N-CSRS 1 tm2222404d1_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, 2022—June 30, 2022

 

 

 

 

 

 

Item 1: Reports to Shareholders

 

 

 

Semiannual Report   |   June 30, 2022
Vanguard 500 Index Fund

 

Contents
About Your Fund’s Expenses

1
Financial Statements

4
Trustees Approve Advisory Arrangement

26
Liquidity Risk Management

28

 

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, 2022      
  Beginning
Account Value
12/31/2021
Ending
Account Value
6/30/2022
Expenses
Paid During
Period
Based on Actual Fund Return      
500 Index Fund      
Investor Shares $1,000.00 $799.80 $0.62
ETF Shares 1,000.00 800.20 0.13
Admiral™ Shares 1,000.00 800.20 0.18
Institutional Select Shares 1,000.00 800.30 0.04
Based on Hypothetical 5% Yearly Return      
500 Index Fund      
Investor Shares $1,000.00 $1,024.10 $0.70
ETF Shares 1,000.00 1,024.65 0.15
Admiral Shares 1,000.00 1,024.60 0.20
Institutional Select Shares 1,000.00 1,024.75 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 (181/365).
2

 

500 Index Fund
Fund Allocation
As of June 30, 2022
Communication Services 8.9%
Consumer Discretionary 10.5
Consumer Staples 7.0
Energy 4.4
Financials 10.8
Health Care 15.2
Industrials 7.8
Information Technology 26.8
Materials 2.6
Real Estate 2.9
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.
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, 2022
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%)
Communication Services (8.8%)
* Alphabet Inc. Class A   6,648,005  14,487,731
* Alphabet Inc. Class C   6,113,086  13,372,070
* Meta Platforms Inc. Class A  50,764,605   8,185,793
  Verizon Communications Inc.  92,953,019   4,717,366
  Comcast Corp. Class A  98,948,945   3,882,757
* Walt Disney Co.  40,315,922   3,805,823
  AT&T Inc. 158,457,180   3,321,262
* T-Mobile US Inc.  13,041,441   1,754,595
* Netflix Inc.   9,733,972   1,702,180
  Activision Blizzard Inc.  17,307,676   1,347,576
* Charter Communications Inc. Class A   2,563,445   1,201,051
  Electronic Arts Inc.   6,223,542     757,094
* Warner Bros Discovery Inc.  48,881,865     655,995
* Twitter Inc.  16,882,786     631,247
* Match Group Inc.   6,318,747     440,353
* Take-Two Interactive Software Inc.   3,498,167     428,630
  Paramount Global Inc. Class B  13,467,176     332,370
  Omnicom Group Inc.   4,555,853     289,798
* Live Nation Entertainment Inc.   3,032,495     250,423
  Interpublic Group of Cos. Inc.   8,720,458     240,074
  Lumen Technologies Inc.  20,587,806     224,613
  Fox Corp. Class A   6,670,955     214,538
  News Corp. Class A  11,296,965     176,007
  Fox Corp. Class B   3,456,326     102,653
* DISH Network Corp. Class A   5,547,215      99,462
       62,621,461
Consumer Discretionary (10.5%)
* Amazon.com Inc. 193,671,200  20,569,818
* Tesla Inc.  18,574,050  12,508,137
  Home Depot Inc.  22,872,501   6,273,241
  McDonald's Corp.  16,368,838   4,041,139
  NIKE Inc. Class B  28,082,167   2,869,997
  Lowe's Cos. Inc.  14,633,648   2,556,059
  Starbucks Corp.  25,386,028   1,939,239
    Shares Market
Value

($000)
* Booking Holdings Inc.     899,222   1,572,730
  TJX Cos. Inc.  25,996,445   1,451,901
  Target Corp.  10,233,767   1,445,315
  Dollar General Corp.   5,064,241   1,242,967
* General Motors Co.  32,272,496   1,024,974
  Ford Motor Co.  87,408,082     972,852
* AutoZone Inc.     439,287     944,081
* O'Reilly Automotive Inc.   1,454,882     919,136
  Marriott International Inc. Class A   6,084,574     827,563
* Chipotle Mexican Grill Inc. Class A     618,905     809,070
* Dollar Tree Inc.   4,983,547     776,686
  Yum! Brands Inc.   6,311,582     716,428
  Hilton Worldwide Holdings Inc.   6,160,417     686,517
  Ross Stores Inc.   7,778,841     546,308
* Aptiv plc   5,997,199     534,171
  eBay Inc.  12,387,208     516,175
  Tractor Supply Co.   2,475,720     479,918
  DR Horton Inc.   7,088,695     469,201
* Ulta Beauty Inc.   1,155,716     445,505
  Genuine Parts Co.   3,134,403     416,876
  Lennar Corp. Class A   5,660,383     399,453
  Garmin Ltd.   3,376,909     331,781
* CarMax Inc.   3,553,417     321,513
* Expedia Group Inc.   3,354,667     318,123
  VF Corp.   7,143,167     315,514
  Darden Restaurants Inc.   2,760,899     312,313
  Pool Corp.     887,107     311,579
  Domino's Pizza Inc.     797,843     310,927
  Best Buy Co. Inc.   4,481,540     292,152
  LKQ Corp.   5,760,396     282,778
* NVR Inc.      68,443     274,055
* Las Vegas Sands Corp.   7,612,801     255,714
  Hasbro Inc.   2,901,996     237,615
  Advance Auto Parts Inc.   1,352,603     234,122
  MGM Resorts International   7,828,907     226,647
  PulteGroup Inc.   5,254,771     208,247
* Etsy Inc.   2,814,721     206,066
  Whirlpool Corp.   1,244,484     192,733
* Caesars Entertainment Inc.   4,747,210     181,818
  BorgWarner Inc. (XNYS)   5,301,342     176,906
4

 

500 Index Fund
    Shares Market
Value

($000)
* Royal Caribbean Cruises Ltd.   4,968,348     173,445
  Tapestry Inc.   5,577,114     170,214
  Newell Brands Inc.   8,153,143     155,236
*,1 Carnival Corp.  17,945,332     155,227
  Bath & Body Works Inc.   5,273,790     141,970
* Mohawk Industries Inc.   1,138,086     141,225
* Wynn Resorts Ltd.   2,333,546     132,965
* Penn National Gaming Inc.   3,615,204     109,975
*,1 Norwegian Cruise Line Holdings Ltd.   9,267,368     103,053
  Ralph Lauren Corp. Class A   1,025,968      91,978
  PVH Corp.   1,492,957      84,949
  Lennar Corp. Class B      77,011       4,521
       74,410,818
Consumer Staples (6.9%)
  Procter & Gamble Co.  53,105,424   7,636,029
  Coca-Cola Co.  86,355,867   5,432,648
  PepsiCo Inc.  30,604,179   5,100,492
  Costco Wholesale Corp.   9,810,313   4,701,887
  Walmart Inc.  31,074,191   3,778,000
  Philip Morris International Inc.  34,310,080   3,387,777
  Mondelez International Inc. Class A  30,631,700   1,901,922
  Altria Group Inc.  40,075,796   1,673,966
  Colgate-Palmolive Co.  18,548,361   1,486,466
  Estee Lauder Cos. Inc. Class A   5,130,216   1,306,512
  Kimberly-Clark Corp.   7,458,502   1,008,017
  General Mills Inc.  13,330,184   1,005,762
  Archer-Daniels-Midland Co.  12,455,324     966,533
  Sysco Corp.  11,277,205     955,292
  Constellation Brands Inc. Class A   3,602,017     839,486
* Monster Beverage Corp.   8,322,930     771,536
  Hershey Co.   3,231,085     695,200
  Kroger Co.  13,519,225     639,865
  Walgreens Boots Alliance Inc.  15,868,345     601,410
  Kraft Heinz Co.  15,714,083     599,335
  Keurig Dr Pepper Inc.  16,331,205     577,961
  Tyson Foods Inc. Class A   6,453,059     555,350
  Church & Dwight Co. Inc.   5,372,062     497,775
  McCormick & Co. Inc.   5,536,601     460,922
  Kellogg Co.   5,607,586     400,045
  Clorox Co.   2,724,001     384,030
  Conagra Brands Inc.  10,621,081     363,666
  J M Smucker Co.   2,400,785     307,325
  Hormel Foods Corp.   6,273,281     297,103
  Brown-Forman Corp. Class B   4,046,150     283,878
  Lamb Weston Holdings Inc.   3,198,485     228,564
  Molson Coors Beverage Co. Class B   4,168,061     227,201
    Shares Market
Value

($000)
  Campbell Soup Co.   4,473,683     214,960
       49,286,915
Energy (4.3%)
  Exxon Mobil Corp.  93,239,632   7,985,042
  Chevron Corp.  43,488,724   6,296,297
  ConocoPhillips  28,629,132   2,571,182
  EOG Resources Inc.  12,965,003   1,431,855
  Occidental Petroleum Corp.  19,707,125   1,160,356
  Schlumberger NV  31,282,624   1,118,667
  Pioneer Natural Resources Co.   4,980,240   1,110,992
  Marathon Petroleum Corp.  11,974,736     984,443
  Valero Energy Corp.   9,033,022     960,030
  Phillips 66  10,649,024     873,113
  Williams Cos. Inc.  26,962,186     841,490
  Devon Energy Corp.  13,583,875     748,607
  Kinder Morgan Inc.  43,157,953     723,327
  Hess Corp.   6,131,410     649,562
  Halliburton Co.  19,962,700     626,030
  Baker Hughes Co. Class A  20,701,903     597,664
  ONEOK Inc.   9,886,664     548,710
  Coterra Energy Inc.  17,839,431     460,079
  Diamondback Energy Inc.   3,693,990     447,527
  Marathon Oil Corp.  15,660,433     352,047
  APA Corp.   7,486,252     261,270
       30,748,290
Financials (10.8%)
* Berkshire Hathaway Inc. Class B  40,043,829  10,932,766
  JPMorgan Chase & Co.  65,008,400   7,320,596
  Bank of America Corp. 156,931,510   4,885,278
  Wells Fargo & Co.  83,877,900   3,285,497
  S&P Global Inc.   7,681,151   2,589,009
  Morgan Stanley  30,974,956   2,355,955
  Goldman Sachs Group Inc.   7,361,983   2,186,656
  Charles Schwab Corp.  33,381,612   2,109,050
  Citigroup Inc.  42,976,351   1,976,482
  BlackRock Inc.   3,152,208   1,919,821
  American Express Co.  13,501,320   1,871,553
  Chubb Ltd.   9,378,606   1,843,646
  Marsh & McLennan Cos. Inc.  11,109,543   1,724,757
  CME Group Inc.   7,955,633   1,628,518
  Progressive Corp.  12,946,447   1,505,283
  PNC Financial Services Group Inc.   9,155,003   1,444,385
  Truist Financial Corp.  29,471,228   1,397,820
  US Bancorp  29,928,038   1,377,288
  Aon plc Class A (XNYS)   4,700,377   1,267,598
  Intercontinental Exchange Inc.  12,355,484   1,161,910
  Moody's Corp.   3,552,893     966,280
  MetLife Inc.  15,298,637     960,602
  Capital One Financial Corp.   8,698,568     906,304
  Travelers Cos. Inc.   5,311,836     898,391
  American International Group Inc.  17,532,154     896,419
  Prudential Financial Inc.   8,299,571     794,103
 
5

 

500 Index Fund
    Shares Market
Value

($000)
  Allstate Corp.   6,085,499     771,215
  Arthur J Gallagher & Co.   4,649,167     758,000
  MSCI Inc. Class A   1,795,671     740,086
  Aflac Inc.  13,116,194     725,719
  Bank of New York Mellon Corp.  16,447,662     686,032
  M&T Bank Corp.   3,971,601     633,034
  Discover Financial Services   6,219,858     588,274
  Ameriprise Financial Inc.   2,432,923     578,257
  First Republic Bank   3,972,870     572,888
  T Rowe Price Group Inc.   5,031,442     571,622
* SVB Financial Group   1,302,823     514,602
  Fifth Third Bancorp  15,190,195     510,391
  Willis Towers Watson plc   2,468,214     487,201
  Hartford Financial Services Group Inc.   7,281,556     476,432
  Northern Trust Corp.   4,610,812     444,851
  Cincinnati Financial Corp.   3,302,036     392,876
  Nasdaq Inc.   2,551,096     389,144
  Regions Financial Corp.  20,681,214     387,773
  Citizens Financial Group Inc.  10,856,597     387,472
  Raymond James Financial Inc.   4,302,087     384,650
  Huntington Bancshares Inc.  31,853,054     383,192
  State Street Corp.   6,072,007     374,339
  KeyCorp.  20,638,658     355,604
  Principal Financial Group Inc.   5,201,187     347,387
  FactSet Research Systems Inc.     838,908     322,619
  W R Berkley Corp.   4,637,269     316,540
  Synchrony Financial  11,098,994     306,554
  Brown & Brown Inc.   5,183,772     302,421
  Cboe Global Markets Inc.   2,350,501     266,053
  Loews Corp.   4,305,249     255,129
  Everest Re Group Ltd.     873,240     244,752
  MarketAxess Holdings Inc.     835,652     213,935
  Comerica Inc.   2,895,707     212,487
  Assurant Inc.   1,196,089     206,744
  Signature Bank   1,148,147     205,760
  Globe Life Inc.   2,006,077     195,532
  Zions Bancorp NA   3,351,660     170,600
  Lincoln National Corp.   3,574,292     167,170
  Franklin Resources Inc.   6,200,178     144,526
  Invesco Ltd.   7,446,940     120,119
       76,317,949
Health Care (15.1%)
  UnitedHealth Group Inc.  20,765,310  10,665,686
  Johnson & Johnson  58,242,858  10,338,690
  Pfizer Inc. 124,191,448   6,511,358
  AbbVie Inc.  39,112,890   5,990,530
  Eli Lilly & Co.  17,455,476   5,659,589
  Merck & Co. Inc.  55,972,294   5,102,994
  Thermo Fisher Scientific Inc.   8,664,635   4,707,323
    Shares Market
Value

($000)
  Abbott Laboratories  38,754,656   4,210,693
  Danaher Corp.  14,322,926   3,631,148
  Bristol-Myers Squibb Co.  47,124,724   3,628,604
  Amgen Inc.  11,823,922   2,876,760
  CVS Health Corp.  29,024,495   2,689,410
  Medtronic plc  29,693,352   2,664,978
  Elevance Health Inc.   5,336,198   2,575,142
  Cigna Corp.   7,022,590   1,850,593
  Zoetis Inc.  10,417,210   1,790,614
  Gilead Sciences Inc.  27,763,853   1,716,084
* Vertex Pharmaceuticals Inc.   5,661,332   1,595,307
* Intuitive Surgical Inc.   7,945,501   1,594,741
  Becton Dickinson and Co.   6,309,924   1,555,586
  Stryker Corp.   7,449,854   1,481,999
* Regeneron Pharmaceuticals Inc.   2,391,241   1,413,534
  Humana Inc.   2,799,873   1,310,537
* Edwards Lifesciences Corp.  13,761,811   1,308,611
* Boston Scientific Corp.  31,642,156   1,179,303
* Centene Corp.  12,946,230   1,095,380
* Moderna Inc.   7,657,439   1,093,865
  McKesson Corp.   3,217,650   1,049,630
* IQVIA Holdings Inc.   4,188,940     908,958
  HCA Healthcare Inc.   5,036,730     846,473
  Agilent Technologies Inc.   6,641,722     788,837
  Baxter International Inc.  11,143,212     715,728
  ResMed Inc.   3,237,699     678,719
* Biogen Inc.   3,241,485     661,068
* IDEXX Laboratories Inc.   1,859,362     652,134
* DexCom Inc.   8,687,574     647,485
* Illumina Inc.   3,476,940     641,009
* Mettler-Toledo International Inc.     502,137     576,840
  West Pharmaceutical Services Inc.   1,640,087     495,913
  Zimmer Biomet Holdings Inc.   4,639,460     487,422
  Laboratory Corp. of America Holdings   2,052,035     480,915
  AmerisourceBergen Corp. Class A   3,337,157     472,141
  STERIS plc   2,215,550     456,736
* Waters Corp.   1,332,814     441,135
* Catalent Inc.   3,965,895     425,501
1 PerkinElmer Inc.   2,791,723     397,039
* Align Technology Inc.   1,621,965     383,870
* Hologic Inc.   5,518,933     382,462
* Molina Healthcare Inc.   1,299,279     363,291
  Quest Diagnostics Inc.   2,597,599     345,429
  Cooper Cos. Inc.   1,091,475     341,763
* Incyte Corp.   4,167,571     316,610
  Cardinal Health Inc.   6,030,279     315,203
  Bio-Techne Corp.     868,326     300,997
  Viatris Inc.  26,837,768     280,991
  Teleflex Inc.   1,038,329     255,273
* ABIOMED Inc.   1,008,771     249,681
 
6

 

500 Index Fund
    Shares Market
Value

($000)
* Charles River Laboratories International Inc.   1,124,810     240,676
* Bio-Rad Laboratories Inc. Class A     479,177     237,193
* Henry Schein Inc.   3,056,230     234,535
  Organon & Co.   5,609,643     189,325
  DENTSPLY SIRONA Inc.   4,764,521     170,236
  Universal Health Services Inc. Class B   1,484,691     149,523
* DaVita Inc.   1,339,240     107,086
      106,926,886
Industrials (7.8%)
  Raytheon Technologies Corp.  32,916,233   3,163,579
  United Parcel Service Inc. Class B  16,255,957   2,967,362
  Union Pacific Corp.  13,900,533   2,964,706
  Honeywell International Inc.  15,067,105   2,618,814
  Lockheed Martin Corp.   5,242,123   2,253,903
  Caterpillar Inc.  11,805,778   2,110,401
  Deere & Co.   6,179,268   1,850,505
* Boeing Co.  12,309,901   1,683,010
  3M Co.  12,595,570   1,629,993
  General Electric Co.  24,363,462   1,551,222
  Northrop Grumman Corp.   3,234,255   1,547,817
  CSX Corp.  48,129,093   1,398,631
  Waste Management Inc.   8,455,890   1,293,582
  Norfolk Southern Corp.   5,275,255   1,199,013
  FedEx Corp.   5,278,105   1,196,599
  Illinois Tool Works Inc.   6,272,963   1,143,248
  General Dynamics Corp.   5,101,355   1,128,675
  Eaton Corp. plc   8,831,367   1,112,664
  Emerson Electric Co.  13,147,336   1,045,739
  L3Harris Technologies Inc.   4,269,615   1,031,966
  Johnson Controls International plc  15,396,621     737,190
  Cintas Corp.   1,924,965     719,032
  Parker-Hannifin Corp.   2,841,180     699,072
  Trane Technologies plc   5,176,063     672,215
  Carrier Global Corp.  18,773,969     669,480
  Otis Worldwide Corp.   9,357,818     661,317
  Fastenal Co.  12,741,563     636,059
  PACCAR Inc.   7,696,007     633,689
* TransDigm Group Inc.   1,147,870     616,027
  Verisk Analytics Inc. Class A   3,495,547     605,044
  Cummins Inc.   3,123,313     604,455
  Republic Services Inc. Class A   4,614,012     603,836
  AMETEK Inc.   5,110,546     561,598
  Old Dominion Freight Line Inc.   2,031,700     520,684
* Copart Inc.   4,730,339     513,999
  Rockwell Automation Inc.   2,573,981     513,020
  Equifax Inc.   2,706,911     494,769
* Southwest Airlines Co.  13,128,116     474,188
    Shares Market
Value

($000)
  WW Grainger Inc.     950,013     431,714
  Fortive Corp.   7,932,007     431,343
* Delta Air Lines Inc.  14,187,878     411,023
  Quanta Services Inc.   3,180,578     398,654
  Dover Corp.   3,190,616     387,086
* United Rentals Inc.   1,585,081     385,032
  Ingersoll Rand Inc.   8,987,554     378,196
  Expeditors International of Washington Inc.   3,713,200     361,888
  Jacobs Engineering Group Inc.   2,845,685     361,772
  Stanley Black & Decker Inc.   3,341,222     350,361
  Westinghouse Air Brake Technologies Corp.   4,042,541     331,812
  Xylem Inc.   3,985,105     311,556
  IDEX Corp.   1,682,570     305,605
  Leidos Holdings Inc.   3,023,319     304,478
* Generac Holdings Inc.   1,412,853     297,519
  JB Hunt Transport Services Inc.   1,855,680     292,214
  Textron Inc.   4,762,144     290,824
  CH Robinson Worldwide Inc.   2,815,657     285,423
  Masco Corp.   5,223,621     264,315
  Howmet Aerospace Inc.   8,323,360     261,770
* United Airlines Holdings Inc.   7,234,665     256,252
  Nordson Corp.   1,192,770     241,464
  Snap-on Inc.   1,181,395     232,770
  Huntington Ingalls Industries Inc.     886,860     193,176
  Allegion plc   1,945,468     190,461
  Nielsen Holdings plc   7,954,399     184,701
  Robert Half International Inc.   2,448,069     183,336
* American Airlines Group Inc.  14,381,780     182,361
  Rollins Inc.   5,012,297     175,029
  Fortune Brands Home & Security Inc.   2,892,838     173,223
  Pentair plc   3,661,766     167,599
  A O Smith Corp.   2,875,616     157,239
* Alaska Air Group Inc.   2,788,821     111,692
       55,118,991
Information Technology (26.7%)
  Apple Inc. 340,328,725  46,529,743
  Microsoft Corp. 165,540,119  42,515,669
  NVIDIA Corp.  55,423,616   8,401,666
  Visa Inc. Class A  36,176,263   7,122,744
  Mastercard Inc. Class A  19,008,190   5,996,704
  Broadcom Inc.   9,036,800   4,390,168
  Cisco Systems Inc.  91,926,606   3,919,751
  Accenture plc Class A  14,019,844   3,892,610
* Adobe Inc.  10,458,510   3,828,442
* Salesforce Inc.  21,991,046   3,629,402
  Intel Corp.  90,505,257   3,385,802
  QUALCOMM Inc.  24,789,972   3,166,671
  Texas Instruments Inc.  20,410,033   3,136,002
  International Business Machines Corp.  19,908,309   2,810,854
* Advanced Micro Devices Inc.  35,868,564   2,742,869
  Oracle Corp.  34,844,212   2,434,565
 
7

 

500 Index Fund
    Shares Market
Value

($000)
  Intuit Inc.   6,260,002   2,412,855
* ServiceNow Inc.   4,437,261   2,110,006
  Automatic Data Processing Inc.   9,246,687   1,942,174
* PayPal Holdings Inc.  25,633,062   1,790,213
  Applied Materials Inc.  19,553,340   1,778,963
  Analog Devices Inc.  11,583,328   1,692,208
  Micron Technology Inc.  24,718,257   1,366,425
  Lam Research Corp.   3,070,634   1,308,551
  Fidelity National Information Services Inc.  13,517,687   1,239,166
* Fiserv Inc.  12,877,269   1,145,691
  KLA Corp.   3,303,438   1,054,061
* Synopsys Inc.   3,388,222   1,029,003
  Roper Technologies Inc.   2,343,868     925,008
* Cadence Design Systems Inc.   6,102,630     915,578
  NXP Semiconductors NV   5,810,726     860,162
  Amphenol Corp. Class A  13,215,030     850,784
* Fortinet Inc.  14,743,254     834,173
* Autodesk Inc.   4,814,011     827,817
  Paychex Inc.   7,110,393     809,661
  TE Connectivity Ltd.   7,132,172     807,005
  Cognizant Technology Solutions Corp. Class A  11,533,648     778,406
  Motorola Solutions Inc.   3,703,870     776,331
  HP Inc.  23,310,836     764,129
  Microchip Technology Inc.  12,304,959     714,672
  Global Payments Inc.   6,231,146     689,414
* Enphase Energy Inc.   2,989,147     583,601
* Keysight Technologies Inc.   4,028,628     555,346
  Corning Inc.  16,827,512     530,235
* ON Semiconductor Corp.   9,613,951     483,678
  CDW Corp.   2,989,673     471,053
* Arista Networks Inc.   4,982,113     467,023
* ANSYS Inc.   1,924,772     460,579
* Gartner Inc.   1,782,272     431,007
* Teledyne Technologies Inc.   1,036,641     388,854
  Hewlett Packard Enterprise Co.  28,772,130     381,518
* EPAM Systems Inc.   1,264,714     372,812
  Monolithic Power Systems Inc.     970,323     372,643
  Broadridge Financial Solutions Inc.   2,594,639     369,866
* FleetCor Technologies Inc.   1,711,603     359,625
* VeriSign Inc.   2,109,353     352,958
* Zebra Technologies Corp. Class A   1,162,236     341,639
* SolarEdge Technologies Inc.   1,225,811     335,480
  Skyworks Solutions Inc.   3,561,888     329,973
* Akamai Technologies Inc.   3,548,147     324,052
* Trimble Inc.   5,536,632     322,398
    Shares Market
Value

($000)
  NetApp Inc.   4,925,826     321,361
  Teradyne Inc.   3,545,835     317,530
  Seagate Technology Holdings plc   4,374,949     312,546
* Western Digital Corp.   6,931,139     310,723
* Tyler Technologies Inc.     918,102     305,251
* Paycom Software Inc.   1,065,850     298,566
  Jack Henry & Associates Inc.   1,612,908     290,356
  NortonLifeLock Inc.  12,879,931     282,843
  Citrix Systems Inc.   2,761,099     268,296
* PTC Inc.   2,330,922     247,870
* Qorvo Inc.   2,401,111     226,473
* F5 Inc.   1,339,094     204,935
  Juniper Networks Inc.   7,155,062     203,919
* DXC Technology Co.   5,258,395     159,382
* Ceridian HCM Holding Inc.   3,037,973     143,028
      189,453,537
Materials (2.6%)
  Linde plc  11,139,785   3,203,022
  Sherwin-Williams Co.   5,296,523   1,185,944
  Air Products and Chemicals Inc.   4,908,135   1,180,308
  Newmont Corp.  17,565,106   1,048,110
  Freeport-McMoRan Inc.  32,080,218     938,667
  Corteva Inc.  16,019,361     867,288
  Ecolab Inc.   5,501,366     845,890
  Dow Inc.  16,117,246     831,811
  International Flavors & Fragrances Inc.   5,640,321     671,875
  DuPont de Nemours Inc.  11,255,356     625,573
  Nucor Corp.   5,888,991     614,870
  PPG Industries Inc.   5,228,187     597,791
  Albemarle Corp.   2,592,574     541,796
  LyondellBasell Industries NV Class A   5,729,885     501,136
  Ball Corp.   7,075,944     486,613
  Vulcan Materials Co.   2,940,645     417,866
  Amcor plc  33,248,248     413,276
  Martin Marietta Materials Inc.   1,379,968     412,942
  CF Industries Holdings Inc.   4,616,160     395,743
  Mosaic Co.   8,010,509     378,336
  International Paper Co.   8,202,836     343,125
  FMC Corp.   2,786,078     298,138
  Avery Dennison Corp.   1,809,057     292,832
  Packaging Corp. of America   2,074,338     285,221
  Celanese Corp. Class A   2,397,608     281,983
  Eastman Chemical Co.   2,853,788     256,184
  Westrock Co.   5,643,546     224,839
  Sealed Air Corp.   3,236,012     186,783
       18,327,962
Real Estate (2.9%)
  American Tower Corp.  10,285,480   2,628,866
  Prologis Inc.  16,384,750   1,927,666
  Crown Castle International Corp.   9,584,498   1,613,838
  Equinix Inc.   2,014,850   1,323,797
 
8

 

500 Index Fund
    Shares Market
Value

($000)
  Public Storage   3,380,035   1,056,835
  Realty Income Corp.  13,313,665     908,791
  Welltower Inc.  10,049,646     827,588
  Digital Realty Trust Inc.   6,302,253     818,221
  SBA Communications Corp. Class A   2,386,299     763,735
  Simon Property Group Inc.   7,267,096     689,793
  AvalonBay Communities Inc.   3,094,739     601,153
  VICI Properties Inc.  18,670,547     556,196
  Equity Residential   7,575,175     547,079
  Weyerhaeuser Co.  16,481,090     545,854
* CBRE Group Inc. Class A   7,236,157     532,653
  Extra Space Storage Inc.   2,972,966     505,761
  Alexandria Real Estate Equities Inc.   3,286,776     476,681
  Duke Realty Corp.   8,507,492     467,487
  Ventas Inc.   8,849,985     455,155
  Mid-America Apartment Communities Inc.   2,554,301     446,160
  Essex Property Trust Inc.   1,445,826     378,098
  Camden Property Trust   2,357,558     317,044
  Iron Mountain Inc.   6,431,655     313,157
  Healthpeak Properties Inc.  11,943,445     309,455
  UDR Inc.   6,624,958     305,013
  Boston Properties Inc.   3,156,746     280,887
  Kimco Realty Corp.  13,681,951     270,492
  Host Hotels & Resorts Inc.  15,824,850     248,134
  Regency Centers Corp.   3,435,390     203,753
  Federal Realty Investment Trust   1,580,800     151,346
  Vornado Realty Trust   3,519,970     100,636
       20,571,324
Utilities (3.1%)
  NextEra Energy Inc.  43,482,351   3,368,143
  Duke Energy Corp.  17,040,850   1,826,949
  Southern Co.  23,519,216   1,677,155
  Dominion Energy Inc.  17,957,779   1,433,210
  American Electric Power Co. Inc.  11,365,793   1,090,434
  Sempra Energy (XNYS)   6,957,428   1,045,493
  Exelon Corp.  21,693,189     983,135
  Xcel Energy Inc.  12,053,120     852,879
  Consolidated Edison Inc.   7,840,842     745,664
    Shares Market
Value

($000)
  WEC Energy Group Inc.   6,981,263     702,594
  Public Service Enterprise Group Inc.  11,049,266     699,198
  Eversource Energy   7,633,630     644,813
  American Water Works Co. Inc.   4,023,439     598,567
  DTE Energy Co.   4,286,796     543,351
  Edison International   8,439,256     533,699
  Ameren Corp.   5,714,163     516,332
  Entergy Corp.   4,502,731     507,188
  FirstEnergy Corp.  12,641,154     485,294
  PPL Corp.  16,284,262     441,792
  CMS Energy Corp.   6,420,478     433,382
  Constellation Energy Corp.   7,229,300     413,950
  CenterPoint Energy Inc.  13,930,025     412,050
  Atmos Energy Corp.   3,077,495     344,987
  Evergy Inc.   5,080,399     331,496
  Alliant Energy Corp.   5,551,911     325,397
  AES Corp.  14,783,389     310,599
  NiSource Inc.   8,985,369     264,979
  NRG Energy Inc.   5,250,432     200,409
  Pinnacle West Capital Corp.   2,503,276     183,040
       21,916,179
Total Common Stocks
(Cost $481,616,818)
705,700,312
Temporary Cash Investments (0.6%)
Money Market Fund (0.6%)
2,3 Vanguard Market Liquidity Fund, 1.417% (Cost$4,443,101)  44,447,190            4,443,385
Total Investments (100.1%) (Cost $486,059,919) 710,143,697
Other Assets and Liabilities—Net (-0.1%) (484,913)
Net Assets (100%) 709,658,784
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 $32,692,000.
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 $35,874,000 was received for securities on loan.
 
