  First Hawaiian Inc. 3,691,541 63,642
  Taubman Centers Inc. 1,674,538 63,231
  Independent Bank Corp. 935,389 62,755
  Kennedy-Wilson Holdings Inc. 4,089,927 62,249
* Howard Hughes Corp. 1,172,382 60,905
  Piedmont Office Realty Trust Inc. Class A 3,630,519 60,303
  Associated Banc-Corp 4,352,819 59,547
  CIT Group Inc. 2,837,160 58,814
  Apple Hospitality REIT Inc. 6,070,970 58,646
  Washington Federal Inc. 2,176,340 58,413
  Evercore Inc. Class A 991,382 58,412
  Outfront Media Inc. 4,108,814 58,222
  Assured Guaranty Ltd. 2,363,333 57,689
  Columbia Banking System Inc. 2,030,169 57,545
  Cathay General Bancorp 2,167,315 57,000
  Hannon Armstrong Sustainable Infrastructure Capital Inc. 1,951,049 55,527
  Investors Bancorp Inc. 6,468,300 54,981
  Hamilton Lane Inc. Class A 802,652 54,075
  BankUnited Inc. 2,656,840 53,801
  Artisan Partners Asset Management Inc. Class A 1,648,826 53,587
  Brandywine Realty Trust 4,909,885 53,469
1 Chimera Investment Corp. 5,519,702 53,044
* Enstar Group Ltd. 347,118 53,029
  Virtu Financial Inc. Class A 2,244,414 52,968
1 Innovative Industrial Properties Inc. 601,392 52,935
  Washington REIT 2,369,942 52,613
  Atlantic Union Bankshares Corp. 2,266,593 52,494
  Hancock Whitney Corp. 2,465,177 52,262
  Uniti Group Inc. 5,552,657 51,917
  OneMain Holdings Inc. 2,109,316 51,763
  Pebblebrook Hotel Trust 3,744,016 51,143
  Pacific Premier Bancorp Inc. 2,341,838 50,771
* Palomar Holdings Inc. 588,901 50,504
  PennyMac Mortgage Investment Trust 2,880,142 50,489
* PRA Group Inc. 1,299,345 50,233
  Sunstone Hotel Investors Inc. 6,149,380 50,117
  Four Corners Property Trust Inc. 2,029,108 49,510
  Easterly Government Properties Inc. 2,140,752 49,494
18

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Moelis & Co. Class A 1,584,310 49,367
  Fulton Financial Corp. 4,661,001 49,080
  Ryman Hospitality Properties Inc. 1,410,300 48,796
  International Bancshares Corp. 1,519,997 48,670
  PennyMac Financial Services Inc. 1,127,259 47,108
  Cohen & Steers Inc. 686,147 46,692
  CareTrust REIT Inc. 2,703,106 46,385
  ServisFirst Bancshares Inc. 1,280,018 45,773
  Simmons First National Corp. Class A 2,661,711 45,542
  BOK Financial Corp. 798,593 45,073
  National Storage Affiliates Trust 1,561,482 44,752
  Retail Properties of America Inc. Class A 6,069,714 44,430
* Texas Capital Bancshares Inc. 1,437,588 44,378
  United Community Banks Inc. 2,200,362 44,271
  Horace Mann Educators Corp. 1,199,734 44,066
  First Midwest Bancorp Inc. 3,297,337 44,019
  Ameris Bancorp 1,862,401 43,934
  RLJ Lodging Trust 4,635,812 43,762
  First Merchants Corp. 1,574,910 43,420
  Global Net Lease Inc. 2,589,703 43,326
  Columbia Property Trust Inc. 3,271,711 42,990
  Independent Bank Group Inc. 1,054,719 42,737
  Capitol Federal Financial Inc. 3,861,451 42,515
  Paramount Group Inc. 5,505,232 42,445
  Walker & Dunlop Inc. 828,258 42,084
  Apollo Commercial Real Estate Finance Inc. 4,260,864 41,799
  National General Holdings Corp. 1,926,996 41,642
1 Santander Consumer USA Holdings Inc. 2,246,985 41,367
  LTC Properties Inc. 1,097,955 41,360
  Westamerica Bancorp 719,975 41,341
  WSFS Financial Corp. 1,433,281 41,135
  American Assets Trust Inc. 1,477,223 41,126
1 Two Harbors Investment Corp. 7,818,534 39,405
  Monmouth Real Estate Investment Corp. 2,704,308 39,185
  Navient Corp. 5,521,970 38,819
  Trustmark Corp. 1,578,354 38,701
  GEO Group Inc. 3,267,735 38,657
1 Macerich Co. 4,307,137 38,635
* NMI Holdings Inc. Class A 2,379,060 38,255
  Renasant Corp. 1,533,530 38,185
  Essential Properties Realty Trust Inc. 2,572,930 38,182
* Cushman & Wakefield plc 3,062,668 38,161
  Hilltop Holdings Inc. 2,058,731 37,984
  Urban Edge Properties 3,193,317 37,905
  Industrial Logistics Properties Trust 1,839,665 37,805
  First Interstate BancSystem Inc. Class A 1,208,868 37,427
  WesBanco Inc. 1,826,336 37,093
  James River Group Holdings Ltd. 821,593 36,972
  NBT Bancorp Inc. 1,186,123 36,485
  First Citizens BancShares Inc. Class A 89,256 36,150
*,1 Trupanion Inc. 844,202 36,039
  First Financial Bancorp 2,590,394 35,981
  Northwest Bancshares Inc. 3,513,146 35,922
  Towne Bank 1,900,421 35,804
  SITE Centers Corp. 4,392,833 35,582
  Empire State Realty Trust Inc. Class A 5,063,418 35,444
  Banner Corp. 930,058 35,342
  Office Properties Income Trust 1,356,999 35,241
  Retail Opportunity Investments Corp. 3,106,946 35,202
  Mack-Cali Realty Corp. 2,279,194 34,849
  AMERISAFE Inc. 559,974 34,248
19

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  First Bancorp (XNYS) 6,103,641 34,119
  Heartland Financial USA Inc. 1,011,439 33,823
1 Broadmark Realty Capital Inc. 3,525,927 33,391
* Genworth Financial Inc. Class A 14,359,858 33,171
  Mercury General Corp. 809,323 32,980
  Service Properties Trust 4,626,030 32,799
  Lakeland Financial Corp. 694,589 32,361
  Sandy Spring Bancorp Inc. 1,291,804 32,011
  PJT Partners Inc. Class A 620,331 31,848
* Axos Financial Inc. 1,441,800 31,835
  Safety Insurance Group Inc. 416,099 31,732
  Argo Group International Holdings Ltd. 911,051 31,732
  DiamondRock Hospitality Co. 5,722,272 31,644
  Independence Realty Trust Inc. 2,750,889 31,608
  Colony Capital Inc. 13,137,280 31,529
  MFA Financial Inc. 12,652,881 31,506
  Acadia Realty Trust 2,423,033 31,451
  CoreCivic Inc. 3,343,069 31,291
* Goosehead Insurance Inc. Class A 416,012 31,267
  Hope Bancorp Inc. 3,295,154 30,381
  Cadence Bancorp Class A 3,417,561 30,280
  Getty Realty Corp. 1,016,407 30,167
* Focus Financial Partners Inc. Class A 899,217 29,719
  Diversified Healthcare Trust 6,669,114 29,511
  Xenia Hotels & Resorts Inc. 3,156,478 29,450
  OceanFirst Financial Corp. 1,662,088 29,303
  Piper Sandler Cos. 492,404 29,131
* Seacoast Banking Corp. of Florida 1,419,973 28,967
  BancFirst Corp. 711,796 28,878
* Encore Capital Group Inc. 843,734 28,839
  New York Mortgage Trust Inc. 10,966,676 28,623
  City Holding Co. 436,935 28,475
  Waddell & Reed Financial Inc. Class A 1,807,806 28,039
  Universal Health Realty Income Trust 350,242 27,841
  Flagstar Bancorp Inc. 934,382 27,499
*,1 Workhorse Group Inc. 1,553,030 27,007
  Kite Realty Group Trust 2,322,209 26,798
1 Arbor Realty Trust Inc. 2,878,996 26,602
  Eagle Bancorp Inc. 806,738 26,421
  First Busey Corp. 1,414,319 26,377
  iStar Inc. 2,068,698 25,486
* Mr Cooper Group Inc. 2,035,315 25,319
  S&T Bancorp Inc. 1,079,207 25,307
  Employers Holdings Inc. 837,829 25,261
  Southside Bancshares Inc. 903,953 25,058
  Community Healthcare Trust Inc. 612,361 25,046
  Park National Corp. 351,129 24,712
  Virtus Investment Partners Inc. 211,530 24,599
  Investors Real Estate Trust 348,958 24,598
  Safehold Inc. 426,715 24,532
  Alexander & Baldwin Inc. 2,003,692 24,425
  American Finance Trust Inc. Class A 3,064,420 24,316
  Veritex Holdings Inc. 1,370,504 24,258
  First Commonwealth Financial Corp. 2,928,347 24,247
  Realogy Holdings Corp. 3,255,733 24,125
  Tompkins Financial Corp. 370,746 24,013
  Provident Financial Services Inc. 1,646,990 23,799
  TFS Financial Corp. 1,656,295 23,702
* INTL. FCStone Inc. 421,848 23,202
  National Bank Holdings Corp. Class A 845,156 22,819
  Redwood Trust Inc. 3,231,341 22,619
20

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  BGC Partners Inc. Class A 8,153,942 22,342
  TriCo Bancshares 721,039 21,956
  ProAssurance Corp. 1,505,977 21,791
  Stock Yards Bancorp Inc. 539,247 21,678
  Ladder Capital Corp. Class A 2,668,946 21,618
  Great Western Bancorp Inc. 1,562,515 21,500
  Stewart Information Services Corp. 658,914 21,421
  Brookline Bancorp Inc. 2,124,196 21,412
  First Bancorp (XNGS) 842,167 21,122
  NexPoint Residential Trust Inc. 596,675 21,092
  German American Bancorp Inc. 677,474 21,069
* Columbia Financial Inc. 1,502,404 20,966
  Nelnet Inc. Class A 438,444 20,931
  Brightsphere Investment Group Inc. 1,650,767 20,569
  Newmark Group Inc. Class A 4,217,714 20,498
  Enterprise Financial Services Corp. 655,114 20,387
* WillScot Corp. 1,644,886 20,216
  Heritage Financial Corp. 995,533 19,911
  OFG Bancorp 1,472,113 19,682
  Premier Financial Corp. 1,100,633 19,448
* Marcus & Millichap Inc. 667,213 19,256
1 Invesco Mortgage Capital Inc. 5,099,936 19,074
  Gladstone Commercial Corp. 997,985 18,712
  Kearny Financial Corp. 2,286,241 18,701
1 Tanger Factory Outlet Centers Inc. 2,618,934 18,673
* Third Point Reinsurance Ltd. 2,453,099 18,423
  National Western Life Group Inc. Class A 89,140 18,112
  ARMOUR Residential REIT Inc. 1,911,898 17,953
* Ambac Financial Group Inc. 1,241,381 17,777
* St. Joe Co. 915,045 17,770
  Summit Hotel Properties Inc. 2,910,773 17,261
  Colony Credit Real Estate Inc. 2,435,859 17,100
  TrustCo Bank Corp. 2,652,858 16,793
  First Foundation Inc. 1,023,960 16,732
  ConnectOne Bancorp Inc. 1,037,308 16,721
  Meta Financial Group Inc. 913,454 16,597
  American National Insurance Co. 229,848 16,565
  United Fire Group Inc. 597,481 16,556
  HomeStreet Inc. 668,760 16,458
  Boston Private Financial Holdings Inc. 2,355,739 16,207
2 Great Ajax Corp. 1,760,884 16,200
  Gladstone Land Corp. 1,014,174 16,085
  Preferred Bank 374,212 16,035
* Triumph Bancorp Inc. 659,096 15,996
  Capstead Mortgage Corp. 2,878,536 15,803
  Meridian Bancorp Inc. 1,356,505 15,735
  RPT Realty 2,257,240 15,710
  Berkshire Hills Bancorp Inc. 1,418,536 15,632
* Bancorp Inc. 1,574,596 15,431
  Armada Hoffler Properties Inc. 1,519,480 15,119
  TPG RE Finance Trust Inc. 1,753,043 15,076
  Universal Insurance Holdings Inc. 846,585 15,027
  Bryn Mawr Bank Corp. 535,117 14,801
1 Brookfield Property REIT Inc. Class A 1,483,716 14,778
  Banc of California Inc. 1,362,083 14,751
* BRP Group Inc. Class A 853,690 14,743
  RE/MAX Holdings Inc. Class A 465,202 14,621
  Lakeland Bancorp Inc. 1,268,031 14,494
* Assetmark Financial Holdings Inc. 528,313 14,418
  City Office REIT Inc. 1,430,127 14,387
  Federal Agricultural Mortgage Corp. Class C 224,510 14,371
21

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Washington Trust Bancorp Inc. 436,146 14,284
  Northfield Bancorp Inc. 1,226,114 14,125
  UMH Properties Inc. 1,090,744 14,103
  Ellington Financial Inc. 1,182,255 13,927
  Alexander's Inc. 57,751 13,912
  Franklin Street Properties Corp. 2,723,855 13,864
  Global Medical REIT Inc. 1,215,873 13,776
* Nicolet Bankshares Inc. 248,085 13,595
  First Bancshares Inc. 602,772 13,562
  Origin Bancorp Inc. 613,118 13,489
1 Bank First Corp. 210,100 13,467
  Camden National Corp. 385,690 13,322
  WisdomTree Investments Inc. 3,833,808 13,303
  Allegiance Bancshares Inc. 521,957 13,252
  Great Southern Bancorp Inc. 326,220 13,166
*,1 eXp World Holdings Inc. 764,670 13,038
  Community Trust Bancorp Inc. 393,342 12,886
* Enova International Inc. 850,616 12,649
* CrossFirst Bankshares Inc. 1,286,872 12,586
2 Bluerock Residential Growth REIT Inc. Class A 1,556,389 12,576
  Univest Financial Corp. 775,642 12,519
  First Financial Corp. 337,405 12,430
  KKR Real Estate Finance Trust Inc. 748,301 12,407
  QCR Holdings Inc. 396,788 12,372
* Purple Innovation Inc. Class A 684,922 12,329
  Central Pacific Financial Corp. 766,511 12,287
  CatchMark Timber Trust Inc. Class A 1,384,680 12,254
  RMR Group Inc. Class A 415,273 12,238
* MBIA Inc. 1,684,594 12,213
  Cowen Inc. Class A 739,383 11,985
  FB Financial Corp. 482,303 11,947
  Dime Community Bancshares Inc. 867,592 11,912
  CBTX Inc. 562,889 11,821
* TriState Capital Holdings Inc. 747,734 11,747
  Arrow Financial Corp. 387,138 11,510
  Heritage Commerce Corp. 1,527,077 11,461
  Horizon Bancorp Inc. 1,068,815 11,426
  Granite Point Mortgage Trust Inc. 1,562,012 11,215
  Cambridge Bancorp 185,847 11,010
2 CTO Realty Growth Inc. 278,409 10,997
  FBL Financial Group Inc. Class A 305,412 10,961
  Bank of Marin Bancorp 328,322 10,943
  Live Oak Bancshares Inc. 745,924 10,823
  Saul Centers Inc. 333,795 10,772
*,1 Seritage Growth Properties Class A 931,657 10,621
  Peoples Bancorp Inc. 492,950 10,490
  B. Riley Financial Inc. 481,953 10,487
  People's Utah Bancorp 465,470 10,459
  Bridge Bancorp Inc. 449,504 10,267
* World Acceptance Corp. 155,918 10,216
  Republic Bancorp Inc. Class A 309,849 10,135
  Bar Harbor Bankshares 438,959 9,828
  Urstadt Biddle Properties Inc. Class A 825,373 9,805
1 Dynex Capital Inc. 677,926 9,694
  Orchid Island Capital Inc. 2,051,702 9,664
  Ready Capital Corp. 1,108,471 9,633
* Watford Holdings Ltd. 576,577 9,623
  Franklin Financial Network Inc. 371,852 9,575
  Preferred Apartment Communities Inc. Class A 1,252,665 9,520
  First of Long Island Corp. 580,775 9,490
* Customers Bancorp Inc. 789,372 9,488
22