9

 

500 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 2022 18,722 3,547,351 (96,884)
    
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)
DXC Technology Co. 8/31/22 BANA 4,547 (1.970) (2)
Goldman Sachs Group Inc. 8/31/23 BANA 62,374 (1.420) 342
Goldman Sachs Group Inc. 8/31/23 BANA 8,911 (1.420) 49
Kroger Co. 1/31/23 GSI 50,880 (0.820) (3,566)
Netflix Inc. 8/31/22 BANA 17,487 (0.820) (13)
Signature Bank 8/31/23 BANA 35,842 (1.570) (71)
Signature Bank 8/31/23 BANA 8,064 (1.570) (5)
State Street Corp. 8/31/23 BANA 117,135 (1.420) 925
State Street Corp. 8/31/23 BANA 9,247 (1.420) 73
VICI Properties Inc. 8/31/22 BANA 78,944 (2.120) 909
Visa Inc. Class A 8/31/22 BANA 49,223 (0.720) 63
          2,361 (3,657)
1 Based on 1M USD Overnight Bank Funding Rate as of the most recent payment date. Floating interest payment received/paid monthly.
  1M—1-month.
  BANA—Bank of America, N.A.
  GSI—Goldman Sachs International.
  
See accompanying Notes, which are an integral part of the Financial Statements.
10

 

500 Index Fund
Statement of Assets and Liabilities
As of June 30, 2022
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value1  
Unaffiliated Issuers (Cost $481,616,818) 705,700,312
Affiliated Issuers (Cost $4,443,101) 4,443,385
Total Investments in Securities 710,143,697
Investment in Vanguard 27,494
Cash Collateral Pledged—Futures Contracts 196,589
Cash Collateral Pledged—Over-the-Counter Swap Contracts 36,600
Receivables for Investment Securities Sold 7,005
Receivables for Accrued Income 635,517
Receivables for Capital Shares Issued 168,661
Unrealized Appreciation—Over-the-Counter Swap Contracts 2,361
Total Assets 711,217,924
Liabilities  
Due to Custodian 59,045
Payables for Investment Securities Purchased 226,408
Collateral for Securities on Loan 35,874
Payables for Capital Shares Redeemed 181,218
Payables for Distributions 1,013,651
Payables to Vanguard 9,566
Variation Margin Payable—Futures Contracts 29,721
Unrealized Depreciation—Over-the-Counter Swap Contracts 3,657
Total Liabilities 1,559,140
Net Assets 709,658,784
1 Includes $32,692 of securities on loan.  
11

 

500 Index Fund
Statement of Assets and Liabilities (continued)

At June 30, 2022, net assets consisted of:  
($000s, except shares and per-share amounts) Amount
Paid-in Capital 475,523,221
Total Distributable Earnings (Loss) 234,135,563
Net Assets 709,658,784
 
Investor Shares—Net Assets  
Applicable to 9,323,822 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
3,257,967
Net Asset Value Per Share—Investor Shares $349.42
 
ETF Shares—Net Assets  
Applicable to 705,606,438 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
244,635,031
Net Asset Value Per Share—ETF Shares $346.70
 
Admiral Shares—Net Assets  
Applicable to 1,036,948,611 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
362,280,317
Net Asset Value Per Share—Admiral Shares $349.37
 
Institutional Select Shares—Net Assets  
Applicable to 537,380,224 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
99,485,469
Net Asset Value Per Share—Institutional Select Shares $185.13
  
See accompanying Notes, which are an integral part of the Financial Statements.
12

 

500 Index Fund
Statement of Operations
  Six Months Ended
June 30, 2022
  ($000)
Investment Income  
Income  
Dividends1 5,907,620
Interest2 9,086
Securities Lending—Net 242
Total Income 5,916,948
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 2,904
Management and Administrative—Investor Shares 2,547
Management and Administrative—ETF Shares 32,473
Management and Administrative—Admiral Shares 71,392
Management and Administrative—Institutional Select Shares 4,329
Marketing and Distribution—Investor Shares 107
Marketing and Distribution—ETF Shares 4,292
Marketing and Distribution—Admiral Shares 6,616
Marketing and Distribution—Institutional Select Shares 539
Custodian Fees 1,470
Shareholders’ Reports—Investor Shares 1
Shareholders’ Reports—ETF Shares 1,553
Shareholders’ Reports—Admiral Shares 781
Shareholders’ Reports—Institutional Select Shares
Trustees’ Fees and Expenses 201
Other Expenses 12
Total Expenses 129,217
Expenses Paid Indirectly (1)
Net Expenses 129,216
Net Investment Income 5,787,732
Realized Net Gain (Loss)  
Investment Securities Sold2,3 19,033,449
Futures Contracts (749,180)
Swap Contracts (143,588)
Realized Net Gain (Loss) 18,140,681
13

 

500 Index Fund
Statement of Operations (continued)
  Six Months Ended
June 30, 2022
  ($000)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities2 (197,853,207)
Futures Contracts (187,217)
Swap Contracts (4,138)
Change in Unrealized Appreciation (Depreciation) (198,044,562)
Net Increase (Decrease) in Net Assets Resulting from Operations (174,116,149)
1 Dividends are net of foreign withholding taxes of $1,476,000.
2 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $9,060,000, ($295,000), and ($368,000), respectively. Purchases and sales are for temporary cash investment purposes.
3 Includes $20,932,586,000 of net gain (loss) resulting from in-kind redemptions.
  
See accompanying Notes, which are an integral part of the Financial Statements.
14

 

500 Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2022
  Year Ended
December 31,
2021
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 5,787,732   10,217,597
Realized Net Gain (Loss) 18,140,681   30,970,270
Change in Unrealized Appreciation (Depreciation) (198,044,562)   147,215,737
Net Increase (Decrease) in Net Assets Resulting from Operations (174,116,149)   188,403,604
Distributions      
Investor Shares (24,820)   (59,162)
ETF Shares (1,975,504)   (3,296,146)
Admiral Shares (2,893,905)   (5,602,317)
Institutional Select Shares (797,326)   (1,515,092)
Total Distributions (5,691,555)   (10,472,717)
Capital Share Transactions      
Investor Shares (386,733)   (1,095,734)
ETF Shares 25,363,456   47,041,730
Admiral Shares 2,458,308   (2,715,238)
Institutional Select Shares 5,949,941   (1,997,365)
Net Increase (Decrease) from Capital Share Transactions 33,384,972   41,233,393
Total Increase (Decrease) (146,422,732)   219,164,280
Net Assets      
Beginning of Period 856,081,516   636,917,236
End of Period 709,658,784   856,081,516
  
See accompanying Notes, which are an integral part of the Financial Statements.
15

 

500 Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $439.86 $346.60 $298.16 $231.44 $246.82 $206.57
Investment Operations            
Net Investment Income1 2.685 4.910 5.128 4.801 4.896 4.221
Net Realized and Unrealized Gain (Loss) on Investments (90.535) 93.389 48.323 67.211 (15.776) 40.205
Total from Investment Operations (87.850) 98.299 53.451 72.012 (10.880) 44.426
Distributions            
Dividends from Net Investment Income (2.590) (5.039) (5.011) (5.292) (4.500) (4.176)
Distributions from Realized Capital Gains
Total Distributions (2.590) (5.039) (5.011) (5.292) (4.500) (4.176)
Net Asset Value, End of Period $349.42 $439.86 $346.60 $298.16 $231.44 $246.82
Total Return2 -20.02% 28.53% 18.25% 31.33% -4.52% 21.67%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $3,258 $4,512 $4,504 $4,723 $23,162 $27,656
Ratio of Total Expenses to Average Net Assets 0.14%3 0.14% 0.14% 0.14% 0.14% 0.14%
Ratio of Net Investment Income to Average Net Assets 1.36% 1.25% 1.73% 1.82% 1.95% 1.87%
Portfolio Turnover Rate4 1% 2% 4% 4% 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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.14%.
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.
16

 

500 Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $436.47 $343.93 $295.87 $229.68 $244.94 $205.00
Investment Operations            
Net Investment Income1 2.892 5.353 5.413 5.298 5.196 4.434
Net Realized and Unrealized Gain (Loss) on Investments (89.856) 92.624 47.950 66.463 (15.719) 39.874
Total from Investment Operations (86.964) 97.977 53.363 71.761 (10.523) 44.308
Distributions            
Dividends from Net Investment Income (2.806) (5.437) (5.303) (5.571) (4.737) (4.368)
Distributions from Realized Capital Gains
Total Distributions (2.806) (5.437) (5.303) (5.571) (4.737) (4.368)
Net Asset Value, End of Period $346.70 $436.47 $343.93 $295.87 $229.68 $244.94
Total Return -19.98% 28.66% 18.35% 31.46% -4.42% 21.78%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $244,635 $279,850 $177,991 $130,728 $90,639 $83,640
Ratio of Total Expenses to Average Net Assets 0.03%2 0.03% 0.03% 0.03% 0.03% 0.04%
Ratio of Net Investment Income to Average Net Assets 1.48% 1.36% 1.83% 1.98% 2.06% 1.97%
Portfolio Turnover Rate3 1% 2% 4% 4% 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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.03%.
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.
17

 

500 Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $439.83 $346.57 $298.14 $231.44 $246.82 $206.57
Investment Operations            
Net Investment Income1 2.886 5.326 5.427 5.319 5.181 4.458
Net Realized and Unrealized Gain (Loss) on Investments (90.541) 93.371 48.314 66.962 (15.808) 40.193
Total from Investment Operations (87.655) 98.697 53.741 72.281 (10.627) 44.651
Distributions            
Dividends from Net Investment Income (2.805) (5.437) (5.311) (5.581) (4.753) (4.401)
Distributions from Realized Capital Gains
Total Distributions (2.805) (5.437) (5.311) (5.581) (4.753) (4.401)
Net Asset Value, End of Period $349.37 $439.83 $346.57 $298.14 $231.44 $246.82
Total Return2 -19.98% 28.66% 18.37% 31.46% -4.43% 21.79%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $362,280 $453,239 $359,553 $319,624 $230,375 $235,232
Ratio of Total Expenses to Average Net Assets 0.04%3 0.04% 0.04% 0.04% 0.04% 0.04%
Ratio of Net Investment Income to Average Net Assets 1.47% 1.35% 1.83% 1.97% 2.05% 1.97%
Portfolio Turnover Rate4 1% 2% 4% 4% 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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.04%.
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.
18

 

500 Index Fund
Financial Highlights
Institutional Select Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $233.06 $183.64 $157.98 $122.64 $130.79 $109.45
Investment Operations            
Net Investment Income1 1.562 2.885 2.924 2.857 2.808 2.423
Net Realized and Unrealized Gain (Loss) on Investments (47.978) 49.478 25.597 35.484 (8.400) 21.283
Total from Investment Operations (46.416) 52.363 28.521 38.341 (5.592) 23.706
Distributions            
Dividends from Net Investment Income (1.514) (2.943) (2.861) (3.001) (2.558) (2.366)
Distributions from Realized Capital Gains
Total Distributions (1.514) (2.943) (2.861) (3.001) (2.558) (2.366)
Net Asset Value, End of Period $185.13 $233.06 $183.64 $157.98 $122.64 $130.79
Total Return -19.97% 28.70% 18.40% 31.49% -4.40% 21.83%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $99,485 $118,481 $94,870 $81,230 $56,531 $44,907
Ratio of Total Expenses to Average Net Assets 0.01%2 0.01% 0.01% 0.01% 0.01% 0.01%
Ratio of Net Investment Income to Average Net Assets 1.50% 1.38% 1.86% 2.00% 2.08% 2.00%
Portfolio Turnover Rate3 1% 2% 4% 4% 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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.01%.
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.
19

 

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 Cboe BZK Exchange, Inc; they can be purchased and sold through a broker.
Significant market disruptions, such as those caused by pandemics (e.g., COVID-19 pandemic), natural or environmental disasters, war (e.g., Russia’s invasion of Ukraine), acts of terrorism, or other events, can adversely affect local and global markets and normal market operations. Any such disruptions could have an adverse impact on the value of the fund’s investments and 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 securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. 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

 

500 Index Fund
During the six months ended June 30, 2022, 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.
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.
The notional amounts of swap contracts are not recorded in the Statement of Assets and Liabilities. 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.
During the six months ended June 30, 2022, 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. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is
21

 

500 Index Fund
generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for 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 $4.4 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 and are 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, which 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 an agreed-upon spread plus the higher of the federal funds effective rate, the overnight bank funding rate, or the Daily Simple Secured Overnight Financing Rate inclusive of an additional agreed-upon spread. However, borrowings under the uncommitted credit facility may bear interest based upon an alternate 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
22

 

500 Index Fund
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, 2022, the fund did not utilize the credit facilities or the Interfund Lending Program.
8. Other: Dividend income is recorded on the ex-dividend date. Non-cash dividends included in income, if any, are recorded at the fair value of the securities received. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. 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, 2022, the fund had contributed to Vanguard capital in the amount of $27,494,000, representing less than 0.01% of the fund’s net assets and 11.00% 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, 2022, custodian fee offset arrangements reduced the fund’s expenses by $1,000 (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 and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
23

 

500 Index Fund
The following table summarizes the market value of the fund’s investments and derivatives as of June 30, 2022, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 705,700,312 705,700,312
Temporary Cash Investments 4,443,385 4,443,385
Total 710,143,697 710,143,697
Derivative Financial Instruments        
Assets        
Swap Contracts 2,361 2,361
Liabilities        
Futures Contracts1 96,884 96,884
Swap Contracts 3,657 3,657
Total 96,884 3,657 100,541
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
E. As of June 30, 2022, 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 486,547,112
Gross Unrealized Appreciation 243,697,427
Gross Unrealized Depreciation (20,197,726)
Net Unrealized Appreciation (Depreciation) 223,499,701
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, 2021, the fund had available capital losses totaling $7,943,854,000 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, 2022; 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, 2022, the fund purchased $68,543,754,000 of investment securities and sold $36,306,005,000 of investment securities, other than temporary cash investments. Purchases and sales include $51,439,202,000 and $28,145,129,000, 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, 2022, such purchases were $1,276,641,000 and sales were
24

 

500 Index Fund
$513,992,000, resulting in net realized loss of $180,132,000; 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, 2022
  Year Ended
December 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 94,001 237   172,587 443
Issued in Lieu of Cash Distributions 24,817 65   59,155 150
Redeemed (505,551) (1,236)   (1,327,476) (3,329)
Net Increase (Decrease)—Investor Shares (386,733) (934)   (1,095,734) (2,736)
ETF Shares          
Issued 53,837,402 135,492   79,932,127 204,970
Issued in Lieu of Cash Distributions  
Redeemed (28,473,946) (71,050)   (32,890,397) (81,325)
Net Increase (Decrease)—ETF Shares 25,363,456 64,442   47,041,730 123,645
Admiral Shares          
Issued 23,094,423 58,275   40,334,657 103,425
Issued in Lieu of Cash Distributions 2,526,721 6,668   4,903,407 12,411
Redeemed (23,162,836) (58,485)   (47,953,302) (122,796)
Net Increase (Decrease)—Admiral Shares 2,458,308 6,458   (2,715,238) (6,960)
Institutional Select Shares          
Issued 7,471,424 36,011   10,078,153 48,403
Issued in Lieu of Cash Distributions 797,326 3,973   1,515,092 7,237
Redeemed (2,318,809) (10,975)   (13,590,610) (63,866)
Net Increase (Decrease)—Institutional Select Shares 5,949,941 29,009   (1,997,365) (8,226)
H. Management has determined that no events or transactions occurred subsequent to June 30, 2022, that would require recognition or disclosure in these financial statements.
25

 

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 periodic reports throughout the year, which included information about the portfolio’s performance relative to its peers and benchmark, as applicable, and updates, as needed, on the Portfolio Review Department’s ongoing assessment of the advisor.
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 below the average expense ratio charged by funds in its peer group and that the fund’s advisory expenses were also below the peer-group average.
26

 

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.
27

 

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 January 1, 2021, through December 31, 2021 (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.
28

 

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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.
© 2022 The Vanguard Group, Inc.
All rights reserved.
U.S. Patent Nos. 6,879,964.
Vanguard Marketing Corporation, Distributor.
Q402 082022

 

 

Semiannual Report  |  June 30, 2022
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

 


 

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, 2022      
  Beginning
Account Value
12/31/2021
Ending
Account Value
6/30/2022
Expenses
Paid During
Period
Based on Actual Fund Return      
Small-Cap Index Fund      
Investor Shares $1,000.00 $783.00 $0.75
ETF Shares 1,000.00 783.50 0.22
Admiral™ Shares 1,000.00 783.50 0.22
Institutional Shares 1,000.00 783.50 0.18
Institutional Plus Shares 1,000.00 783.50 0.13
Small-Cap Growth Index Fund      
Investor Shares $1,000.00 $700.10 $0.80
ETF Shares 1,000.00 700.60 0.30
Admiral Shares 1,000.00 700.60 0.30
Institutional Shares 1,000.00 700.60 0.25
Small-Cap Value Index Fund      
Investor Shares $1,000.00 $844.60 $0.87
ETF Shares 1,000.00 845.20 0.32
Admiral Shares 1,000.00 845.20 0.32
Institutional Shares 1,000.00 845.20 0.27
Based on Hypothetical 5% Yearly Return      
Small-Cap Index Fund      
Investor Shares $1,000.00 $1,023.95 $0.85
ETF Shares 1,000.00 1,024.55 0.25
Admiral Shares 1,000.00 1,024.55 0.25
Institutional Shares 1,000.00 1,024.60 0.20
Institutional Plus Shares 1,000.00 1,024.65 0.15
Small-Cap Growth Index Fund      
Investor Shares $1,000.00 $1,023.85 $0.95
ETF Shares 1,000.00 1,024.45 0.35
Admiral Shares 1,000.00 1,024.45 0.35
Institutional Shares 1,000.00 1,024.50 0.30
Small-Cap Value Index Fund      
Investor Shares $1,000.00 $1,023.85 $0.95
ETF Shares 1,000.00 1,024.45 0.35
Admiral Shares 1,000.00 1,024.45 0.35
Institutional Shares 1,000.00 1,024.50 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 (181/365).
2

 

Small-Cap Index Fund
Fund Allocation
As of June 30, 2022
Basic Materials 4.0%
Consumer Discretionary 14.1
Consumer Staples 3.5
Energy 5.4
Financials 15.3
Health Care 11.5
Industrials 19.6
Real Estate 9.2
Technology 11.9
Telecommunications 1.5
Utilities 4.0
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

 

Small-Cap Index Fund
Financial Statements (unaudited)
Schedule of Investments
As of June 30, 2022
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 (99.3%)
Basic Materials (4.0%)
Steel Dynamics Inc.  4,530,833     299,715
Reliance Steel & Aluminum Co.  1,565,656     265,942
Alcoa Corp.  4,661,493     212,471
* Cleveland-Cliffs Inc. 11,937,082     183,473
Royal Gold Inc.  1,658,881     177,135
Olin Corp.  3,645,872     168,731
* RBC Bearings Inc.    729,579     134,936
Valvoline Inc.  4,504,243     129,857
Ashland Global Holdings Inc.  1,240,432     127,826
Huntsman Corp.  4,508,582     127,818
Chemours Co.  3,929,000     125,807
Hexcel Corp.  2,123,251     111,067
* Univar Solutions Inc.  4,275,800     106,339
United States Steel Corp.  5,930,800     106,221
Element Solutions Inc.  5,946,582     105,849
UFP Industries Inc.  1,504,337     102,506
Commercial Metals Co.  3,068,418     101,565
Balchem Corp.    730,263      94,744
* Livent Corp.  4,087,792      92,752
Avient Corp.  2,309,974      92,584
Cabot Corp.  1,426,459      90,994
Timken Co.  1,686,555      89,472
Sensient Technologies Corp.  1,062,436      85,590
*,1 MP Materials Corp.  2,465,413      79,090
Scotts Miracle-Gro Co.    980,198      77,426
* Arconic Corp.  2,672,310      74,958
Mueller Industries Inc.  1,366,971      72,846
* Ingevity Corp.    977,557      61,723
Innospec Inc.    627,142      60,074
Boise Cascade Co.    997,751      59,356
NewMarket Corp.    193,939      58,368
Stepan Co.    535,783      54,302
Hecla Mining Co. 13,622,109      53,399
Minerals Technologies Inc.    831,167      50,984
          Shares Market
Value

($000)
Quaker Chemical Corp.    338,754      50,650
Tronox Holdings plc Class A  2,950,532      49,569
* GCP Applied Technologies Inc.  1,403,386      43,898
Westlake Corp.    405,821      39,779
Materion Corp.    516,427      38,076
GrafTech International Ltd.  4,924,095      34,813
Carpenter Technology Corp.  1,219,247      34,029
Worthington Industries Inc.    760,913      33,556
Kaiser Aluminum Corp.    400,813      31,700
Compass Minerals International Inc.    860,760      30,462
Schnitzer Steel Industries Inc. Class A    620,609      20,381
Schweitzer-Mauduit International Inc.    788,126      19,798
* Coeur Mining Inc.  6,396,800      19,446
Ecovyst Inc.  1,592,859      15,690
Koppers Holdings Inc.    511,478      11,580
*,1 Amyris Inc.  5,282,904       9,773
* Century Aluminum Co.  1,271,065       9,368
Glatfelter Corp.    557,922       3,838
* Hycroft Mining Holding Corp. Warrants Exp. 10/22/22         19          —
                     4,332,326
Consumer Discretionary (14.0%)
* Liberty Media Corp.-Liberty Formula One Class C  4,894,705     310,667
Service Corp. International  3,810,915     263,410
* BJ's Wholesale Club Holdings Inc.  3,409,102     212,455
4

 

Small-Cap Index Fund
          Shares Market
Value

($000)
Lithia Motors Inc. Class A    731,278     200,962
Aramark  6,501,821     199,151
* Mattel Inc.  8,908,239     198,921
Williams-Sonoma Inc.  1,769,874     196,367
Tapestry Inc.  6,364,117     194,233
Newell Brands Inc.  9,403,677     179,046
* Deckers Outdoor Corp.    688,403     175,784
Pool Corp.    481,186     169,007
Gentex Corp.  5,925,528     165,737
Churchill Downs Inc.    864,732     165,622
* Floor & Decor Holdings Inc. Class A  2,541,170     159,992
* Five Below Inc.  1,402,776     159,117
Nexstar Media Group Inc. Class A    969,961     157,987
* Capri Holdings Ltd.  3,730,612     152,992
Wyndham Hotels & Resorts Inc.  2,327,638     152,972
Nielsen Holdings plc  6,363,817     147,768
* Planet Fitness Inc. Class A  2,146,402     145,977
H&R Block Inc.  4,033,179     142,452
Polaris Inc.  1,428,200     141,792
Interpublic Group of Cos. Inc.  4,974,295     136,942
* SiteOne Landscape Supply Inc.  1,135,162     134,937
Macy's Inc.  7,198,958     131,885
* AutoNation Inc.  1,179,243     131,792
Murphy USA Inc.    550,706     128,243
* Penn National Gaming Inc.  4,215,078     128,223
* Alaska Air Group Inc.  3,184,601     127,543
* Bright Horizons Family Solutions Inc.  1,500,905     126,856
Texas Roadhouse Inc. Class A  1,722,713     126,103
Toll Brothers Inc.  2,814,571     125,530
* Terminix Global Holdings Inc.  3,069,596     124,779
* Skechers USA Inc. Class A  3,408,480     121,274
TEGNA Inc.  5,631,993     118,103
*,1 Norwegian Cruise Line Holdings Ltd. 10,587,339     117,731
Leggett & Platt Inc.  3,374,477     116,689
Kohl's Corp.  3,249,349     115,969
* Light & Wonder Inc.  2,417,023     113,576
Vail Resorts Inc.    512,500     111,751
New York Times Co. Class A  4,001,129     111,631
* IAA Inc.  3,385,945     110,957
Choice Hotels International Inc.    986,760     110,152
          Shares Market
Value