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  First Community Bankshares Inc. 414,894 9,314
  Mercantile Bank Corp. 411,473 9,299
  Waterstone Financial Inc. 625,479 9,276
  Front Yard Residential Corp. 1,049,357 9,129
* Tejon Ranch Co. 625,908 9,013
  Diamond Hill Investment Group Inc. 79,032 8,984
* EZCORP Inc. Class A 1,423,009 8,965
* LendingClub Corp. 1,963,005 8,932
  PCSB Financial Corp. 702,050 8,902
  Hanmi Financial Corp. 914,173 8,877
  New Senior Investment Group Inc. 2,449,295 8,866
* Amerant Bancorp Inc. Class A 588,526 8,851
  HomeTrust Bancshares Inc. 551,958 8,831
  Peapack-Gladstone Financial Corp. 470,960 8,821
  State Auto Financial Corp. 488,708 8,723
  Independent Bank Corp. 584,438 8,679
  Midland States Bancorp Inc. 579,201 8,659
* Howard Bancorp Inc. 800,301 8,499
  Business First Bancshares Inc. 544,987 8,366
  Investors Title Co. 68,597 8,322
  1st Source Corp. 233,458 8,306
  First Mid Bancshares Inc. 313,659 8,227
  Flushing Financial Corp. 711,016 8,191
  Merchants Bancorp 442,301 8,178
  Chatham Lodging Trust 1,321,074 8,085
  Ares Commercial Real Estate Corp. 886,355 8,084
  Whitestone REIT 1,105,555 8,037
  Heritage Insurance Holdings Inc. 611,888 8,010
  Hingham Institution For Savings 47,658 7,996
  MidWestOne Financial Group Inc. 397,552 7,951
  SmartFinancial Inc. 490,488 7,936
* Atlantic Capital Bancshares Inc. 651,803 7,926
* Oportun Financial Corp. 587,928 7,902
  Farmers National Banc Corp. 665,513 7,893
*,1 Citizens Inc. Class A 1,308,044 7,835
  Byline Bancorp Inc. 596,988 7,821
  Jernigan Capital Inc. 569,241 7,787
  Territorial Bancorp Inc. 325,822 7,751
  Financial Institutions Inc. 416,171 7,745
  Plymouth Industrial REIT Inc. 598,531 7,661
* Bridgewater Bancshares Inc. 746,361 7,650
* Spirit of Texas Bancshares Inc. 615,445 7,576
  Citizens & Northern Corp. 365,656 7,551
  CNB Financial Corp. 418,837 7,510
  HCI Group Inc. 161,574 7,461
* Equity Bancshares Inc. Class A 423,605 7,388
  Tiptree Inc. Class A 1,144,346 7,381
1,2 Safeguard Scientifics Inc. 1,052,202 7,365
  American National Bankshares Inc. 294,044 7,363
1 Farmland Partners Inc. 1,073,812 7,356
* Southern First Bancshares Inc. 264,790 7,337
* FRP Holdings Inc. 180,748 7,335
  First Bancorp Inc. 337,415 7,322
  Cherry Hill Mortgage Investment Corp. 806,382 7,274
  Reliant Bancorp Inc. 445,872 7,263
  Home Bancorp Inc. 269,969 7,222
  FS Bancorp Inc. 186,547 7,195
  One Liberty Properties Inc. 408,198 7,192
  Silvercrest Asset Management Group Inc. Class A 561,975 7,143
* International Money Express Inc. 566,288 7,056
* Forestar Group Inc. 464,800 7,009
23

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Metropolitan Bank Holding Corp. 218,227 7,001
1 Metrocity Bankshares Inc. 484,500 6,943
  Guaranty Bancshares Inc. 260,285 6,734
1 Victory Capital Holdings Inc. Class A 391,010 6,721
  West Bancorp Inc. 382,938 6,698
  First Capital Inc. 94,600 6,572
  Civista Bancshares Inc. 426,141 6,563
  Southern Missouri Bancorp Inc. 270,079 6,563
  Sierra Bancorp 343,025 6,476
  Peoples Financial Services Corp. 164,650 6,288
  FedNat Holding Co. 562,187 6,223
  SB One Bancorp 314,112 6,188
  Old Second Bancorp Inc. 788,692 6,136
* PICO Holdings Inc. 722,992 6,095
  Hersha Hospitality Trust Class A 1,055,478 6,080
*,1 Benefytt Technologies Inc. Class A 296,395 6,064
  Carter Bank & Trust 745,306 6,015
  Farmers & Merchants Bancorp Inc. 283,024 6,011
  LCNB Corp. 376,339 6,006
  ACNB Corp. 227,545 5,957
  Oppenheimer Holdings Inc. Class A 272,805 5,944
  Westwood Holdings Group Inc. 377,214 5,941
* Select Bancorp Inc. 721,358 5,872
  RBB Bancorp 429,740 5,866
  Central Valley Community Bancorp 380,201 5,851
* Rafael Holdings Inc. Class B 406,516 5,842
* Blue Bird Corp. 389,361 5,837
  Amalgamated Bank Class A 461,285 5,831
  Capstar Financial Holdings Inc. 484,311 5,812
  Sculptor Capital Management Inc. Class A 440,752 5,699
  Retail Value Inc. 457,202 5,651
1 ChoiceOne Financial Services Inc. 190,200 5,622
  Century Bancorp Inc. Class A 72,167 5,609
  Northrim Bancorp Inc. 221,302 5,564
  First Internet Bancorp 333,704 5,546
  Capital City Bank Group Inc. 263,324 5,517
  MVB Financial Corp. 408,725 5,436
* Baycom Corp. 420,106 5,424
  Summit Financial Group Inc. 329,154 5,424
  Protective Insurance Corp. Class B 356,363 5,370
  Greenhill & Co. Inc. 536,510 5,360
*,1 Silvergate Capital Corp. Class A 375,980 5,264
* Greenlight Capital Re Ltd. Class A 805,024 5,249
  Level One Bancorp Inc. 310,684 5,201
  Global Indemnity Ltd. 214,746 5,141
  Shore Bancshares Inc. 461,419 5,117
1 Fidelity D&D Bancorp Inc. 106,236 5,109
  Enterprise Bancorp Inc. 214,324 5,105
  Anworth Mortgage Asset Corp. 3,000,488 5,101
  Macatawa Bank Corp. 650,321 5,086
  First Choice Bancorp 305,087 4,997
*,1 MoneyGram International Inc. 1,549,646 4,974
  Western New England Bancorp Inc. 858,697 4,972
  National Bankshares Inc. 171,243 4,898
  Richmond Mutual Bancorp Inc. 433,705 4,875
  BRT Apartments Corp. 450,434 4,874
  Curo Group Holdings Corp. 587,105 4,797
* Maui Land & Pineapple Co. Inc. 429,526 4,768
  Southern National Bancorp of Virginia Inc. 491,126 4,759
  ESSA Bancorp Inc. 338,533 4,712
  BankFinancial Corp. 558,835 4,694
24

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  United Insurance Holdings Corp. 598,408 4,680
* FVCBankcorp Inc. 421,268 4,533
* Regional Management Corp. 252,115 4,465
* Stratus Properties Inc. 224,876 4,455
1 Washington Prime Group Inc. 5,280,277 4,440
  BBX Capital Corp. Class A 1,734,661 4,406
  First Northwest Bancorp 351,455 4,365
  Provident Bancorp Inc. 553,344 4,349
  BCB Bancorp Inc. 467,723 4,340
1 GAIN Capital Holdings Inc. 720,906 4,340
* NI Holdings Inc. 293,706 4,338
  First Bank 664,437 4,332
  PCB Bancorp 419,108 4,317
  Clipper Realty Inc. 530,809 4,300
  Griffin Industrial Realty Inc. 78,804 4,269
* Del Taco Restaurants Inc. 713,728 4,232
  First Business Financial Services Inc. 257,056 4,229
  CorePoint Lodging Inc. 995,106 4,189
  Investar Holding Corp. 288,733 4,187
  Penns Woods Bancorp Inc. 180,992 4,110
  South Plains Financial Inc. 288,478 4,108
  Mid Penn Bancorp Inc. 222,557 4,102
  Orrstown Financial Services Inc. 272,978 4,026
  Northeast Bank 228,936 4,018
* Rimini Street Inc. 777,182 4,002
1 Exantas Capital Corp. 1,497,081 3,967
  Codorus Valley Bancorp Inc. 284,841 3,939
  Parke Bancorp Inc. 288,534 3,910
  Donegal Group Inc. Class A 274,567 3,904
* HarborOne Bancorp Inc. 456,414 3,898
1 Western Asset Mortgage Capital Corp. 1,417,191 3,883
  Premier Financial Bancorp Inc. 296,554 3,802
  Independence Holding Co. 123,889 3,790
  Alerus Financial Corp. 191,324 3,781
  Timberland Bancorp Inc. 206,238 3,756
  Community Financial Corp. 153,682 3,750
  First United Corp. 280,093 3,736
  Norwood Financial Corp. 150,414 3,729
  Riverview Bancorp Inc. 650,394 3,675
  Bank of Princeton 177,561 3,565
1 AG Mortgage Investment Trust Inc. 1,103,029 3,519
  Bank of Commerce Holdings 461,783 3,500
  Bankwell Financial Group Inc. 219,929 3,497
  CorEnergy Infrastructure Trust Inc. 379,367 3,471
* Pioneer Bancorp Inc. 379,037 3,468
  OP Bancorp 495,945 3,422
2 Condor Hospitality Trust Inc. 832,909 3,415
*,1 Siebert Financial Corp. 669,291 3,387
  HBT Financial Inc. 252,396 3,364
* MMA Capital Holdings Inc. 144,876 3,350
  Alpine Income Property Trust Inc. 205,500 3,341
* Professional Holding Corp. Class A 240,000 3,331
  Marlin Business Services Corp. 393,236 3,327
  1st Constitution Bancorp 267,272 3,314
*,1 Meridian Corp. 202,638 3,212
  Community Bankers Trust Corp. 579,381 3,187
* Atlanticus Holdings Corp. 298,060 3,082
1 Auburn National Bancorp Inc. 53,517 3,055
  Unity Bancorp Inc. 213,454 3,052
* Asta Funding Inc. 235,245 3,042
* Republic First Bancorp Inc. 1,233,160 3,009
25

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
*,1 Altisource Portfolio Solutions SA 202,525 2,985
* MainStreet Bancshares Inc. 226,096 2,984
1 Ellington Residential Mortgage REIT 289,442 2,981
* Esquire Financial Holdings Inc. 174,299 2,946
* Coastal Financial Corp. 201,843 2,931
  Middlefield Banc Corp. 140,636 2,918
  Evans Bancorp Inc. 124,939 2,906
  Chemung Financial Corp. 105,532 2,881
  First Savings Financial Group Inc. 66,235 2,870
  CB Financial Services Inc. 130,850 2,855
  Eagle Bancorp Montana Inc. 162,151 2,818
* California Bancorp Inc. 187,796 2,798
  C&F Financial Corp. 83,746 2,785
  First Community Corp. 183,681 2,783
*,1 Malvern Bancorp Inc. 217,730 2,772
  Hawthorn Bancshares Inc. 139,802 2,753
* Capital Bancorp Inc. 255,537 2,734
  Braemar Hotels & Resorts Inc. 950,108 2,717
  Luther Burbank Corp. 267,578 2,676
  FNCB Bancorp Inc. 459,377 2,641
  Arlington Asset Investment Corp. Class A 878,679 2,610
* ProSight Global Inc. 290,543 2,586
* PDL Community Bancorp 248,324 2,528
  Mackinac Financial Corp. 237,842 2,466
  Postal Realty Trust Inc. Class A 153,591 2,450
1 Federal Agricultural Mortgage Corp. Class A 43,002 2,412
  Standard AVB Financial Corp. 103,063 2,391
  Provident Financial Holdings Inc. 176,686 2,369
  SB Financial Group Inc. 141,145 2,346
  Cedar Realty Trust Inc. 2,365,218 2,342
  Associated Capital Group Inc. Class A 63,741 2,339
  Prudential Bancorp Inc. 191,884 2,310
1 Pennsylvania REIT 1,697,244 2,308
  Pzena Investment Management Inc. Class A 422,399 2,298
  Nexpoint Real Estate Finance Inc. 131,900 2,209
  First Financial Northwest Inc. 220,880 2,140
  Hunt Cos. Finance Trust Inc. 795,708 2,109
  United Security Bancshares 314,496 2,104
1 Delmar Bancorp 304,800 2,003
* SWK Holdings Corp. 166,000 1,989
  Peoples Bancorp of North Carolina Inc. 111,619 1,972
* Maiden Holdings Ltd. 1,585,431 1,966
  Ohio Valley Banc Corp. 87,025 1,962
  Greene County Bancorp Inc. 87,559 1,953
  GAMCO Investors Inc. Class A 146,252 1,947
1 Plumas Bancorp 86,202 1,907
* GWG Holdings Inc. 246,814 1,893
* First Western Financial Inc. 132,755 1,892
  Ashford Hospitality Trust Inc. 2,537,647 1,834
* Hallmark Financial Services Inc. 520,624 1,817
  Oak Valley Bancorp 140,618 1,783
* Pacific Mercantile Bancorp 482,797 1,767
1 Salisbury Bancorp Inc. 43,118 1,767
*,1 Ocwen Financial Corp. 2,627,421 1,745
  First Guaranty Bancshares Inc. 139,318 1,704
* Elevate Credit Inc. 1,146,170 1,696
*,1 On Deck Capital Inc. 2,360,875 1,696
  Manning & Napier Inc. Class A 591,269 1,691
*,1 Velocity Financial Inc. 427,600 1,689
  MSB Financial Corp. 149,197 1,641
  Bank7 Corp. 139,478 1,514
26

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  County Bancorp Inc. 70,522 1,476
* Medallion Financial Corp. 552,377 1,464
  Franklin Financial Services Corp. 55,928 1,449
  Old Point Financial Corp. 92,255 1,407
  Global Self Storage Inc. 354,937 1,391
*,1 Riot Blockchain Inc. 626,101 1,390
  Sterling Bancorp Inc. 364,046 1,303
  AmeriServ Financial Inc. 418,188 1,280
  Colony Bankcorp Inc. 105,757 1,245
  Landmark Bancorp Inc. 49,715 1,228
*,1 CBL & Associates Properties Inc. 4,481,209 1,222
* Security National Financial Corp. Class A 178,540 1,204
* FFBW Inc. 139,998 1,204
  Manhattan Bridge Capital Inc. 250,902 1,169
  Severn Bancorp Inc. 175,693 1,138
* Consumer Portfolio Services Inc. 399,895 1,132
1 Union Bankshares Inc. 59,239 1,109
  Sachem Capital Corp. 369,704 1,094
  Sotherly Hotels Inc. 425,491 1,068
  Hennessy Advisors Inc. 134,891 1,067
*,1 Bogota Financial Corp. 116,190 1,015
  IF Bancorp Inc. 61,247 1,008
* Nicholas Financial Inc. 124,481 960
  Urstadt Biddle Properties Inc. 94,274 948
  Bank of South Carolina Corp. 53,268 894
*,1 Avalon GloboCare Corp. 470,565 894
  Kingstone Cos. Inc. 198,941 879
* Randolph Bancorp Inc. 87,100 875
* Power REIT 29,103 837
  CBM Bancorp Inc. 66,233 801
* Transcontinental Realty Investors Inc. 26,382 792
  Sound Financial Bancorp Inc. 32,178 765
* Limestone Bancorp Inc. 56,772 747
* Central Federal Corp. 69,650 703
  Riverview Financial Corp. 120,668 649
* Rhinebeck Bancorp Inc. 95,526 627
1 Cortland Bancorp 48,247 617
*,1 Broadway Financial Corp. 291,631 615
1 Elmira Savings Bank 52,075 549
* Ashford Inc. 42,457 431
*,1 Impac Mortgage Holdings Inc. 244,016 412
* HV Bancorp Inc. 26,133 348
  Guaranty Federal Bancshares Inc. 20,761 317
* Community First Bancshares Inc. 38,693 299
  Ottawa Bancorp Inc. 27,877 291
  US Global Investors Inc. Class A 143,575 271
*,1 Altisource Asset Management Corp. 15,364 252
*,3 New York REIT Liquidating LLC 19,100 244
*,1 Wheeler REIT Inc. 128,812 225
* National Holdings Corp. 96,260 193
* InterGroup Corp. 7,138 190
* 1347 Property Insurance Holdings Inc. 34,257 153
  WVS Financial Corp. 11,419 150
  Mid-Southern Bancorp Inc. 8,847 107
* JW Mays Inc. 4,010 85
  Lake Shore Bancorp Inc. 5,900 73
  Summit State Bank 7,508 73
* Trinity Place Holdings Inc. 36,941 51
  Oconee Federal Financial Corp. 1,919 49
* Medley Management Inc. Class A 55,034 42
  Protective Insurance Corp. 1,435 25
27

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Home Federal Bancorp Inc. of Louisiana 601 15
* National Holdings Corp. Warrants Exp. 01/18/2022 92,151 14
* Air T Funding Warrants Exp. 09/08/2020 90,675 7
* Village Bank and Trust Financial Corp. 200 6
*,3 Frontier Financial Corp. 1
            141,326,646
Health Care (14.0%)
  Johnson & Johnson 75,101,148 10,561,475
  UnitedHealth Group Inc. 27,031,264 7,972,871
  Merck & Co. Inc. 71,955,249 5,564,299
  Pfizer Inc. 158,351,663 5,178,099
  AbbVie Inc. 50,231,155 4,931,695
  Abbott Laboratories 50,417,978 4,609,716
  Thermo Fisher Scientific Inc. 11,256,888 4,078,821
  Eli Lilly & Co. 24,537,582 4,028,580
  Amgen Inc. 16,766,820 3,954,622
  Bristol-Myers Squibb Co. 64,501,569 3,792,692
  Medtronic plc 38,197,899 3,502,747
  Danaher Corp. 18,160,250 3,211,277
  Gilead Sciences Inc. 35,754,363 2,750,941
* Vertex Pharmaceuticals Inc. 7,388,830 2,145,051
  Becton Dickinson and Co. 8,405,579 2,011,203
  Cigna Corp. 10,514,245 1,972,998
* Intuitive Surgical Inc. 3,323,440 1,893,796
  Anthem Inc. 7,185,348 1,889,603
  Zoetis Inc. Class A 13,538,674 1,855,340
  Stryker Corp. 9,628,329 1,734,929
* Regeneron Pharmaceuticals Inc. 2,730,758 1,703,037
* Illumina Inc. 4,189,822 1,551,701
  Humana Inc. 3,767,349 1,460,790
* Boston Scientific Corp. 40,605,642 1,425,664
  Baxter International Inc. 14,455,419 1,244,612
* Biogen Inc. 4,650,533 1,244,250
* Edwards Lifesciences Corp. 17,659,629 1,220,457
* DexCom Inc. 2,631,388 1,066,765
* Centene Corp. 16,504,437 1,048,857
* IDEXX Laboratories Inc. 2,421,502 799,483
  ResMed Inc. 4,122,554 791,530
  HCA Healthcare Inc. 7,696,399 747,012
  Zimmer Biomet Holdings Inc. 5,899,560 704,171
* Alexion Pharmaceuticals Inc. 5,978,974 671,080
* BioMarin Pharmaceutical Inc. 5,157,069 636,073
* Seattle Genetics Inc. 3,458,689 587,700
* Align Technology Inc. 2,019,521 554,237
* Incyte Corp. 5,274,938 548,435
*,1 Moderna Inc. 7,766,093 498,661
* Alnylam Pharmaceuticals Inc. 3,272,235 484,651
  Teleflex Inc. 1,324,962 482,260
  West Pharmaceutical Services Inc. 2,099,548 476,954
* Laboratory Corp. of America Holdings 2,774,110 460,807
  Quest Diagnostics Inc. 3,815,605 434,826
  Cardinal Health Inc. 8,327,847 434,630
  Cooper Cos. Inc. 1,522,180 431,751
* Hologic Inc. 7,366,924 419,915
* Teladoc Health Inc. 2,123,851 405,316
* Exact Sciences Corp. 4,277,275 371,866
  STERIS plc 2,421,151 371,501
* Insulet Corp. 1,867,325 362,747
* Catalent Inc. 4,636,593 339,862
* Sarepta Therapeutics Inc. 2,118,134 339,622
28