($000)
*,1 DraftKings Inc. Class A  9,393,933     109,627
Marriott Vacations Worldwide Corp.    942,311     109,497
* Avis Budget Group Inc.    732,166     107,687
AMERCO    222,960     106,626
Harley-Davidson Inc.  3,353,618     106,176
* RH    498,561     105,825
* American Airlines Group Inc.  8,205,017     104,040
1 Dick's Sporting Goods Inc.  1,366,868     103,021
*,1 GameStop Corp. Class A    819,831     100,265
Thor Industries Inc.  1,320,201      98,659
* Helen of Troy Ltd.    602,325      97,824
PVH Corp.  1,706,880      97,121
Boyd Gaming Corp.  1,937,722      96,402
Lear Corp.    755,480      95,107
* Asbury Automotive Group Inc.    559,341      94,719
Ralph Lauren Corp.  1,028,297      92,187
* Hyatt Hotels Corp. Class A  1,230,309      90,932
Hanesbrands Inc.  8,818,148      90,739
*,1 Hertz Global Holdings Inc.  5,727,802      90,728
Tempur Sealy International Inc.  4,214,324      90,060
* YETI Holdings Inc.  2,068,054      89,485
*,1 AMC Entertainment Holdings Inc. Class A  6,529,534      88,475
* Fox Factory Holding Corp.  1,064,844      85,763
Wendy's Co.  4,332,701      81,801
* Hilton Grand Vacations Inc.  2,278,787      81,421
Travel + Leisure Co.  2,050,460      79,599
Academy Sports & Outdoors Inc.  2,181,288      77,523
Bath & Body Works Inc.  2,864,042      77,100
* Grand Canyon Education Inc.    816,866      76,941
* Goodyear Tire & Rubber Co.  7,139,614      76,465
* Coty Inc. Class A  9,543,200      76,441
* Wynn Resorts Ltd.  1,318,836      75,147
* Dorman Products Inc.    675,246      74,081
* Visteon Corp.    710,541      73,598
* Crocs Inc.  1,478,492      71,958
* Callaway Golf Co.  3,500,074      71,401
* Ollie's Bargain Outlet Holdings Inc.  1,206,447      70,879
Penske Automotive Group Inc.    671,132      70,261
 
5

 

Small-Cap Index Fund
          Shares Market
Value

($000)
LCI Industries    610,053      68,253
World Wrestling Entertainment Inc. Class A  1,091,554      68,211
Carter's Inc.    966,481      68,118
Papa John's International Inc.    814,397      68,018
* JetBlue Airways Corp.  8,106,658      67,853
* Peloton Interactive Inc. Class A  7,378,935      67,739
Group 1 Automotive Inc.    398,837      67,722
* Meritage Homes Corp.    927,716      67,259
* Taylor Morrison Home Corp. Class A  2,873,105      67,116
*,1 Spirit Airlines Inc.  2,746,116      65,467
* Skyline Champion Corp.  1,365,107      64,733
Columbia Sportswear Co.    874,490      62,596
Foot Locker Inc.  2,426,131      61,260
Signet Jewelers Ltd.  1,138,846      60,883
KB Home  2,130,303      60,628
* Madison Square Garden Sports Corp.    397,395      60,007
Nordstrom Inc.  2,813,834      59,456
Rush Enterprises Inc. Class A  1,217,546      58,686
* Victoria's Secret & Co.  2,094,906      58,594
Steven Madden Ltd.  1,814,716      58,452
* Sonos Inc.  3,234,294      58,347
* Chegg Inc.  3,017,608      56,671
* National Vision Holdings Inc.  2,059,492      56,636
Wingstop Inc.    755,479      56,487
Gap Inc.  6,531,511      53,820
Graham Holdings Co. Class B     94,021      53,295
* Leslie's Inc.  3,460,309      52,527
* Gentherm Inc.    836,162      52,185
John Wiley & Sons Inc. Class A  1,058,524      50,555
MillerKnoll Inc.  1,911,139      50,206
* Frontdoor Inc.  2,080,416      50,096
Cracker Barrel Old Country Store Inc.    585,667      48,897
* SeaWorld Entertainment Inc.  1,103,173      48,738
* Lyft Inc. Class A  3,639,152      48,328
* Sabre Corp.  8,233,254      48,000
Kontoor Brands Inc.  1,413,340      47,163
MDC Holdings Inc.  1,434,658      46,354
Dana Inc.  3,253,643      45,779
*,1 Duolingo Inc. Class A    521,477      45,655
* TripAdvisor Inc.  2,560,336      45,574
          Shares Market
Value

($000)
* KAR Auction Services Inc.  3,072,077      45,375
PriceSmart Inc.    623,196      44,640
* Tri Pointe Homes Inc.  2,617,767      44,162
Red Rock Resorts Inc. Class A  1,322,309      44,112
* LGI Homes Inc.    507,239      44,079
*,1 QuantumScape Corp. Class A  5,126,212      44,034
* Allegiant Travel Co.    388,423      43,927
1 American Eagle Outfitters Inc.  3,855,346      43,103
* Six Flags Entertainment Corp.  1,963,434      42,606
* Under Armour Inc. Class C  5,594,314      42,405
* Stride Inc.  1,027,404      41,908
* Wayfair Inc. Class A    953,798      41,547
* Cinemark Holdings Inc.  2,734,741      41,076
Wolverine World Wide Inc.  2,036,889      41,064
* Central Garden & Pet Co. Class A  1,023,698      40,958
* Knowles Corp.  2,318,212      40,175
Strategic Education Inc.    569,030      40,162
* Adtalem Global Education Inc.  1,081,461      38,900
* Under Armour Inc. Class A  4,628,673      38,557
* elf Beauty Inc.  1,250,977      38,380
Laureate Education Inc. Class A  3,262,504      37,747
Bloomin' Brands Inc.  2,237,217      37,183
* Shake Shack Inc. Class A    940,730      37,140
* Madison Square Garden Entertainment Corp.    689,802      36,297
* Tenneco Inc. Class A  2,104,056      36,106
* Liberty Media Corp.-Liberty Formula One Class A    621,716      36,041
* Coursera Inc.  2,540,687      36,027
Levi Strauss & Co. Class A  2,199,158      35,890
HNI Corp.  1,015,259      35,219
* Driven Brands Holdings Inc.  1,267,136      34,897
Oxford Industries Inc.    392,480      34,829
Monro Inc.    805,929      34,558
Acushnet Holdings Corp.    820,461      34,197
*,1 Fisker Inc. Class A  3,956,305      33,906
Cheesecake Factory Inc.  1,268,388      33,511
 
6

 

Small-Cap Index Fund
          Shares Market
Value

($000)
Inter Parfums Inc.    446,787      32,642
* Dave & Buster's Entertainment Inc.    983,391      32,236
* Sally Beauty Holdings Inc.  2,699,078      32,173
* ODP Corp.  1,057,199      31,970
*,1 Luminar Technologies Inc. Class A  5,097,635      30,229
Jack in the Box Inc.    531,004      29,768
*,1 Petco Health & Wellness Co. Inc. Class A  2,013,672      29,682
* Figs Inc. Class A  3,200,928      29,160
* Carvana Co.  1,267,131      28,612
Sturm Ruger & Co. Inc.    445,969      28,386
*,1 Overstock.com Inc.  1,089,015      27,236
* SkyWest Inc.  1,269,823      26,984
*,1 Dutch Bros Inc. Class A    848,257      26,847
* Revolve Group Inc. Class A  1,032,713      26,758
* Urban Outfitters Inc.  1,430,040      26,685
Dine Brands Global Inc.    401,288      26,116
* Boot Barn Holdings Inc.    376,587      25,951
La-Z-Boy Inc.  1,087,560      25,786
* Lions Gate Entertainment Corp. Class B  2,919,930      25,783
*,1 Sweetgreen Inc. Class A  2,181,024      25,409
* iRobot Corp.    686,472      25,228
Rent-A-Center Inc.  1,268,386      24,670
Qurate Retail Inc. Class A  8,501,567      24,399
* Brinker International Inc.  1,105,888      24,363
* PowerSchool Holdings Inc. Class A  1,999,361      24,092
1 Dillard's Inc. Class A    108,067      23,836
1 Krispy Kreme Inc.  1,688,408      22,962
* PROG Holdings Inc.  1,363,784      22,502
* iHeartMedia Inc. Class A  2,771,192      21,865
Sinclair Broadcast Group Inc. Class A  1,066,047      21,747
* Cavco Industries Inc.    110,832      21,722
* Abercrombie & Fitch Co. Class A  1,272,442      21,530
Matthews International Corp. Class A    747,900      21,442
Buckle Inc.    762,574      21,116
* G-III Apparel Group Ltd.  1,033,581      20,909
          Shares Market
Value

($000)
* Mister Car Wash Inc.  1,919,707      20,886
* American Axle & Manufacturing Holdings Inc.  2,756,620      20,757
*,1 ContextLogic Inc. Class A 12,854,535      20,567
1 Camping World Holdings Inc. Class A    946,902      20,444
Steelcase Inc. Class A  1,866,158      20,024
* AMC Networks Inc. Class A    676,426      19,697
* 2U Inc.  1,857,113      19,444
* EW Scripps Co. Class A  1,542,670      19,237
Designer Brands Inc. Class A  1,467,426      19,165
Interface Inc. Class A  1,516,743      19,020
* Vista Outdoor Inc.    676,667      18,879
* ACV Auctions Inc. Class A  2,840,695      18,578
* Hawaiian Holdings Inc.  1,248,435      17,865
Sonic Automotive Inc. Class A    486,177      17,809
* GoPro Inc. Class A  3,146,299      17,399
* Cardlytics Inc.    777,766      17,352
* Sleep Number Corp.    532,386      16,477
* Cars.com Inc.  1,674,182      15,788
* Life Time Group Holdings Inc.  1,218,972      15,700
* Sun Country Airlines Holdings Inc.    810,694      14,868
Scholastic Corp.    411,774      14,811
* Udemy Inc.  1,407,984      14,375
1 Big Lots Inc.    685,091      14,366
1 Guess? Inc.    829,486      14,143
* Lions Gate Entertainment Corp. Class A  1,413,487      13,160
*,1 Corsair Gaming Inc.    970,907      12,748
* BJ's Restaurants Inc.    568,918      12,334
Caleres Inc.    457,579      12,007
Aaron's Co. Inc.    733,509      10,673
* Zumiez Inc.    391,455      10,178
* Central Garden & Pet Co.    228,929       9,711
* Clear Channel Outdoor Holdings Inc.  9,072,886       9,708
*,1 Allbirds Inc. Class A  2,361,265       9,280
* Stitch Fix Inc. Class A  1,877,596       9,275
* WW International Inc.  1,342,073       8,576
* Sciplay Corp. Class A    594,235       8,301
*,1 Portillo's Inc. Class A    504,517       8,249
* Genesco Inc.    163,010       8,136
*,1 Bed Bath & Beyond Inc.  1,611,590       8,010
 
7

 

Small-Cap Index Fund
          Shares Market
Value

($000)
*,1 Vizio Holding Corp. Class A  1,165,088       7,946
*,1 Frontier Group Holdings Inc.    827,695       7,755
Global Industrial Co.    229,463       7,749
* Integral Ad Science Holding Corp.    780,125       7,747
Smith & Wesson Brands Inc.    577,539       7,583
* Latham Group Inc.  1,071,189       7,423
* Angi Inc. Class A  1,601,876       7,337
*,1 Canoo Inc.  3,948,034       7,304
*,1 Poshmark Inc. Class A    677,110       6,846
* Children's Place Inc.    160,953       6,264
* Rush Street Interactive Inc.  1,298,976       6,066
*,1 Dream Finders Homes Inc. Class A    499,013       5,309
* Selectquote Inc.  1,593,304       3,951
1 Weber Inc. Class A    535,811       3,863
*,1 Cricut Inc. Class A    606,815       3,726
* Quotient Technology Inc.  1,082,439       3,215
*,1 Traeger Inc.    742,910       3,157
*,1 Bowlero Corp.    268,724       2,846
* RealReal Inc.  1,016,330       2,531
* Arhaus Inc. Class A    534,161       2,404
Rush Enterprises Inc. Class B     48,187       2,391
*,1 Solo Brands Inc. Class A    493,496       2,004
*,1 ThredUp Inc. Class A    703,515       1,759
* Brilliant Earth Group Inc. Class A    238,057       1,131
                    15,226,840
Consumer Staples (3.4%)
Bunge Ltd.  3,834,578     347,758
* Darling Ingredients Inc.  4,081,382     244,067
* Performance Food Group Co.  3,916,561     180,083
* US Foods Holding Corp.  5,656,716     173,548
Casey's General Stores Inc.    937,677     173,451
Ingredion Inc.  1,589,251     140,108
Lamb Weston Holdings Inc.  1,824,860     130,404
Molson Coors Beverage Co. Class B  2,280,621     124,317
Flowers Foods Inc.  4,554,256     119,868
Sanderson Farms Inc.    536,453     115,622
* Post Holdings Inc.  1,381,388     113,757
* Grocery Outlet Holding Corp.  2,191,270      93,414
          Shares Market
Value

($000)
Spectrum Brands Holdings Inc.  1,029,289      84,422
* Simply Good Foods Co.  2,155,661      81,419
* Hostess Brands Inc. Class A  3,490,590      74,035
* BellRing Brands Inc.  2,930,111      72,930
* Boston Beer Co. Inc. Class A    232,304      70,381
* Sprouts Farmers Market Inc.  2,765,668      70,027
WD-40 Co.    344,851      69,439
* Celsius Holdings Inc.  1,048,071      68,397
Coca-Cola Consolidated Inc.    116,409      65,643
Lancaster Colony Corp.    485,886      62,572
* Freshpet Inc.  1,145,945      59,463
* TreeHouse Foods Inc.  1,415,268      59,187
* United Natural Foods Inc.  1,472,608      58,021
Medifast Inc.    291,128      52,552
Nu Skin Enterprises Inc. Class A  1,203,400      52,107
* Hain Celestial Group Inc.  2,152,271      51,095
Energizer Holdings Inc.  1,799,220      51,008
* Herbalife Nutrition Ltd.  2,461,115      50,330
Cal-Maine Foods Inc.  1,003,628      49,589
Edgewell Personal Care Co.  1,331,702      45,970
1 B&G Foods Inc.  1,739,304      41,361
J & J Snack Foods Corp.    292,387      40,835
* Pilgrim's Pride Corp.  1,212,234      37,858
Reynolds Consumer Products Inc.  1,321,206      36,029
Universal Corp.    586,864      35,505
Vector Group Ltd.  3,347,542      35,149
*,1 Beyond Meat Inc.  1,446,808      34,637
* Beauty Health Co.  2,473,783      31,813
Weis Markets Inc.    409,507      30,525
National Beverage Corp.    590,911      28,919
Fresh Del Monte Produce Inc.    968,297      28,594
Andersons Inc.    771,410      25,449
Utz Brands Inc.  1,734,716      23,974
Seaboard Corp.      5,861      22,756
* USANA Health Sciences Inc.    290,810      21,043
* Duckhorn Portfolio Inc.    879,233      18,517
ACCO Brands Corp.  2,343,481      15,303
 
8

 

Small-Cap Index Fund
          Shares Market
Value

($000)
Tootsie Roll Industries Inc.    367,137      12,978
* Sovos Brands Inc.    646,105      10,254
*,1 Rite Aid Corp.    664,397       4,478
* Honest Co. Inc.    630,658       1,842
* Vital Farms Inc.    202,288       1,770
*,1 BRC Inc. Class A    167,223       1,365
                     3,745,938
Energy (5.4%)
Targa Resources Corp.  5,762,446     343,845
APA Corp.  8,549,236     298,368
EQT Corp.  8,404,415     289,112
Ovintiv Inc.  6,523,669     288,281
Chesapeake Energy Corp.  3,215,995     260,817
Texas Pacific Land Corp.    156,485     232,853
* Antero Resources Corp.  7,075,422     216,862
Marathon Oil Corp.  8,946,549     201,118
* Southwestern Energy Co. 28,204,419     176,278
NOV Inc.  9,924,303     167,820
HF Sinclair Corp.  3,666,891     165,597
* First Solar Inc.  2,424,019     165,148
* Range Resources Corp.  6,476,992     160,306
PDC Energy Inc.  2,508,879     154,572
Matador Resources Co.  2,836,279     132,142
DT Midstream Inc.  2,444,221     119,816
Murphy Oil Corp.  3,729,935     112,607
SM Energy Co.  3,079,653     105,293
Helmerich & Payne Inc.  2,392,078     103,003
ChampionX Corp.  5,140,984     102,049
Magnolia Oil & Gas Corp. Class A  4,353,589      91,382
*,1 ChargePoint Holdings Inc.  6,368,380      87,183
Patterson-UTI Energy Inc.  5,461,123      86,067
California Resources Corp.  1,963,078      75,578
* PBF Energy Inc. Class A  2,591,798      75,214
* Denbury Inc.  1,207,383      72,431
Antero Midstream Corp.  7,861,940      71,151
Civitas Resources Inc.  1,288,925      67,398
Whiting Petroleum Corp.    990,179      67,362
Equitrans Midstream Corp. 10,372,671      65,970
* CNX Resources Corp.  3,939,035      64,837
* Peabody Energy Corp.  2,909,404      62,058
Cactus Inc. Class A  1,450,256      58,402
          Shares Market
Value

($000)
Arcosa Inc.  1,220,415      56,664
1 Arch Resources Inc.    390,961      55,943
Chord Energy Corp.    443,336      53,932
New Fortress Energy Inc. Class A  1,309,149      51,803
* NexTier Oilfield Solutions Inc.  5,235,485      49,789
* Transocean Ltd. 14,654,227      48,799
* Delek US Holdings Inc.  1,785,424      46,135
* Liberty Energy Inc. Class A  3,537,877      45,143
Enviva Inc.    755,383      43,223
* Callon Petroleum Co.  1,089,688      42,716
Warrior Met Coal Inc.  1,306,376      39,988
* Array Technologies Inc.  3,601,810      39,656
* Ameresco Inc. Class A    767,738      34,978
*,1 SunPower Corp.  2,194,103      34,689
*,1 FuelCell Energy Inc.  8,809,999      33,037
World Fuel Services Corp.  1,510,405      30,903
Archrock Inc.  3,715,296      30,725
* NOW Inc.  2,790,924      27,295
* Oceaneering International Inc.  2,527,560      26,994
* Stem Inc.  3,702,519      26,510
Alpha Metallurgical Resources Inc.    201,013      25,957
* Shoals Technologies Group Inc. Class A  1,559,668      25,703
CVR Energy Inc.    763,525      25,578
Core Laboratories NV  1,167,942      23,137
* ProPetro Holding Corp.  2,253,539      22,535
* Dril-Quip Inc.    868,316      22,403
* MRC Global Inc.  2,012,476      20,044
* Tellurian Inc.  6,452,625      19,229
* RPC Inc.  1,935,917      13,377
* Comstock Resources Inc.  1,028,894      12,429
*,1 EVgo Inc.  1,754,242      10,543
*,1 Fluence Energy Inc. Class A    904,309       8,573
*,1 ProFrac Holding Corp. Class A    398,460       7,296
* Helix Energy Solutions Group Inc.  1,868,038       5,791
Kinetik Holdings Inc. Class A    167,823       5,729
1 Crescent Energy Co. Class A    395,434       4,935
* Denbury Inc. Warrants Exp. 9/18/23          2          —
                     5,813,101
 
9

 

Small-Cap Index Fund
          Shares Market
Value

($000)
Financials (15.2%)
LPL Financial Holdings Inc.  1,919,875     354,179
Brown & Brown Inc.  5,707,346     332,967
First Horizon Corp. 13,521,042     295,570
American Financial Group Inc.  1,828,127     253,762
Comerica Inc.  3,305,586     242,564
Assurant Inc.  1,367,127     236,308
Signature Bank  1,298,861     232,769
East West Bancorp Inc.  3,586,925     232,433
Carlyle Group Inc.  6,399,315     202,602
Reinsurance Group of America Inc.  1,692,641     198,530
First Citizens BancShares Inc. Class A    303,249     198,258
Zions Bancorp NA  3,826,230     194,755
Webster Financial Corp.  4,501,439     189,736
Invesco Ltd. 11,501,778     185,524
Western Alliance Bancorp  2,599,964     183,557
Commerce Bancshares Inc.  2,746,713     180,322
RenaissanceRe Holdings Ltd.  1,116,581     174,600
Cullen/Frost Bankers Inc.  1,458,155     169,802
SEI Investments Co.  3,125,062     168,816
Old Republic International Corp.  7,013,753     156,828
Morningstar Inc.    647,884     156,678
Starwood Property Trust Inc.  7,365,096     153,857
Voya Financial Inc.  2,583,404     153,790
Prosperity Bancshares Inc.  2,214,403     151,177
SouthState Corp.  1,907,681     147,178
Unum Group  4,319,612     146,953
AGNC Investment Corp. 13,219,664     146,342
Stifel Financial Corp.  2,558,931     143,351
First American Financial Corp.  2,578,609     136,460
Popular Inc.  1,766,073     135,864
* Alleghany Corp.    161,584     134,616
First Financial Bankshares Inc.  3,425,669     134,526
Glacier Bancorp Inc.  2,798,058     132,684
Pinnacle Financial Partners Inc.  1,834,195     132,631
Selective Insurance Group Inc.  1,524,662     132,554
RLI Corp.  1,087,428     126,783
          Shares Market
Value

($000)
Kinsale Capital Group Inc.    549,868     126,272
Synovus Financial Corp.  3,490,438     125,830
*,1 Robinhood Markets Inc. Class A 15,036,231     123,598
Erie Indemnity Co. Class A    642,051     123,396
Wintrust Financial Corp.  1,523,586     122,115
United Bankshares Inc.  3,419,132     119,909
Hanover Insurance Group Inc.    809,267     118,355
Primerica Inc.    983,319     117,693
Jefferies Financial Group Inc.  4,237,136     117,030
Cadence Bank  4,866,086     114,256
Affiliated Managers Group Inc.    977,470     113,973
Valley National Bancorp 10,878,109     113,241
Blackstone Mortgage Trust Inc. Class A  4,088,228     113,121
Axis Capital Holdings Ltd.  1,939,840     110,745
New Residential Investment Corp. 11,798,565     109,963
Old National Bancorp  7,409,108     109,581
Globe Life Inc.  1,121,671     109,329
SLM Corp.  6,803,979     108,455
Bank OZK  2,885,665     108,299
OneMain Holdings Inc.  2,849,457     106,513
1 Blue Owl Capital Inc. Class A 10,573,836     106,056
Home BancShares Inc.  4,937,310     102,548
New York Community Bancorp Inc. 11,216,136     102,403
Houlihan Lokey Inc. Class A  1,279,946     101,026
Essent Group Ltd.  2,581,803     100,432
MGIC Investment Corp.  7,828,772      98,643
ServisFirst Bancshares Inc.  1,234,561      97,432
FNB Corp.  8,881,557      96,454
Hancock Whitney Corp.  2,074,371      91,957
Umpqua Holdings Corp.  5,481,127      91,918
Lincoln National Corp.  1,956,153      91,489
*,1 SoFi Technologies Inc. 17,358,221      91,478
First Interstate BancSystem Inc. Class A  2,352,879      89,668
 
10

 

Small-Cap Index Fund
          Shares Market
Value

($000)
Independent Bank Corp. (Massachusetts)  1,123,202      89,216
White Mountains Insurance Group Ltd.     71,547      89,157
1 Lazard Ltd. Class A  2,708,787      87,792
Community Bank System Inc.  1,360,172      86,072
Assured Guaranty Ltd.  1,539,775      85,904
Radian Group Inc.  4,367,659      85,824
UMB Financial Corp.    978,776      84,273
CVB Financial Corp.  3,386,240      84,013
* Ryan Specialty Holdings Inc. Class A  2,090,935      81,944
Evercore Inc. Class A    872,660      81,690
United Community Banks Inc.  2,676,955      80,817
Janus Henderson Group plc  3,393,814      79,789
FirstCash Holdings Inc.  1,139,687      79,220
PacWest Bancorp  2,970,826      79,202
*,1 Credit Acceptance Corp.    166,077      78,623
* Brighthouse Financial Inc.  1,893,308      77,663
Kemper Corp.  1,609,381      77,089
Eastern Bankshares Inc.  4,155,469      76,710
Walker & Dunlop Inc.    794,230      76,516
Bank of Hawaii Corp.  1,017,162      75,677
BankUnited Inc.  2,066,336      73,500
First Hawaiian Inc.  3,232,223      73,404
Cathay General Bancorp  1,800,144      70,476
Pacific Premier Bancorp Inc.  2,397,517      70,103
Federated Hermes Inc. Class B  2,198,039      69,876
American Equity Investment Life Holding Co.  1,882,621      68,847
* Texas Capital Bancshares Inc.  1,280,134      67,386
Ameris Bancorp  1,665,308      66,912
Simmons First National Corp. Class A  3,135,814      66,667
Associated Banc-Corp  3,597,478      65,690
WSFS Financial Corp.  1,633,495      65,487
Moelis & Co. Class A  1,639,948      64,532
First Bancorp  4,988,562      64,402
* Mr Cooper Group Inc.  1,680,457      61,740
Independent Bank Group Inc.    907,443      61,624
Atlantic Union Bankshares Corp.  1,797,336      60,966
          Shares Market
Value

($000)
Virtu Financial Inc. Class A  2,526,522      59,146
Fulton Financial Corp.  4,002,678      57,839
* Enstar Group Ltd.    270,074      57,790
Artisan Partners Asset Management Inc. Class A  1,618,977      57,587
Columbia Banking System Inc.  1,986,364      56,909
* Trupanion Inc.    926,234      55,815
International Bancshares Corp.  1,353,876      54,263
*,1 Upstart Holdings Inc.  1,712,719      54,156
Hamilton Lane Inc. Class A    798,679      53,655
First Merchants Corp.  1,500,197      53,437
CNO Financial Group Inc.  2,926,353      52,938
Chimera Investment Corp.  5,975,766      52,706
Jackson Financial Inc. Class A  1,960,725      52,449
BOK Financial Corp.    686,975      51,922
Arbor Realty Trust Inc.  3,846,847      50,432
Navient Corp.  3,545,973      49,608
Washington Federal Inc.  1,648,326      49,483
Banner Corp.    867,200      48,745
* Axos Financial Inc.  1,355,143      48,582
Piper Sandler Cos.    426,788      48,381
Towne Bank  1,740,017      47,241
WesBanco Inc.  1,443,737      45,781
* Genworth Financial Inc. Class A 12,910,484      45,574
Flagstar Bancorp Inc.  1,276,899      45,266
Park National Corp.    368,338      44,661
First Financial Bancorp  2,258,340      43,812
BancFirst Corp.    454,398      43,490
Two Harbors Investment Corp.  8,665,610      43,155
* Focus Financial Partners Inc. Class A  1,236,607      42,119
Trustmark Corp.  1,394,324      40,700
* Silvergate Capital Corp. Class A    758,941      40,626
Horace Mann Educators Corp.  1,044,737      40,097
Hope Bancorp Inc.  2,884,861      39,926
PJT Partners Inc. Class A    559,244      39,304
Cohen & Steers Inc.    616,209      39,185
Northwest Bancshares Inc.  3,035,688      38,857
NBT Bancorp Inc.  1,025,627      38,553
Renasant Corp.  1,337,438      38,532
Eagle Bancorp Inc.    809,985      38,401
 