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Neurocrine Biosciences Inc. 2,643,590 322,518
* Varian Medical Systems Inc. 2,590,797 317,424
* Masimo Corp. 1,389,904 316,884
  PerkinElmer Inc. 3,180,090 311,935
* Horizon Therapeutics plc 5,447,664 302,781
* Molina Healthcare Inc. 1,687,878 300,409
* ABIOMED Inc. 1,218,364 294,308
  Bio-Techne Corp. 1,090,708 288,023
  DENTSPLY SIRONA Inc. 6,252,323 275,477
* Bio-Rad Laboratories Inc. Class A 596,284 269,216
* Charles River Laboratories International Inc. 1,410,917 245,993
* Elanco Animal Health Inc. 11,358,421 243,638
* Henry Schein Inc. 4,069,760 237,633
* Mylan NV 14,750,431 237,187
* Quidel Corp. 1,019,436 228,089
* Ionis Pharmaceuticals Inc. 3,787,517 223,312
  Perrigo Co. plc 3,890,694 215,039
* Immunomedics Inc. 5,918,237 209,742
  Hill-Rom Holdings Inc. 1,893,933 207,916
* Exelixis Inc. 8,741,086 207,513
  Chemed Corp. 452,470 204,096
  Universal Health Services Inc. Class B 2,103,028 195,350
* Avantor Inc. 11,487,578 195,289
* Amedisys Inc. 922,326 183,119
* DaVita Inc. 2,258,760 178,758
* PRA Health Sciences Inc. 1,811,377 176,229
  Encompass Health Corp. 2,828,134 175,146
* Penumbra Inc. 973,574 174,095
* Guardant Health Inc. 2,109,381 171,134
* Jazz Pharmaceuticals plc 1,505,944 166,166
* Repligen Corp. 1,337,096 165,278
* ACADIA Pharmaceuticals Inc. 3,344,511 162,108
* Tandem Diabetes Care Inc. 1,630,627 161,302
* LHC Group Inc. 857,940 149,556
* Novocure Ltd. 2,443,030 144,872
* United Therapeutics Corp. 1,195,527 144,659
*,1 Novavax Inc. 1,703,530 141,989
* Syneos Health Inc. 2,373,463 138,254
* 10X Genomics Inc. Class A 1,492,974 133,338
* MyoKardia Inc. 1,356,444 131,060
* Haemonetics Corp. 1,438,353 128,819
* Acceleron Pharma Inc. 1,300,479 123,897
* Mirati Therapeutics Inc. 1,062,883 121,349
* Ultragenyx Pharmaceutical Inc. 1,549,758 121,222
* Arrowhead Pharmaceuticals Inc. 2,761,943 119,288
* Neogen Corp. 1,505,465 116,824
* Nektar Therapeutics Class A 5,042,949 116,795
  Bruker Corp. 2,862,154 116,432
*,1 Inovio Pharmaceuticals Inc. 4,293,746 115,716
* Blueprint Medicines Corp. 1,474,877 115,040
* HealthEquity Inc. 1,943,778 114,041
* Bluebird Bio Inc. 1,838,219 112,205
* Momenta Pharmaceuticals Inc. 3,366,899 112,017
*,1 Global Blood Therapeutics Inc. 1,753,180 110,678
* Nevro Corp. 923,848 110,372
* Amicus Therapeutics Inc. 7,309,618 110,229
* Wright Medical Group NV 3,646,268 108,367
* Reata Pharmaceuticals Inc. Class A 685,474 106,948
* Halozyme Therapeutics Inc. 3,907,976 104,773
* ICU Medical Inc. 562,712 103,713
*,1 Invitae Corp. 3,409,178 103,264
29

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Globus Medical Inc. Class A 2,140,064 102,102
* Iovance Biotherapeutics Inc. 3,698,733 101,530
* Natera Inc. 2,026,796 101,056
* Arena Pharmaceuticals Inc. 1,602,555 100,881
* Emergent BioSolutions Inc. 1,272,935 100,664
* Integra LifeSciences Holdings Corp. 2,066,807 97,119
* Adaptive Biotechnologies Corp. 1,996,308 96,581
* Envista Holdings Corp. 4,547,100 95,898
* Agios Pharmaceuticals Inc. 1,769,363 94,626
* FibroGen Inc. 2,306,624 93,487
* NeoGenomics Inc. 3,004,897 93,092
* iRhythm Technologies Inc. 773,785 89,674
* PTC Therapeutics Inc. 1,723,050 87,428
* Alkermes plc 4,499,975 87,322
* Omnicell Inc. 1,217,625 85,989
* ChemoCentryx Inc. 1,442,959 83,028
* HMS Holdings Corp. 2,501,164 81,013
* NuVasive Inc. 1,454,890 80,979
* STAAR Surgical Co. 1,288,123 79,271
* Insmed Inc. 2,855,257 78,634
*,1 Allogene Therapeutics Inc. 1,766,867 75,657
* Fate Therapeutics Inc. 2,047,521 70,250
* Medpace Holdings Inc. 746,910 69,478
* Integer Holdings Corp. 942,028 68,815
*,1 Bridgebio Pharma Inc. 2,088,158 68,095
* Merit Medical Systems Inc. 1,483,140 67,705
* Deciphera Pharmaceuticals Inc. 1,117,195 66,719
* Inspire Medical Systems Inc. 726,513 63,221
* Sage Therapeutics Inc. 1,500,228 62,379
* Acadia Healthcare Co. Inc. 2,424,282 60,898
  Ensign Group Inc. 1,442,833 60,383
*,1 Allakos Inc. 837,657 60,194
* Axsome Therapeutics Inc. 729,508 60,024
* TG Therapeutics Inc. 3,050,333 59,420
* Turning Point Therapeutics Inc. 913,414 58,997
* Pacira BioSciences Inc. 1,118,551 58,690
  CONMED Corp. 808,996 58,240
* Apellis Pharmaceuticals Inc. 1,738,615 56,783
* AtriCure Inc. 1,204,289 54,133
* Tenet Healthcare Corp. 2,969,276 53,774
* PPD Inc. 1,997,556 53,535
  Patterson Cos. Inc. 2,432,044 53,505
* Prestige Consumer Healthcare Inc. 1,415,484 53,166
* Akebia Therapeutics Inc. 3,805,601 51,680
* Denali Therapeutics Inc. 2,134,666 51,616
  Healthcare Services Group Inc. 2,104,738 51,482
*,1 Editas Medicine Inc. 1,738,169 51,415
* Xencor Inc. 1,572,744 50,941
* Karuna Therapeutics Inc. 448,723 50,015
* Corcept Therapeutics Inc. 2,972,137 49,991
*,1 Ligand Pharmaceuticals Inc. 440,336 49,252
* CareDx Inc. 1,368,473 48,485
* Magellan Health Inc. 642,159 46,865
* Dicerna Pharmaceuticals Inc. 1,829,047 46,458
* Glaukos Corp. 1,183,627 45,475
  Cantel Medical Corp. 1,024,059 45,294
* Select Medical Holdings Corp. 3,043,512 44,831
* Zogenix Inc. 1,617,483 43,688
* Ironwood Pharmaceuticals Inc. Class A 4,217,244 43,522
* Adverum Biotechnologies Inc. 2,071,575 43,254
* Principia Biopharma Inc. 713,531 42,662
30

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* BioTelemetry Inc. 942,344 42,585
* Intra-Cellular Therapies Inc. 1,645,698 42,245
* Twist Bioscience Corp. 920,446 41,696
* Kodiak Sciences Inc. 764,582 41,379
  Luminex Corp. 1,248,143 40,602
* Mersana Therapeutics Inc. 1,734,960 40,598
* Revance Therapeutics Inc. 1,657,834 40,484
* Avanos Medical Inc. 1,352,117 39,739
*,1 Cytokinetics Inc. 1,685,389 39,725
* Alector Inc. 1,595,563 38,996
*,1 OPKO Health Inc. 11,386,836 38,829
*,1 Portola Pharmaceuticals Inc. 2,150,670 38,691
* MEDNAX Inc. 2,259,456 38,637
*,1 Esperion Therapeutics Inc. 750,781 38,523
* Veracyte Inc. 1,451,582 37,596
* Intercept Pharmaceuticals Inc. 768,080 36,799
* Addus HomeCare Corp. 391,040 36,195
* Silk Road Medical Inc. 853,523 35,754
* Heron Therapeutics Inc. 2,426,629 35,696
* Epizyme Inc. 2,181,846 35,040
* MacroGenics Inc. 1,239,391 34,604
* REGENXBIO Inc. 923,162 34,000
* Cardiovascular Systems Inc. 1,062,013 33,507
* Supernus Pharmaceuticals Inc. 1,407,517 33,429
*,1 Karyopharm Therapeutics Inc. 1,749,201 33,130
*,1 1Life Healthcare Inc. 899,929 32,685
*,1 Sorrento Therapeutics Inc. 5,140,637 32,283
* NanoString Technologies Inc. 1,088,382 31,944
* Shockwave Medical Inc. 674,183 31,936
* R1 RCM Inc. 2,824,088 31,489
* Cerus Corp. 4,739,382 31,280
* Theravance Biopharma Inc. 1,468,453 30,823
*,1 Viela Bio Inc. 705,333 30,555
*,1 Coherus Biosciences Inc. 1,699,309 30,350
* Arcus Biosciences Inc. 1,210,973 29,959
* Y-mAbs Therapeutics Inc. 689,561 29,789
* Sangamo Therapeutics Inc. 3,294,255 29,517
  US Physical Therapy Inc. 360,877 29,238
* Retrophin Inc. 1,417,304 28,927
* Constellation Pharmaceuticals Inc. 950,275 28,556
* Meridian Bioscience Inc. 1,207,994 28,134
*,1 Intellia Therapeutics Inc. 1,304,994 27,431
*,1 Madrigal Pharmaceuticals Inc. 240,547 27,242
* Atara Biotherapeutics Inc. 1,860,464 27,107
* GenMark Diagnostics Inc. 1,838,776 27,048
* Providence Service Corp. 336,591 26,560
* Rhythm Pharmaceuticals Inc. 1,186,399 26,457
* Lantheus Holdings Inc. 1,793,540 25,648
  Atrion Corp. 39,763 25,329
* Enanta Pharmaceuticals Inc. 497,703 24,990
* Innoviva Inc. 1,731,891 24,212
* Heska Corp. 257,899 24,028
* Kura Oncology Inc. 1,468,942 23,944
* BioCryst Pharmaceuticals Inc. 4,996,822 23,810
* Amphastar Pharmaceuticals Inc. 1,038,609 23,327
*,1 Axonics Modulation Technologies Inc. 659,928 23,170
* Athenex Inc. 1,682,054 23,145
*,1 Dynavax Technologies Corp. 2,578,666 22,873
* Translate Bio Inc. 1,271,356 22,783
* Myriad Genetics Inc. 2,005,566 22,743
* Endo International plc 6,609,700 22,671
31

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* ImmunoGen Inc. 4,927,605 22,667
* OraSure Technologies Inc. 1,947,478 22,649
* Kadmon Holdings Inc. 4,417,897 22,620
* Tricida Inc. 815,018 22,397
  National Research Corp. 382,815 22,284
  National HealthCare Corp. 349,564 22,176
*,1 Progyny Inc. 854,475 22,054
* Arcturus Therapeutics Holdings Inc. 466,225 21,791
*,1 Omeros Corp. 1,463,077 21,536
* Natus Medical Inc. 979,465 21,372
*,1 Aimmune Therapeutics Inc. 1,277,323 21,344
* Rocket Pharmaceuticals Inc. 1,016,620 21,278
*,1 Tactile Systems Technology Inc. 500,020 20,716
* Vapotherm Inc. 499,590 20,478
*,1 ZIOPHARM Oncology Inc. 6,152,901 20,182
* Gossamer Bio Inc. 1,532,339 19,920
*,1 Cara Therapeutics Inc. 1,160,868 19,851
*,1 Aerie Pharmaceuticals Inc. 1,336,760 19,731
* Assembly Biosciences Inc. 842,710 19,652
*,1 PetIQ Inc. Class A 562,913 19,612
* CryoLife Inc. 1,013,623 19,431
* G1 Therapeutics Inc. 798,123 19,362
*,1 Geron Corp. 8,879,355 19,357
*,1 Arvinas Inc. 568,738 19,075
* CorVel Corp. 267,393 18,955
*,1 SmileDirectClub Inc. Class A 2,362,922 18,667
* Inogen Inc. 521,791 18,534
* Radius Health Inc. 1,336,465 18,216
* RadNet Inc. 1,133,039 17,981
*,1 Frequency Therapeutics Inc. 772,168 17,953
*,1 Cortexyme Inc. 382,179 17,695
* Codexis Inc. 1,550,620 17,677
* Varex Imaging Corp. 1,143,106 17,318
* Vericel Corp. 1,250,289 17,279
* Cue Biopharma Inc. 703,138 17,234
* OrthoPediatrics Corp. 389,653 17,051
* Hanger Inc. 1,019,434 16,882
*,1 Provention Bio Inc. 1,174,986 16,579
* Orthofix Medical Inc. 512,662 16,405
* HealthStream Inc. 740,746 16,393
*,1 Flexion Therapeutics Inc. 1,242,502 16,339
* Amneal Pharmaceuticals Inc. 3,431,059 16,332
*,1 Clovis Oncology Inc. 2,414,603 16,299
* Vanda Pharmaceuticals Inc. 1,420,610 16,252
*,1 Corbus Pharmaceuticals Holdings Inc. 1,932,020 16,210
*,1 Eidos Therapeutics Inc. 337,302 16,079
*,1 Relmada Therapeutics Inc. 359,066 16,068
* Pennant Group Inc. 701,041 15,844
* Agenus Inc. 4,011,448 15,765
* Odonate Therapeutics Inc. 371,000 15,708
* Collegium Pharmaceutical Inc. 889,589 15,568
* Quanterix Corp. 568,304 15,566
  Phibro Animal Health Corp. Class A 592,146 15,556
* Brookdale Senior Living Inc. 5,270,227 15,547
* Aprea Therapeutics Inc. 399,826 15,505
* AnaptysBio Inc. 693,125 15,484
* Eagle Pharmaceuticals Inc. 322,538 15,475
* Bioxcel Therapeutics Inc. 291,116 15,432
* Evolent Health Inc. Class A 2,156,562 15,355
*,1 IGM Biosciences Inc. 209,047 15,260
* Surmodics Inc. 351,963 15,219
32

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Krystal Biotech Inc. 362,380 15,010
* Avrobio Inc. 842,859 14,708
* Anika Therapeutics Inc. 388,755 14,668
*,1 Co-Diagnostics Inc. 748,843 14,490
* Replimune Group Inc. 571,941 14,213
*,1 CEL-SCI Corp. 946,213 14,118
* Protagonist Therapeutics Inc. 797,518 14,084
* Pacific Biosciences of California Inc. 4,048,591 13,968
* Option Care Health Inc. 988,616 13,722
* Kiniksa Pharmaceuticals Ltd. Class A 532,339 13,564
*,1 Athersys Inc. 4,885,485 13,484
*,1 Viking Therapeutics Inc. 1,864,147 13,441
* Castle Biosciences Inc. 356,572 13,439
* Tivity Health Inc. 1,185,945 13,437
*,1 Ocular Therapeutix Inc. 1,600,051 13,328
*,1 Durect Corp. 5,700,839 13,226
* Ardelyx Inc. 1,908,992 13,210
* REVOLUTION Medicines Inc. 412,785 13,032
* Apollo Medical Holdings Inc. 778,805 12,850
  Owens & Minor Inc. 1,679,382 12,797
* Catalyst Pharmaceuticals Inc. 2,762,417 12,762
* Zentalis Pharmaceuticals Inc. 265,677 12,758
  LeMaitre Vascular Inc. 479,391 12,656
* Applied Therapeutics Inc. 346,514 12,526
* BioDelivery Sciences International Inc. 2,866,695 12,499
* Triple-S Management Corp. Class B 655,778 12,473
* Spectrum Pharmaceuticals Inc. 3,684,732 12,454
* Atreca Inc. Class A 583,078 12,408
* Homology Medicines Inc. 810,863 12,317
* Syndax Pharmaceuticals Inc. 830,118 12,302
* Celldex Therapeutics Inc. 928,239 12,067
* Molecular Templates Inc. 873,805 12,050
* MEI Pharma Inc. 2,865,177 11,833
* AngioDynamics Inc. 1,152,244 11,718
* Intersect ENT Inc. 863,191 11,688
* Immunovant Inc. 479,480 11,675
*,1 NantKwest Inc. 950,280 11,669
*,1 Accelerate Diagnostics Inc. 756,592 11,470
* Antares Pharma Inc. 4,127,699 11,351
* Crinetics Pharmaceuticals Inc. 646,921 11,334
*,1 Kala Pharmaceuticals Inc. 1,073,407 11,282
* SI-BONE Inc. 707,574 11,279
*,1 Morphic Holding Inc. 409,800 11,085
* Voyager Therapeutics Inc. 872,595 11,012
* TransMedics Group Inc. 608,966 10,913
* Avid Bioservices Inc. 1,652,248 10,847
*,1 Zynex Inc. 433,567 10,783
* Beam Therapeutics Inc. 384,279 10,760
* Syros Pharmaceuticals Inc. 1,003,963 10,702
* CytomX Therapeutics Inc. 1,283,530 10,692
* SpringWorks Therapeutics Inc. 250,870 10,537
*,1 MannKind Corp. 5,999,761 10,500
*,1 Stoke Therapeutics Inc. 437,391 10,423
* InfuSystem Holdings Inc. 898,323 10,367
* Scholar Rock Holding Corp. 567,853 10,341
* Puma Biotechnology Inc. 973,988 10,159
* Calithera Biosciences Inc. 1,902,177 10,043
* Aeglea BioTherapeutics Inc. 1,069,280 9,891
* BioSpecifics Technologies Corp. 160,830 9,856
* NGM Biopharmaceuticals Inc. 498,566 9,842
* Community Health Systems Inc. 3,257,413 9,805
33

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Black Diamond Therapeutics Inc. 231,041 9,741
* Viemed Healthcare Inc. 1,010,607 9,702
* Inari Medical Inc. 199,331 9,656
* SIGA Technologies Inc. 1,615,615 9,548
*,1 BrainStorm Cell Therapeutics Inc. 841,058 9,428
* Pfenex Inc. 1,116,129 9,320
*,1 Precigen Inc. 1,867,600 9,319
* PDL BioPharma Inc. 3,198,285 9,307
* Axogen Inc. 997,029 9,213
*,1 Amyris Inc. 2,144,644 9,158
*,1 ORIC Pharmaceuticals Inc. 268,566 9,059
* Oyster Point Pharma Inc. 311,306 8,991
*,1 BioLife Solutions Inc. 544,010 8,895
* CytoSorbents Corp. 891,958 8,830
* Ovid therapeutics Inc. 1,177,456 8,678
  Utah Medical Products Inc. 97,857 8,672
* Precision BioSciences Inc. 1,026,976 8,555
* Rigel Pharmaceuticals Inc. 4,673,184 8,552
* Akero Therapeutics Inc. 338,791 8,443
*,1 TherapeuticsMD Inc. 6,732,437 8,416
* RAPT Therapeutics Inc. 289,792 8,410
*,1 Verastem Inc. 4,831,074 8,309
* ANI Pharmaceuticals Inc. 248,905 8,050
* IVERIC bio Inc. 1,575,077 8,033
* Fluidigm Corp. 1,995,623 8,002
* FONAR Corp. 372,268 7,955
*,1 Menlo Therapeutics Inc. 4,461,554 7,718
*,1 XBiotech Inc. 562,476 7,712
* Surgery Partners Inc. 662,395 7,664
*,1 Prevail Therapeutics Inc. 509,999 7,599
* Misonix Inc. 559,386 7,591
*,2 Electromed Inc. 492,829 7,585
*,1 UNITY Biotechnology Inc. 868,633 7,540
* Passage Bio Inc. 274,500 7,502
* Eiger BioPharmaceuticals Inc. 778,377 7,472
* NextCure Inc. 346,944 7,438
* Concert Pharmaceuticals Inc. 747,006 7,433
* Repro-Med Systems Inc. 824,466 7,404
* RTI Surgical Holdings Inc. 2,301,177 7,318
* Marinus Pharmaceuticals Inc. 2,814,953 7,150
* Joint Corp. 466,207 7,119
* Lannett Co. Inc. 974,020 7,071
*,1 Anavex Life Sciences Corp. 1,425,049 7,011
*,1 Keros Therapeutics Inc. 186,199 6,984
* Cymabay Therapeutics Inc. 1,953,114 6,816
*,1 AMAG Pharmaceuticals Inc. 883,207 6,757
* Satsuma Pharmaceuticals Inc. 230,004 6,615
*,1 Mallinckrodt plc 2,462,895 6,601
* SeaSpine Holdings Corp. 629,914 6,595
*,1 Neoleukin Therapeutics Inc. 397,100 6,592
*,1 Dyadic International Inc. 755,490 6,543
*,1 Selecta Biosciences Inc. 2,294,508 6,516
* Personalis Inc. 501,139 6,500
*,1 Agile Therapeutics Inc. 2,321,042 6,453
* Cutera Inc. 525,835 6,399
* Alphatec Holdings Inc. 1,351,148 6,350
*,1 ChromaDex Corp. 1,367,198 6,275
  Invacare Corp. 962,317 6,130
* ADMA Biologics Inc. 2,087,866 6,117
* Mirum Pharmaceuticals Inc. 311,978 6,071
* Ideaya Biosciences Inc. 426,777 6,065
34

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Magenta Therapeutics Inc. 804,543 6,042
* Chiasma Inc. 1,111,527 5,980
*,1 Akcea Therapeutics Inc. 431,460 5,911
* Accuray Inc. 2,908,814 5,905
* Spero Therapeutics Inc. 433,657 5,867
*,1 ViewRay Inc. 2,552,310 5,717
* Phathom Pharmaceuticals Inc. 171,589 5,647
*,1 Seres Therapeutics Inc. 1,175,813 5,597
* iRadimed Corp. 237,234 5,506
* Liquidia Technologies Inc. 647,165 5,449
*,1 Rubius Therapeutics Inc. 896,003 5,358
*,1 Aspira Women's Health Inc. 1,379,576 5,298
*,1 iCAD Inc. 528,039 5,275
*,1 Optinose Inc. 708,073 5,268
* Kindred Biosciences Inc. 1,154,225 5,182
*,1 Arcutis Biotherapeutics Inc. 171,110 5,174
* Sientra Inc. 1,333,107 5,159
* Abeona Therapeutics Inc. 1,760,180 5,131
* MediciNova Inc. 943,021 5,111
*,1 Evofem Biosciences Inc. 1,802,858 5,102
* Kezar Life Sciences Inc. 984,211 5,098
* Fulcrum Therapeutics Inc. 278,200 5,088
*,1 Catasys Inc. 205,623 5,087
*,1 Aytu BioScience Inc. 3,548,665 5,039
* Five Prime Therapeutics Inc. 824,351 5,029
* Paratek Pharmaceuticals Inc. 948,523 4,951
* Strongbridge Biopharma plc 1,282,155 4,847
* Stereotaxis Inc. 1,049,435 4,680
* Apyx Medical Corp. 842,962 4,678
*,1 Sutro Biopharma Inc. 595,120 4,618
*,1 Harvard Bioscience Inc. 1,461,226 4,530
* Chimerix Inc. 1,444,395 4,478
*,1 Fulgent Genetics Inc. 279,570 4,473
* Cidara Therapeutics Inc. 1,197,719 4,420
* Cyclerion Therapeutics Inc. 744,193 4,398
* Harpoon Therapeutics Inc. 264,272 4,387
* ContraFect Corp. 678,700 4,337
*,1 BioSig Technologies Inc. 598,964 4,313
*,1 CorMedix Inc. 679,973 4,284
*,1 Orgenesis Inc. 699,918 4,256
*,1 Altimmune Inc. 390,692 4,184
* Minerva Neurosciences Inc. 1,149,437 4,149
*,1 T2 Biosystems Inc. 3,158,573 4,011
* X4 Pharmaceuticals Inc. 430,247 4,010
*,1 Trevena Inc. 2,656,331 3,984
* Gritstone Oncology Inc. 598,855 3,976
* Harrow Health Inc. 763,120 3,976
* Exicure Inc. 1,621,663 3,957
*,1 Matinas BioPharma Holdings Inc. 5,112,722 3,952
* Jounce Therapeutics Inc. 570,130 3,934
*,1 Pulse Biosciences Inc. 372,039 3,892
* OptimizeRx Corp. 298,449 3,889
*,1 Hookipa Pharma Inc. 333,052 3,870
* Aravive Inc. 328,708 3,826
* Celsion Corp. 996,738 3,708
* CASI Pharmaceuticals Inc. 1,467,940 3,670
*,1 Fortress Biotech Inc. 1,365,083 3,658
*,1 AVEO Pharmaceuticals Inc. 705,382 3,633
*,1 Avenue Therapeutics Inc. 336,661 3,626
*,1 Rockwell Medical Inc. 1,845,422 3,599
*,1 Verrica Pharmaceuticals Inc. 325,091 3,579
35

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Enzo Biochem Inc. 1,586,114 3,553
* KalVista Pharmaceuticals Inc. 291,774 3,530
* Catalyst Biosciences Inc. 600,549 3,525
* Otonomy Inc. 963,343 3,487
* American Renal Associates Holdings Inc. 531,078 3,463
* scPharmaceuticals Inc. 468,694 3,450
* GlycoMimetics Inc. 910,116 3,422
*,1 Evelo Biosciences Inc. 697,917 3,420
*,1 Xeris Pharmaceuticals Inc. 1,283,094 3,413
* Aptinyx Inc. 804,915 3,356
* TCR2 Therapeutics Inc. 215,242 3,306
* Aduro Biotech Inc. 1,430,504 3,304
*,1 Applied Genetic Technologies Corp. 592,980 3,285
* Axcella Health Inc. 593,458 3,282
* Retractable Technologies Inc. 463,377 3,253
*,1 Genesis Healthcare Inc. Class A 4,696,669 3,241
*,1 Biomerica Inc. 446,732 3,239
*,1 Galectin Therapeutics Inc. 1,051,163 3,217
*,1 XOMA Corp. 160,766 3,177
*,1 Evolus Inc. 595,634 3,157
*,1 Actinium Pharmaceuticals Inc. 8,955,790 3,148
* Recro Pharma Inc. 684,253 3,113
*,1 Palatin Technologies Inc. 6,009,176 3,077
* Mustang Bio Inc. 958,613 3,048
* Savara Inc. 1,202,790 2,995
*,1 Lineage Cell Therapeutics Inc. 3,430,046 2,984
* 89bio Inc. 149,600 2,982
*,1 Biocept Inc. 4,181,600 2,975
*,1 Lexicon Pharmaceuticals Inc. 1,482,318 2,957
* IMARA Inc. 106,657 2,947
*,1 Lumos Pharma Inc. 177,113 2,921
*,1 Kaleido Biosciences Inc. 391,597 2,910
*,1 DermTech Inc. 219,700 2,907
* AdaptHealth Corp. Class A 180,184 2,901
*,1 Onconova Therapeutics Inc. 5,090,648 2,882
* Aldeyra Therapeutics Inc. 667,217 2,782
* Champions Oncology Inc. 289,286 2,766
* Catabasis Pharmaceuticals Inc. 423,735 2,725
* Immunic Inc. 224,400 2,720
*,1 AcelRx Pharmaceuticals Inc. 2,142,380 2,592
*,1 Exagen Inc. 207,653 2,577
*,1 Leap Therapeutics Inc. 1,205,117 2,519
*,1 La Jolla Pharmaceutical Co. 582,183 2,480
*,1 Tela Bio Inc. 190,155 2,464
* Cerecor Inc. 939,669 2,443
*,1 PAVmed Inc. 1,156,416 2,440
*,1 Bellerophon Therapeutics Inc. 191,133 2,399
* Pro-Dex Inc. 127,175 2,266
*,1,2 Pulmatrix Inc. 1,311,500 2,256
* Oncocyte Corp. 1,179,524 2,253
* Galera Therapeutics Inc. 309,002 2,206
*,1 Ampio Pharmaceuticals Inc. 3,462,732 2,205
*,1 Soleno Therapeutics Inc. 974,442 2,163
* Surface Oncology Inc. 323,119 2,120
*,1 MTBC Inc. 243,947 2,022
*,1 Zynerba Pharmaceuticals Inc. 598,065 2,015
*,1 Venus Concept Inc. 576,485 2,012
*,1 Milestone Scientific Inc. 1,015,938 1,981
*,1 Vir Biotechnology Inc. 47,376 1,941
* Clearside Biomedical Inc. 1,020,491 1,919
*,1 PhaseBio Pharmaceuticals Inc. 412,403 1,897
36

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
*,1 Zomedica Pharmaceuticals Corp. 7,964,345 1,895
*,1 Senseonics Holdings Inc. 4,827,947 1,883
* Arbutus Biopharma Corp. 1,031,555 1,877
*,1 Tyme Technologies Inc. 1,410,436 1,876
*,1 Marker Therapeutics Inc. 904,972 1,873
*,1 Eloxx Pharmaceuticals Inc. 608,308 1,843
*,1 Aquestive Therapeutics Inc. 373,583 1,816
* Five Star Senior Living Inc. 462,308 1,803
* Sesen Bio Inc. 2,475,212 1,782
*,1 Chembio Diagnostics Inc. 542,939 1,765
* Bioanalytical Systems Inc. 338,137 1,718
* Assertio Holdings Inc. 1,986,395 1,702
*,1 EyePoint Pharmaceuticals Inc. 2,205,834 1,670
*,1 Soliton Inc. 213,715 1,663
*,1 Proteostasis Therapeutics Inc. 1,195,732 1,638
* CTI BioPharma Corp. 1,356,188 1,573
*,1 Conformis Inc. 1,903,523 1,561
* Adamas Pharmaceuticals Inc. 607,738 1,556
*,1 Cassava Sciences Inc. 497,510 1,532
*,1 SCYNEXIS Inc. 2,036,941 1,530
* Forma Therapeutics Holdings Inc. 32,465 1,509
*,1 Enochian Biosciences Inc. 351,591 1,480
* Checkpoint Therapeutics Inc. 724,862 1,435
*,1 Solid Biosciences Inc. 489,748 1,435
*,1 Organovo Holdings Inc. 2,598,783 1,430
* LogicBio Therapeutics Inc. 167,462 1,417
*,1 Evoke Pharma Inc. 393,656 1,394
* ClearPoint Neuro Inc. 383,491 1,377
* Alpine Immune Sciences Inc. 139,028 1,350
* Infinity Pharmaceuticals Inc. 1,491,350 1,349
*,1 Miragen Therapeutics Inc. 1,205,649 1,338
* Soligenix Inc. 598,911 1,264
* IRIDEX Corp. 563,826 1,195
* Synlogic Inc. 586,414 1,190
*,1 Eton Pharmaceuticals Inc. 213,277 1,162
*,1 Genocea Biosciences Inc. 498,354 1,146
*,1 Aclaris Therapeutics Inc. 694,097 1,124
* AquaBounty Technologies Inc. 347,989 1,121
*,1 Idera Pharmaceuticals Inc. 613,295 1,098
*,1 Baudax Bio Inc. 263,817 1,095
* CARDIFF ONCOLOGY Inc. 216,695 1,086
*,1 Heat Biologics Inc. 1,278,687 1,078
* resTORbio Inc. 491,365 1,056
*,1 Corvus Pharmaceuticals Inc. 382,848 1,041
*,1 Celcuity Inc. 146,048 1,012
*,1 Acorda Therapeutics Inc. 1,366,942 1,004
* Aerpio Pharmaceuticals Inc. 802,614 1,003
* Curis Inc. 822,614 995
* Calyxt Inc. 200,296 987
  Merrimack Pharmaceuticals Inc. 285,294 950
*,1 Moleculin Biotech Inc. 969,880 939
* Sensus Healthcare Inc. 297,376 919
* Cumberland Pharmaceuticals Inc. 275,632 918
  Psychemedics Corp. 165,302 909
* Microbot Medical Inc. 129,911 898
* IsoRay Inc. 1,581,901 879
*,1 PolarityTE Inc. 697,780 865
*,1 Bellicum Pharmaceuticals Inc. 114,113 848
* Cabaletta Bio Inc. 74,221 827
* Standard Diversified Inc. Class A 61,049 788
*,1 Ekso Bionics Holdings Inc. 93,255 783
37

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
*,1 Lipocine Inc. 618,404 779
*,1 Neos Therapeutics Inc. 1,121,410 768
*,1 Sunesis Pharmaceuticals Inc. 2,860,014 753
*,1 Millendo Therapeutics Inc. 396,400 698
*,1 Cohbar Inc. 442,624 686
* DiaMedica Therapeutics Inc. 99,032 686
*,1 vTv Therapeutics Inc. Class A 303,148 682
* aTyr Pharma Inc. 152,825 679
*,1 HTG Molecular Diagnostics Inc. 936,812 675
*,1 Zosano Pharma Corp. 745,534 638
* Oncternal Therapeutics Inc. 214,040 608
* Generation Bio Co. 28,772 604
* Equillium Inc. 203,300 600
*,1 Strata Skin Sciences Inc. 517,774 595
*,1 Novan Inc. 1,219,168 589
* Oragenics Inc. 844,227 586
*,1 ElectroCore Inc. 700,682 576
*,1 Forte Biosciences Inc. 38,954 568
* PLx Pharma Inc. 178,053 564
* Neuronetics Inc. 290,135 560
*,1 Adamis Pharmaceuticals Corp. 1,029,133 553
* Apollo Endosurgery Inc. 338,627 549
* Vaxcyte Inc. 17,266 546
* Opiant Pharmaceuticals Inc. 59,635 534
* Geron Corp. Warrants Exp. 12/31/2025 1,202,419 529
* Capital Senior Living Corp. 740,585 526
*,1 Navidea Biopharmaceuticals Inc. 130,806 515
* Applied Molecular Transport Inc. 20,254 509
*,1 Cocrystal Pharma Inc. 332,275 505
*,1 Citius Pharmaceuticals Inc. 435,356 492
* Larimar Therapeutics Inc. 37,061 476
* Pliant Therapeutics Inc. 14,420 468
* Eyenovia Inc. 160,888 457
* AzurRx BioPharma Inc. 490,181 444
*,1 Vaccinex Inc. 121,573 439
* Nephros Inc. 48,125 404
* Alimera Sciences Inc. 62,517 394
*,1 AgeX Therapeutics Inc. 415,268 393
* Allena Pharmaceuticals Inc. 245,176 387
*,1 Biolase Inc. 815,191 377
* Spring Bank Pharmaceuticals Inc. 255,362 375
*,1 Endologix Inc. 458,529 369
* Progenity Inc. 40,463 364
* TFF Pharmaceuticals Inc. 62,460 360
* Histogen Inc. 93,683 357
*,1 Teligent Inc. 135,779 331
* Daxor Corp. 22,457 329
* Akouos Inc. 14,541 327
* Avidity Biosciences Inc. 11,538 326
* ImmuCell Corp. 66,289 312
* Neurotrope Inc. 259,399 301
*,1 9 Meters Biopharma Inc. 514,938 295
*,1 Outlook Therapeutics Inc. 223,704 289
* SELLAS Life Sciences Group Inc. 95,483 280
* Caladrius Biosciences Inc. 153,833 274
* Adial Pharmaceuticals Inc. 176,277 245
* Acer Therapeutics Inc. 70,268 241
* Brickell Biotech Inc. 240,499 240
* Aileron Therapeutics Inc. 199,290 235
*,1 TransEnterix Inc. 413,267 224
*,1 VIVUS Inc. 271,618 223
38