11

 

Small-Cap Index Fund
          Shares Market
Value

($000)
Provident Financial Services Inc.  1,716,635      38,212
* Cannae Holdings Inc.  1,937,005      37,462
Apollo Commercial Real Estate Finance Inc.  3,533,402      36,889
Westamerica Bancorp    643,776      35,833
* PRA Group Inc.    953,522      34,670
Safety Insurance Group Inc.    352,303      34,209
* BRP Group Inc. Class A  1,415,500      34,184
StepStone Group Inc. Class A  1,305,857      33,991
* Encore Capital Group Inc.    582,925      33,676
1 Hilltop Holdings Inc.  1,223,490      32,618
Argo Group International Holdings Ltd.    881,611      32,496
ProAssurance Corp.  1,364,463      32,242
1 Compass Diversified Holdings  1,504,349      32,223
PennyMac Mortgage Investment Trust  2,313,511      31,996
OFG Bancorp  1,227,401      31,176
Mercury General Corp.    696,964      30,876
Virtus Investment Partners Inc.    178,981      30,609
Capitol Federal Financial Inc.  3,316,339      30,444
Ladder Capital Corp.  2,874,754      30,300
* LendingClub Corp.  2,589,109      30,267
First Commonwealth Financial Corp.  2,253,782      30,246
PennyMac Financial Services Inc.    688,279      30,085
City Holding Co.    357,777      28,579
1 Franklin BSP Realty Trust Inc.  2,105,007      28,375
Employers Holdings Inc.    671,622      28,134
BGC Partners Inc. Class A  8,307,017      27,995
National Bank Holdings Corp. Class A    730,462      27,955
MFA Financial Inc.  2,578,464      27,718
* Open Lending Corp. Class A  2,704,496      27,667
iStar Inc.  1,984,812      27,212
Berkshire Hills Bancorp Inc.  1,074,331      26,611
S&T Bancorp Inc.    957,492      26,264
Brookline Bancorp Inc.  1,877,050      24,984
Redwood Trust Inc.  3,062,087      23,609
TPG Inc. Class A    982,884      23,501
          Shares Market
Value

($000)
KKR Real Estate Finance Trust Inc.  1,262,310      22,027
Broadmark Realty Capital Inc.  3,237,374      21,723
* Columbia Financial Inc.    990,354      21,600
Goosehead Insurance Inc. Class A    465,392      21,254
Tompkins Financial Corp.    291,237      20,998
United Fire Group Inc.    609,252      20,855
* Blucora Inc.  1,129,022      20,842
1 Claros Mortgage Trust Inc.  1,230,220      20,606
Nelnet Inc. Class A    237,786      20,271
TFS Financial Corp.  1,445,034      19,840
* Palomar Holdings Inc.    302,518      19,482
* Triumph Bancorp Inc.    303,234      18,970
Heartland Financial USA Inc.    452,260      18,787
1 ARMOUR Residential REIT Inc.  2,643,018      18,607
*,1 Lemonade Inc.  1,018,142      18,591
Kearny Financial Corp.  1,589,420      17,658
Enact Holdings Inc.    819,788      17,609
WisdomTree Investments Inc.  3,165,662      16,050
Northfield Bancorp Inc.  1,131,852      14,748
Central Pacific Financial Corp.    679,007      14,565
TPG RE Finance Trust Inc.  1,578,731      14,224
Live Oak Bancshares Inc.    417,707      14,156
*,1 Marathon Digital Holdings Inc.  2,544,263      13,586
*,1 Oscar Health Inc. Class A  3,115,113      13,239
* Ambac Financial Group Inc.  1,133,305      12,863
*,1 Riot Blockchain Inc.  3,054,655      12,799
* SiriusPoint Ltd.  2,302,438      12,479
1 Invesco Mortgage Capital Inc.    848,836      12,461
* World Acceptance Corp.    107,671      12,085
* LendingTree Inc.    274,120      12,012
BrightSpire Capital Inc. Class A  1,473,420      11,124
* AssetMark Financial Holdings Inc.    550,063      10,325
1 P10 Inc. Class A    899,514      10,003
National Western Life Group Inc. Class A     48,627       9,857
Victory Capital Holdings Inc. Class A    347,638       8,378
 
12

 

Small-Cap Index Fund
          Shares Market
Value

($000)
1 UWM Holdings Corp. Class A  2,105,887       7,455
Granite Point Mortgage Trust Inc.    706,305       6,759
1 GCM Grosvenor Inc. Class A    952,754       6,526
* Clearwater Analytics Holdings Inc. Class A    419,912       5,056
*,1 Hagerty Inc. Class A    333,803       3,835
*,1 Bakkt Holdings Inc.  1,423,074       2,988
Associated Capital Group Inc. Class A     43,845       1,571
loanDepot Inc. Class A    921,531       1,327
Goldman Sachs Group Inc.          1          —
                    16,465,929
Health Care (11.4%)
* Molina Healthcare Inc.  1,483,520     414,807
Bio-Techne Corp.    991,378     343,651
* United Therapeutics Corp.  1,024,243     241,353
* Neurocrine Biosciences Inc.  2,413,826     235,300
* Jazz Pharmaceuticals plc  1,495,405     233,298
* Repligen Corp.  1,400,741     227,480
Organon & Co.  6,407,622     216,257
* Syneos Health Inc.  2,591,764     185,778
Chemed Corp.    378,277     177,559
* Exelixis Inc.  8,098,835     168,618
Bruker Corp.  2,639,659     165,665
* Masimo Corp.  1,262,266     164,940
* Shockwave Medical Inc.    859,179     164,249
* Envista Holdings Corp.  4,109,298     158,372
* Sarepta Therapeutics Inc.  2,098,922     157,335
* Novocure Ltd.  2,246,109     156,105
* Acadia Healthcare Co. Inc.  2,287,376     154,695
* Halozyme Therapeutics Inc.  3,483,175     153,260
* Tenet Healthcare Corp.  2,722,339     143,086
Encompass Health Corp.  2,522,132     141,366
Perrigo Co. plc  3,396,033     137,777
* Charles River Laboratories International Inc.    641,971     137,363
* HealthEquity Inc.  2,131,725     130,867
* Inspire Medical Systems Inc.    697,013     127,323
* Omnicell Inc.  1,116,803     127,036
* Alkermes plc  4,128,295     122,982
          Shares Market
Value

($000)
* Intra-Cellular Therapies Inc.  2,144,685     122,419
* LHC Group Inc.    744,949     116,018
* QuidelOrtho Corp.  1,183,951     115,056
* Ionis Pharmaceuticals Inc.  3,044,141     112,694
* Penumbra Inc.    904,429     112,620
* Globus Medical Inc. Class A  2,004,118     112,511
* Lantheus Holdings Inc.  1,647,546     108,787
* Apellis Pharmaceuticals Inc.  2,286,170     103,381
* Medpace Holdings Inc.    680,047     101,783
*,1 Novavax Inc.  1,973,808     101,513
* Option Care Health Inc.  3,639,446     101,140
Premier Inc. Class A  2,831,238     101,019
* Ultragenyx Pharmaceutical Inc.  1,676,564     100,024
* Guardant Health Inc.  2,446,778      98,703
Ensign Group Inc.  1,331,335      97,813
* 10X Genomics Inc. Class A  2,135,592      96,636
* Integra LifeSciences Holdings Corp.  1,786,194      96,508
* Tandem Diabetes Care Inc.  1,616,518      95,682
* ICU Medical Inc.    573,861      94,337
* Intellia Therapeutics Inc.  1,724,548      89,263
* Arrowhead Pharmaceuticals Inc.  2,533,290      89,197
* Amedisys Inc.    823,141      86,529
* STAAR Surgical Co.  1,208,241      85,701
* Mirati Therapeutics Inc.  1,261,478      84,683
* Haemonetics Corp.  1,296,215      84,487
* Cytokinetics Inc.  2,054,393      80,717
* Turning Point Therapeutics Inc.  1,067,063      80,296
* Maravai LifeSciences Holdings Inc. Class A  2,826,240      80,293
* Merit Medical Systems Inc.  1,433,023      77,770
* Natera Inc.  2,187,883      77,539
* iRhythm Technologies Inc.    715,027      77,244
* Blueprint Medicines Corp.  1,502,932      75,913
* Amicus Therapeutics Inc.  7,067,673      75,907
* Prestige Consumer Healthcare Inc.  1,269,038      74,619
*,1 Doximity Inc. Class A  2,129,604      74,153
* R1 RCM Inc.  3,533,133      74,054
 
13

 

Small-Cap Index Fund
          Shares Market
Value

($000)
* Inari Medical Inc.  1,074,373      73,047
* PTC Therapeutics Inc.  1,799,344      72,082
CONMED Corp.    746,663      71,500
* Karuna Therapeutics Inc.    565,055      71,485
Patterson Cos. Inc.  2,221,516      67,312
*,1 Neogen Corp.  2,720,448      65,536
* NuVasive Inc.  1,314,198      64,606
* Evolent Health Inc. Class A  2,082,733      63,961
* Denali Therapeutics Inc.  2,169,666      63,853
* Enovis Corp.  1,160,890      63,849
* Pacira BioSciences Inc.  1,088,882      63,482
Select Medical Holdings Corp.  2,641,940      62,403
* Teladoc Health Inc.  1,829,980      60,774
* Certara Inc.  2,828,625      60,702
* Insmed Inc.  3,012,276      59,402
*,1 Ginkgo Bioworks Holdings Inc. 24,885,076      59,226
* Integer Holdings Corp.    835,186      59,014
Owens & Minor Inc.  1,828,760      57,515
* agilon health Inc.  2,570,852      56,122
*,1 Beam Therapeutics Inc.  1,417,760      54,881
*,1 Global Blood Therapeutics Inc.  1,642,360      52,473
* Fate Therapeutics Inc.  2,088,415      51,751
* Glaukos Corp.  1,137,036      51,644
* Corcept Therapeutics Inc.  2,147,007      51,056
* Progyny Inc.  1,742,919      50,632
* Sotera Health Co.  2,502,938      49,033
*,1 Multiplan Corp.  8,869,634      48,694
* Vir Biotechnology Inc.  1,837,095      46,791
* Pediatrix Medical Group Inc.  2,201,331      46,250
* AtriCure Inc.  1,110,540      45,377
* Arvinas Inc.  1,073,165      45,170
* Oak Street Health Inc.  2,743,109      45,097
* Twist Bioscience Corp.  1,280,849      44,778
* ACADIA Pharmaceuticals Inc.  3,055,336      43,050
* Xencor Inc.  1,497,199      40,978
* Sage Therapeutics Inc.  1,265,040      40,861
* ChemoCentryx Inc.  1,616,822      40,065
* Iovance Biotherapeutics Inc.  3,571,777      39,432
* Nevro Corp.    889,864      39,003
* Apollo Medical Holdings Inc.    989,256      38,175
* Ironwood Pharmaceuticals Inc. Class A  3,298,650      38,033
          Shares Market
Value

($000)
* Supernus Pharmaceuticals Inc.  1,278,506      36,974
* Embecta Corp.  1,458,829      36,938
* Harmony Biosciences Holdings Inc.    744,895      36,329
* Ligand Pharmaceuticals Inc.    406,132      36,235
* CorVel Corp.    244,027      35,938
* Privia Health Group Inc.  1,232,267      35,884
* Veracyte Inc.  1,801,077      35,841
* Emergent BioSolutions Inc.  1,140,214      35,392
* Myriad Genetics Inc.  1,940,119      35,252
* Cerevel Therapeutics Holdings Inc.  1,316,518      34,809
* 1Life Healthcare Inc.  4,402,247      34,514
* Zentalis Pharmaceuticals Inc.  1,219,071      34,256
* Meridian Bioscience Inc.  1,099,693      33,453
* Avanos Medical Inc.  1,191,151      32,566
Healthcare Services Group Inc.  1,868,364      32,528
* Relay Therapeutics Inc.  1,917,264      32,114
* Agios Pharmaceuticals Inc.  1,404,438      31,136
* Silk Road Medical Inc.    841,481      30,621
* AdaptHealth Corp. Class A  1,693,575      30,552
* Surgery Partners Inc.  1,022,157      29,561
* OPKO Health Inc. 11,669,096      29,523
* REVOLUTION Medicines Inc.  1,497,297      29,182
* CareDx Inc.  1,341,873      28,823
* Axonics Inc.    504,820      28,608
* Axsome Therapeutics Inc.    735,049      28,152
* Allogene Therapeutics Inc.  2,352,899      26,823
* Adaptive Biotechnologies Corp.  3,240,756      26,218
*,1 PROCEPT BioRobotics Corp.    779,974      25,497
* Pacific Biosciences of California Inc.  5,655,869      24,999
* BioCryst Pharmaceuticals Inc.  2,339,930      24,756
* NeoGenomics Inc.  3,010,923      24,539
*,1 Signify Health Inc. Class A  1,777,067      24,524
National HealthCare Corp.    350,100      24,472
* REGENXBIO Inc.    983,465      24,292
* Vaxcyte Inc.  1,115,840      24,281
* Bridgebio Pharma Inc.  2,646,068      24,026
 
14

 

Small-Cap Index Fund
          Shares Market
Value

($000)
* NextGen Healthcare Inc.  1,367,548      23,850
* Innoviva Inc.  1,595,724      23,553
* Madrigal Pharmaceuticals Inc.    327,755      23,461
*,1 Warby Parker Inc. Class A  2,042,903      23,003
* FibroGen Inc.  2,141,016      22,609
*,1 Lyell Immunopharma Inc.  3,413,153      22,254
* Alignment Healthcare Inc.  1,892,544      21,594
* Varex Imaging Corp.  1,008,809      21,578
* Editas Medicine Inc.  1,756,957      20,785
* Reata Pharmaceuticals Inc. Class A    682,650      20,746
* Brookdale Senior Living Inc.  4,493,591      20,401
* American Well Corp. Class A  4,713,239      20,361
* Cytek Biosciences Inc.  1,863,373      19,994
* Health Catalyst Inc.  1,297,992      18,808
* SpringWorks Therapeutics Inc.    747,878      18,413
*,1 Clover Health Investments Corp. Class A  8,598,797      18,401
*,1 Cano Health Inc.  4,191,702      18,360
* Nektar Therapeutics  4,736,689      17,999
* Outset Medical Inc.  1,211,053      17,996
* Agiliti Inc.    843,834      17,307
*,1 Recursion Pharmaceuticals Inc. Class A  2,056,619      16,741
* Arcus Biosciences Inc.    638,296      16,174
* Phreesia Inc.    632,378      15,816
* Alector Inc.  1,483,734      15,075
* Kymera Therapeutics Inc.    729,828      14,370
* Natus Medical Inc.    437,804      14,347
*,1 Invitae Corp.  5,807,381      14,170
*,1 Sana Biotechnology Inc.  2,180,622      14,021
* TG Therapeutics Inc.  3,298,671      14,019
*,1 PMV Pharmaceuticals Inc.    977,154      13,924
* Gossamer Bio Inc.  1,646,774      13,784
*,1 Hims & Hers Health Inc.  2,983,251      13,514
* Inogen Inc.    553,194      13,376
* Atea Pharmaceuticals Inc.  1,882,517      13,366
* HealthStream Inc.    608,262      13,205
* Treace Medical Concepts Inc.    905,733      12,988
          Shares Market
Value

($000)
* Theravance Biopharma Inc.  1,431,304      12,968
*,1 23andMe Holding Co.  5,085,137      12,611
* Pulmonx Corp.    842,210      12,397
*,1 Nuvation Bio Inc.  3,596,907      11,654
* NGM Biopharmaceuticals Inc.    899,808      11,536
* Orthofix Medical Inc.    480,950      11,322
* Seer Inc. Class A  1,242,436      11,120
* GoodRx Holdings Inc. Class A  1,877,776      11,116
* Amneal Pharmaceuticals Inc.  3,476,571      11,055
*,1 Butterfly Network Inc.  3,487,555      10,707
*,1 LifeStance Health Group Inc.  1,893,239      10,526
*,1 Verve Therapeutics Inc.    686,825      10,495
* Cullinan Oncology Inc.    789,202      10,118
Phibro Animal Health Corp. Class A    522,293       9,991
*,1 Day One Biopharmaceuticals Inc.    553,514       9,908
*,1 AnaptysBio Inc.    460,377       9,346
*,1 Erasca Inc.  1,558,675       8,682
* Atara Biotherapeutics Inc.  1,113,551       8,675
* Rocket Pharmaceuticals Inc.    596,134       8,203
*,1 ImmunityBio Inc.  2,062,949       7,674
* NanoString Technologies Inc.    585,292       7,433
* Kiniksa Pharmaceuticals Ltd. Class A    764,515       7,408
* Stoke Therapeutics Inc.    533,944       7,053
* Sangamo Therapeutics Inc.  1,582,628       6,552
*,1 Instil Bio Inc.  1,331,081       6,150
*,1 Amylyx Pharmaceuticals Inc.    288,167       5,550
* Accolade Inc.    674,809       4,994
* Design Therapeutics Inc.    349,785       4,897
*,1 Monte Rosa Therapeutics Inc.    469,034       4,536
* Pennant Group Inc.    326,713       4,185
* Immunovant Inc.  1,057,994       4,126
* Heron Therapeutics Inc.  1,287,092       3,591
*,1 Nuvalent Inc. Class A    242,059       3,282
* Phathom Pharmaceuticals Inc.    368,703       3,112
*,1 P3 Health Partners Inc.    806,094       2,999
 
15

 

Small-Cap Index Fund
          Shares Market
Value

($000)
*,1 SmileDirectClub Inc. Class A  2,790,203       2,902
* Aveanna Healthcare Holdings Inc.  1,207,753       2,730
*,1 Innovage Holding Corp.    528,993       2,317
*,1 Adagio Therapeutics Inc.    691,872       2,269
*,1 Bright Green Corp.  1,018,589       2,261
* ALX Oncology Holdings Inc.    226,339       1,831
*,1 Absci Corp.    523,225       1,737
* Singular Genomics Systems Inc.    451,159       1,723
* Allovir Inc.    368,856       1,439
* Endo International plc  2,582,105       1,202
* Praxis Precision Medicines Inc.    466,052       1,142
*,1,2 Zogenix Inc. CVR    215,490         431
*,1,2 Synergy Pharmaceuticals LLC  2,001,166          —
                    12,410,553
Industrials (19.5%)
Quanta Services Inc.  3,631,934     455,227
IDEX Corp.  1,921,098     348,929
Carlisle Cos. Inc.  1,306,498     311,743
Booz Allen Hamilton Holding Corp.  3,340,697     301,865
Howmet Aerospace Inc.  9,504,735     298,924
Nordson Corp.  1,317,983     266,812
* Fair Isaac Corp.    655,354     262,731
RPM International Inc.  3,272,893     257,642
Graco Inc.  4,277,204     254,109
* Builders FirstSource Inc.  4,366,430     234,477
AECOM  3,563,798     232,431
Huntington Ingalls Industries Inc.  1,012,071     220,449
Allegion plc  2,218,881     217,228
Sealed Air Corp.  3,691,957     213,100
Toro Co.  2,641,807     200,223
Watsco Inc.    838,179     200,174
Robert Half International Inc.  2,653,659     198,733
Genpact Ltd.  4,680,057     198,247
Regal Rexnord Corp.  1,693,102     192,201
Pentair plc  4,180,815     191,356
Tetra Tech Inc.  1,356,591     185,243
* WillScot Mobile Mini Holdings Corp.  5,623,747     182,322
Owens Corning  2,453,234     182,300
Knight-Swift Transportation Holdings Inc. Class A  3,927,320     181,796
Lincoln Electric Holdings Inc.  1,468,725     181,182
          Shares Market
Value

($000)
* Berry Global Group Inc.  3,292,840     179,921
A O Smith Corp.  3,285,862     179,671
* WEX Inc.  1,136,948     176,864
* Middleby Corp.  1,374,610     172,321
AptarGroup Inc.  1,656,558     170,973
* Paylocity Holding Corp.    975,049     170,068
Lennox International Inc.    816,602     168,702
* Coherent Inc.    626,650     166,827
Jack Henry & Associates Inc.    921,208     165,836
Sensata Technologies Holding plc  3,964,808     163,786
Advanced Drainage Systems Inc.  1,811,625     163,173
Western Union Co.  9,758,488     160,722
Graphic Packaging Holding Co.  7,791,871     159,733
* Axon Enterprise Inc.  1,704,490     158,807
Littelfuse Inc.    625,048     158,787
* FTI Consulting Inc.    871,220     157,560
* Trex Co. Inc.  2,860,138     155,649
* Chart Industries Inc.    925,195     154,859
Donaldson Co. Inc.  3,122,093     150,298
AGCO Corp.  1,507,204     148,761
MKS Instruments Inc.  1,406,618     144,361
ITT Inc.  2,110,132     141,885
Sonoco Products Co.  2,462,801     140,478
MDU Resources Group Inc.  5,138,056     138,676
* TopBuild Corp.    828,227     138,446
* WESCO International Inc.  1,281,631     137,263
Oshkosh Corp.  1,662,896     136,590
Landstar System Inc.    938,480     136,474
Woodward Inc.  1,455,807     134,648
Acuity Brands Inc.    873,772     134,596
EMCOR Group Inc.  1,292,230     133,048
* XPO Logistics Inc.  2,761,184     132,979
nVent Electric plc  4,202,099     131,652
Curtiss-Wright Corp.    971,882     128,347
BWX Technologies Inc.  2,304,029     126,929
* Saia Inc.    667,325     125,457
Brunswick Corp.  1,913,590     125,111
* AMN Healthcare Services Inc.  1,130,048     123,978
* Axalta Coating Systems Ltd.  5,597,738     123,766
* Euronet Worldwide Inc.  1,213,662     122,082
Hubbell Inc. Class B    678,184     121,110
Valmont Industries Inc.    538,362     120,932
Exponent Inc.  1,309,346     119,766
* GXO Logistics Inc.  2,757,442     119,315
 
16

 

Small-Cap Index Fund
          Shares Market
Value

($000)
* ExlService Holdings Inc.    799,278     117,758
MSA Safety Inc.    943,890     114,277
* ASGN Inc.  1,226,546     110,696
Simpson Manufacturing Co. Inc.  1,090,384     109,704
Louisiana-Pacific Corp.  2,076,604     108,835
Eagle Materials Inc.    965,910     106,192
* MasTec Inc.  1,438,140     103,057
ManpowerGroup Inc.  1,333,025     101,856
Crane Holdings Co.  1,133,078      99,212
Maximus Inc.  1,552,072      97,020
Flowserve Corp.  3,302,561      94,552
Allison Transmission Holdings Inc.  2,454,515      94,376
Vontier Corp.  4,068,897      93,544
Applied Industrial Technologies Inc.    971,070      93,388
* Kirby Corp.  1,524,076      92,725
Insperity Inc.    919,437      91,787
* Atkore Inc.  1,089,637      90,451
* Mercury Systems Inc.  1,384,183      89,045
Air Lease Corp. Class A  2,661,071      88,960
Armstrong World Industries Inc.  1,185,901      88,895
John Bean Technologies Corp.    803,383      88,710
* Marqeta Inc. Class A 10,935,453      88,687
Cognex Corp.  2,085,339      88,669
* Fluor Corp.  3,588,638      87,347
Ryder System Inc.  1,227,928      87,257
Silgan Holdings Inc.  2,100,145      86,841
Triton International Ltd.  1,623,204      85,462
Watts Water Technologies Inc. Class A    693,112      85,142
MSC Industrial Direct Co. Inc. Class A  1,133,254      85,119
GATX Corp.    899,705      84,716
* Mohawk Industries Inc.    682,364      84,675
Zurn Elkay Water Solutions Corp.  3,022,860      82,343
HB Fuller Co.  1,339,482      80,650
Korn Ferry  1,362,841      79,072
* Aerojet Rocketdyne Holdings Inc.  1,930,132      78,363
Spirit AeroSystems Holdings Inc. Class A  2,655,111      77,795
* Welbilt Inc.  3,255,800      77,521
Comfort Systems USA Inc.    908,423      75,535
* API Group Corp.  5,004,672      74,920
Matson Inc.  1,025,449      74,735
          Shares Market
Value

($000)
* ACI Worldwide Inc.  2,842,032      73,580
ABM Industries Inc.  1,690,711      73,411
* TriNet Group Inc.    943,329      73,221
Franklin Electric Co. Inc.    994,989      72,893
Brink's Co.  1,188,801      72,172
* Beacon Roofing Supply Inc.  1,390,134      71,397
* Resideo Technologies Inc.  3,672,006      71,310
* Allegheny Technologies Inc.  3,137,317      71,248
Otter Tail Corp.  1,051,850      70,611
* Summit Materials Inc. Class A  2,977,401      69,344
Hillenbrand Inc.  1,631,655      66,833
EVERTEC Inc.  1,808,484      66,697
ManTech International Corp. Class A    695,904      66,424
* Dycom Industries Inc.    711,158      66,166
UniFirst Corp.    382,758      65,903
* Meritor Inc.  1,789,187      65,001
* Bloom Energy Corp. Class A  3,900,997      64,366
Albany International Corp. Class A    794,530      62,601
Forward Air Corp.    677,549      62,307
EnerSys  1,025,910      60,488
Badger Meter Inc.    739,499      59,818
Esab Corp.  1,363,355      59,647
Belden Inc.  1,118,645      59,590
* Verra Mobility Corp. Class A  3,752,925      58,958
AAON Inc.  1,073,176      58,767
Moog Inc. Class A    731,848      58,101
* SPX Corp.  1,096,408      57,934
* Hub Group Inc. Class A    815,984      57,886
Altra Industrial Motion Corp.  1,640,492      57,827
Herc Holdings Inc.    641,398      57,822
Werner Enterprises Inc.  1,478,540      56,983
* Itron Inc.  1,136,352      56,170
* O-I Glass Inc.  3,947,972      55,272
Brady Corp. Class A  1,151,625      54,403
Helios Technologies Inc.    818,988      54,258
* Air Transport Services Group Inc.  1,782,392      51,208
Trinity Industries Inc.  2,104,753      50,977
Encore Wire Corp.    474,386      49,298
* AeroVironment Inc.    598,129      49,166
Installed Building Products Inc.    590,792      49,130
Kennametal Inc.  2,086,223      48,463
* Alight Inc. Class A  7,057,839      47,640
 