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Trevi Therapeutics Inc. 32,341 213
* Xtant Medical Holdings Inc. 221,928 200
* Aptevo Therapeutics Inc. 23,936 200
*,1 Unum Therapeutics Inc. 400,874 184
* Helius Medical Technologies Inc. Class A 314,754 134
* Lyra Therapeutics Inc. 11,419 129
* Kadmon Holdings Inc. Warrants Exp. 09/28/2022 169,257 120
*,1 OncoSec Medical Inc. 38,594 79
* American Shared Hospital Services 36,338 78
* Imac Holdings Inc. 38,906 49
* Inmune Bio Inc. 8,450 44
*,1,3 Synergy Pharmaceuticals Inc. 5,148,145 33
* RA Medical Systems Inc. 65,700 32
*,1 Second Sight Medical Products Inc. 30,930 30
*,1 Pulse Biosciences Inc. Warrants Exp. 06/05/2025 8,313 29
* Hoth Therapeutics Inc. 8,642 22
*,1,3 Oncternal Therapeutics Inc. CVR 8,933 18
* Entasis Therapeutics Holdings Inc. 5,429 16
* Seelos Therapeutics Inc. 16,239 16
* Biolase Inc. Rights Exp. 07/15/2020 815,191 10
*,3 NuPathe Inc. 158,681
* Advaxis Inc. Warrants Exp. 09/11/2024 157,660
*,3 Adolor Corp. Rights 592,629
            121,823,025
Industrials (11.6%)
* PayPal Holdings Inc. 33,465,397 5,830,676
  Accenture plc Class A 18,155,518 3,898,353
  Union Pacific Corp. 19,340,179 3,269,844
  Honeywell International Inc. 20,001,684 2,892,043
  Boeing Co. 15,281,067 2,801,020
  Raytheon Technologies Corp. 43,220,234 2,663,231
  3M Co. 16,395,195 2,557,486
  Lockheed Martin Corp. 6,792,729 2,478,803
  Fidelity National Information Services Inc. 17,607,912 2,361,045
  United Parcel Service Inc. Class B 20,069,646 2,231,343
  Caterpillar Inc. 15,426,466 1,951,448
  Automatic Data Processing Inc. 11,635,244 1,732,371
  General Electric Co. 249,288,934 1,702,643
* Fiserv Inc. 16,215,908 1,582,997
  CSX Corp. 21,814,205 1,521,323
  Global Payments Inc. 8,522,650 1,445,612
  Illinois Tool Works Inc. 8,097,769 1,415,895
  Deere & Co. 8,915,950 1,401,142
  Sherwin-Williams Co. 2,328,590 1,345,576
  Northrop Grumman Corp. 4,275,995 1,314,612
  Norfolk Southern Corp. 7,300,335 1,281,720
  Waste Management Inc. 12,076,787 1,279,053
* Square Inc. Class A 10,344,813 1,085,585
  Emerson Electric Co. 17,026,344 1,056,144
  General Dynamics Corp. 6,948,365 1,038,503
  Eaton Corp. plc 11,396,251 996,944
  FedEx Corp. 6,701,387 939,668
  Amphenol Corp. Class A 8,429,449 807,626
  Verisk Analytics Inc. Class A 4,620,003 786,325
  Agilent Technologies Inc. 8,776,451 775,575
  TE Connectivity Ltd. 9,397,960 766,404
  PACCAR Inc. 9,839,621 736,496
  Cummins Inc. 4,199,418 727,591
  Johnson Controls International plc 21,207,113 724,011
  Rockwell Automation Inc. 3,299,749 702,847
39

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Waste Connections Inc. 7,492,389 702,711
  Otis Worldwide Corp. 12,348,170 702,117
  Paychex Inc. 9,197,821 696,735
  Cintas Corp. 2,520,770 671,432
  Parker-Hannifin Corp. 3,651,868 669,278
  TransDigm Group Inc. 1,464,006 647,164
  Ball Corp. 9,293,478 645,804
  Trane Technologies plc 6,817,126 606,588
* FleetCor Technologies Inc. 2,387,698 600,578
  Equifax Inc. 3,457,626 594,297
  AMETEK Inc. 6,543,484 584,791
  Fortive Corp. 8,638,446 584,477
  Corning Inc. 21,689,352 561,754
  Carrier Global Corp. 24,712,487 549,111
* Mettler-Toledo International Inc. 681,221 548,758
* Keysight Technologies Inc. 5,322,679 536,420
  Old Dominion Freight Line Inc. 3,027,219 513,386
  Republic Services Inc. Class A 5,895,906 483,759
  TransUnion 5,413,353 471,178
  Vulcan Materials Co. 3,778,522 437,742
  WW Grainger Inc. 1,295,869 407,110
  Kansas City Southern 2,712,625 404,968
  Jack Henry & Associates Inc. 2,185,054 402,115
  Dover Corp. 4,103,810 396,264
* Zebra Technologies Corp. Class A 1,514,548 387,649
  Masco Corp. 7,516,587 377,408
  Martin Marietta Materials Inc. 1,773,219 366,294
  Expeditors International of Washington Inc. 4,742,150 360,593
  IDEX Corp. 2,149,276 339,672
  Xylem Inc. 5,132,877 333,432
* Fair Isaac Corp. 784,831 328,091
* Teledyne Technologies Inc. 1,044,712 324,853
* Waters Corp. 1,765,768 318,545
  Jacobs Engineering Group Inc. 3,706,667 314,325
* Trimble Inc. 7,109,453 307,057
* United Rentals Inc. 2,054,653 306,225
  Booz Allen Hamilton Holding Corp. Class A 3,924,719 305,304
  CH Robinson Worldwide Inc. 3,834,837 303,182
  Westinghouse Air Brake Technologies Corp. 5,156,089 296,836
  JB Hunt Transport Services Inc. 2,403,803 289,274
* Ingersoll Rand Inc. 10,102,722 284,089
  Nordson Corp. 1,480,880 280,938
  Cognex Corp. 4,655,340 278,017
  Avery Dennison Corp. 2,374,970 270,960
  Packaging Corp. of America 2,701,997 269,659
  Allegion plc 2,630,449 268,884
* Crown Holdings Inc. 3,838,234 249,984
  Lennox International Inc. 1,035,972 241,371
  HEICO Corp. Class A 2,798,048 227,313
  Graco Inc. 4,725,781 226,790
* Generac Holdings Inc. 1,787,098 217,901
* Trex Co. Inc. 1,651,784 214,848
  Snap-on Inc. 1,547,019 214,278
  Textron Inc. 6,484,596 213,408
  Westrock Co. 7,372,595 208,350
* WEX Inc. 1,241,745 204,900
  AptarGroup Inc. 1,824,335 204,289
  Toro Co. 3,043,604 201,913
  Huntington Ingalls Industries Inc. 1,153,415 201,259
* XPO Logistics Inc. 2,602,724 201,060
  Genpact Ltd. 5,428,459 198,247
40

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Hubbell Inc. Class B 1,544,940 193,674
  Carlisle Cos. Inc. 1,560,720 186,771
  A O Smith Corp. 3,859,313 181,851
  Universal Display Corp. 1,210,362 181,094
  Pentair plc 4,713,015 179,047
  Howmet Aerospace Inc. 11,198,929 177,503
* Axon Enterprise Inc. 1,792,869 175,934
  Owens Corning 3,091,838 172,401
* Berry Global Group Inc. 3,781,117 167,579
  Donaldson Co. Inc. 3,598,140 167,385
* Sensata Technologies Holding plc 4,492,472 167,255
  Watsco Inc. 932,262 165,663
* AECOM 4,341,968 163,171
  Robert Half International Inc. 3,085,407 163,002
* HD Supply Holdings Inc. 4,613,644 159,863
* IPG Photonics Corp. 982,844 157,638
* Arrow Electronics Inc. 2,253,226 154,774
  BWX Technologies Inc. 2,714,054 153,724
  Quanta Services Inc. 3,911,330 153,441
  CoreLogic Inc. 2,259,596 151,890
  Knight-Swift Transportation Holdings Inc. Class A 3,638,409 151,758
  FLIR Systems Inc. 3,739,624 151,717
  Sonoco Products Co. 2,852,203 149,142
* Stericycle Inc. 2,611,352 146,183
  Sealed Air Corp. 4,440,447 145,869
* Paylocity Holding Corp. 997,649 145,547
  ITT Inc. 2,463,788 144,723
  Brunswick Corp. 2,252,975 144,213
  Lincoln Electric Holdings Inc. 1,692,914 142,611
  Oshkosh Corp. 1,940,212 138,958
* Euronet Worldwide Inc. 1,418,541 135,925
  Woodward Inc. 1,691,725 131,193
  MDU Resources Group Inc. 5,723,789 126,954
* Middleby Corp. 1,588,607 125,405
* Mercury Systems Inc. 1,586,129 124,765
  Jabil Inc. 3,864,353 123,968
  Landstar System Inc. 1,094,645 122,940
  MAXIMUS Inc. 1,739,890 122,575
  Tetra Tech Inc. 1,535,317 121,474
* FTI Consulting Inc. 1,057,489 121,135
  MSA Safety Inc. 1,054,685 120,698
  Exponent Inc. 1,469,713 118,944
*,1 Bill.com Holdings Inc. 1,297,676 117,063
* II-VI Inc. 2,475,048 116,872
  ManpowerGroup Inc. 1,656,710 113,899
  Allison Transmission Holdings Inc. 3,060,160 112,553
  Littelfuse Inc. 654,288 111,641
  Graphic Packaging Holding Co. 7,967,797 111,469
  Acuity Brands Inc. 1,130,998 108,282
* TopBuild Corp. 950,984 108,193
  Hexcel Corp. 2,375,622 107,426
  Armstrong World Industries Inc. 1,373,471 107,076
  Curtiss-Wright Corp. 1,188,273 106,089
  Flowserve Corp. 3,705,580 105,683
  Simpson Manufacturing Co. Inc. 1,241,347 104,720
  EMCOR Group Inc. 1,562,413 103,338
  Regal Beloit Corp. 1,156,689 101,002
* Novanta Inc. 945,394 100,940
  AGCO Corp. 1,709,234 94,794
* ASGN Inc. 1,420,587 94,725
  Rexnord Corp. 3,247,409 94,662
41

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  KBR Inc. 4,059,354 91,538
* RBC Bearings Inc. 680,301 91,188
  nVent Electric plc 4,861,423 91,054
  Air Lease Corp. Class A 3,071,035 89,951
* Coherent Inc. 686,744 89,950
  Timken Co. 1,930,376 87,813
* Kirby Corp. 1,618,413 86,682
* Clean Harbors Inc. 1,431,497 85,861
* Aerojet Rocketdyne Holdings Inc. 2,134,349 84,606
* ACI Worldwide Inc. 3,131,611 84,522
  Crane Co. 1,415,274 84,152
  Eagle Materials Inc. 1,187,074 83,356
  Louisiana-Pacific Corp. 3,216,469 82,502
* Saia Inc. 737,752 82,023
* Proto Labs Inc. 723,478 81,370
  MSC Industrial Direct Co. Inc. Class A 1,102,984 80,308
*,1 Colfax Corp. 2,874,399 80,196
  Avnet Inc. 2,826,294 78,811
  EnerSys 1,220,257 78,560
  UniFirst Corp. 434,843 77,815
  John Bean Technologies Corp. 899,159 77,346
  Werner Enterprises Inc. 1,671,974 72,781
* Itron Inc. 1,094,556 72,514
  Spirit AeroSystems Holdings Inc. Class A 3,020,377 72,308
* MasTec Inc. 1,580,161 70,902
  Silgan Holdings Inc. 2,180,941 70,641
* TriNet Group Inc. 1,152,991 70,263
  Applied Industrial Technologies Inc. 1,115,283 69,583
  Advanced Drainage Systems Inc. 1,388,309 68,582
* Builders FirstSource Inc. 3,301,850 68,348
  ABM Industries Inc. 1,882,636 68,340
  Kennametal Inc. 2,364,031 67,871
  Insperity Inc. 1,044,064 67,582
* Casella Waste Systems Inc. Class A 1,295,564 67,525
* Green Dot Corp. Class A 1,362,596 66,876
  Valmont Industries Inc. 580,624 65,970
* Rogers Corp. 527,558 65,734
  Brink's Co. 1,433,687 65,247
  Brady Corp. Class A 1,391,778 65,163
* Fabrinet 1,043,334 65,125
  Macquarie Infrastructure Corp. 2,096,082 64,329
  AAON Inc. 1,183,449 64,249
  Watts Water Technologies Inc. Class A 780,860 63,250
  ESCO Technologies Inc. 747,455 63,182
* Advanced Disposal Services Inc. 2,036,226 61,433
  GATX Corp. 995,069 60,679
* AMN Healthcare Services Inc. 1,332,779 60,295
* ExlService Holdings Inc. 938,516 59,502
  Alliance Data Systems Corp. 1,295,521 58,454
  Vishay Intertechnology Inc. 3,805,986 58,117
  Franklin Electric Co. Inc. 1,102,403 57,898
  EVERTEC Inc. 2,059,521 57,873
  Altra Industrial Motion Corp. 1,816,415 57,871
  Ryder System Inc. 1,526,761 57,269
* Plexus Corp. 797,816 56,294
  HEICO Corp. 551,911 54,998
* Masonite International Corp. 703,213 54,696
* Kratos Defense & Security Solutions Inc. 3,447,795 53,889
  Trinity Industries Inc. 2,521,920 53,692
  Barnes Group Inc. 1,349,841 53,400
  ManTech International Corp. Class A 773,098 52,949
42

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Badger Meter Inc. 841,499 52,947
*,1,4 API Group Corp. 4,343,675 52,776
* Summit Materials Inc. Class A 3,262,978 52,469
  Federal Signal Corp. 1,731,326 51,472
  Albany International Corp. Class A 870,292 51,095
* SPX Corp. 1,223,376 50,342
* Chart Industries Inc. 1,029,162 49,904
  Hillenbrand Inc. 1,808,751 48,963
* AeroVironment Inc. 609,865 48,564
* BMC Stock Holdings Inc. 1,921,115 48,297
* WESCO International Inc. 1,368,231 48,039
  Korn Ferry 1,561,212 47,976
* MACOM Technology Solutions Holdings Inc. 1,353,862 46,505
* Sanmina Corp. 1,828,172 45,777
  Moog Inc. Class A 861,077 45,620
* Pluralsight Inc. Class A 2,508,361 45,276
* Gibraltar Industries Inc. 937,436 45,006
* SPX FLOW Inc. 1,194,130 44,708
  Fluor Corp. 3,653,453 44,134
* Installed Building Products Inc. 639,565 43,989
  Otter Tail Corp. 1,133,237 43,958
* Hub Group Inc. Class A 913,449 43,718
  Schneider National Inc. Class B 1,747,588 43,113
* Ambarella Inc. 937,176 42,923
  Cubic Corp. 888,842 42,691
  Mueller Water Products Inc. Class A 4,488,846 42,330
  Triton International Ltd. 1,388,062 41,975
  Belden Inc. 1,289,336 41,968
* Beacon Roofing Supply Inc. 1,583,360 41,753
  Boise Cascade Co. 1,108,745 41,700
*,1 Virgin Galactic Holdings Inc. 2,532,391 41,379
* Resideo Technologies Inc. 3,510,925 41,148
  Mueller Industries Inc. 1,528,622 40,631
  Forward Air Corp. 815,016 40,604
* Vicor Corp. 563,899 40,573
  O-I Glass Inc. 4,472,840 40,166
  Comfort Systems USA Inc. 975,333 39,745
* Navistar International Corp. 1,408,848 39,730
* Meritor Inc. 1,955,328 38,715
* Verra Mobility Corp. Class A 3,728,108 38,325
  Mobile Mini Inc. 1,247,302 36,795
  Patrick Industries Inc. 598,947 36,686
  McGrath RentCorp 677,752 36,605
* Allegheny Technologies Inc. 3,588,128 36,563
* Atkore International Group Inc. 1,325,475 36,252
  Matson Inc. 1,240,655 36,103
  Terex Corp. 1,910,787 35,865
* Air Transport Services Group Inc. 1,604,242 35,726
* OSI Systems Inc. 473,639 35,352
* Dycom Industries Inc. 853,853 34,914
* CBIZ Inc. 1,448,571 34,722
* TTM Technologies Inc. 2,896,778 34,356
*,1 Cimpress plc 444,730 33,951
  ICF International Inc. 515,858 33,443
*,1 CryoPort Inc. 1,103,839 33,391
  Kadant Inc. 329,890 32,877
  Kaman Corp. 781,401 32,506
  Alamo Group Inc. 315,433 32,376
  Methode Electronics Inc. 1,020,746 31,909
* Atlas Air Worldwide Holdings Inc. 734,051 31,586
  Tennant Co. 485,609 31,569
43

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Covanta Holding Corp. 3,289,108 31,543
  US Ecology Inc. 930,408 31,522
  Helios Technologies Inc. 835,209 31,112
  Greif Inc. Class A 903,515 31,090
* TriMas Corp. 1,267,074 30,346
* Repay Holdings Corp. Class A 1,231,601 30,334
  Astec Industries Inc. 652,082 30,198
* Harsco Corp. 2,233,816 30,179
* AZEK Co. Inc. Class A 936,297 29,830
  Enerpac Tool Group Corp. Class A 1,692,093 29,781
  Maxar Technologies Inc. 1,655,692 29,736
* JELD-WEN Holding Inc. 1,845,184 29,726
  Mesa Laboratories Inc. 135,982 29,481
  CSW Industrials Inc. 426,059 29,445
* Sykes Enterprises Inc. 1,064,325 29,439
* Huron Consulting Group Inc. 661,519 29,272
  EnPro Industries Inc. 583,137 28,743
* GMS Inc. 1,160,055 28,526
  Lindsay Corp. 305,146 28,138
  Deluxe Corp. 1,194,133 28,110
  Encore Wire Corp. 560,490 27,363
  Marten Transport Ltd. 1,077,543 27,111
* FARO Technologies Inc. 495,391 26,553
* Parsons Corp. 717,934 26,018
1 ADT Inc. 3,251,738 25,949
* Evo Payments Inc. Class A 1,136,308 25,942
* Livent Corp. 4,179,982 25,749
  Heartland Express Inc. 1,232,099 25,652
  Granite Construction Inc. 1,319,930 25,263
*,1 Bloom Energy Corp. Class A 2,305,095 25,079
  AZZ Inc. 728,565 25,004
* Cardtronics plc Class A 1,013,102 24,294
* PGT Innovations Inc. 1,537,418 24,107
  TTEC Holdings Inc. 517,139 24,078
  Douglas Dynamics Inc. 654,824 22,997
  Primoris Services Corp. 1,283,421 22,794
* Welbilt Inc. 3,652,693 22,245
  Benchmark Electronics Inc. 1,028,705 22,220
  Raven Industries Inc. 1,011,816 21,764
  Griffon Corp. 1,153,949 21,371
  Columbus McKinnon Corp. 629,197 21,047
* Herc Holdings Inc. 676,730 20,796
  Standex International Corp. 361,164 20,785
  Greenbrier Cos. Inc. 887,198 20,184
  Argan Inc. 420,865 19,941
  AAR Corp. 928,019 19,182
*,1 PAE Inc. 1,987,000 18,996
  Gorman-Rupp Co. 608,001 18,897
  ArcBest Corp. 702,517 18,624
* Veeco Instruments Inc. 1,342,529 18,111
  Kforce Inc. 576,320 16,857
  H&E Equipment Services Inc. 904,677 16,718
  CTS Corp. 829,391 16,621
  Apogee Enterprises Inc. 707,806 16,308
* SEACOR Holdings Inc. 557,054 15,776
* Vectrus Inc. 317,227 15,585
* TrueBlue Inc. 1,020,118 15,577
  Shyft Group Inc. 920,567 15,502
* Great Lakes Dredge & Dock Corp. 1,673,560 15,497
  Kelly Services Inc. Class A 978,800 15,480
* Shift4 Payments Inc. Class A 433,267 15,381
44

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* MYR Group Inc. 477,852 15,248
  Myers Industries Inc. 1,038,751 15,114
* Echo Global Logistics Inc. 693,118 14,985
* CIRCOR International Inc. 587,913 14,980
  Wabash National Corp. 1,404,810 14,919
  Cass Information Systems Inc. 378,389 14,769
* Aegion Corp. Class A 909,338 14,431
*,1 NV5 Global Inc. 276,543 14,057
* Tutor Perini Corp. 1,116,346 13,597
* Thermon Group Holdings Inc. 887,307 12,928
  Quanex Building Products Corp. 929,190 12,897
* Gates Industrial Corp. plc 1,235,437 12,700
  Triumph Group Inc. 1,390,827 12,531
* Construction Partners Inc. Class A 700,686 12,444
  Ennis Inc. 677,572 12,291
* Everi Holdings Inc. 2,368,691 12,222
2 Hurco Cos. Inc. 432,678 12,102
  International Seaways Inc. 697,585 11,399
* US Concrete Inc. 451,964 11,209
  Hyster-Yale Materials Handling Inc. 288,442 11,151
  Heidrick & Struggles International Inc. 514,314 11,119
* Conduent Inc. 4,607,039 11,011
  Barrett Business Services Inc. 206,543 10,974
* Cornerstone Building Brands Inc. 1,807,777 10,955
* Ducommun Inc. 313,428 10,929
* Manitowoc Co. Inc. 1,003,843 10,922
* CyberOptics Corp. 336,889 10,851
*,2 Transcat Inc. 417,984 10,809
* UFP Technologies Inc. 232,903 10,262
* Energy Recovery Inc. 1,344,952 10,215
  Resources Connection Inc. 846,347 10,131
  Insteel Industries Inc. 507,056 9,670
  NVE Corp. 155,199 9,596
  MTS Systems Corp. 538,971 9,481
* Kimball Electronics Inc. 698,881 9,463
* Northwest Pipe Co. 374,738 9,395
* DXP Enterprises Inc. 454,550 9,050
2 LSI Industries Inc. 1,357,970 8,786
  Miller Industries Inc. 294,287 8,761
  VSE Corp. 278,984 8,757
  Park Aerospace Corp. 776,872 8,654
  Allied Motion Technologies Inc. 239,777 8,464
* Foundation Building Materials Inc. 542,185 8,464
  CRA International Inc. 207,497 8,196
* CAI International Inc. 490,386 8,170
* Gencor Industries Inc. 637,410 8,057
*,1 GreenSky Inc. Class A 1,643,156 8,051
* Willdan Group Inc. 321,579 8,043
* Heritage-Crystal Clean Inc. 457,541 7,989
* Napco Security Technologies Inc. 335,202 7,840
* Iteris Inc. 1,646,141 7,827
* Sterling Construction Co. Inc. 741,365 7,762
* Franklin Covey Co. 358,589 7,674
* Lydall Inc. 547,947 7,430
* Veritiv Corp. 434,094 7,362
* Cross Country Healthcare Inc. 1,185,083 7,300
* Modine Manufacturing Co. 1,318,146 7,276
* Luna Innovations Inc. 1,219,496 7,122
  Global Water Resources Inc. 674,454 7,109
* Donnelley Financial Solutions Inc. 835,000 7,014
* CECO Environmental Corp. 1,025,877 6,761
45

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Astronics Corp. 637,603 6,733
  Daktronics Inc. 1,544,443 6,718
*,1 ShotSpotter Inc. 266,498 6,716
* Vishay Precision Group Inc. 271,246 6,667
* Forterra Inc. 595,526 6,646
* Ranpak Holdings Corp. Class A 881,479 6,558
  Powell Industries Inc. 234,793 6,431
* Acacia Research Corp. 1,515,871 6,200
*,1 Paysign Inc. 602,949 5,855
*,1 MicroVision Inc. 4,303,031 5,852
* Covenant Transportation Group Inc. Class A 403,943 5,829
* Intevac Inc. 1,050,268 5,734
* ServiceSource International Inc. 3,577,991 5,653
* Radiant Logistics Inc. 1,427,018 5,608
* Overseas Shipholding Group Inc. Class A 3,011,632 5,602
* L B Foster Co. Class A 427,738 5,462
*,1 Alpha Pro Tech Ltd. 294,661 5,215
  NN Inc. 1,072,899 5,086
* Aspen Aerogels Inc. 772,043 5,080
* IntriCon Corp. 373,417 5,049
* IES Holdings Inc. 212,930 4,934
* Daseke Inc. 1,236,245 4,858
* Team Inc. 838,302 4,669
*,1 EVI Industries Inc. 209,563 4,550
  Graham Corp. 351,529 4,478
* Orion Energy Systems Inc. 1,292,281 4,471
  Park-Ohio Holdings Corp. 268,947 4,462
* Lawson Products Inc. 136,932 4,417
  REV Group Inc. 711,086 4,338
* PFSweb Inc. 630,483 4,212
*,1 Eagle Bulk Shipping Inc. 1,914,845 4,194
* I3 Verticals Inc. Class A 137,469 4,158
  United States Lime & Minerals Inc. 47,177 3,984
  Eastern Co. 217,327 3,884
* GP Strategies Corp. 446,262 3,829
* IEC Electronics Corp. 396,801 3,821
*,1 ExOne Co. 445,268 3,807
* DHI Group Inc. 1,809,311 3,800
* Sharps Compliance Corp. 529,964 3,726
* US Xpress Enterprises Inc. Class A 602,647 3,616
*,1 HC2 Holdings Inc. 1,075,504 3,592
  Universal Logistics Holdings Inc. 205,109 3,565
  BG Staffing Inc. 305,568 3,459
* Asure Software Inc. 533,955 3,433
* Information Services Group Inc. 1,630,546 3,375
*,1 Wrap Technologies Inc. 316,849 3,321
*,1 Research Frontiers Inc. 808,942 3,284
* Commercial Vehicle Group Inc. 1,113,179 3,217
* Hill International Inc. 2,112,616 3,211
  Bel Fuse Inc. Class B 295,727 3,173
* General Finance Corp. 460,722 3,091
* Goldfield Corp. 812,034 3,013
* Concrete Pumping Holdings Inc. 857,449 2,984
  Preformed Line Products Co. 58,994 2,950
* Ultralife Corp. 414,263 2,904
  Crawford & Co. Class A 367,705 2,901
* StarTek Inc. 568,570 2,888
* Bristow Group Inc. Class A 204,269 2,845
*,2 Issuer Direct Corp. 276,424 2,806
*,1 BlueLinx Holdings Inc. 321,145 2,752
*,2 Perma-Pipe International Holdings Inc. 472,430 2,655
46

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
1 Advanced Emissions Solutions Inc. 534,255 2,591
* Manitex International Inc. 512,122 2,545
* Orion Group Holdings Inc. 792,966 2,490
* Select Interior Concepts Inc. Class A 709,855 2,484
  Crawford & Co. Class B 350,392 2,463
* PRGX Global Inc. 516,789 2,429
* Willis Lease Finance Corp. 99,130 2,407
* Research Solutions Inc. 1,000,000 2,370
  Quad/Graphics Inc. 718,815 2,336
1 RR Donnelley & Sons Co. 1,908,393 2,271
* InnerWorkings Inc. 1,686,933 2,227
* Mayville Engineering Co. Inc. 268,889 2,124
*,1 Babcock & Wilcox Enterprises Inc. 918,791 2,095
1 Titan International Inc. 1,419,716 2,073
*,1 Energous Corp. 704,229 1,986
* Twin Disc Inc. 358,205 1,984
* Rekor Systems Inc. 490,647 1,963
*,1 Aqua Metals Inc. 1,348,801 1,888
*,1 YRC Worldwide Inc. 1,017,816 1,883
* LGL Group Inc. 215,786 1,834
* Perma-Fix Environmental Services Inc. 285,628 1,825
*,1 Digital Ally Inc. 569,178 1,787
* PAM Transportation Services Inc. 56,754 1,745
* Armstrong Flooring Inc. 582,389 1,741
* Frequency Electronics Inc. 192,502 1,686
* DLH Holdings Corp. 217,207 1,594
1 Briggs & Stratton Corp. 1,178,569 1,544
* Mistras Group Inc. 375,778 1,484
* Innovative Solutions & Support Inc. 292,030 1,460
* CPI Aerostructures Inc. 436,504 1,436
* Broadwind Inc. 380,668 1,428
* Target Hospitality Corp. 841,041 1,421
* Horizon Global Corp. 556,734 1,225
* LightPath Technologies Inc. Class A 363,675 1,215
* Nesco Holdings Inc. 298,528 1,200
  Richardson Electronics Ltd. 294,196 1,189
  RF Industries Ltd. 245,831 1,146
* USA Truck Inc. 139,872 1,084
* Houston Wire & Cable Co. 433,061 1,022
  ARC Document Solutions Inc. 997,830 998
*,1 Coda Octopus Group Inc. 183,468 945
*,1 Charah Solutions Inc. 286,337 911
  Greif Inc. Class B 21,694 907
* Air Industries Group 747,231 889
*,1 Hudson Technologies Inc. 872,556 881
* HireQuest Inc. 126,706 810
*,1 Odyssey Marine Exploration Inc. 167,947 783
*,1 Vertex Energy Inc. 1,091,322 778
* Volt Information Sciences Inc. 572,256 738
* eMagin Corp. 915,968 723
*,1 Applied DNA Sciences Inc. 88,084 711
*,1 Rubicon Technology Inc. 80,569 646
  Espey Manufacturing & Electronics Corp. 36,520 633
* Hudson Global Inc. 63,373 555
* Limbach Holdings Inc. 149,531 550
*,1 ClearSign Technologies Corp. 240,083 499
* Verb Technology Co. Inc. 430,834 478
* Perceptron Inc. 139,462 462
* Huttig Building Products Inc. 400,145 448
* Orbital Energy Group Inc. 688,520 427
* SIFCO Industries Inc. 95,641 383
47

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Astrotech Corp. 128,680 367
* Air T Inc. 32,804 361
  AMCON Distributing Co. 6,102 344
* FreightCar America Inc. 276,496 343
* Wireless Telecom Group Inc. 305,882 304
* Usio Inc. 142,603 278
* Image Sensing Systems Inc. 79,211 268
* Lightbridge Corp. 59,325 266
  Patriot Transportation Holding Inc. 30,685 260
*,1 Boxlight Corp. Class A 268,979 247
  Chicago Rivet & Machine Co. 11,238 240
* Jewett-Cameron Trading Co. Ltd. 32,900 236
* Ballantyne Strong Inc. 124,748 205
* ENGlobal Corp. 172,651 178
* ALJ Regional Holdings Inc. 266,005 133
* Fuel Tech Inc. 144,104 121
* Steel Connect Inc. 150,146 90
  Servotronics Inc. 5,014 38
* Quest Resource Holding Corp. 25,955 35
  Bel Fuse Inc. Class A 2,976 30
* Tecogen Inc. 38,496 27
* Sypris Solutions Inc. 35,375 26
*,3 Patriot National Inc. 129,819
* Eagle Bulk Shipping Inc. Warrants Exp. 10/15/2021 1
            101,267,496
Oil & Gas (2.6%)
  Exxon Mobil Corp. 120,495,109 5,388,541
  Chevron Corp. 53,206,224 4,747,591
  ConocoPhillips 30,545,486 1,283,521
  Phillips 66 12,438,269 894,312
  EOG Resources Inc. 16,575,965 839,738
  Kinder Morgan Inc. 54,745,054 830,482
  Schlumberger Ltd. 39,510,595 726,600
  Marathon Petroleum Corp. 18,550,570 693,420
  Valero Energy Corp. 11,625,618 683,819
  Williams Cos. Inc. 34,592,583 657,951
  Occidental Petroleum Corp. 25,667,974 469,724
  Pioneer Natural Resources Co. 4,703,947 459,576
  ONEOK Inc. 12,553,158 417,016
  Hess Corp. 7,896,130 409,098
* Cheniere Energy Inc. 6,470,295 312,645
  Halliburton Co. 22,498,707 292,033
  Concho Resources Inc. 5,631,874 290,042
  Baker Hughes Co. Class A 18,654,742 287,096
  Cabot Oil & Gas Corp. 11,353,133 195,047
  Diamondback Energy Inc. 4,500,279 188,202
  Apache Corp. 10,786,596 145,619
* Enphase Energy Inc. 3,039,041 144,567
  Marathon Oil Corp. 22,598,964 138,306
  National Oilwell Varco Inc. 11,108,771 136,082
  Targa Resources Corp. 6,346,280 127,370
  Devon Energy Corp. 10,970,779 124,409
  Noble Energy Inc. 13,733,900 123,056
  HollyFrontier Corp. 4,153,386 121,279
* First Solar Inc. 2,122,355 105,057
  Parsley Energy Inc. Class A 8,663,656 92,528
  EQT Corp. 7,296,701 86,831
  Cimarex Energy Co. 2,915,149 80,137
*,1 Plug Power Inc. 9,299,030 76,345
* WPX Energy Inc. 11,206,377 71,497
48

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
1 Ovintiv Inc. 7,052,920 67,355
  Arcosa Inc. 1,360,308 57,405
  Helmerich & Payne Inc. 2,916,752 56,906
  Murphy Oil Corp. 4,115,875 56,799
*,1 ChampionX Corp. 5,447,585 53,168
  Equitrans Midstream Corp. 5,811,001 48,289
  Antero Midstream Corp. 8,885,589 45,316
  World Fuel Services Corp. 1,726,746 44,481
* Southwestern Energy Co. 15,572,132 39,865
  Delek US Holdings Inc. 2,117,896 36,873
1 Continental Resources Inc. 2,087,649 36,596
* PDC Energy Inc. 2,869,928 35,702
1 Range Resources Corp. 6,156,785 34,663
* CNX Resources Corp. 3,766,454 32,580
*,1 Transocean Ltd. 16,546,464 30,280
* Dril-Quip Inc. 997,468 29,715
  PBF Energy Inc. Class A 2,747,039 28,130
  Archrock Inc. 4,266,210 27,688
  Cactus Inc. Class A 1,331,826 27,476
*,1 Matador Resources Co. 3,173,101 26,971
* NOW Inc. 3,054,950 26,364
* Renewable Energy Group Inc. 1,046,384 25,929
1 Core Laboratories NV 1,269,468 25,796
* Magnolia Oil & Gas Corp. Class A 3,308,567 20,050
* TPI Composites Inc. 846,671 19,787
* Oceaneering International Inc. 2,864,216 18,302
  Patterson-UTI Energy Inc. 5,080,461 17,629
* Ameresco Inc. Class A 613,138 17,033
  CVR Energy Inc. 834,484 16,781
*,1 Antero Resources Corp. 6,565,694 16,677
*,1 SunPower Corp. 2,074,262 15,889
* Helix Energy Solutions Group Inc. 4,088,322 14,186
*,1 FuelCell Energy Inc. 5,649,757 12,768
* ProPetro Holding Corp. 2,459,041 12,639
  Brigham Minerals Inc. Class A 1,019,773 12,594
* MRC Global Inc. 2,123,724 12,551
*,1 Callon Petroleum Co. 10,518,073 12,096
  SM Energy Co. 3,204,564 12,017
* REX American Resources Corp. 162,211 11,253
* NexTier Oilfield Solutions Inc. 4,466,350 10,943
1 DMC Global Inc. 395,860 10,926
  Liberty Oilfield Services Inc. Class A 1,883,153 10,320
  Berry Corp. 2,109,485 10,189
*,1 Green Plains Inc. 938,932 9,591
* Par Pacific Holdings Inc. 1,049,600 9,436
  QEP Resources Inc. 6,803,687 8,777
* Select Energy Services Inc. Class A 1,637,595 8,024
* Bonanza Creek Energy Inc. 533,564 7,907
1 Nabors Industries Ltd. 202,163 7,484
* Oil States International Inc. 1,564,156 7,430
*,1 Northern Oil and Gas Inc. 8,070,223 6,770
* Matrix Service Co. 692,381 6,730
*,1 Oasis Petroleum Inc. 8,952,150 6,714
* Trecora Resources 1,060,861 6,652
  Solaris Oilfield Infrastructure Inc. Class A 860,268 6,383
* Tidewater Inc. 1,092,988 6,110
*,1 Contango Oil & Gas Co. 2,634,122 6,032
*,1 W&T Offshore Inc. 2,529,883 5,768
* Newpark Resources Inc. 2,545,919 5,677
* American Superconductor Corp. 673,876 5,479
*,1 RPC Inc. 1,678,674 5,170
49