17

 

Small-Cap Index Fund
          Shares Market
Value

($000)
McGrath RentCorp    614,723      46,719
Mueller Water Products Inc. Class A  3,966,449      46,526
Maxar Technologies Inc.  1,767,830      46,123
* GMS Inc.  1,033,170      45,976
* AZEK Co. Inc. Class A  2,745,352      45,957
Terex Corp.  1,661,533      45,476
ESCO Technologies Inc.    651,680      44,555
Bread Financial Holdings Inc.  1,193,001      44,213
* Masonite International Corp.    570,165      43,806
* Kratos Defense & Security Solutions Inc.  3,155,506      43,798
EnPro Industries Inc.    526,281      43,118
* Shift4 Payments Inc. Class A  1,288,321      42,592
* Atlas Air Worldwide Holdings Inc.    676,281      41,733
ArcBest Corp.    587,069      41,312
* Affirm Holdings Inc. Class A  2,282,817      41,228
Greif Inc. Class A    629,601      39,275
Barnes Group Inc.  1,216,119      37,870
* Hayward Holdings Inc.  2,568,092      36,955
Lindsay Corp.    277,071      36,801
Griffon Corp.  1,298,063      36,385
* AAR Corp.    843,028      35,272
* Huron Consulting Group Inc.    537,849      34,955
* CoreCivic Inc.  3,078,038      34,197
Granite Construction Inc.  1,142,351      33,288
* Proto Labs Inc.    693,894      33,196
ADT Inc.  5,387,991      33,136
* Core & Main Inc. Class A  1,483,543      33,083
* OSI Systems Inc.    386,366      33,011
TTEC Holdings Inc.    475,180      32,260
* Gates Industrial Corp. plc  2,921,017      31,576
* Flywire Corp.  1,786,893      31,503
* Vicor Corp.    570,384      31,217
* JELD-WEN Holding Inc.  2,083,881      30,404
*,1 Nikola Corp.  6,376,122      30,350
*,1 Legalzoom.com Inc.  2,748,860      30,210
Kforce Inc.    484,675      29,730
TriMas Corp.  1,071,773      29,677
*,1 Virgin Galactic Holdings Inc.  4,898,508      29,489
Primoris Services Corp.  1,351,326      29,405
          Shares Market
Value

($000)
Enerpac Tool Group Corp. Class A  1,534,304      29,182
* Green Dot Corp. Class A  1,162,141      29,181
* Evo Payments Inc. Class A  1,210,984      28,482
Greenbrier Cos. Inc.    779,390      28,050
* Hillman Solutions Corp.  3,178,481      27,462
Tennant Co.    450,183      26,673
*,1 Joby Aviation Inc.  5,351,399      26,275
Standex International Corp.    302,780      25,670
*,1 TuSimple Holdings Inc. Class A  3,519,293      25,445
*,1 Enovix Corp.  2,768,608      24,668
AZZ Inc.    597,135      24,375
* Payoneer Global Inc.  6,067,474      23,785
Deluxe Corp.  1,093,261      23,691
Astec Industries Inc.    580,269      23,663
*,1 Proterra Inc.  5,067,053      23,511
H&E Equipment Services Inc.    778,062      22,540
* Rocket Lab USA Inc.  5,851,109      22,176
Kaman Corp.    709,212      22,163
Apogee Enterprises Inc.    557,219      21,854
Schneider National Inc. Class B    958,964      21,462
*,1 PureCycle Technologies Inc.  2,882,071      21,385
* Cornerstone Building Brands Inc.    803,286      19,672
Quanex Building Products Corp.    851,556      19,373
*,1 AvidXchange Holdings Inc.  2,992,572      18,374
* CryoPort Inc.    591,984      18,340
* ZipRecruiter Inc. Class A  1,224,210      18,143
* Conduent Inc.  4,113,281      17,769
* First Advantage Corp.  1,362,886      17,268
Heartland Express Inc.  1,217,250      16,932
Wabash National Corp.  1,191,753      16,184
* Gibraltar Industries Inc.    417,494      16,178
*,1 Remitly Global Inc.  2,095,558      16,052
*,1 Mirion Technologies Inc.  2,765,521      15,929
* Cimpress plc    398,224      15,491
Kelly Services Inc. Class A    778,899      15,446
*,1 Aurora Innovation Inc.  7,998,972      15,278
* Janus International Group Inc.  1,678,298      15,155
Gorman-Rupp Co.    534,281      15,120
 
18

 

Small-Cap Index Fund
          Shares Market
Value

($000)
* FARO Technologies Inc.    466,569      14,384
* TrueBlue Inc.    795,662      14,242
Pitney Bowes Inc.  3,932,723      14,236
* BTRS Holdings Inc.  2,823,607      14,062
* Forrester Research Inc.    292,664      14,001
International Seaways Inc.    628,789      13,330
*,1 Desktop Metal Inc. Class A  5,940,788      13,070
* BrightView Holdings Inc.  1,049,154      12,590
* TaskUS Inc. Class A    699,904      11,800
* Thermon Group Holdings Inc.    793,134      11,144
Kronos Worldwide Inc.    586,400      10,790
*,1 CS Disco Inc.    590,970      10,661
* Triumph Group Inc.    777,672      10,335
*,1 Hyliion Holdings Corp.  3,128,876      10,075
REV Group Inc.    887,512       9,647
* American Woodmark Corp.    214,259       9,644
* Tutor Perini Corp.  1,044,459       9,170
Pactiv Evergreen Inc.    910,398       9,068
National Presto Industries Inc.    135,505       8,895
*,1 Microvast Holdings Inc.  3,815,170       8,470
* Sterling Check Corp.    484,736       7,906
* Advantage Solutions Inc.  2,052,939       7,801
Greif Inc. Class B    119,234       7,427
Hyster-Yale Materials Handling Inc.    225,657       7,271
*,1 Paymentus Holdings Inc. Class A    384,982       5,147
* Vivint Smart Home Inc.  1,345,493       4,682
* CIRCOR International Inc.    254,275       4,168
* Ranpak Holdings Corp. Class A    557,726       3,904
* Velo3D Inc.  1,965,062       2,712
*,1 Velodyne Lidar Inc.  1,769,502       1,690
*,1 Hydrofarm Holdings Group Inc.    450,050       1,566
*,1 Latch Inc.  1,262,797       1,440
                    21,155,933
Real Estate (9.1%)
Kimco Realty Corp. 15,619,188     308,791
Equity LifeStyle Properties Inc.  4,230,880     298,150
Gaming & Leisure Properties Inc.  5,943,521     272,570
American Homes 4 Rent Class A  7,031,300     249,189
          Shares Market
Value

($000)
CubeSmart  5,671,684     242,294
Rexford Industrial Realty Inc.  4,171,349     240,228
Life Storage Inc.  2,131,995     238,059
Medical Properties Trust Inc. 15,166,650     231,595
American Campus Communities Inc.  3,526,651     227,363
* Jones Lang LaSalle Inc.  1,234,924     215,939
Americold Realty Trust Inc.  6,803,717     204,384
Lamar Advertising Co. Class A  2,200,099     193,543
Federal Realty OP LP  2,006,592     192,111
National Retail Properties Inc.  4,444,403     191,109
STORE Capital Corp.  6,736,273     175,682
Omega Healthcare Investors Inc.  5,943,538     167,548
Apartment Income REIT Corp. Class A  3,959,051     164,696
EastGroup Properties Inc.  1,053,317     162,558
Healthcare Trust of America Inc. Class A  5,789,550     161,586
First Industrial Realty Trust Inc.  3,330,096     158,113
Kilroy Realty Corp.  2,948,859     154,314
Brixmor Property Group Inc.  7,567,539     152,940
Host Hotels & Resorts Inc.  9,031,896     141,620
STAG Industrial Inc.  4,527,934     139,823
Rayonier Inc.  3,695,524     138,139
Agree Realty Corp.  1,899,796     137,032
Regency Centers Corp.  2,178,278     129,194
Spirit Realty Capital Inc.  3,392,232     128,158
Vornado Realty Trust  4,358,840     124,619
Independence Realty Trust Inc.  5,589,566     115,872
National Storage Affiliates Trust  2,197,113     110,009
Cousins Properties Inc.  3,755,650     109,778
Terreno Realty Corp.  1,907,494     106,305
Healthcare Realty Trust Inc.  3,832,328     104,239
* Ryman Hospitality Properties Inc.  1,323,374     100,616
Physicians Realty Trust  5,685,762      99,217
1 Phillips Edison & Co. Inc.  2,878,277      96,163
Kite Realty Group Trust  5,531,406      95,638
Douglas Emmett Inc.  4,217,390      94,385
 
19

 

Small-Cap Index Fund
          Shares Market
Value

($000)
PS Business Parks Inc.    489,503      91,610
Highwoods Properties Inc.  2,655,230      90,782
EPR Properties  1,894,035      88,887
Broadstone Net Lease Inc.  4,058,020      83,230
Hannon Armstrong Sustainable Infrastructure Capital Inc.  2,195,185      83,110
Sabra Health Care REIT Inc.  5,835,506      81,522
Apple Hospitality REIT Inc.  5,496,290      80,631
LXP Industrial Trust  7,233,413      77,687
Innovative Industrial Properties Inc.    706,886      77,666
SL Green Realty Corp.  1,618,297      74,684
* Equity Commonwealth  2,700,263      74,338
Corporate Office Properties Trust  2,835,104      74,251
JBG SMITH Properties  3,119,162      73,737
* DigitalBridge Group Inc. 15,091,336      73,646
PotlatchDeltic Corp.  1,665,616      73,604
Park Hotels & Resorts Inc.  5,309,239      72,046
Essential Properties Realty Trust Inc.  3,311,253      71,159
National Health Investors Inc.  1,098,347      66,571
* Howard Hughes Corp.    971,833      66,133
Outfront Media Inc.  3,727,407      63,180
SITE Centers Corp.  4,596,454      61,914
* Cushman & Wakefield plc  3,989,239      60,796
Uniti Group Inc.  5,982,161      56,352
Kennedy-Wilson Holdings Inc.  2,951,850      55,908
*,1 Opendoor Technologies Inc. 11,850,947      55,818
Pebblebrook Hotel Trust  3,313,072      54,898
* Sunstone Hotel Investors Inc.  5,431,224      53,878
Hudson Pacific Properties Inc.  3,463,390      51,397
Retail Opportunity Investments Corp.  3,004,109      47,405
Washington REIT  2,201,375      46,911
RLJ Lodging Trust  4,210,195      46,438
CareTrust REIT Inc.  2,447,206      45,126
Macerich Co.  5,149,503      44,852
* DiamondRock Hospitality Co.  5,322,360      43,697
          Shares Market
Value

($000)
Urban Edge Properties  2,816,311      42,836
* Xenia Hotels & Resorts Inc.  2,883,792      41,901
InvenTrust Properties Corp.  1,617,372      41,712
Brandywine Realty Trust  4,313,636      41,583
Piedmont Office Realty Trust Inc. Class A  3,101,936      40,697
St. Joe Co.    965,032      38,177
LTC Properties Inc.    994,113      38,164
Acadia Realty Trust  2,387,793      37,297
Global Net Lease Inc.  2,600,557      36,824
Newmark Group Inc. Class A  3,709,684      35,873
*,1 WeWork Inc.  7,114,986      35,717
Tanger Factory Outlet Centers Inc.  2,499,686      35,546
Paramount Group Inc.  4,690,451      33,912
American Assets Trust Inc.  1,140,229      33,865
Alexander & Baldwin Inc.  1,838,194      32,996
Centerspace    386,479      31,517
Empire State Realty Trust Inc. Class A  4,195,461      29,494
* Anywhere Real Estate Inc.  2,831,162      27,830
Getty Realty Corp.  1,020,627      27,047
* Veris Residential Inc.  1,978,748      26,199
* Apartment Investment & Management Co. Class A  3,896,975      24,941
Office Properties Income Trust  1,246,196      24,862
Necessity Retail REIT Inc. Class A  3,333,740      24,270
Marcus & Millichap Inc.    636,301      23,537
*,1 Compass Inc. Class A  6,495,335      23,448
Industrial Logistics Properties Trust  1,660,116      23,374
Service Properties Trust  4,210,896      22,023
RPT Realty  2,179,498      21,424
* Redfin Corp.  2,594,982      21,383
1 eXp World Holdings Inc.  1,707,962      20,103
* GEO Group Inc.  2,983,436      19,691
Universal Health Realty Income Trust    319,330      16,992
Safehold Inc.    473,006      16,730
Saul Centers Inc.    336,037      15,831
Alexander's Inc.     52,598      11,685
RMR Group Inc. Class A    398,300      11,292
 
20

 

Small-Cap Index Fund
          Shares Market
Value

($000)
Diversified Healthcare Trust  6,074,060      11,055
Bridge Investment Group Holdings Inc. Class A    705,097      10,252
Franklin Street Properties Corp.  2,379,235       9,921
* Summit Hotel Properties Inc.  1,261,371       9,170
Douglas Elliman Inc.  1,622,926       7,774
Urstadt Biddle Properties Inc. Class A    421,610       6,830
* Forestar Group Inc.    452,132       6,190
*,1 Offerpad Solutions Inc.  1,164,438       2,538
* Seritage Growth Properties Class A    435,105       2,267
*,2 Spirit MTA REIT    529,410         142
Urstadt Biddle Properties Inc.         15          —
                     9,934,345
Technology (11.8%)
Entegris Inc.  3,434,153     316,388
* PTC Inc.  2,660,635     282,932
* Dynatrace Inc.  5,060,008     199,567
* Wolfspeed Inc.  3,124,095     198,224
* Arrow Electronics Inc.  1,694,577     189,945
* Pure Storage Inc. Class A  7,162,061     184,137
* Manhattan Associates Inc.  1,594,809     182,765
* DXC Technology Co.  6,028,314     182,718
Leidos Holdings Inc.  1,727,273     173,954
* Ceridian HCM Holding Inc.  3,664,122     172,507
KBR Inc.  3,526,974     170,670
* Lattice Semiconductor Corp.  3,477,656     168,666
* CACI International Inc. Class A    591,675     166,722
Jabil Inc.  3,212,291     164,501
CDK Global Inc.  2,950,309     161,588
* Five9 Inc.  1,757,582     160,186
* Avalara Inc.  2,129,980     150,377
* Guidewire Software Inc.  2,110,787     149,845
* Sailpoint Technologies Holdings Inc.  2,382,800     149,354
Concentrix Corp.  1,060,802     143,887
* II-VI Inc.  2,690,559     137,084
Azenta Inc.  1,894,398     136,586
* Change Healthcare Inc.  5,913,571     136,367
* Aspen Technology Inc.    727,889     133,699
Science Applications International Corp.  1,410,647     131,331
          Shares Market
Value

($000)
* Silicon Laboratories Inc.    924,552     129,641
* Elastic NV  1,889,325     127,851
* Tenable Holdings Inc.  2,794,293     126,889
CMC Materials Inc.    723,391     126,224
* Rogers Corp.    475,111     124,522
* Mandiant Corp.  5,617,907     122,583
* Synaptics Inc.  1,000,851     118,150
Dolby Laboratories Inc. Class A  1,637,905     117,208
* F5 Inc.    763,813     116,894
* Zendesk Inc.  1,548,473     114,695
* Qualys Inc.    883,213     111,408
Power Integrations Inc.  1,473,834     110,552
*,1 SentinelOne Inc. Class A  4,725,853     110,254
Universal Display Corp.  1,073,883     108,613
Switch Inc. Class A  3,233,377     108,318
Avnet Inc.  2,468,800     105,862
* Novanta Inc.    856,709     103,893
National Instruments Corp.  3,313,801     103,490
* SPS Commerce Inc.    911,974     103,099
* Cirrus Logic Inc.  1,418,833     102,922
TD SYNNEX Corp.  1,092,177      99,497
* Smartsheet Inc. Class A  3,091,127      97,154
* NCR Corp.  3,106,993      96,659
* Rapid7 Inc.  1,398,889      93,446
* Teradata Corp.  2,514,035      93,044
* Dun & Bradstreet Holdings Inc.  6,033,703      90,687
* Blackline Inc.  1,348,654      89,820
* Semtech Corp.  1,602,338      88,081
* Onto Innovation Inc.  1,252,719      87,365
* Box Inc. Class A  3,444,783      86,602
* Ziff Davis Inc.  1,134,227      84,534
* Nutanix Inc. Class A  5,572,073      81,519
* Varonis Systems Inc.  2,769,946      81,215
* Perficient Inc.    875,734      80,296
* IPG Photonics Corp.    852,405      80,237
* Blackbaud Inc.  1,338,730      77,740
* Procore Technologies Inc.  1,712,189      77,716
* Insight Enterprises Inc.    886,599      76,496
* FormFactor Inc.  1,970,032      76,299
* Fabrinet    929,646      75,394
* Alarm.com Holdings Inc.  1,200,909      74,288
* Dropbox Inc. Class A  3,519,237      73,869
* Envestnet Inc.  1,395,440      73,637
* Workiva Inc. Class A  1,094,249      72,209
 
21

 

Small-Cap Index Fund
          Shares Market
Value

($000)
* Alteryx Inc. Class A  1,449,415      70,181
* Diodes Inc.  1,086,567      70,160
* Verint Systems Inc.  1,636,238      69,295
Advanced Energy Industries Inc.    948,954      69,255
* New Relic Inc.  1,351,699      67,653
* CommVault Systems Inc.  1,069,488      67,271
* Altair Engineering Inc. Class A  1,248,488      65,546
Vertiv Holdings Co. Class A  7,620,635      62,642
*,1 DigitalOcean Holdings Inc.  1,475,022      61,007
* Upwork Inc.  2,947,808      60,961
* SiTime Corp.    372,428      60,717
* NetScout Systems Inc.  1,777,278      60,161
* MaxLinear Inc. Class A  1,764,870      59,970
* Bumble Inc. Class A  2,129,344      59,941
* Rambus Inc.  2,784,076      59,830
* Ambarella Inc.    913,516      59,799
* Sanmina Corp.  1,461,667      59,534
Vishay Intertechnology Inc.  3,328,547      59,315
* Confluent Inc. Class A  2,547,572      59,206
* MACOM Technology Solutions Holdings Inc.  1,234,643      56,917
* RingCentral Inc. Class A  1,071,912      56,018
* Covetrus Inc.  2,646,299      54,911
* Coupa Software Inc.    952,898      54,410
* Sprout Social Inc. Class A    936,723      54,395
* Q2 Holdings Inc.  1,372,286      52,929
* Cargurus Inc. Class A  2,453,936      52,735
* Plexus Corp.    663,809      52,109
*,1 nCino Inc.  1,668,858      51,601
Progress Software Corp.  1,104,227      50,021
* Kyndryl Holdings Inc.  5,098,183      49,860
Pegasystems Inc.  1,033,264      49,431
* E2open Parent Holdings Inc.  6,083,312      47,328
* Yelp Inc. Class A  1,698,889      47,178
Amkor Technology Inc.  2,779,332      47,110
* PagerDuty Inc.  1,881,564      46,625
CSG Systems International Inc.    778,895      46,484
* Appian Corp.    979,949      46,410
* Super Micro Computer Inc.  1,113,836      44,943
* LiveRamp Holdings Inc.  1,641,623      42,370
* Appfolio Inc. Class A    457,791      41,494
          Shares Market
Value

($000)
* Allscripts Healthcare Solutions Inc.  2,785,996      41,316
* Jamf Holding Corp.  1,664,563      41,231
Xerox Holdings Corp.  2,736,037      40,630
* Toast Inc. Class A  3,037,386      39,304
*,1 MicroStrategy Inc. Class A    236,140      38,798
* Digital Turbine Inc.  2,206,537      38,548
*,1 Clear Secure Inc. Class A  1,883,118      37,662
* DoubleVerify Holdings Inc.  1,649,697      37,399
*,1 Gitlab Inc. Class A    699,841      37,190
* Parsons Corp.    916,368      37,040
Xperi Holding Corp.  2,491,142      35,947
* CCC Intelligent Solutions Holdings Inc.  3,871,340      35,616
* Schrodinger Inc.  1,329,064      35,101
* Allegro MicroSystems Inc.  1,680,064      34,761
* JFrog Ltd.  1,620,360      34,141
Shutterstock Inc.    595,320      34,118
*,1 Freshworks Inc. Class A  2,544,123      33,455
*,1 C3.ai Inc. Class A  1,817,686      33,191
Methode Electronics Inc.    886,757      32,845
* Fastly Inc. Class A  2,745,543      31,876
* Ping Identity Holding Corp.  1,722,892      31,253
* 3D Systems Corp.  3,122,909      30,292
* Asana Inc. Class A  1,715,804      30,164
* KnowBe4 Inc. Class A  1,895,966      29,615
*,1 Paycor HCM Inc.  1,106,275      28,763
* TTM Technologies Inc.  2,290,611      28,633
* Magnite Inc.  3,165,966      28,114
*,1 Braze Inc. Class A    772,070      27,972
* Everbridge Inc.  1,001,303      27,926
*,1 Thoughtworks Holding Inc.  1,955,262      27,589
* Duck Creek Technologies Inc.  1,840,682      27,334
* Zuora Inc. Class A  3,051,901      27,314
* PROS Holdings Inc.  1,031,669      27,061
* Momentive Global Inc.  3,029,551      26,660
* Squarespace Inc. Class A  1,270,514      26,579
* LivePerson Inc.  1,784,638      25,235
*,1 Xometry Inc. Class A    727,065      24,669
* Veeco Instruments Inc.  1,229,336      23,849
* Cerence Inc.    942,171      23,771
* BigCommerce Holdings Inc.  1,379,471      22,347
*,1 Olo Inc. Class A  2,184,354      21,560
* Eventbrite Inc. Class A  2,018,114      20,726
 
22

 

Small-Cap Index Fund
          Shares Market
Value

($000)
* Vimeo Inc.  3,388,687      20,400
* ScanSource Inc.    639,140      19,903
* Consensus Cloud Solutions Inc.    455,308      19,888
* Unisys Corp.  1,626,354      19,565
* Sprinklr Inc. Class A  1,935,161      19,564
Benchmark Electronics Inc.    839,775      18,945
* CEVA Inc.    563,259      18,903
* Informatica Inc. Class A    891,939      18,526
* Sumo Logic Inc.  2,455,362      18,391
* Definitive Healthcare Corp. Class A    738,615      16,936
* PubMatic Inc. Class A  1,063,237      16,895
*,1 Amplitude Inc. Class A  1,130,516      16,155
*,1 IonQ Inc.  3,499,183      15,326
* N-able Inc.  1,603,288      14,430
* Yext Inc.  2,994,352      14,313
*,1 AvePoint Inc.  3,261,912      14,157
*,1 Expensify Inc. Class A    772,138      13,736
*,1 Zeta Global Holdings Corp. Class A  2,925,029      13,221
* Alkami Technology Inc.    923,216      12,823
*,1 ForgeRock Inc. Class A    591,867      12,678
*,1 HashiCorp Inc. Class A    416,943      12,275
*,1 Rackspace Technology Inc.  1,593,212      11,423
*,1 SmartRent Inc. Class A  2,475,204      11,188
*,1 Samsara Inc. Class A    985,189      11,005
* nLight Inc.  1,068,645      10,922
1 Ebix Inc.    629,809      10,644
*,1 Blend Labs Inc. Class A  4,439,080      10,476
SolarWinds Corp.  1,018,866      10,443
*,1 Matterport Inc.  2,846,801      10,419
*,1 Couchbase Inc.    618,875      10,162
*,1 EngageSmart Inc.    614,734       9,885
* Telos Corp.  1,192,787       9,638
*,1 Aeva Technologies Inc.  3,044,126       9,528
* Bandwidth Inc. Class A    502,087       9,449
* ON24 Inc.    958,971       9,101
*,1 SEMrush Holdings Inc. Class A    701,063       9,065
* Vertex Inc. Class A    785,134       8,896
* Nextdoor Holdings Inc.  2,496,920       8,265
* MeridianLink Inc.    415,247       6,935
* EverCommerce Inc.    753,871       6,815
*,1 Credo Technology Group Holding Ltd.    545,428       6,371
* Intapp Inc.    395,222       5,786
*,1 WM Technology Inc.  1,735,286       5,709
          Shares Market
Value

($000)
* MediaAlpha Inc. Class A    567,871       5,594
*,1 Groupon Inc.    492,204       5,562
*,1 NerdWallet Inc. Class A    668,884       5,304
* Avaya Holdings Corp.  2,073,285       4,644
1 Vivid Seats Inc. Class A    601,052       4,490
* Planet Labs PBC    913,382       3,955
*,1 Skillz Inc. Class A  3,025,351       3,751
* Enfusion Inc. Class A    330,285       3,372
*,1 Ouster Inc.  1,524,146       2,469
* SecureWorks Corp. Class A    211,066       2,292
* BuzzFeed Inc.    688,074       1,060
* Loyalty Ventures Inc.    246,458         880
                    12,802,718
Telecommunications (1.5%)
Cable One Inc.    151,451     195,269
* Ciena Corp.  3,843,104     175,630
* Frontier Communications Parent Inc.  6,190,558     145,726
* Lumentum Holdings Inc.  1,655,936     131,514
* Vonage Holdings Corp.  6,486,296     122,202
Juniper Networks Inc.  4,081,723     116,329
* Iridium Communications Inc.  2,910,799     109,330
* Viavi Solutions Inc.  5,750,852      76,084
Cogent Communications Holdings Inc.  1,089,788      66,215
* Viasat Inc.  1,787,914      54,764
* Altice USA Inc. Class A  5,467,200      50,571
* Calix Inc.  1,388,715      47,411
InterDigital Inc.    779,476      47,392
* Plantronics Inc.  1,031,958      40,948
Telephone & Data Systems Inc.  2,570,318      40,585
* CommScope Holding Co. Inc.  4,964,472      30,382
Shenandoah Telecommunications Co.  1,208,780      26,835
* Infinera Corp.  4,650,669      24,927
* WideOpenWest Inc.  1,338,643      24,377
*,1 Globalstar Inc. 18,282,665      22,488
ADTRAN Inc.  1,192,461      20,904
* EchoStar Corp. Class A    887,360      17,126
* 8x8 Inc.  2,895,278      14,911
* Gogo Inc.    807,924      13,080
* NETGEAR Inc.    705,120      13,059
ATN International Inc.    273,774      12,843
 
23

 

Small-Cap Index Fund
          Shares Market
Value

($000)
* United States Cellular Corp.    393,394      11,393
*,1 fuboTV Inc.  4,204,653      10,385
                     1,662,680
Utilities (4.0%)
Atmos Energy Corp.  3,514,650     393,992
Essential Utilities Inc.  5,963,363     273,420
Constellation Energy Corp.  4,127,471     236,339
NRG Energy Inc.  5,998,086     228,947
Pinnacle West Capital Corp.  2,855,683     208,808
UGI Corp.  5,307,304     204,915
OGE Energy Corp.  5,064,164     195,274
National Fuel Gas Co.  2,311,440     152,671
Southwest Gas Holdings Inc.  1,584,977     138,020
IDACORP Inc.  1,277,216     135,283
Black Hills Corp.  1,638,468     119,231
* Sunrun Inc.  5,043,573     117,818
* Clean Harbors Inc.  1,306,671     114,556
ONE Gas Inc.  1,366,286     110,929
Portland General Electric Co.  2,255,713     109,019
New Jersey Resources Corp.  2,427,945     108,116
Hawaiian Electric Industries Inc.  2,625,582     107,386
South Jersey Industries Inc.  3,094,097     105,632
PNM Resources Inc.  2,169,446     103,656
* Stericycle Inc.  2,327,623     102,066
* Evoqua Water Technologies Corp.  3,064,611      99,631
Spire Inc.  1,250,993      93,036
* Casella Waste Systems Inc. Class A  1,280,062      93,035
Ormat Technologies Inc.  1,134,169      88,862
ALLETE Inc.  1,425,939      83,817
NorthWestern Corp.  1,366,796      80,545
Avista Corp.  1,829,380      79,596
American States Water Co.    932,486      76,007
California Water Service Group  1,357,534      75,411
          Shares Market
Value

($000)
Clearway Energy Inc. Class C  2,062,760      71,867
MGE Energy Inc.    911,722      70,959
Northwest Natural Holding Co.    866,669      46,020
* Sunnova Energy International Inc.  2,458,572      45,312
* Archaea Energy Inc. Class A  2,032,011      31,557
Clearway Energy Inc. Class A    884,276      28,270
* Harsco Corp.  2,022,978      14,383
*,1 Excelerate Energy Inc. Class A    464,242       9,248
*,1 NuScale Power Corp.    373,436       3,731
                     4,357,365
Total Common Stocks
(Cost $95,625,088)
107,907,728
Temporary Cash Investments (2.6%)
Money Market Fund (2.6%)
3,4 Vanguard Market Liquidity Fund, 1.417%
(Cost $2,788,662)
27,896,140            2,788,777
Total Investments (101.9%)
(Cost $98,413,750)
  110,696,505
Other Assets and Liabilities—Net (-1.9%)   (2,034,022)
Net Assets (100%)   108,662,483
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 $1,799,311,000.
2 Security value determined using significant unobservable inputs.
3 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
4 Collateral of $1,974,436,000 was received for securities on loan.
  CVR—Contingent Value Rights.
  REIT—Real Estate Investment Trust.
 