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
*,1 Tellurian Inc. 4,487,707 5,161
* Talos Energy Inc. 534,992 4,922
* Exterran Corp. 898,662 4,844
* Gulfport Energy Corp. 4,159,066 4,533
*,1 Centennial Resource Development Inc. Class A 5,081,833 4,523
* Battalion Oil Corp. 429,671 4,082
* Penn Virginia Corp. 410,238 3,910
*,1 Valaris plc Class A 5,725,186 3,732
*,1 Denbury Resources Inc. 13,421,500 3,706
*,1 Laredo Petroleum Inc. 244,802 3,393
* Geospace Technologies Corp. 401,682 3,021
*,1 Whiting Petroleum Corp. 2,658,815 3,004
  Falcon Minerals Corp. 918,900 2,940
* Natural Gas Services Group Inc. 365,316 2,291
*,1 Noble Corp. plc 7,133,017 2,290
*,1 Flotek Industries Inc. 1,892,315 2,271
*,1 NextDecade Corp. 924,458 1,997
* Montage Resources Corp. 492,406 1,945
* Goodrich Petroleum Corp. 265,810 1,914
*,1 TETRA Technologies Inc. 3,415,280 1,825
  Adams Resources & Energy Inc. 67,028 1,794
  Evolution Petroleum Corp. 633,497 1,774
* VAALCO Energy Inc. 1,411,904 1,751
*,1 Zion Oil & Gas Inc. 5,857,111 1,744
* Gulf Island Fabrication Inc. 540,255 1,659
*,1 California Resources Corp. 1,338,196 1,633
* PrimeEnergy Resources Corp. 21,616 1,537
*,1 Ring Energy Inc. 1,214,955 1,409
* SEACOR Marine Holdings Inc. 549,241 1,401
*,1 Altus Midstream Co. 2,048,939 1,298
*,1 KLX Energy Services Holdings Inc. 588,372 1,265
* Earthstone Energy Inc. Class A 441,335 1,253
* SandRidge Energy Inc. 959,542 1,238
*,1 Envision Solar International Inc. 123,407 1,230
*,1 Abraxas Petroleum Corp. 4,761,451 1,111
*,1 Forum Energy Technologies Inc. 2,020,961 1,067
*,1 Epsilon Energy Ltd. 353,256 1,042
1 Amplify Energy Corp. 772,672 950
  Panhandle Oil and Gas Inc. Class A 352,515 945
*,1 HighPoint Resources Corp. 3,029,949 894
* Infrastructure and Energy Alternatives Inc. 187,458 746
* ION Geophysical Corp. 314,750 737
* Pacific Ethanol Inc. 980,570 696
*,1 Chaparral Energy Inc. Class A 1,059,360 687
* Dawson Geophysical Co. 476,758 687
*,1 Nine Energy Service Inc. 328,770 641
*,1 SilverBow Resources Inc. 191,149 614
*,1 Smart Sand Inc. 511,406 537
* Mitcham Industries Inc. 333,773 534
*,1 Capstone Turbine Corp. 164,075 495
* Ranger Energy Services Inc. Class A 167,815 495
*,1 Torchlight Energy Resources Inc. 1,284,189 466
*,1 Covia Holdings Corp. 944,310 453
*,1 US Well Services Inc. Class A 739,453 360
*,1 Chesapeake Energy Corp. 52,420 257
*,1 Mammoth Energy Services Inc. 194,314 229
*,1 FTS International Inc. 32,802 226
*,1 Quintana Energy Services Inc. 221,242 220
*,1 Independence Contract Drilling Inc. 52,564 204
*,1 Gevo Inc. 192,158 153
* Superior Drilling Products Inc. 187,537 140
50

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* NCS Multistage Holdings Inc. 178,351 103
*,1 Lilis Energy Inc. 1,027,919 54
*,1 Extraction Oil & Gas Inc. 319,120 39
* Aemetis Inc. 46,739 37
*,1 PEDEVCO Corp. 42,749 35
*,1 Talos Energy Inc. Warrants Exp. 02/28/2021 116,107 22
*,1,3 Alta Mesa Resources Inc. Class A 2,645,853 11
* Tidewater Inc. Class A Warrants Exp. 07/31/2023 8,839 5
* Tidewater Inc. Class B Warrants Exp. 07/31/2023 9,555 4
*,1,3 Harvest Natural Resources Inc. 51,829
            23,047,834
Other (0.0%)5
*,3 Spirit MTA REIT 2,854,330 2,191
*,3 Alder Biopharmaceuticals Inc. CVR Exp. 12/31/2024 2,021,007 1,779
*,1,3 Tobira Therapeutics Inc. CVR Exp. 12/31/2038 201,001 911
*,3 First Eagle Private Credit LLC CVR 551,185 390
*,3 Ocera Therapeutics Inc. CVR 653,477 176
*,3 Ambit Biosciences Corp. CVR 201,330 121
*,3 Media General Inc. CVR 2,351,648 91
*,3 OncoMed Pharmaceuticals Inc. CVR 255,777 67
*,3 Omthera Pharmaceuticals Inc. CVR 121,311 36
*,3 Elanco Animal Health Inc. CVR 575,457 15
*,3 Alexza Pharmaceuticals Inc. CVR 327,391 12
*,3 Seventy Seven Energy Inc. 7,222 1
*,3 Clinical Data Care CVR 216,285
*,3 OncoMed Pharmaceuticals Inc. CVR (XNGS) 40,724
*,1,3 Biosante Pharmaceutical Inc. CVR 253,823
*,3 Progenics Pharmaceuticals Inc. CVR 2,319,511
            5,790
Technology (26.3%)
  Microsoft Corp. 216,149,784 43,988,643
  Apple Inc. 111,188,667 40,561,626
* Facebook Inc. Class A 68,537,349 15,562,776
* Alphabet Inc. Class A 8,528,568 12,093,936
* Alphabet Inc. Class C 8,167,988 11,546,350
  Intel Corp. 120,678,893 7,220,218
  NVIDIA Corp. 16,651,446 6,326,051
* Adobe Inc. 13,730,115 5,976,856
  Cisco Systems Inc. 108,307,955 5,051,483
* salesforce.com Inc. 24,337,193 4,559,086
  Broadcom Inc. 10,825,581 3,416,662
  Texas Instruments Inc. 26,159,582 3,321,482
  Oracle Corp. 58,417,745 3,228,749
  International Business Machines Corp. 25,305,918 3,056,196
  QUALCOMM Inc. 32,063,264 2,924,490
* ServiceNow Inc. 5,434,236 2,201,192
  Intuit Inc. 7,058,576 2,090,680
* Advanced Micro Devices Inc. 33,379,232 1,756,081
* Micron Technology Inc. 31,694,238 1,632,887
  Applied Materials Inc. 26,114,078 1,578,596
* Autodesk Inc. 6,244,927 1,493,724
  Lam Research Corp. 4,136,029 1,337,840
  Analog Devices Inc. 10,501,088 1,287,853
  Roper Technologies Inc. 2,975,548 1,155,286
*,1 Zoom Video Communications Inc. Class A 4,536,346 1,150,145
  L3Harris Technologies Inc. 6,152,445 1,043,885
* Workday Inc. Class A 4,957,887 928,910
* Veeva Systems Inc. Class A 3,842,200 900,689
* Splunk Inc. 4,525,435 899,204
  Cognizant Technology Solutions Corp. Class A 15,403,581 875,231
51

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  KLA Corp. 4,417,620 859,139
* DocuSign Inc. Class A 4,960,675 854,278
* Synopsys Inc. 4,292,302 836,999
* Twilio Inc. Class A 3,672,263 805,768
* Cadence Design Systems Inc. 7,947,839 762,675
  Microchip Technology Inc. 6,990,632 736,183
* IQVIA Holdings Inc. 5,170,112 733,535
* IAC/interactivecorp 2,259,103 730,594
* ANSYS Inc. 2,437,602 711,122
  HP Inc. 40,734,442 710,001
  Xilinx Inc. 6,931,420 681,982
  Motorola Solutions Inc. 4,846,237 679,103
* Snap Inc. Class A 28,813,892 676,838
  Marvell Technology Group Ltd. 18,910,761 663,011
* Okta Inc. Class A 3,309,049 662,571
* Twitter Inc. 21,242,703 632,820
* RingCentral Inc. Class A 2,193,746 625,240
* VeriSign Inc. 2,961,450 612,517
  Skyworks Solutions Inc. 4,750,761 607,432
* Palo Alto Networks Inc. 2,610,328 599,514
  Cerner Corp. 8,671,331 594,420
* Fortinet Inc. 3,912,590 537,081
* Coupa Software Inc. 1,901,666 526,838
  Citrix Systems Inc. 3,519,294 520,539
* Akamai Technologies Inc. 4,628,246 495,639
  CDW Corp. 4,059,767 471,664
  Maxim Integrated Products Inc. 7,606,654 461,039
* Paycom Software Inc. 1,419,848 439,770
* Crowdstrike Holdings Inc. Class A 4,098,324 411,021
  Teradyne Inc. 4,726,437 399,431
* Tyler Technologies Inc. 1,133,715 393,263
* EPAM Systems Inc. 1,507,453 379,893
  Leidos Holdings Inc. 4,049,093 379,279
* Dell Technologies Inc. Class C 6,856,210 376,680
* Qorvo Inc. 3,270,945 361,538
  Western Digital Corp. 8,133,099 359,076
*,1 Slack Technologies Inc. Class A 11,535,406 358,636
  Hewlett Packard Enterprise Co. 36,535,890 355,494
  SS&C Technologies Holdings Inc. 6,215,945 351,077
* Datadog Inc. Class A 4,017,559 349,327
* GoDaddy Inc. Class A 4,715,413 345,781
*,1 VMware Inc. Class A 2,208,273 341,973
* MongoDB Inc. Class A 1,442,710 326,543
* Arista Networks Inc. 1,513,079 317,792
  Seagate Technology plc 6,220,318 301,126
  NortonLifeLock Inc. 15,111,035 299,652
* Black Knight Inc. 4,055,410 294,261
* Gartner Inc. 2,414,740 292,980
* Zendesk Inc. 3,260,120 288,618
  Monolithic Power Systems Inc. 1,211,366 287,094
* Avalara Inc. 2,124,439 282,742
  NetApp Inc. 6,311,497 280,041
* HubSpot Inc. 1,182,161 265,218
* Guidewire Software Inc. 2,364,563 262,112
* Ceridian HCM Holding Inc. 3,305,871 262,056
* Pinterest Inc. Class A 11,531,927 255,663
* F5 Networks Inc. 1,734,916 241,986
* Ciena Corp. 4,381,418 237,298
* Alteryx Inc. Class A 1,432,040 235,256
* ON Semiconductor Corp. 11,683,244 231,562
* PTC Inc. 2,965,705 230,702
52

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Entegris Inc. 3,837,402 226,599
* Zscaler Inc. 2,028,755 222,149
  Juniper Networks Inc. 9,462,580 216,315
* Nuance Communications Inc. 8,024,417 203,058
* Aspen Technology Inc. 1,926,439 199,598
* Five9 Inc. 1,767,925 195,656
* Cree Inc. 3,084,648 182,580
* Proofpoint Inc. 1,638,004 182,015
* Dynatrace Inc. 4,410,474 179,065
  MKS Instruments Inc. 1,570,906 177,889
*,1 Fastly Inc. Class A 2,022,070 172,139
*,1 Match Group Inc. 1,592,705 170,499
* Manhattan Associates Inc. 1,807,043 170,223
* Lumentum Holdings Inc. 2,032,391 165,498
* Inphi Corp. 1,375,765 161,652
* Anaplan Inc. 3,527,909 159,850
* RealPage Inc. 2,447,825 159,133
* Smartsheet Inc. Class A 3,071,316 156,391
* Dropbox Inc. Class A 7,139,139 155,419
* CACI International Inc. Class A 713,563 154,758
  CDK Global Inc. 3,461,068 143,357
* Everbridge Inc. 980,367 135,644
  National Instruments Corp. 3,356,370 129,925
* Elastic NV 1,403,508 129,417
  Science Applications International Corp. 1,654,254 128,502
* Silicon Laboratories Inc. 1,236,830 124,017
  SYNNEX Corp. 1,029,068 123,251
* Nutanix Inc. Class A 5,148,497 122,045
  DXC Technology Co. 7,225,136 119,215
* Cloudflare Inc. Class A 3,301,561 118,691
* Pure Storage Inc. Class A 6,810,821 118,032
* Q2 Holdings Inc. 1,369,800 117,515
  LogMeIn Inc. 1,382,227 117,171
*,1 Livongo Health Inc. 1,537,690 115,619
  Cabot Microelectronics Corp. 826,507 115,331
  Pegasystems Inc. 1,129,917 114,314
* Blackline Inc. 1,368,614 113,472
* Lattice Semiconductor Corp. 3,848,600 109,262
* Envestnet Inc. 1,453,521 106,892
* New Relic Inc. 1,542,817 106,300
* Cirrus Logic Inc. 1,664,805 102,852
* Qualys Inc. 939,867 97,765
* Semtech Corp. 1,843,616 96,274
  Power Integrations Inc. 809,117 95,581
  Cogent Communications Holdings Inc. 1,213,660 93,889
  Brooks Automation Inc. 2,117,813 93,692
  Perspecta Inc. 3,913,569 90,912
* Box Inc. Class A 4,107,598 85,274
* Verint Systems Inc. 1,838,149 83,048
* J2 Global Inc. 1,293,242 81,746
* Viavi Solutions Inc. 6,400,695 81,545
  Blackbaud Inc. 1,419,247 81,011
* Alarm.com Holdings Inc. 1,241,394 80,455
  Xerox Holdings Corp. 5,128,728 78,418
*,1 Vertiv Holdings Co. 5,631,182 76,359
* Varonis Systems Inc. 858,812 75,988
* Cloudera Inc. 5,913,281 75,217
* SPS Commerce Inc. 997,449 74,928
* SVMK Inc. 3,167,043 74,552
* FireEye Inc. 6,081,677 74,044
* Advanced Energy Industries Inc. 1,081,863 73,339
53

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Acacia Communications Inc. 1,067,102 71,699
* Change Healthcare Inc. 6,393,902 71,612
* LivePerson Inc. 1,700,308 70,444
* Premier Inc. Class A 2,044,680 70,092
* Cornerstone OnDemand Inc. 1,747,684 67,391
* Bandwidth Inc. Class A 528,506 67,120
* Rapid7 Inc. 1,310,758 66,875
* ZoomInfo Technologies Inc. Class A 1,301,553 66,418
* Appfolio Inc. Class A 406,466 66,136
* ViaSat Inc. 1,700,373 65,243
* Sailpoint Technologies Holdings Inc. 2,462,706 65,188
* FormFactor Inc. 2,183,110 64,031
* Bottomline Technologies DE Inc. 1,259,743 63,957
* Teradata Corp. 3,071,463 63,886
* NCR Corp. 3,616,128 62,631
* Diodes Inc. 1,183,154 59,986
* Synaptics Inc. 927,467 55,759
*,1 Appian Corp. Class A 1,046,525 53,634
* Workiva Inc. Class A 949,421 50,785
  Progress Software Corp. 1,292,741 50,094
*,1 Medallia Inc. 1,980,952 49,999
* NetScout Systems Inc. 1,954,314 49,952
* PROS Holdings Inc. 1,122,806 49,886
* Rambus Inc. 3,256,770 49,503
* Covetrus Inc. 2,736,942 48,964
* Insight Enterprises Inc. 991,329 48,773
  InterDigital Inc. 858,536 48,619
* Tenable Holdings Inc. 1,588,664 47,358
* CommScope Holding Co. Inc. 5,568,965 46,389
* CommVault Systems Inc. 1,190,238 46,062
* Altair Engineering Inc. Class A 1,139,618 45,300
* Onto Innovation Inc. 1,330,566 45,292
* Yext Inc. 2,719,966 45,179
  Xperi Holding Corp. 2,937,479 43,357
  NIC Inc. 1,828,801 41,989
* MaxLinear Inc. Class A 1,893,026 40,624
* Inovalon Holdings Inc. Class A 2,092,255 40,297
*,1 Cerence Inc. 980,003 40,023
* EchoStar Corp. Class A 1,379,072 38,559
  CSG Systems International Inc. 893,286 36,973
* Super Micro Computer Inc. 1,262,838 35,852
*,1 PagerDuty Inc. 1,241,932 35,544
* Zuora Inc. Class A 2,731,647 34,828
* Perficient Inc. 951,168 34,033
*,1 Schrodinger Inc. 359,487 32,918
*,1 Tabula Rasa HealthCare Inc. 601,105 32,898
* SolarWinds Corp. 1,775,492 31,373
  Ubiquiti Inc. 175,936 30,711
* Allscripts Healthcare Solutions Inc. 4,483,508 30,353
* Amkor Technology Inc. 2,406,266 29,621
* Avaya Holdings Corp. 2,395,131 29,604
* Model N Inc. 835,310 29,035
* OneSpan Inc. 985,009 27,511
* Infinera Corp. 4,606,191 27,269
* ForeScout Technologies Inc. 1,281,644 27,171
* ePlus Inc. 374,452 26,466
* MicroStrategy Inc. Class A 221,611 26,214
* Axcelis Technologies Inc. 898,874 25,034
* Virtusa Corp. 755,708 24,538
* Ultra Clean Holdings Inc. 1,043,307 23,610
  Switch Inc. Class A 1,309,436 23,334
54