24

 

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 2022 4,799 409,834 (20,522)
E-mini S&P 500 Index September 2022 160 30,316 (16)
E-mini S&P Mid-Cap 400 Index September 2022 1,461 331,355 (17,980)
        (38,518)
    
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)
ACI Worldwide Inc. 8/31/22 BANA 1,465 (1.643) (43)
Avalara Inc. 8/31/22 BANA 7,620 (1.212) (1,273)
DXC Technology Co. 8/31/22 BANA 3,054 (1.968) (24)
DXC Technology Co. 8/31/22 BANA 1,534 (1.967) (19)
Ollie's Bargain Outlet Holdings Inc. 1/31/23 GSI 17,013 (1.611) 602
Popular Inc. 8/31/22 BANA 2,339 (1.844) (33)
Popular Inc. 8/31/22 BANA 11,439 (1.634) (614)
Signature Bank 8/31/23 BANA 8,141 (2.319) (84)
Signature Bank 8/31/23 BANA 54,068 (1.942) (9,347)
United Therapeutics Corp. 8/31/22 BANA 27,641 (1.257) 611
          1,213 (11,437)
1 Based on USD Overnight Bank Funding Rate as of the most recent payment date. Floating interest payment received/paid monthly.
  BANA—Bank of America, N.A.
  GSI—Goldman Sachs International.
At June 30, 2022, the counterparties had deposited in segregated accounts securities with a value of $1,142,000 in connection with open over-the-counter swap contracts.
See accompanying Notes, which are an integral part of the Financial Statements.
25

 

Small-Cap Index Fund
Statement of Assets and Liabilities
As of June 30, 2022
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value1  
Unaffiliated Issuers (Cost $95,625,088) 107,907,728
Affiliated Issuers (Cost $2,788,662) 2,788,777
Total Investments in Securities 110,696,505
Investment in Vanguard 4,303
Cash Collateral Pledged—Futures Contracts 47,799
Cash Collateral Pledged—Over-the-Counter Swap Contracts 8,630
Receivables for Investment Securities Sold 136,109
Receivables for Accrued Income 114,212
Receivables for Capital Shares Issued 48,490
Unrealized Appreciation—Over-the-Counter Swap Contracts 1,213
Total Assets 111,057,261
Liabilities  
Due to Custodian 123,052
Payables for Investment Securities Purchased 213,178
Collateral for Securities on Loan 1,974,436
Payables for Capital Shares Redeemed 63,840
Payables to Vanguard 2,122
Variation Margin Payable—Futures Contracts 6,713
Unrealized Depreciation—Over-the-Counter Swap Contracts 11,437
Total Liabilities 2,394,778
Net Assets 108,662,483
1 Includes $1,799,311 of securities on loan.  
26

 

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


At June 30, 2022, net assets consisted of:

($000s, except shares and per-share amounts) Amount
Paid-in Capital 100,660,133
Total Distributable Earnings (Loss) 8,002,350
Net Assets 108,662,483
 
Investor Shares—Net Assets  
Applicable to 5,124,882 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
432,466
Net Asset Value Per Share—Investor Shares $84.39
 
ETF Shares—Net Assets  
Applicable to 221,319,304 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
38,980,578
Net Asset Value Per Share—ETF Shares $176.13
 
Admiral Shares—Net Assets  
Applicable to 507,445,967 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
42,826,861
Net Asset Value Per Share—Admiral Shares $84.40
 
Institutional Shares—Net Assets  
Applicable to 197,398,980 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
16,659,218
Net Asset Value Per Share—Institutional Shares $84.39
 
Institutional Plus Shares—Net Assets  
Applicable to 40,081,072 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
9,763,360
Net Asset Value Per Share—Institutional Plus Shares $243.59
See accompanying Notes, which are an integral part of the Financial Statements.
27

 

Small-Cap Index Fund
Statement of Operations
  Six Months Ended
June 30, 2022
  ($000)
Investment Income  
Income  
Dividends1 717,624
Interest2 1,602
Securities Lending—Net 22,423
Total Income 741,649
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,005
Management and Administrative—Investor Shares 415
Management and Administrative—ETF Shares 9,243
Management and Administrative—Admiral Shares 10,354
Management and Administrative—Institutional Shares 3,131
Management and Administrative—Institutional Plus Shares 1,307
Marketing and Distribution—Investor Shares 18
Marketing and Distribution—ETF Shares 836
Marketing and Distribution—Admiral Shares 995
Marketing and Distribution—Institutional Shares 329
Marketing and Distribution—Institutional Plus Shares 197
Custodian Fees 444
Shareholders’ Reports—Investor Shares 1
Shareholders’ Reports—ETF Shares 577
Shareholders’ Reports—Admiral Shares 274
Shareholders’ Reports—Institutional Shares 104
Shareholders’ Reports—Institutional Plus Shares 35
Trustees’ Fees and Expenses 32
Other Expenses 18
Total Expenses 29,315
Expenses Paid Indirectly (16)
Net Expenses 29,299
Net Investment Income 712,350
Realized Net Gain (Loss)  
Investment Securities Sold2,3 1,406,927
Futures Contracts (126,024)
Swap Contracts (20,643)
Realized Net Gain (Loss) 1,260,260
28

 

Small-Cap Index Fund
Statement of Operations (continued)
  Six Months Ended
June 30, 2022
  ($000)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities2 (32,111,561)
Futures Contracts (53,994)
Swap Contracts (18,574)
Change in Unrealized Appreciation (Depreciation) (32,184,129)
Net Increase (Decrease) in Net Assets Resulting from Operations (30,211,519)
1 Dividends are net of foreign withholding taxes of $24,000.
2 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $1,602,000, ($298,000), and ($155,000), respectively. Purchases and sales are for temporary cash investment purposes.
3 Includes $3,687,883,000 of net gain (loss) resulting from in-kind redemptions.
See accompanying Notes, which are an integral part of the Financial Statements.
29

 

Small-Cap Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2022
  Year Ended
December 31,
2021
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 712,350   1,718,894
Realized Net Gain (Loss) 1,260,260   10,495,579
Change in Unrealized Appreciation (Depreciation) (32,184,129)   8,205,881
Net Increase (Decrease) in Net Assets Resulting from Operations (30,211,519)   20,420,354
Distributions      
Investor Shares (2,573)   (8,073)
ETF Shares (255,164)   (596,413)
Admiral Shares (278,288)   (684,429)
Institutional Shares (108,688)   (275,247)
Institutional Plus Shares (64,126)   (153,202)
Total Distributions (708,839)   (1,717,364)
Capital Share Transactions      
Investor Shares (58,677)   (201,756)
ETF Shares (104,939)   6,570,091
Admiral Shares (259,299)   234,027
Institutional Shares (441,127)   (197,115)
Institutional Plus Shares (103,528)   799,184
Net Increase (Decrease) from Capital Share Transactions (967,570)   7,204,431
Total Increase (Decrease) (31,887,928)   25,907,421
Net Assets      
Beginning of Period 140,550,411   114,642,990
End of Period 108,662,483   140,550,411
See accompanying Notes, which are an integral part of the Financial Statements.
30

 

Small-Cap Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $108.35 $93.20 $79.35 $63.21 $70.76 $61.75
Investment Operations            
Net Investment Income1 .490 1.230 .928 .832 .967 .876
Net Realized and Unrealized Gain (Loss) on Investments (23.961) 15.130 13.897 16.319 (7.552) 9.011
Total from Investment Operations (23.471) 16.360 14.825 17.151 (6.585) 9.887
Distributions            
Dividends from Net Investment Income (.489) (1.210) (.975) (1.011) (.965) (.877)
Distributions from Realized Capital Gains
Total Distributions (.489) (1.210) (.975) (1.011) (.965) (.877)
Net Asset Value, End of Period $84.39 $108.35 $93.20 $79.35 $63.21 $70.76
Total Return2 -21.70% 17.59% 18.96% 27.22% -9.43% 16.10%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $432 $619 $709 $754 $3,332 $4,345
Ratio of Total Expenses to Average Net Assets 0.17%3 0.17% 0.17% 0.17% 0.17% 0.17%
Ratio of Net Investment Income to Average Net Assets 1.12% 1.17% 1.26% 1.14% 1.34% 1.36%
Portfolio Turnover Rate4 7% 17% 22% 16% 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 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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.17%.
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.
31

 

Small-Cap Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $226.15 $194.54 $165.64 $131.94 $147.71 $128.90
Investment Operations            
Net Investment Income1 1.151 2.769 2.262 2.298 2.239 2.037
Net Realized and Unrealized Gain (Loss) on Investments (50.025) 31.637 28.863 33.707 (15.808) 18.768
Total from Investment Operations (48.874) 34.406 31.125 36.005 (13.569) 20.805
Distributions            
Dividends from Net Investment Income (1.146) (2.796) (2.225) (2.305) (2.201) (1.995)
Distributions from Realized Capital Gains
Total Distributions (1.146) (2.796) (2.225) (2.305) (2.201) (1.995)
Net Asset Value, End of Period $176.13 $226.15 $194.54 $165.64 $131.94 $147.71
Total Return -21.65% 17.72% 19.08% 27.37% -9.30% 16.24%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $38,981 $50,187 $37,492 $27,442 $20,914 $21,605
Ratio of Total Expenses to Average Net Assets 0.05%2 0.05% 0.05% 0.05% 0.05% 0.05%
Ratio of Net Investment Income to Average Net Assets 1.25% 1.25% 1.47% 1.49% 1.46% 1.48%
Portfolio Turnover Rate3 7% 17% 22% 16% 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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.05%.
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.
32

 

Small-Cap Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $108.37 $93.22 $79.37 $63.23 $70.78 $61.77
Investment Operations            
Net Investment Income1 .549 1.358 1.029 1.108 1.067 .970
Net Realized and Unrealized Gain (Loss) on Investments (23.970) 15.131 13.887 16.136 (7.563) 8.997
Total from Investment Operations (23.421) 16.489 14.916 17.244 (6.496) 9.967
Distributions            
Dividends from Net Investment Income (.549) (1.339) (1.066) (1.104) (1.054) (.957)
Distributions from Realized Capital Gains
Total Distributions (.549) (1.339) (1.066) (1.104) (1.054) (.957)
Net Asset Value, End of Period $84.40 $108.37 $93.22 $79.37 $63.23 $70.78
Total Return2 -21.65% 17.73% 19.11% 27.37% -9.31% 16.24%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $42,827 $55,266 $47,313 $42,386 $31,382 $33,801
Ratio of Total Expenses to Average Net Assets 0.05%3 0.05% 0.05% 0.05% 0.05% 0.05%
Ratio of Net Investment Income to Average Net Assets 1.24% 1.29% 1.40% 1.50% 1.46% 1.48%
Portfolio Turnover Rate4 7% 17% 22% 16% 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 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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.05%.
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.
33

 

Small-Cap Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $108.36 $93.22 $79.37 $63.22 $70.78 $61.77
Investment Operations            
Net Investment Income1 .554 1.367 1.034 1.101 1.076 .975
Net Realized and Unrealized Gain (Loss) on Investments (23.970) 15.123 13.889 16.161 (7.575) 8.998
Total from Investment Operations (23.416) 16.490 14.923 17.262 (6.499) 9.973
Distributions            
Dividends from Net Investment Income (.554) (1.350) (1.073) (1.112) (1.061) (.963)
Distributions from Realized Capital Gains
Total Distributions (.554) (1.350) (1.073) (1.112) (1.061) (.963)
Net Asset Value, End of Period $84.39 $108.36 $93.22 $79.37 $63.22 $70.78
Total Return -21.65% 17.73% 19.12% 27.40% -9.32% 16.25%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $16,659 $21,841 $18,957 $17,337 $14,454 $15,352
Ratio of Total Expenses to Average Net Assets 0.04%2 0.04% 0.04% 0.04% 0.04% 0.04%
Ratio of Net Investment Income to Average Net Assets 1.25% 1.29% 1.41% 1.49% 1.47% 1.49%
Portfolio Turnover Rate3 7% 17% 22% 16% 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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.04%.
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 Index Fund
Financial Highlights
Institutional Plus Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $312.78 $269.07 $229.09 $182.49 $204.30 $178.28
Investment Operations            
Net Investment Income1 1.612 4.029 2.988 3.186 3.102 2.835
Net Realized and Unrealized Gain (Loss) on Investments (69.189) 43.607 40.111 46.645 (21.825) 25.980
Total from Investment Operations (67.577) 47.636 43.099 49.831 (18.723) 28.815
Distributions            
Dividends from Net Investment Income (1.613) (3.926) (3.119) (3.231) (3.087) (2.795)
Distributions from Realized Capital Gains
Total Distributions (1.613) (3.926) (3.119) (3.231) (3.087) (2.795)
Net Asset Value, End of Period $243.59 $312.78 $269.07 $229.09 $182.49 $204.30
Total Return -21.65% 17.75% 19.13% 27.40% -9.30% 16.27%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $9,763 $12,638 $10,172 $8,846 $7,866 $9,531
Ratio of Total Expenses to Average Net Assets 0.03%2 0.03% 0.03% 0.03% 0.03% 0.03%
Ratio of Net Investment Income to Average Net Assets 1.26% 1.32% 1.41% 1.49% 1.48% 1.50%
Portfolio Turnover Rate3 7% 17% 22% 16% 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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.03%.
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.
35

 

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.
Significant market disruptions, such as those caused by pandemics (e.g., COVID-19 pandemic), natural or environmental disasters, war (e.g., Russia's invasion of Ukraine), acts of terrorism, or other events, can adversely affect local and global markets and normal market operations. Any such disruptions could have an adverse impact on the value of the fund's investments and 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.
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 securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. 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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Small-Cap Index Fund
During the six months ended June 30, 2022, the fund’s average investments in long and short futures contracts represented 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.
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.
The notional amounts of swap contracts are not recorded in the Statement of Assets and Liabilities. 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.
During the six months ended June 30, 2022, 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. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is
37

 

Small-Cap Index Fund
generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for 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 $4.4 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 and are 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, which 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 an agreed-upon spread plus the higher of the federal funds effective rate, the overnight bank funding rate, or the Daily Simple Secured Overnight Financing Rate inclusive of an additional agreed-upon spread. However, borrowings under the uncommitted credit facility may bear interest based upon an alternate 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
38

 

Small-Cap Index Fund
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, 2022, the fund did not utilize the credit facilities or the Interfund Lending Program.
8. Other: Dividend income is recorded on the ex-dividend date. Non-cash dividends included in income, if any, are recorded at the fair value of the securities received. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. 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, 2022, the fund had contributed to Vanguard capital in the amount of $4,303,000, representing less than 0.01% of the fund’s net assets and 1.72% 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, 2022, custodian fee offset arrangements reduced the fund’s expenses by $16,000 (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 and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
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Small-Cap Index Fund
The following table summarizes the market value of the fund's investments and derivatives as of June 30, 2022, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 107,907,155 573 107,907,728
Temporary Cash Investments 2,788,777 2,788,777
Total 110,695,932 573 110,696,505
Derivative Financial Instruments        
Assets        
Swap Contracts 1,213 1,213
Liabilities        
Futures Contracts1 38,518 38,518
Swap Contracts 11,437 11,437
Total 38,518 11,437 49,955
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
E. As of June 30, 2022, 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 98,734,120
Gross Unrealized Appreciation 29,949,097
Gross Unrealized Depreciation (18,035,454)
Net Unrealized Appreciation (Depreciation) 11,913,643
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, 2021, the fund had available capital losses totaling $5,198,211,000 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, 2022; 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, 2022, the fund purchased $15,659,445,000 of investment securities and sold $16,471,142,000 of investment securities, other than temporary cash investments. Purchases and sales include $7,079,455,000 and $7,206,960,000, 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, 2022, such purchases were $1,515,507,000 and sales were $460,454,000,
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Small-Cap Index Fund
resulting in net realized loss of $192,306,000; 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, 2022
  Year Ended
December 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 21,967 227   83,822 804
Issued in Lieu of Cash Distributions 2,573 28   8,073 77
Redeemed (83,217) (842)   (293,651) (2,772)
Net Increase (Decrease)—Investor Shares (58,677) (587)   (201,756) (1,891)
ETF Shares          
Issued 7,366,311 38,126   19,022,966 85,746
Issued in Lieu of Cash Distributions  
Redeemed (7,471,250) (38,725)   (12,452,875) (56,550)
Net Increase (Decrease)—ETF Shares (104,939) (599)   6,570,091 29,196
Admiral Shares          
Issued 3,299,411 34,090   8,639,338 82,503
Issued in Lieu of Cash Distributions 246,643 2,689   609,812 5,775
Redeemed (3,805,353) (39,316)   (9,015,123) (85,813)
Net Increase (Decrease)—Admiral Shares (259,299) (2,537)   234,027 2,465
Institutional Shares          
Issued 1,650,881 17,071   4,948,740 47,094
Issued in Lieu of Cash Distributions 102,218 1,115   260,028 2,463
Redeemed (2,194,226) (22,335)   (5,405,883) (51,369)
Net Increase (Decrease)—Institutional Shares (441,127) (4,149)   (197,115) (1,812)
Institutional Plus Shares          
Issued 568,283 2,022   3,027,331 9,968
Issued in Lieu of Cash Distributions 64,126 242   153,202 502
Redeemed (735,937) (2,589)   (2,381,349) (7,870)
Net Increase (Decrease)—Institutional Plus Shares (103,528) (325)   799,184 2,600
H. Management has determined that no events or transactions occurred subsequent to June 30, 2022, that would require recognition or disclosure in these financial statements.
41

 

Small-Cap Growth Index Fund
Fund Allocation
As of June 30, 2022
Basic Materials 2.0%
Consumer Discretionary 14.5
Consumer Staples 2.9
Energy 4.3
Financials 5.0
Health Care 20.6
Industrials 18.3
Real Estate 8.6
Technology 20.2
Telecommunications 1.9
Utilities 1.7
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.
42

 

Small-Cap Growth Index Fund
Financial Statements (unaudited)
Schedule of Investments
As of June 30, 2022
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 (100.0%)
Basic Materials (2.0%)
Royal Gold Inc.    981,813    104,838
* RBC Bearings Inc.    431,747     79,852
Hexcel Corp.  1,256,691     65,738
Balchem Corp.    432,366     56,095
* Livent Corp.  2,418,316     54,872
* MP Materials Corp.  1,460,149     46,842
* Ingevity Corp.    579,637     36,598
NewMarket Corp.    115,113     34,644
Quaker Chemical Corp.    200,924     30,042
*,1 Amyris Inc.  3,075,890      5,690
* Century Aluminum Co.    742,732      5,474
                      520,685
Consumer Discretionary (14.5%)
* Liberty Media Corp.-Liberty Formula One Class C  2,907,483    184,538
* Deckers Outdoor Corp.    407,325    104,010
Pool Corp.    284,585     99,955
Gentex Corp.  3,505,286     98,043
Churchill Downs Inc.    511,608     97,988
* Floor & Decor Holdings Inc. Class A  1,503,608     94,667
* Five Below Inc.    829,906     94,136
Nexstar Media Group Inc. Class A    573,958     93,486
Wyndham Hotels & Resorts Inc.  1,377,199     90,510
* Planet Fitness Inc. Class A  1,269,574     86,344
* SiteOne Landscape Supply Inc.    671,734     79,849
* Penn National Gaming Inc.  2,494,915     75,895
* Bright Horizons Family Solutions Inc.    888,024     75,056
Texas Roadhouse Inc. Class A  1,019,274     74,611
* Skechers USA Inc. Class A  2,017,360     71,778
* Light & Wonder Inc.  1,430,237     67,207
          Shares Market
Value

($000)
Vail Resorts Inc.    303,201     66,113
* IAA Inc.  2,003,072     65,641
Choice Hotels International Inc.    583,897     65,180
*,1 DraftKings Inc. Class A  5,558,400     64,867
* RH    294,972     62,611
Boyd Gaming Corp.  1,146,753     57,051
* Hyatt Hotels Corp. Class A    728,682     53,857
Tempur Sealy International Inc.  2,493,870     53,294
* YETI Holdings Inc.  1,222,218     52,885
* Ollie's Bargain Outlet Holdings Inc.    891,447     52,373
* Fox Factory Holding Corp.    629,978     50,738
* Hilton Grand Vacations Inc.  1,348,655     48,187
* Grand Canyon Education Inc.    483,154     45,508
* Dorman Products Inc.    399,683     43,849
* Visteon Corp.    420,262     43,531
* Crocs Inc.    874,334     42,554
* Callaway Golf Co.  2,071,387     42,256
LCI Industries    360,929     40,381
World Wrestling Entertainment Inc. Class A    645,617     40,345
Papa John's International Inc.    481,618     40,225
* Peloton Interactive Inc. Class A  4,364,423     40,065
* Skyline Champion Corp.    807,201     38,278
Columbia Sportswear Co.    517,318     37,030
* Madison Square Garden Sports Corp.    235,798     35,606
* Sonos Inc.  1,911,650     34,486
* Chegg Inc.  1,787,668     33,572
Wingstop Inc.    446,623     33,394
* Leslie's Inc.  2,050,977     31,134
* Gentherm Inc.    495,448     30,921
* Frontdoor Inc.  1,230,210     29,623
43

 

Small-Cap Growth Index Fund
          Shares Market
Value

($000)
* SeaWorld Entertainment Inc.    651,784     28,796
* Lyft Inc. Class A  2,156,360     28,636
Ralph Lauren Corp.    304,182     27,270
* TripAdvisor Inc.  1,517,505     27,012
* LGI Homes Inc.    300,993     26,156
*,1 QuantumScape Corp. Class A  3,040,652     26,119
Red Rock Resorts Inc. Class A    781,843     26,082
* Allegiant Travel Co.    229,666     25,973
* Six Flags Entertainment Corp.  1,163,901     25,257
* Wayfair Inc. Class A    565,174     24,619
* Shake Shack Inc. Class A    558,170     22,037
* Madison Square Garden Entertainment Corp.    409,752     21,561
* Coursera Inc.  1,510,758     21,423
Levi Strauss & Co. Class A  1,306,566     21,323
* Driven Brands Holdings Inc.    753,293     20,746
* Liberty Media Corp.-Liberty Formula One Class A    355,343     20,599
* Dave & Buster's Entertainment Inc.    583,770     19,136
*,1 Luminar Technologies Inc. Class A  3,028,730     17,960
Jack in the Box Inc.    313,593     17,580
*,1 Petco Health & Wellness Co. Inc. Class A  1,186,363     17,487
Steven Madden Ltd.    535,835     17,259
* Figs Inc. Class A  1,894,550     17,259
* Carvana Co.    748,145     16,893
* National Vision Holdings Inc.    607,935     16,718
*,1 Overstock.com Inc.    646,748     16,175
*,1 Dutch Bros Inc. Class A    501,331     15,867
* Revolve Group Inc. Class A    607,067     15,729
* Boot Barn Holdings Inc.    221,784     15,283
*,1 Sweetgreen Inc. Class A  1,289,519     15,023
* iRobot Corp.    404,316     14,859
* Sabre Corp.  2,434,721     14,194
*,1 Duolingo Inc. Class A    154,232     13,503
*,1 Fisker Inc. Class A  1,548,251     13,269
* Cavco Industries Inc.     65,097     12,758
* Stride Inc.    304,185     12,408
* Mister Car Wash Inc.  1,130,058     12,295
*,1 ContextLogic Inc. Class A  7,677,272     12,284
1 Camping World Holdings Inc. Class A    560,920     12,110
* 2U Inc.  1,104,620     11,565
* elf Beauty Inc.    370,798     11,376
* EW Scripps Co. Class A    907,722     11,319
          Shares Market
Value

($000)
* ACV Auctions Inc. Class A  1,687,936     11,039
Monro Inc.    239,109     10,253
* Sleep Number Corp.    316,857      9,807
Inter Parfums Inc.    131,357      9,597
* Sun Country Airlines Holdings Inc.    479,270      8,790
Dine Brands Global Inc.    119,801      7,797
*,1 Corsair Gaming Inc.    574,519      7,543
* Stitch Fix Inc. Class A  1,105,539      5,461
*,1 Allbirds Inc. Class A  1,385,050      5,443
* Cardlytics Inc.    227,235      5,070
* Sciplay Corp. Class A    346,840      4,845
*,1 Portillo's Inc. Class A    291,844      4,772
* Integral Ad Science Holding Corp.    459,135      4,559
*,1 Frontier Group Holdings Inc.    482,858      4,524
* Angi Inc. Class A    950,745      4,354
* Latham Group Inc.    619,516      4,293
*,1 Canoo Inc.  2,313,156      4,279
* Poshmark Inc. Class A    396,514      4,009
* Rush Street Interactive Inc.    756,994      3,535
*,1 Dream Finders Homes Inc. Class A    287,555      3,060
*,1 Bed Bath & Beyond Inc.    472,368      2,348
* Vizio Holding Corp. Class A    342,805      2,338
* Selectquote Inc.    912,366      2,263
* Quotient Technology Inc.    634,154      1,883
* RealReal Inc.    594,349      1,480
* Arhaus Inc. Class A    313,469      1,411
*,1 Solo Brands Inc. Class A    281,462      1,143
* ThredUp Inc. Class A    412,938      1,032
* Traeger Inc.    218,714        930
*,1 Bowlero Corp.     79,330        840
* Brilliant Earth Group Inc. Class A    159,967        760
                    3,767,004
Consumer Staples (2.9%)
* Darling Ingredients Inc.  2,414,870    144,409
Casey's General Stores Inc.    554,943    102,653
* Simply Good Foods Co.  1,275,709     48,184
* BellRing Brands Inc.  1,733,240     43,140
* Boston Beer Co. Inc. Class A    137,462     41,647
WD-40 Co.    204,351     41,148
* Celsius Holdings Inc.    619,582     40,434
Coca-Cola Consolidated Inc.     68,850     38,825
* Freshpet Inc.    679,066     35,237
* Post Holdings Inc.    409,139     33,693
Medifast Inc.    172,179     31,080
Cal-Maine Foods Inc.    594,428     29,371
 
44

 

Small-Cap Growth Index Fund
          Shares Market
Value

($000)
J & J Snack Foods Corp.    172,334     24,068
*,1 Beyond Meat Inc.    857,163     20,521
Lancaster Colony Corp.    143,597     18,492
National Beverage Corp.    348,213     17,042
* USANA Health Sciences Inc.    172,048     12,449
* Beauty Health Co.    734,171      9,441
* Sovos Brands Inc.    373,374      5,925
Tootsie Roll Industries Inc.    104,802      3,705
* Honest Co. Inc.    388,789      1,135
* Vital Farms Inc.    120,276      1,052
*,1 BRC Inc. Class A     48,797        398
                      744,049
Energy (4.3%)
Texas Pacific Land Corp.     92,595    137,783
Targa Resources Corp.  1,703,632    101,656
PDC Energy Inc.  1,484,096     91,435
EQT Corp.  2,486,172     85,524
Matador Resources Co.  1,677,677     78,163
ChampionX Corp.  3,041,960     60,383
Magnolia Oil & Gas Corp. Class A  2,576,071     54,072
*,1 ChargePoint Holdings Inc.  3,766,311     51,561
* Denbury Inc.    715,366     42,915
Civitas Resources Inc.    762,073     39,849
Cactus Inc. Class A    859,315     34,605
SM Energy Co.    911,038     31,148
New Fortress Energy Inc. Class A    775,726     30,695
* Liberty Energy Inc. Class A  2,096,542     26,752
Enviva Inc.    448,060     25,638
* Callon Petroleum Co.    645,942     25,321
* Array Technologies Inc.  2,136,201     23,520
* Ameresco Inc. Class A    456,228     20,786
* FuelCell Energy Inc.  5,192,685     19,472
* Oceaneering International Inc.  1,496,435     15,982
Alpha Metallurgical Resources Inc.    118,508     15,303
* Shoals Technologies Group Inc. Class A    921,428     15,185
* NexTier Oilfield Solutions Inc.  1,548,626     14,727
* Dril-Quip Inc.    516,004     13,313
* Tellurian Inc.  3,816,711     11,374
* Stem Inc.  1,101,870      7,889
* RPC Inc.  1,139,298      7,872
* Comstock Resources Inc.    612,580      7,400
Kinetik Holdings Inc. Class A     98,481      3,362
* Helix Energy Solutions Group Inc.  1,064,757      3,301
          Shares Market
Value

($000)
*,1 EVgo Inc.    510,777      3,070
*,1 ProFrac Holding Corp. Class A    118,440      2,169
                    1,102,225
Financials (5.0%)
LPL Financial Holdings Inc.    567,824    104,752
Morningstar Inc.    383,332     92,701
* Alleghany Corp.     95,474     79,539
Pinnacle Financial Partners Inc.  1,084,988     78,455
Kinsale Capital Group Inc.    325,299     74,702
*,1 Robinhood Markets Inc. Class A  8,896,972     73,133
Erie Indemnity Co. Class A    379,757     72,986
1 Blue Owl Capital Inc. Class A  6,256,509     62,753
ServisFirst Bancshares Inc.    730,640     57,662
Western Alliance Bancorp    768,894     54,284
*,1 SoFi Technologies Inc. 10,268,429     54,115
* Credit Acceptance Corp.     98,221     46,499
Virtu Financial Inc. Class A  1,496,335     35,029
* Trupanion Inc.    547,792     33,010
*,1 Upstart Holdings Inc.  1,012,614     32,019
Hamilton Lane Inc. Class A    472,587     31,748
Houlihan Lokey Inc. Class A    378,585     29,882
* Focus Financial Partners Inc. Class A    733,438     24,981
* Silvergate Capital Corp. Class A    449,661     24,070
PJT Partners Inc. Class A    331,805     23,319
Cohen & Steers Inc.    364,610     23,186
* BRP Group Inc. Class A    841,622     20,325
StepStone Group Inc. Class A    774,663     20,164
Ameris Bancorp    491,618     19,753
* Open Lending Corp. Class A  1,601,674     16,385
Goosehead Insurance Inc. Class A    275,064     12,562
TFS Financial Corp.    840,787     11,544
* Palomar Holdings Inc.    179,143     11,537
* Triumph Bancorp Inc.    178,874     11,190
*,1 Lemonade Inc.    609,343     11,127
Live Oak Bancshares Inc.    247,950      8,403
*,1 Marathon Digital Holdings Inc.  1,517,425      8,103
*,1 Oscar Health Inc. Class A  1,851,996      7,871
*,1 Riot Blockchain Inc.  1,815,217      7,606
* LendingTree Inc.    163,420      7,161
TPG Inc. Class A    288,404      6,896
P10 Inc. Class A    528,927      5,882
 
45

 

Small-Cap Growth Index Fund
          Shares Market
Value

($000)
* AssetMark Financial Holdings Inc.    163,365      3,066
* Clearwater Analytics Holdings Inc. Class A    246,605      2,969
*,1 Hagerty Inc. Class A     96,834      1,113
                    1,302,482
Health Care (20.6%)
Bio-Techne Corp.    586,505    203,306
* Neurocrine Biosciences Inc.  1,428,951    139,294
* Repligen Corp.    828,749    134,589
* Syneos Health Inc.  1,533,524    109,923
Chemed Corp.    223,804    105,051
* Exelixis Inc.  4,795,269     99,838
Bruker Corp.  1,561,963     98,029
* Masimo Corp.    746,839     97,589
* Shockwave Medical Inc.    508,327     97,177
* Sarepta Therapeutics Inc.  1,242,763     93,158
* Halozyme Therapeutics Inc.  2,062,279     90,740
* Charles River Laboratories International Inc.    379,735     81,252
* Novocure Ltd.  1,149,116     79,864
* HealthEquity Inc.  1,261,481     77,442
* Inspire Medical Systems Inc.    412,434     75,339
* Omnicell Inc.    660,793     75,165
* Alkermes plc  2,443,380     72,788
* Intra-Cellular Therapies Inc.  1,269,206     72,446
* LHC Group Inc.    440,606     68,620
* QuidelOrtho Corp.    700,547     68,079
* Ionis Pharmaceuticals Inc.  1,801,923     66,707
* Penumbra Inc.    535,067     66,627
* Globus Medical Inc. Class A  1,185,366     66,546
* Lantheus Holdings Inc.    974,801     64,366
* Apellis Pharmaceuticals Inc.  1,353,652     61,212
* Medpace Holdings Inc.    402,416     60,230
* Option Care Health Inc.  2,153,407     59,843
* Ultragenyx Pharmaceutical Inc.    993,133     59,250
* Guardant Health Inc.  1,447,574     58,395
Ensign Group Inc.    788,051     57,898
* 10X Genomics Inc. Class A  1,263,721     57,183
* Integra LifeSciences Holdings Corp.  1,056,453     57,080
* Tandem Diabetes Care Inc.    956,082     56,591
* ICU Medical Inc.    339,367     55,789
* Arrowhead Pharmaceuticals Inc.  1,501,625     52,872
* Intellia Therapeutics Inc.  1,020,398     52,816
          Shares Market
Value

($000)
* Amedisys Inc.    486,998     51,193
* STAAR Surgical Co.    714,715     50,695
* Haemonetics Corp.    766,697     49,973
* Cytokinetics Inc.  1,216,453     47,794
* Maravai LifeSciences Holdings Inc. Class A  1,671,760     47,495
* Merit Medical Systems Inc.    847,331     45,985
* Natera Inc.  1,295,916     45,927
* iRhythm Technologies Inc.    423,143     45,712
* Amicus Therapeutics Inc.  4,188,583     44,985
* Blueprint Medicines Corp.    890,433     44,976
*,1 Doximity Inc. Class A  1,259,437     43,854
* R1 RCM Inc.  2,091,421     43,836
* Inari Medical Inc.    635,211     43,188
* PTC Therapeutics Inc.  1,066,469     42,723
CONMED Corp.    441,241     42,253
*,1 Neogen Corp.  1,611,864     38,830
* NuVasive Inc.    778,122     38,253
* Denali Therapeutics Inc.  1,286,774     37,870
* Evolent Health Inc. Class A  1,232,430     37,848
* Pacira BioSciences Inc.    645,080     37,608
* Teladoc Health Inc.  1,084,109     36,003
* Certara Inc.  1,672,818     35,899
* Insmed Inc.  1,786,613     35,232
*,1 Ginkgo Bioworks Holdings Inc. 14,714,371     35,020
* Beam Therapeutics Inc.    840,339     32,530
* Global Blood Therapeutics Inc.    973,393     31,100
* Glaukos Corp.    672,431     30,542
* Fate Therapeutics Inc.  1,228,597     30,445
* Corcept Therapeutics Inc.  1,271,032     30,225
*,1 Novavax Inc.    584,140     30,042
* Progyny Inc.  1,031,358     29,961
* Sotera Health Co.  1,480,045     28,994
* Vir Biotechnology Inc.  1,088,943     27,735
* AtriCure Inc.    658,235     26,896
* Arvinas Inc.    636,452     26,788
* Oak Street Health Inc.  1,622,777     26,678
* Twist Bioscience Corp.    757,926     26,497
* ACADIA Pharmaceuticals Inc.  1,811,993     25,531
* Xencor Inc.    887,523     24,292
* Sage Therapeutics Inc.    751,809     24,283
* ChemoCentryx Inc.    959,157     23,768
* Nevro Corp.    527,925     23,139
* Apollo Medical Holdings Inc.    587,660     22,678
* Ironwood Pharmaceuticals Inc. Class A  1,958,592     22,583
 
46

 

Small-Cap Growth Index Fund
          Shares Market
Value

($000)
* Harmony Biosciences Holdings Inc.    442,417     21,577
* CorVel Corp.    145,307     21,399
* Privia Health Group Inc.    732,452     21,329
* Veracyte Inc.  1,071,360     21,320
* 1Life Healthcare Inc.  2,617,039     20,518
* Cerevel Therapeutics Holdings Inc.    773,519     20,452
* Zentalis Pharmaceuticals Inc.    722,340     20,298
* Relay Therapeutics Inc.  1,133,557     18,987
* Silk Road Medical Inc.    500,945     18,229
* AdaptHealth Corp. Class A  1,001,238     18,062
* Surgery Partners Inc.    603,290     17,447
* REVOLUTION Medicines Inc.    893,551     17,415
* CareDx Inc.    793,853     17,052
* Axonics Inc.    298,705     16,928
* Allogene Therapeutics Inc.  1,392,829     15,878
* Adaptive Biotechnologies Corp.  1,927,564     15,594
*,1 PROCEPT BioRobotics Corp.    460,827     15,064
* BioCryst Pharmaceuticals Inc.  1,386,525     14,669
* Signify Health Inc. Class A  1,053,154     14,534
* NeoGenomics Inc.  1,770,958     14,433
* REGENXBIO Inc.    581,588     14,365
* Vaxcyte Inc.    652,758     14,204
* Innoviva Inc.    936,866     13,828
*,1 Warby Parker Inc. Class A  1,218,673     13,722
* FibroGen Inc.  1,255,510     13,258
*,1 Lyell Immunopharma Inc.  2,026,494     13,213
* Alignment Healthcare Inc.  1,119,825     12,777
* Editas Medicine Inc.  1,027,115     12,151
* American Well Corp. Class A  2,789,566     12,051
* Cytek Biosciences Inc.  1,106,172     11,869
* Health Catalyst Inc.    771,599     11,180
* Supernus Pharmaceuticals Inc.    380,103     10,993
* SpringWorks Therapeutics Inc.    445,403     10,966
* Embecta Corp.    431,915     10,936
*,1 Clover Health Investments Corp. Class A  5,102,347     10,919
* Ligand Pharmaceuticals Inc.    120,193     10,724
* Outset Medical Inc.    716,352     10,645
* Nektar Therapeutics  2,792,756     10,613
* Emergent BioSolutions Inc.    339,042     10,524
          Shares Market
Value

($000)
* Agiliti Inc.    497,637     10,207
*,1 Recursion Pharmaceuticals Inc. Class A  1,231,041     10,021
* Arcus Biosciences Inc.    376,918      9,551
* Phreesia Inc.    374,585      9,368
* Agios Pharmaceuticals Inc.    415,031      9,201
* OPKO Health Inc.  3,480,478      8,806
* Alector Inc.    865,688      8,795
*,1 Invitae Corp.  3,410,919      8,323
* TG Therapeutics Inc.  1,954,472      8,307
*,1 PMV Pharmaceuticals Inc.    582,750      8,304
*,1 Sana Biotechnology Inc.  1,284,278      8,258
* Gossamer Bio Inc.    986,311      8,255
* Hims & Hers Health Inc.  1,783,316      8,078
* Inogen Inc.    326,414      7,893
* HealthStream Inc.    362,389      7,867
* Theravance Biopharma Inc.    859,778      7,790
* Treace Medical Concepts Inc.    540,930      7,757
* Pulmonx Corp.    503,296      7,409
* Nuvation Bio Inc.  2,135,528      6,919
* GoodRx Holdings Inc. Class A  1,122,401      6,645
* Seer Inc. Class A    734,706      6,576
*,1 Butterfly Network Inc.  2,042,408      6,270
*,1 LifeStance Health Group Inc.  1,108,226      6,162
*,1 Verve Therapeutics Inc.    396,152      6,053
* AnaptysBio Inc.    271,172      5,505
* Cano Health Inc.  1,229,933      5,387
* Atara Biotherapeutics Inc.    654,139      5,096
*,1 Erasca Inc.    901,841      5,023
* Rocket Pharmaceuticals Inc.    341,071      4,693
*,1 ImmunityBio Inc.  1,178,207      4,383
* NanoString Technologies Inc.    343,488      4,362
* Natus Medical Inc.    127,993      4,194
* Kymera Therapeutics Inc.    210,385      4,143
* Atea Pharmaceuticals Inc.    554,072      3,934
*,1 23andMe Holding Co.  1,484,692      3,682
* Sangamo Therapeutics Inc.    868,219      3,594
* Instil Bio Inc.    765,535      3,537
*,1 Amylyx Pharmaceuticals Inc.    171,128      3,296
* Cullinan Oncology Inc.    232,100      2,976
* Accolade Inc.    398,519      2,949
* Design Therapeutics Inc.    206,530      2,891
*,1 Monte Rosa Therapeutics Inc.    276,487      2,674
 
47

 

Small-Cap Growth Index Fund
          Shares Market
Value

($000)
* Pennant Group Inc.    190,079      2,435
* Heron Therapeutics Inc.    758,778      2,117
* Phathom Pharmaceuticals Inc.    216,845      1,830
*,1 SmileDirectClub Inc. Class A  1,588,881      1,652
*,1 Innovage Holding Corp.    293,386      1,285
* Absci Corp.    309,338      1,027
* Singular Genomics Systems Inc.    234,895        897
*,1 P3 Health Partners Inc.    224,204        834
* Aveanna Healthcare Holdings Inc.    341,910        773
*,1 Bright Green Corp.    310,194        689
* Adagio Therapeutics Inc.    203,136        666
                    5,330,415
Industrials (18.3%)
Nordson Corp.    779,728    157,848
* Fair Isaac Corp.    387,723    155,438
Graco Inc.  2,530,342    150,328
Toro Co.  1,563,029    118,462
Watsco Inc.    495,938    118,440
Genpact Ltd.  2,767,935    117,250
* WillScot Mobile Mini Holdings Corp.  3,326,206    107,836
* Berry Global Group Inc.  1,948,450    106,463
A O Smith Corp.  1,944,022    106,299
* WEX Inc.    672,645    104,637
* Paylocity Holding Corp.    576,942    100,630
Lennox International Inc.    483,141     99,812
* Coherent Inc.    369,798     98,448
Jack Henry & Associates Inc.    544,693     98,056
Advanced Drainage Systems Inc.  1,071,943     96,550
Littelfuse Inc.    369,958     93,984
* Axon Enterprise Inc.  1,008,494     93,961
* Trex Co. Inc.  1,692,409     92,101
* Chart Industries Inc.    547,445     91,631
MKS Instruments Inc.    832,374     85,427
* TopBuild Corp.    490,060     81,918
Landstar System Inc.    555,269     80,747
Curtiss-Wright Corp.    574,898     75,921
BWX Technologies Inc.  1,363,673     75,125
* Saia Inc.    394,836     74,229
* AMN Healthcare Services Inc.    668,630     73,355
* Euronet Worldwide Inc.    718,044     72,228
Exponent Inc.    774,636     70,856
* GXO Logistics Inc.  1,631,288     70,586
* ExlService Holdings Inc.    472,736     69,648
* ASGN Inc.    725,684     65,493
Simpson Manufacturing Co. Inc.    645,332     64,927
Eagle Materials Inc.    571,198     62,798
Maximus Inc.    918,181     57,395
          Shares Market
Value

($000)
Insperity Inc.    544,062     54,314
* Mercury Systems Inc.    819,299     52,706
Armstrong World Industries Inc.    701,918     52,616
John Bean Technologies Corp.    475,317     52,485
Cognex Corp.  1,233,780     52,460
* Middleby Corp.    378,869     47,495
* Aerojet Rocketdyne Holdings Inc.  1,143,440     46,424
* Welbilt Inc.  1,925,902     45,856
* ACI Worldwide Inc.  1,681,505     43,534
* TriNet Group Inc.    558,459     43,348
Franklin Electric Co. Inc.    588,793     43,135
Woodward Inc.    430,782     39,843
* Bloom Energy Corp. Class A  2,305,643     38,043
Forward Air Corp.    401,793     36,949
Badger Meter Inc.    437,689     35,405
* Verra Mobility Corp. Class A  2,218,987     34,860
AAON Inc.    635,233     34,785
Herc Holdings Inc.    379,867     34,245
* Itron Inc.    674,053     33,318
Helios Technologies Inc.    485,820     32,186
* Air Transport Services Group Inc.  1,056,966     30,367
Installed Building Products Inc.    350,499     29,147
* AeroVironment Inc.    354,050     29,103
Mueller Water Products Inc. Class A  2,350,316     27,569
* AZEK Co. Inc. Class A  1,624,901     27,201
* Kratos Defense & Security Solutions Inc.  1,870,695     25,965
* Masonite International Corp.    337,832     25,956
* Shift4 Payments Inc. Class A    762,076     25,194
* Affirm Holdings Inc. Class A  1,354,252     24,458
Comfort Systems USA Inc.    269,696     22,425
* Hayward Holdings Inc.  1,526,676     21,969
Lindsay Corp.    164,623     21,865
* Proto Labs Inc.    412,466     19,732
* Core & Main Inc. Class A    877,325     19,564
* Dycom Industries Inc.    209,796     19,519
* Flywire Corp.  1,063,639     18,752
* Vicor Corp.    336,026     18,391
*,1 Nikola Corp.  3,789,670     18,039
*,1 Legalzoom.com Inc.  1,633,829     17,956
*,1 Virgin Galactic Holdings Inc.  2,890,816     17,403
* Evo Payments Inc. Class A    713,606     16,784
* Hillman Solutions Corp.  1,879,328     16,237
 
48

 

Small-Cap Growth Index Fund
          Shares Market
Value

($000)
Tennant Co.    263,499     15,612
*,1 TuSimple Holdings Inc. Class A  2,084,311     15,070
*,1 PureCycle Technologies Inc.  1,705,798     12,657
* CryoPort Inc.    354,734     10,990
* Gibraltar Industries Inc.    246,000      9,532
*,1 Remitly Global Inc.  1,243,713      9,527
* Cimpress plc    235,129      9,147
* Aurora Innovation Inc.  4,748,864      9,070
* Janus International Group Inc.    990,497      8,944
Enerpac Tool Group Corp. Class A    454,989      8,654
* FARO Technologies Inc.    274,638      8,467
* BTRS Holdings Inc.  1,683,114      8,382
* Forrester Research Inc.    170,465      8,155
*,1 Desktop Metal Inc. Class A  3,540,172      7,788
*,1 Enovix Corp.    826,807      7,367
* Payoneer Global Inc.  1,813,185      7,108
* TaskUS Inc. Class A    417,875      7,045
*,1 CS Disco Inc.    346,993      6,260
*,1 Hyliion Holdings Corp.  1,800,399      5,797
*,1 Mirion Technologies Inc.    812,165      4,678
* Sterling Check Corp.    284,941      4,647
Gorman-Rupp Co.    154,416      4,370
* Thermon Group Holdings Inc.    234,503      3,295
* Paymentus Holdings Inc. Class A    229,877      3,073
*,1 Microvast Holdings Inc.  1,118,755      2,484
* Ranpak Holdings Corp. Class A    321,592      2,251
* Velo3D Inc.  1,155,984      1,595
* Hydrofarm Holdings Group Inc.    265,661        924
* Latch Inc.    775,144        884
                    4,740,203
Real Estate (8.6%)
Equity LifeStyle Properties Inc.  2,503,171    176,398
American Homes 4 Rent Class A  4,158,563    147,379
CubeSmart  3,355,793    143,359
Rexford Industrial Realty Inc.  2,466,818    142,064
American Campus Communities Inc.  2,085,104    134,427
Americold Realty Trust Inc.  4,026,319    120,951
Healthcare Trust of America Inc. Class A  3,425,310     95,600
Host Hotels & Resorts Inc.  5,343,720     83,789
STAG Industrial Inc.  2,679,395     82,740
Spirit Realty Capital Inc.  2,008,266     75,872
          Shares Market
Value

($000)
Independence Realty Trust Inc.  3,306,309     68,540
National Storage Affiliates Trust  1,299,660     65,074
Terreno Realty Corp.  1,129,462     62,945
* Ryman Hospitality Properties Inc.    783,197     59,546
Lamar Advertising Co. Class A    650,915     57,261
Kite Realty Group Trust  3,275,654     56,636
PS Business Parks Inc.    289,205     54,125
STORE Capital Corp.  1,990,940     51,924
Broadstone Net Lease Inc.  2,406,251     49,352
Hannon Armstrong Sustainable Infrastructure Capital Inc.  1,299,285     49,191
Innovative Industrial Properties Inc.    417,966     45,922
Kilroy Realty Corp.    872,439     45,655
Essential Properties Realty Trust Inc.  1,960,318     42,127
* Howard Hughes Corp.    575,128     39,137
Uniti Group Inc.  3,543,841     33,383
* Opendoor Technologies Inc.  7,002,556     32,982
1 Phillips Edison & Co. Inc.    851,693     28,455
RLJ Lodging Trust  2,497,085     27,543
St. Joe Co.    573,320     22,681
Paramount Group Inc.  2,776,450     20,074
Pebblebrook Hotel Trust    979,083     16,223
Marcus & Millichap Inc.    377,662     13,970
CareTrust REIT Inc.    725,302     13,375
* Redfin Corp.  1,541,487     12,702
1 eXp World Holdings Inc.  1,006,686     11,849
*,1 WeWork Inc.  2,110,221     10,593
Universal Health Realty Income Trust    186,263      9,911
Safehold Inc.    278,777      9,860
Alexander's Inc.     15,133      3,362
*,1 Offerpad Solutions Inc.    681,962      1,487
                    2,218,464
Technology (20.2%)
Entegris Inc.  2,031,652    187,176
* PTC Inc.  1,574,055    167,385
* Dynatrace Inc.  2,993,586    118,067
* Wolfspeed Inc.  1,748,302    110,930
* Pure Storage Inc. Class A  4,237,494    108,946
* Manhattan Associates Inc.    943,748    108,154
* Ceridian HCM Holding Inc.  2,167,838    102,062
* Lattice Semiconductor Corp.  2,057,221     99,775
* Five9 Inc.  1,039,982     94,784
 
49

 

Small-Cap Growth Index Fund
          Shares Market
Value

($000)
* Avalara Inc.  1,313,590     92,739
* Guidewire Software Inc.  1,249,085     88,673
* Sailpoint Technologies Holdings Inc.  1,409,484     88,346
* II-VI Inc.  1,592,734     81,150
Azenta Inc.  1,121,128     80,833
* Aspen Technology Inc.    430,424     79,060
* Silicon Laboratories Inc.    546,979     76,697
* Tenable Holdings Inc.  1,653,355     75,079
CMC Materials Inc.    427,711     74,631
* Rogers Corp.    281,085     73,670
* Elastic NV  1,078,380     72,974
* Mandiant Corp.  3,323,638     72,522
Dolby Laboratories Inc. Class A    968,990     69,341
* Zendesk Inc.    916,027     67,850
* Qualys Inc.    522,573     65,917
Power Integrations Inc.    872,126     65,418
Universal Display Corp.    635,382     64,263
Switch Inc. Class A  1,911,036     64,020
* Novanta Inc.    507,215     61,510
National Instruments Corp.  1,961,517     61,258
* SPS Commerce Inc.    539,758     61,020
* Smartsheet Inc. Class A  1,829,672     57,507
* Rapid7 Inc.    827,415     55,271
* Blackline Inc.    798,512     53,181
* Semtech Corp.    949,192     52,177
* Onto Innovation Inc.    741,096     51,684
* Box Inc. Class A  2,038,164     51,239
* Nutanix Inc. Class A  3,297,262     48,239
* Varonis Systems Inc.  1,638,229     48,033
* Perficient Inc.    517,936     47,490
* IPG Photonics Corp.    504,263     47,466
* Procore Technologies Inc.  1,013,354     45,996
* FormFactor Inc.  1,167,649     45,223
* Fabrinet    550,206     44,622
* Alarm.com Holdings Inc.    711,674     44,024
* Dropbox Inc. Class A  2,080,228     43,664
* Envestnet Inc.    825,065     43,539
* Workiva Inc. Class A    648,293     42,781
* Alteryx Inc. Class A    858,576     41,572
* Diodes Inc.    643,039     41,521
Advanced Energy Industries Inc.    561,707     40,993
* New Relic Inc.    800,496     40,065
* CommVault Systems Inc.    633,696     39,859
* Altair Engineering Inc. Class A    738,960     38,795
Vertiv Holdings Co. Class A  4,504,760     37,029
* Upwork Inc.  1,744,406     36,074
* DigitalOcean Holdings Inc.    871,830     36,059
* SiTime Corp.    220,165     35,894
* MaxLinear Inc. Class A  1,044,180     35,481
          Shares Market
Value