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Limelight Networks Inc. 3,074,987 22,632
* CEVA Inc. 601,699 22,516
*,1 Inseego Corp. 1,934,986 22,446
* nLight Inc. 998,167 22,219
*,1 3D Systems Corp. 3,169,689 22,156
  Simulations Plus Inc. 361,645 21,634
* Domo Inc. Class B 658,632 21,188
* Ping Identity Holding Corp. 655,398 21,032
* Health Catalyst Inc. 719,057 20,975
* Calix Inc. 1,403,512 20,912
* Upland Software Inc. 601,007 20,891
* NETGEAR Inc. 792,303 20,513
  Shutterstock Inc. 576,524 20,161
* Photronics Inc. 1,765,947 19,655
* Unisys Corp. 1,742,480 19,010
  Cohu Inc. 1,088,775 18,879
* ACM Research Inc. Class A 294,534 18,367
* ScanSource Inc. 735,567 17,720
* Vocera Communications Inc. 834,421 17,690
* Phreesia Inc. 601,655 17,015
* NextGen Healthcare Inc. 1,534,891 16,853
  Ebix Inc. 747,615 16,717
* Ichor Holdings Ltd. 626,220 16,645
* PDF Solutions Inc. 820,649 16,052
*,1 Eventbrite Inc. Class A 1,864,871 15,982
* Boingo Wireless Inc. 1,194,669 15,913
* Blucora Inc. 1,373,078 15,681
*,1 Tucows Inc. Class A 270,886 15,527
* ChannelAdvisor Corp. 970,137 15,367
* MobileIron Inc. 3,089,498 15,231
  ADTRAN Inc. 1,383,890 15,126
* Extreme Networks Inc. 3,420,174 14,844
  PC Connection Inc. 302,562 14,027
1 Plantronics Inc. 955,102 14,021
  American Software Inc. Class A 875,403 13,796
*,1 PAR Technology Corp. 453,231 13,565
  QAD Inc. Class A 316,420 13,062
* Harmonic Inc. 2,741,490 13,022
1 VirnetX Holding Corp. 1,961,419 12,749
* Diebold Nixdorf Inc. 2,100,887 12,731
  Pitney Bowes Inc. 4,891,723 12,718
*,1 Impinj Inc. 452,856 12,440
* Alpha & Omega Semiconductor Ltd. 1,074,895 11,695
* Rosetta Stone Inc. 671,882 11,328
* Mitek Systems Inc. 1,165,411 11,200
* NeoPhotonics Corp. 1,237,575 10,990
* A10 Networks Inc. 1,581,218 10,768
* Meet Group Inc. 1,715,689 10,706
* Zix Corp. 1,534,794 10,590
  Comtech Telecommunications Corp. 620,850 10,486
* Agilysys Inc. 579,752 10,401
* DSP Group Inc. 643,205 10,214
*,2 Genasys Inc. 2,025,454 9,844
* Brightcove Inc. 1,248,133 9,835
* Forrester Research Inc. 306,343 9,815
* SiTime Corp. 207,000 9,814
* Sprout Social Inc. Class A 353,400 9,542
*,1 Veritone Inc. 639,261 9,499
* Ooma Inc. 574,361 9,465
2 GlobalSCAPE Inc. 967,139 9,430
* Grid Dynamics Holdings Inc. 1,337,920 9,232
55

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* Benefitfocus Inc. 855,303 9,203
* Digi International Inc. 783,893 9,132
* Sciplay Corp. Class A 614,419 9,112
*,2 KVH Industries Inc. 1,007,566 8,998
  Computer Programs & Systems Inc. 380,477 8,671
* CalAmp Corp. 1,070,085 8,571
  Hackett Group Inc. 619,693 8,391
* Endurance International Group Holdings Inc. 1,961,956 7,907
* Avid Technology Inc. 1,077,152 7,831
*,1 Red Violet Inc. 406,003 7,162
* AXT Inc. 1,499,614 7,138
* Smith Micro Software Inc. 1,568,244 6,994
*,1 Applied Optoelectronics Inc. 620,906 6,749
* Clearfield Inc. 481,977 6,728
* eGain Corp. 597,497 6,638
* GTY Technology Holdings Inc. 1,578,853 6,576
  Loral Space & Communications Inc. 336,822 6,575
* Ribbon Communications Inc. 1,625,825 6,389
* Arlo Technologies Inc. 2,469,299 6,371
*,1 Intelligent Systems Corp. 181,962 6,201
* GSI Technology Inc. 787,988 5,658
*,1 Digimarc Corp. 348,024 5,565
* Telenav Inc. 1,004,818 5,516
* Pixelworks Inc. 1,557,780 5,032
*,1 Gogo Inc. 1,508,897 4,768
* Powerfleet Inc. 989,885 4,573
* Casa Systems Inc. 958,408 3,987
* Mastech Digital Inc. 150,017 3,890
*,2 Computer Task Group Inc. 899,921 3,627
* NantHealth Inc. 782,311 3,583
* Immersion Corp. 573,970 3,576
* Intellicheck Inc. 473,575 3,575
* DASAN Zhone Solutions Inc. 390,702 3,489
*,1 Atomera Inc. 385,636 3,471
* Synchronoss Technologies Inc. 912,531 3,221
* Quantum Corp. 828,100 3,196
* Airgain Inc. 297,291 3,193
*,1 SharpSpring Inc. 362,676 3,184
* Amtech Systems Inc. 610,113 2,971
* PCTEL Inc. 441,020 2,946
*,1 Remark Holdings Inc. 1,175,227 2,774
* Everspin Technologies Inc. 388,371 2,726
*,1 Castlight Health Inc. Class B 3,132,276 2,600
* Identiv Inc. 498,106 2,540
*,1 Kopin Corp. 1,867,120 2,483
*,1 Beyond Air Inc. 340,949 2,472
* EMCORE Corp. 776,629 2,470
* Aviat Networks Inc. 127,308 2,323
* SecureWorks Corp. Class A 193,975 2,217
  AstroNova Inc. 278,254 2,215
*,1 Park City Group Inc. 496,819 2,102
* Majesco 249,874 1,964
* Great Elm Capital Group Inc. 830,451 1,935
*,1 Resonant Inc. 826,161 1,925
* Cambium Networks Corp. 254,421 1,873
* Synacor Inc. 1,651,360 1,866
* Qumu Corp. 460,283 1,652
* Lantronix Inc. 433,872 1,610
  Communications Systems Inc. 305,247 1,548
*,1 Cinedigm Corp. Class A 786,863 1,503
* WidePoint Corp. 1,972,504 1,372
56

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
*,1 Anixa Biosciences Inc. 424,878 1,300
  QAD Inc. Class B 43,342 1,300
* Key Tronic Corp. 240,560 1,263
*,1 Akerna Corp. 134,888 1,187
* Aehr Test Systems 599,400 1,169
  TESSCO Technologies Inc. 206,522 1,136
  CSP Inc. 129,730 1,053
  TransAct Technologies Inc. 227,236 1,041
  Support.com Inc. 713,671 1,006
* Innodata Inc. 649,340 877
* NetSol Technologies Inc. 324,689 864
* Mohawk Group Holdings Inc. 156,574 860
*,1 RigNet Inc. 338,521 728
* inTEST Corp. 208,654 703
*,1 Exela Technologies Inc. 1,212,328 672
* QuickLogic Corp. 205,949 630
* SeaChange International Inc. 414,250 626
* Data I/O Corp. 179,297 604
* GSE Systems Inc. 541,861 547
  BK Technologies Corp. 147,465 500
* CVD Equipment Corp. 162,311 485
* ClearOne Inc. 231,050 462
* AudioEye Inc. 45,247 452
*,1 Super League Gaming Inc. 158,855 381
* One Stop Systems Inc. 190,266 375
* BSQUARE Corp. 180,438 283
  Network-1 Technologies Inc. 129,664 281
* CynergisTek Inc. 186,745 273
* Streamline Health Solutions Inc. 171,772 228
* Inuvo Inc. 400,436 214
* RCM Technologies Inc. 158,525 212
* ADDvantage Technologies Group Inc. 47,738 164
* Optical Cable Corp. 62,844 157
*,1 Sonim Technologies Inc. 172,397 140
*,1 Global Eagle Entertainment Inc. 28,800 137
* Xcel Brands Inc. 151,456 135
*,1,3 FTE Networks Inc. 84,180 126
*,1 AutoWeb Inc. 91,156 118
* Trio-Tech International 15,180 48
*,1,3 Ominto Inc. 101,171 41
* Evolving Systems Inc. 27,962 30
*,3 Tech Data Corp. 147 21
* Westell Technologies Inc. Class A 10,355 8
            229,551,532
Telecommunications (1.8%)
  Verizon Communications Inc. 117,952,814 6,502,739
  AT&T Inc. 203,087,768 6,139,343
* T-Mobile US Inc. 17,381,873 1,810,322
  CenturyLink Inc. 31,265,173 313,590
* GCI Liberty Inc. Class A 2,739,083 194,804
* Iridium Communications Inc. 3,231,893 82,219
  Shenandoah Telecommunications Co. 1,354,544 66,765
* Vonage Holdings Corp. 6,543,960 65,832
  Telephone & Data Systems Inc. 2,718,379 54,041
* 8x8 Inc. 2,821,624 45,146
* Cincinnati Bell Inc. 1,330,698 19,761
  ATN International Inc. 294,381 17,831
* Anterix Inc. 330,184 14,971
* Consolidated Communications Holdings Inc. 1,980,545 13,408
* United States Cellular Corp. 380,542 11,747
57

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
* ORBCOMM Inc. 2,349,918 9,047
* WideOpenWest Inc. 1,493,678 7,872
  Spok Holdings Inc. 704,338 6,586
*,1 GTT Communications Inc. 641,092 5,231
* Globalstar Inc. 15,574,538 5,087
  Alaska Communications Systems Group Inc. 1,552,205 4,331
* IDT Corp. Class B 630,665 4,118
*,1 Pareteum Corp. 2,926,761 1,815
* T-Mobile US Inc. Rights Exp. 07/27/2020 10,586,096 1,778
* Otelco Inc. Class A 54,417 612
* CPS Technologies Corp. 109,990 266
            15,399,262
Utilities (3.0%)
  NextEra Energy Inc. 13,949,175 3,350,172
  Dominion Energy Inc. 23,917,202 1,941,599
  Duke Energy Corp. 20,935,784 1,672,560
  Southern Co. 30,122,928 1,561,874
  American Electric Power Co. Inc. 14,119,676 1,124,491
  Exelon Corp. 27,757,496 1,007,320
  Sempra Energy 8,331,547 976,707
  Xcel Energy Inc. 14,963,032 935,190
  Eversource Energy 9,587,779 798,374
  WEC Energy Group Inc. 8,983,795 787,430
  Public Service Enterprise Group Inc. 14,405,723 708,185
  Consolidated Edison Inc. 9,518,402 684,659
  American Water Works Co. Inc. 5,148,743 662,437
  FirstEnergy Corp. 15,476,796 600,190
  DTE Energy Co. 5,481,097 589,218
  Edison International 10,769,969 584,917
  PPL Corp. 21,914,719 566,276
  Entergy Corp. 5,702,190 534,922
  Ameren Corp. 7,030,390 494,658
  CMS Energy Corp. 8,166,527 477,089
  Evergy Inc. 6,473,558 383,817
  Atmos Energy Corp. 3,486,058 347,142
  Alliant Energy Corp. 7,102,069 339,763
  Essential Utilities Inc. 6,975,922 294,663
  AES Corp. 18,988,653 275,146
  CenterPoint Energy Inc. 14,315,488 267,270
  NiSource Inc. 10,906,078 248,004
*,1 PG&E Corp. 27,182,562 241,109
  Vistra Energy Corp. 12,851,775 239,300
  Pinnacle West Capital Corp. 3,209,373 235,215
  NRG Energy Inc. 6,592,929 214,666
  UGI Corp. 5,948,042 189,148
  OGE Energy Corp. 5,731,964 174,022
  IDACORP Inc. 1,424,359 124,446
  ONE Gas Inc. 1,510,340 116,372
  Hawaiian Electric Industries Inc. 3,111,144 112,188
  Portland General Electric Co. 2,544,611 106,390
  Southwest Gas Holdings Inc. 1,494,226 103,176
  National Fuel Gas Co. 2,460,504 103,169
  Black Hills Corp. 1,795,994 101,761
  Spire Inc. 1,392,026 91,470
  New Jersey Resources Corp. 2,696,508 88,041
  PNM Resources Inc. 2,258,974 86,835
  American States Water Co. 1,056,400 83,065
  ALLETE Inc. 1,464,168 79,958
  NorthWestern Corp. 1,453,648 79,253
  El Paso Electric Co. 1,162,299 77,874
58

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
          Shares Market
Value
($000)
  Avangrid Inc. 1,767,843 74,214
  Ormat Technologies Inc. 1,161,493 73,743
  Avista Corp. 1,921,931 69,939
  MGE Energy Inc. 1,032,210 66,588
  California Water Service Group 1,395,282 66,555
  South Jersey Industries Inc. 2,602,144 65,028
  SJW Group 820,632 50,969
  Clearway Energy Inc. Class C 2,181,454 50,304
  Northwest Natural Holding Co. 883,977 49,317
  TerraForm Power Inc. Class A 2,597,658 47,901
* Sunrun Inc. 2,386,783 47,067
* Evoqua Water Technologies Corp. 2,340,927 43,541
  Chesapeake Utilities Corp. 431,536 36,249
  Middlesex Water Co. 482,637 32,424
  Clearway Energy Inc. Class A 1,078,770 22,622
  Unitil Corp. 423,371 18,976
  York Water Co. 379,365 18,194
*,2 Pure Cycle Corp. 1,775,084 16,313
*,1 Vivint Solar Inc. 1,455,702 14,411
* Sunnova Energy International Inc. 730,623 12,472
  Artesian Resources Corp. Class A 312,635 11,346
*,1 Cadiz Inc. 954,646 9,699
  Genie Energy Ltd. Class B 1,220,890 8,986
* Atlantic Power Corp. 4,080,525 8,161
  RGC Resources Inc. 238,433 5,763
1 Spark Energy Inc. Class A 385,196 2,723
            25,785,036
Total Common Stocks (Cost $520,498,090) 867,925,992
Preferred Stocks (0.0%)
  WESCO International Inc. Pfd., 10.625%, 6/22/25 122,841 3,258
  Air T Funding Pfd., 8.000%, 6/7/24 1,727 38
Total Preferred Stocks (Cost $3,291) 3,296
      Coupon      
Temporary Cash Investments (1.0%)
Money Market Fund (1.0%)
6,7 Vanguard Market Liquidity Fund 0.227%   81,668,287 8,166,829
        Maturity
Date
Face
Amount
($000)
 
U.S. Government and Agency Obligations (0.0%)
8 United States Treasury Bill 0.019% 8/13/20 200,667 200,635
8 United States Treasury Bill 0.102% 9/17/20 100,333 100,303
8 United States Treasury Bill 0.116% 9/29/20 8,000 7,997
            308,935
Total Temporary Cash Investments (Cost $8,474,914) 8,475,764
Total Investments (100.5%) (Cost $528,976,295)   876,405,052
Other Assets and Liabilities—Net (-0.5%)   (4,158,062)
Net Assets (100%)   872,246,990
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 $4,711,200,000.
2 Considered an affiliated company of the fund as the fund owns more than 5% of the outstanding voting securities of such company.
3 Security value determined using significant unobservable inputs.
59

Vanguard® Total Stock Market Index Fund
Schedule of Investments (unaudited)
June 30, 2020
4 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. At June 30, 2020, the aggregate value of these securities was $52,776,000, representing 0.0% of net assets.
5 “Other” represents securities that are not classified by the fund’s benchmark index.
6 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
7 Collateral of $5,021,389,000 was received for securities on loan, of which $4,868,457,000 is held in Vanguard Market Liquidity Fund and $152,932,000 is held in cash.
8 Securities with a value of $273,719,000 have been segregated as initial margin for open futures contracts.
  CVR—Contingent Value Rights.
  REIT—Real Estate Investment Trust.
60

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© 2020 The Vanguard Group, Inc.
All rights reserved.
Vanguard Marketing Corporation, Distributor.
SNA852 082020

 

 

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 Registrant’s 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. In March 2020, a third-party service provider began performing certain administrative and accounting services for Vanguard Small-Cap Index Fund, Vanguard Small-Cap Growth Index Fund, and Vanguard Small-Cap Value Index Fund. There were no other significant changes in the 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)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: August 19, 2020

 

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: August 19, 2020

 

 VANGUARD INDEX FUNDS  
    
BY:/s/ JOHN BENDL*  
 

JOHN BENDL

CHIEF FINANCIAL OFFICER

 

  

Date: August 19, 2020

 

 

* By: /s/ Anne E. Robinson

Anne E. Robinson, pursuant to a Power of Attorney filed on January 18, 2018  (see file Number 33-32216) and a Power of Attorney filed on October 30, 2019  (see file Number 811-02554), Incorporated by Reference.