($000)
* Bumble Inc. Class A  1,258,501     35,427
* Ambarella Inc.    540,798     35,401
* Confluent Inc. Class A  1,505,845     34,996
* MACOM Technology Solutions Holdings Inc.    731,729     33,733
* RingCentral Inc. Class A    634,887     33,179
* Sprout Social Inc. Class A    555,112     32,235
* Coupa Software Inc.    564,423     32,229
* Q2 Holdings Inc.    812,566     31,341
* Cargurus Inc. Class A  1,453,897     31,244
* nCino Inc.    987,975     30,548
Pegasystems Inc.    611,772     29,267
* E2open Parent Holdings Inc.  3,606,172     28,056
* Yelp Inc. Class A  1,006,522     27,951
* PagerDuty Inc.  1,115,383     27,639
* Appian Corp.    580,476     27,491
* LiveRamp Holdings Inc.    972,590     25,103
* Ziff Davis Inc.    336,236     25,060
* Appfolio Inc. Class A    270,270     24,497
* Jamf Holding Corp.    986,462     24,435
* Toast Inc. Class A  1,802,544     23,325
* Blackbaud Inc.    396,401     23,019
*,1 MicroStrategy Inc. Class A    139,679     22,949
* Digital Turbine Inc.  1,307,087     22,835
*,1 Clear Secure Inc. Class A  1,117,868     22,357
* DoubleVerify Holdings Inc.    979,778     22,212
* Gitlab Inc. Class A    415,474     22,078
* Schrodinger Inc.    784,781     20,726
* JFrog Ltd.    957,110     20,166
Shutterstock Inc.    351,126     20,123
*,1 Freshworks Inc. Class A  1,503,007     19,765
* Fastly Inc. Class A  1,621,895     18,830
* Ping Identity Holding Corp.  1,016,815     18,445
* 3D Systems Corp.  1,845,628     17,903
* Asana Inc. Class A  1,015,074     17,845
* KnowBe4 Inc. Class A  1,127,358     17,609
* Paycor HCM Inc.    652,896     16,975
* Magnite Inc.  1,867,952     16,587
*,1 Braze Inc. Class A    456,508     16,539
* Everbridge Inc.    589,509     16,441
*,1 Thoughtworks Holding Inc.  1,156,610     16,320
* Zuora Inc. Class A  1,806,876     16,172
* Duck Creek Technologies Inc.  1,086,208     16,130
* PROS Holdings Inc.    611,372     16,036
* Momentive Global Inc.  1,789,184     15,745
* LivePerson Inc.  1,056,321     14,936
*,1 Xometry Inc. Class A    429,814     14,584
* Veeco Instruments Inc.    727,194     14,108
* BigCommerce Holdings Inc.    814,704     13,198
 
50

 

Small-Cap Growth Index Fund
          Shares Market
Value

($000)
* Eventbrite Inc. Class A  1,207,713     12,403
* Vimeo Inc.  1,992,442     11,995
* Consensus Cloud Solutions Inc.    269,248     11,761
* Sprinklr Inc. Class A  1,147,481     11,601
* CEVA Inc.    330,128     11,079
* Sumo Logic Inc.  1,468,524     10,999
* Definitive Healthcare Corp. Class A    440,391     10,098
* PubMatic Inc. Class A    630,933     10,026
*,1 IonQ Inc.  2,076,588      9,095
* Yext Inc.  1,762,942      8,427
*,1 Zeta Global Holdings Corp. Class A  1,749,881      7,909
* Alkami Technology Inc.    545,274      7,574
*,1 ForgeRock Inc. Class A    353,380      7,569
*,1 HashiCorp Inc. Class A    248,997      7,330
* nLight Inc.    626,473      6,403
*,1 Blend Labs Inc. Class A  2,604,309      6,146
*,1 Matterport Inc.  1,668,633      6,107
* EngageSmart Inc.    360,796      5,802
* Telos Corp.    703,358      5,683
* Bandwidth Inc. Class A    293,293      5,520
*,1 Aeva Technologies Inc.  1,763,594      5,520
*,1 SEMrush Holdings Inc. Class A    414,811      5,364
* ON24 Inc.    554,690      5,264
* N-able Inc.    465,992      4,194
* AvePoint Inc.    947,010      4,110
* MeridianLink Inc.    238,383      3,981
* EverCommerce Inc.    434,254      3,926
* Credo Technology Group Holding Ltd.    317,295      3,706
* Intapp Inc.    230,250      3,371
* MediaAlpha Inc. Class A    337,642      3,326
*,1 SmartRent Inc. Class A    722,795      3,267
*,1 NerdWallet Inc. Class A    393,514      3,121
Ebix Inc.    182,964      3,092
* Vertex Inc. Class A    220,502      2,498
* Nextdoor Holdings Inc.    732,396      2,424
*,1 Skillz Inc. Class A  1,764,941      2,189
* Enfusion Inc. Class A    194,182      1,983
* WM Technology Inc.    509,677      1,677
* Ouster Inc.    880,420      1,426
* SecureWorks Corp. Class A    121,688      1,322
* Planet Labs PBC    267,940      1,160
* BuzzFeed Inc.    213,201        328
                    5,224,294
Telecommunications (1.9%)
Cable One Inc.     89,617    115,545
* Ciena Corp.  2,274,724    103,955
* Lumentum Holdings Inc.    980,246     77,851
Cogent Communications Holdings Inc.    645,643     39,229
* Vonage Holdings Corp.  1,918,096     36,137
          Shares Market
Value

($000)
* Viasat Inc.  1,057,626     32,395
* Calix Inc.    821,444     28,044
* Infinera Corp.  2,733,195     14,650
* WideOpenWest Inc.    787,334     14,337
* Globalstar Inc. 10,763,311     13,239
* 8x8 Inc.  1,685,489      8,680
* Gogo Inc.    481,622      7,798
ATN International Inc.    163,196      7,656
ADTRAN Inc.    345,077      6,049
                      505,565
Utilities (1.7%)
* Sunrun Inc.  2,984,175     69,710
* Clean Harbors Inc.    772,958     67,765
* Evoqua Water Technologies Corp.  1,813,274     58,950
* Casella Waste Systems Inc. Class A    757,252     55,037
Ormat Technologies Inc.    670,868     52,563
Clearway Energy Inc. Class C  1,221,534     42,558
* Sunnova Energy International Inc.  1,457,972     26,871
California Water Service Group    400,483     22,247
* Archaea Energy Inc. Class A  1,205,251     18,718
Clearway Energy Inc. Class A    521,467     16,671
*,1 Excelerate Energy Inc. Class A    135,962      2,708
*,1 NuScale Power Corp.    108,540      1,084
                      434,882
Total Common Stocks
(Cost $26,313,160)
25,890,268
 
51

 

Small-Cap Growth Index Fund
          Shares Market
Value

($000)
Temporary Cash Investments (2.6%)
Money Market Fund (2.6%)
2,3 Vanguard Market Liquidity Fund, 1.417%
(Cost $675,533)
 6,757,644           675,562
Total Investments (102.6%)
(Cost $26,988,693)
  26,565,830
Other Assets and Liabilities—Net (-2.6%)   (682,425)
Net Assets (100%)   25,883,405
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 $547,854,000.
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 $610,096,000 was received for securities on loan.
  REIT—Real Estate Investment Trust.

Derivative Financial Instruments Outstanding as of Period End

Futures Contracts
      ($000)
  Expiration Number of
Long (Short)
Contracts
Notional
Amount
Value and
Unrealized
Appreciation
(Depreciation)
Long Futures Contracts
E-mini Russell 2000 Index September 2022 489 41,761 (128)
    
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)
ACI Worldwide Inc. 8/31/22 BANA 932 (1.643) (27)
Elastic NV 8/31/22 BANA 2,466 (1.275) 239
Fisker Inc. Class A 1/31/23 GSI 6,992 (1.587) (140)
Invitae Corp. 8/31/22 BANA 1,321 (0.770)
Middleby Corp. 8/31/22 BANA 4,241 (1.211) (735)
52

 

Small-Cap Growth Index Fund
Over-the-Counter Total Return Swaps (continued)
Reference Entity Termination
Date
Counterparty Notional
Amount
($000)
Floating
Interest
Rate
Received
(Paid)1
(%)
Value and
Unrealized
Appreciation
($000)
Value and
Unrealized
(Depreciation)
($000)
Novocure Ltd. 8/31/22 BANA 14,468 (1.220) (1,972)
Wolfspeed Inc. 8/31/22 BANA 7,523 (1.215) (1,185)
          239 (4,059)
1 Based on USD Overnight Bank Funding Rate as of the most recent payment date. Floating interest payment received/paid monthly.
  BANA—Bank of America, N.A.
  GSI—Goldman Sachs International.
  
See accompanying Notes, which are an integral part of the Financial Statements.
53

 

Small-Cap Growth Index Fund
Statement of Assets and Liabilities
As of June 30, 2022
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value1  
Unaffiliated Issuers (Cost $26,313,160) 25,890,268
Affiliated Issuers (Cost $675,533) 675,562
Total Investments in Securities 26,565,830
Investment in Vanguard 1,007
Cash Collateral Pledged—Futures Contracts 2,690
Cash Collateral Pledged—Over-the-Counter Swap Contracts 3,020
Receivables for Investment Securities Sold 46,199
Receivables for Accrued Income 15,684
Receivables for Capital Shares Issued 11,271
Unrealized Appreciation—Over-the-Counter Swap Contracts 239
Total Assets 26,645,940
Liabilities  
Due to Custodian 37,062
Payables for Investment Securities Purchased 99,661
Collateral for Securities on Loan 610,096
Payables for Capital Shares Redeemed 10,586
Payables to Vanguard 743
Variation Margin Payable—Futures Contracts 328
Unrealized Depreciation—Over-the-Counter Swap Contracts 4,059
Total Liabilities 762,535
Net Assets 25,883,405
1 Includes $547,854 of securities on loan.  
54

 

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


At June 30, 2022, net assets consisted of:

($000s, except shares and per-share amounts) Amount
Paid-in Capital 29,105,495
Total Distributable Earnings (Loss) (3,222,090)
Net Assets 25,883,405
 
Investor Shares—Net Assets  
Applicable to 1,524,202 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
84,447
Net Asset Value Per Share—Investor Shares $55.40
 
ETF Shares—Net Assets  
Applicable to 59,421,383 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
11,709,080
Net Asset Value Per Share—ETF Shares $197.05
 
Admiral Shares—Net Assets  
Applicable to 163,638,355 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
11,337,388
Net Asset Value Per Share—Admiral Shares $69.28
 
Institutional Shares—Net Assets  
Applicable to 49,608,634 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
2,752,490
Net Asset Value Per Share—Institutional Shares $55.48
See accompanying Notes, which are an integral part of the Financial Statements.
55

 

Small-Cap Growth Index Fund
Statement of Operations
  Six Months Ended
June 30, 2022
  ($000)
Investment Income  
Income  
Dividends 73,578
Interest1 137
Securities Lending—Net 9,202
Total Income 82,917
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 735
Management and Administrative—Investor Shares 94
Management and Administrative—ETF Shares 3,798
Management and Administrative—Admiral Shares 3,882
Management and Administrative—Institutional Shares 749
Marketing and Distribution—Investor Shares 5
Marketing and Distribution—ETF Shares 251
Marketing and Distribution—Admiral Shares 293
Marketing and Distribution—Institutional Shares 58
Custodian Fees 186
Shareholders’ Reports—Investor Shares
Shareholders’ Reports—ETF Shares 245
Shareholders’ Reports—Admiral Shares 85
Shareholders’ Reports—Institutional Shares 40
Trustees’ Fees and Expenses 8
Other Expenses 8
Total Expenses 10,437
Expenses Paid Indirectly (8)
Net Expenses 10,429
Net Investment Income 72,488
Realized Net Gain (Loss)  
Investment Securities Sold1,2 (675,390)
Futures Contracts (2,305)
Swap Contracts (24,026)
Realized Net Gain (Loss) (701,721)
56

 

Small-Cap Growth Index Fund
Statement of Operations (continued)
  Six Months Ended
June 30, 2022
  ($000)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities1 (10,331,964)
Futures Contracts (2,390)
Swap Contracts 2,044
Change in Unrealized Appreciation (Depreciation) (10,332,310)
Net Increase (Decrease) in Net Assets Resulting from Operations (10,961,543)
1 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $137,000, ($86,000), and ($34,000), respectively. Purchases and sales are for temporary cash investment purposes.
2 Includes $904,304,000 of net gain (loss) resulting from in-kind redemptions.
See accompanying Notes, which are an integral part of the Financial Statements.
57

 

Small-Cap Growth Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2022
  Year Ended
December 31,
2021
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 72,488   167,870
Realized Net Gain (Loss) (701,721)   4,271,918
Change in Unrealized Appreciation (Depreciation) (10,332,310)   (2,566,787)
Net Increase (Decrease) in Net Assets Resulting from Operations (10,961,543)   1,873,001
Distributions      
Investor Shares (82)   (401)
ETF Shares (14,225)   (57,438)
Admiral Shares (13,711)   (61,028)
Institutional Shares (3,511)   (14,238)
Total Distributions (31,529)   (133,105)
Capital Share Transactions      
Investor Shares (24,501)   (71,356)
ETF Shares 218,116   1,267,326
Admiral Shares (342,517)   (412,500)
Institutional Shares 97,366   (65,864)
Net Increase (Decrease) from Capital Share Transactions (51,536)   717,606
Total Increase (Decrease) (11,044,608)   2,457,502
Net Assets      
Beginning of Period 36,928,013   34,470,511
End of Period 25,883,405   36,928,013
See accompanying Notes, which are an integral part of the Financial Statements.
58

 

Small-Cap Growth Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $79.21 $75.20 $55.89 $42.36 $45.24 $37.43
Investment Operations            
Net Investment Income1 .117 .257 .241 .178 .274 .315
Net Realized and Unrealized Gain (Loss) on Investments (23.874) 3.938 19.331 13.617 (2.879) 7.814
Total from Investment Operations (23.757) 4.195 19.572 13.795 (2.605) 8.129
Distributions            
Dividends from Net Investment Income (.053) (.185) (.262) (.265) (.275) (.319)
Distributions from Realized Capital Gains
Total Distributions (.053) (.185) (.262) (.265) (.275) (.319)
Net Asset Value, End of Period $55.40 $79.21 $75.20 $55.89 $42.36 $45.24
Total Return2 -29.99% 5.58% 35.12% 32.60% -5.80% 21.78%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $84 $149 $209 $171 $1,461 $1,816
Ratio of Total Expenses to Average Net Assets 0.19%3 0.19% 0.19% 0.19% 0.19% 0.19%
Ratio of Net Investment Income to Average Net Assets 0.43% 0.32% 0.42% 0.35% 0.58% 0.78%
Portfolio Turnover Rate4 12% 29% 24% 18% 22% 19%
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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.19%.
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.
59

 

Small-Cap Growth Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $281.61 $267.36 $198.68 $150.57 $160.81 $133.07
Investment Operations            
Net Investment Income1 .556 1.291 1.129 1.175 1.214 1.320
Net Realized and Unrealized Gain (Loss) on Investments (84.876) 13.975 68.729 48.077 (10.263) 27.731
Total from Investment Operations (84.320) 15.266 69.858 49.252 (9.049) 29.051
Distributions            
Dividends from Net Investment Income (.240) (1.016) (1.178) (1.142) (1.191) (1.311)
Distributions from Realized Capital Gains
Total Distributions (.240) (1.016) (1.178) (1.142) (1.191) (1.311)
Net Asset Value, End of Period $197.05 $281.61 $267.36 $198.68 $150.57 $160.81
Total Return -29.94% 5.71% 35.29% 32.75% -5.68% 21.90%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $11,709 $16,379 $14,436 $9,833 $7,286 $6,981
Ratio of Total Expenses to Average Net Assets 0.07%2 0.07% 0.07% 0.07% 0.07% 0.07%
Ratio of Net Investment Income to Average Net Assets 0.55% 0.45% 0.55% 0.64% 0.70% 0.90%
Portfolio Turnover Rate3 12% 29% 24% 18% 22% 19%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.07%.
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.
60

 

Small-Cap Growth Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $99.01 $94.02 $69.87 $52.95 $56.55 $46.79
Investment Operations            
Net Investment Income1 .195 .448 .392 .419 .423 .465
Net Realized and Unrealized Gain (Loss) on Investments (29.841) 4.899 24.172 16.902 (3.605) 9.755
Total from Investment Operations (29.646) 5.347 24.564 17.321 (3.182) 10.220
Distributions            
Dividends from Net Investment Income (.084) (.357) (.414) (.401) (.418) (.460)
Distributions from Realized Capital Gains
Total Distributions (.084) (.357) (.414) (.401) (.418) (.460)
Net Asset Value, End of Period $69.28 $99.01 $94.02 $69.87 $52.95 $56.55
Total Return2 -29.94% 5.69% 35.30% 32.76% -5.68% 21.92%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $11,337 $16,594 $16,149 $12,717 $8,560 $8,729
Ratio of Total Expenses to Average Net Assets 0.07%3 0.07% 0.07% 0.07% 0.07% 0.07%
Ratio of Net Investment Income to Average Net Assets 0.55% 0.45% 0.54% 0.65% 0.70% 0.90%
Portfolio Turnover Rate4 12% 29% 24% 18% 22% 19%
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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.07%.
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.
61

 

Small-Cap Growth Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $79.29 $75.29 $55.95 $42.40 $45.29 $37.47
Investment Operations            
Net Investment Income1 .160 .367 .319 .327 .335 .375
Net Realized and Unrealized Gain (Loss) on Investments (23.899) 3.927 19.358 13.550 (2.886) 7.818
Total from Investment Operations (23.739) 4.294 19.677 13.877 (2.551) 8.193
Distributions            
Dividends from Net Investment Income (.071) (.294) (.337) (.327) (.339) (.373)
Distributions from Realized Capital Gains
Total Distributions (.071) (.294) (.337) (.327) (.339) (.373)
Net Asset Value, End of Period $55.48 $79.29 $75.29 $55.95 $42.40 $45.29
Total Return -29.94% 5.70% 35.31% 32.77% -5.69% 21.94%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $2,752 $3,805 $3,676 $3,218 $2,858 $3,690
Ratio of Total Expenses to Average Net Assets 0.06%2 0.06% 0.06% 0.06% 0.06% 0.06%
Ratio of Net Investment Income to Average Net Assets 0.56% 0.46% 0.55% 0.64% 0.71% 0.91%
Portfolio Turnover Rate3 12% 29% 24% 18% 22% 19%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.06%.
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.
62

 

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.
Significant market disruptions, such as those caused by pandemics (e.g., COVID-19 pandemic), natural or environmental disasters, war (e.g., Russia's invasion of Ukraine), acts of terrorism, or other events, can adversely affect local and global markets and normal market operations. Any such disruptions could have an adverse impact on the value of the fund's investments and 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.
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 securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. 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.
63

 

Small-Cap Growth Index Fund
During the six months ended June 30, 2022, 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.
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.
The notional amounts of swap contracts are not recorded in the Statement of Assets and Liabilities. 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.
During the six months ended June 30, 2022, 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. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is
64

 

Small-Cap Growth Index Fund
generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for 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 $4.4 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 and are 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, which 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 an agreed-upon spread plus the higher of the federal funds effective rate, the overnight bank funding rate, or the Daily Simple Secured Overnight Financing Rate inclusive of an additional agreed-upon spread. However, borrowings under the uncommitted credit facility may bear interest based upon an alternate 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
65

 

Small-Cap Growth Index Fund
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, 2022, the fund did not utilize the credit facilities or the Interfund Lending Program.
8. Other: Dividend income is recorded on the ex-dividend date. Non-cash dividends included in income, if any, are recorded at the fair value of the securities received. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. 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, 2022, the fund had contributed to Vanguard capital in the amount of $1,007,000, representing less than 0.01% of the fund’s net assets and 0.40% 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, 2022, custodian fee offset arrangements reduced the fund’s expenses by $8,000 (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 and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
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Small-Cap Growth Index Fund
The following table summarizes the market value of the fund's investments and derivatives as of June 30, 2022, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 25,890,268 25,890,268
Temporary Cash Investments 675,562 675,562
Total 26,565,830 26,565,830
Derivative Financial Instruments        
Assets        
Swap Contracts 239 239
Liabilities        
Futures Contracts1 128 128
Swap Contracts 4,059 4,059
Total 128 4,059 4,187
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
E. As of June 30, 2022, 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 27,104,854
Gross Unrealized Appreciation 5,718,796
Gross Unrealized Depreciation (6,261,768)
Net Unrealized Appreciation (Depreciation) (542,972)
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, 2021, the fund had available capital losses totaling $2,052,247,000 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, 2022; 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, 2022, the fund purchased $5,942,575,000 of investment securities and sold $5,825,254,000 of investment securities, other than temporary cash investments. Purchases and sales include $2,144,044,000 and $2,100,988,000, 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, 2022, such purchases were $1,083,264,000 and sales were $607,571,000,
67

 

Small-Cap Growth Index Fund
resulting in net realized loss of $320,798,000; 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, 2022
  Year Ended
December 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 7,028 106   27,595 344
Issued in Lieu of Cash Distributions 82 1   401 5
Redeemed (31,611) (466)   (99,352) (1,245)
Net Increase (Decrease)—Investor Shares (24,501) (359)   (71,356) (896)
ETF Shares          
Issued 2,394,095 10,908   8,232,657 28,868
Issued in Lieu of Cash Distributions  
Redeemed (2,175,979) (9,650)   (6,965,331) (24,700)
Net Increase (Decrease)—ETF Shares 218,116 1,258   1,267,326 4,168
Admiral Shares          
Issued 964,388 11,872   2,933,136 29,431
Issued in Lieu of Cash Distributions 12,277 180   54,667 553
Redeemed (1,319,182) (16,011)   (3,400,303) (34,161)
Net Increase (Decrease)—Admiral Shares (342,517) (3,959)   (412,500) (4,177)
Institutional Shares          
Issued 349,988 5,441   721,080 9,029
Issued in Lieu of Cash Distributions 3,281 60   13,272 168
Redeemed (255,903) (3,883)   (800,216) (10,031)
Net Increase (Decrease)—Institutional Shares 97,366 1,618   (65,864) (834)
H. Management has determined that no events or transactions occurred subsequent to June 30, 2022, that would require recognition or disclosure in these financial statements.
68

 

Small-Cap Value Index Fund
Fund Allocation
As of June 30, 2022
Basic Materials 5.4%
Consumer Discretionary 13.8
Consumer Staples 3.9
Energy 6.1
Financials 22.3
Health Care 5.3
Industrials 20.5
Real Estate 9.6
Technology 6.2
Telecommunications 1.3
Utilities 5.6
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.
69

 

Small-Cap Value Index Fund
Financial Statements (unaudited)
Schedule of Investments
As of June 30, 2022
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 (99.8%)
Basic Materials (5.4%)
Steel Dynamics Inc.  2,991,661    197,898
Reliance Steel & Aluminum Co.  1,033,656    175,577
Alcoa Corp.  3,078,857    140,334
* Cleveland-Cliffs Inc.  7,884,329    121,182
Olin Corp.  2,407,298    111,410
Valvoline Inc.  2,975,256     85,777
Ashland Global Holdings Inc.    819,487     84,448
Huntsman Corp.  2,977,932     84,424
Chemours Co.  2,591,137     82,968
* Univar Solutions Inc.  2,820,955     70,157
United States Steel Corp.  3,910,182     70,031
Element Solutions Inc.  3,921,389     69,801
UFP Industries Inc.    993,242     67,680
Commercial Metals Co.  2,025,399     67,041
Avient Corp.  1,526,846     61,196
Cabot Corp.    942,460     60,120
Timken Co.  1,112,973     59,043
Sensient Technologies Corp.    700,651     56,444
Scotts Miracle-Gro Co.    646,120     51,037
* Arconic Corp.  1,763,107     49,455
Mueller Industries Inc.    901,249     48,028
Innospec Inc.    413,694     39,628
Boise Cascade Co.    657,530     39,116
Stepan Co.    354,143     35,892
Hecla Mining Co.  8,984,679     35,220
Minerals Technologies Inc.    549,408     33,701
Tronox Holdings plc Class A  1,947,257     32,714
* GCP Applied Technologies Inc.    929,434     29,073
Westlake Corp.    267,099     26,181
Materion Corp.    340,361     25,095
GrafTech International Ltd.  3,248,051     22,964
          Shares Market
Value

($000)
Carpenter Technology Corp.    803,478     22,425
Worthington Industries Inc.    499,949     22,048
Kaiser Aluminum Corp.    264,359     20,908
Compass Minerals International Inc.    567,706     20,091
Schnitzer Steel Industries Inc. Class A    413,392     13,576
Schweitzer-Mauduit International Inc.    523,360     13,147
* Coeur Mining Inc.  4,232,416     12,867
Ecovyst Inc.  1,045,005     10,293
Koppers Holdings Inc.    337,112      7,632
Glatfelter Corp.    374,197      2,574
                    2,279,196
Consumer Discretionary (13.8%)
Service Corp. International  2,515,809    173,893
* BJ's Wholesale Club Holdings Inc.  2,251,363    140,305
Lithia Motors Inc. Class A    482,828    132,686
Aramark  4,293,450    131,508
* Mattel Inc.  5,881,859    131,342
Williams-Sonoma Inc.  1,169,064    129,708
Tapestry Inc.  4,202,759    128,268
Newell Brands Inc.  6,210,537    118,249
* Capri Holdings Ltd.  2,463,884    101,044
Nielsen Holdings plc  4,202,974     97,593
H&R Block Inc.  2,660,298     93,962
Polaris Inc.    942,021     93,524
Interpublic Group of Cos. Inc.  3,287,545     90,506
Macy's Inc.  4,756,109     87,132
* AutoNation Inc.    777,798     86,927
Murphy USA Inc.    363,151     84,567
* Alaska Air Group Inc.  2,105,301     84,317
Toll Brothers Inc.  1,861,868     83,039
* Terminix Global Holdings Inc.  2,025,225     82,325
TEGNA Inc.  3,721,031     78,030
70

 

Small-Cap Value Index Fund
          Shares Market
Value

($000)
*,1 Norwegian Cruise Line Holdings Ltd.  7,004,031     77,885
Leggett & Platt Inc.  2,226,429     76,990
Kohl's Corp.  2,143,484     76,501
New York Times Co. Class A  2,638,500     73,614
Marriott Vacations Worldwide Corp.    621,402     72,207
* Avis Budget Group Inc.    482,877     71,022
AMERCO    147,065     70,331
Harley-Davidson Inc.  2,210,719     69,991
* American Airlines Group Inc.  5,413,736     68,646
1 Dick's Sporting Goods Inc.    901,096     67,916
*,1 GameStop Corp. Class A    540,733     66,132
Thor Industries Inc.    871,383     65,118
* Helen of Troy Ltd.    397,402     64,542
PVH Corp.  1,125,429     64,037
Lear Corp.    498,737     62,786
* Asbury Automotive Group Inc.    368,903     62,470
*,1 Hertz Global Holdings Inc.  3,777,564     59,837
Hanesbrands Inc.  5,814,178     59,828
*,1 AMC Entertainment Holdings Inc. Class A  4,305,076     58,334
Wendy's Co.  2,856,912     53,938
Travel + Leisure Co.  1,352,425     52,501
Academy Sports & Outdoors Inc.  1,437,768     51,098
Bath & Body Works Inc.  1,888,072     50,827
* Goodyear Tire & Rubber Co.  4,706,582     50,407
* Coty Inc. Class A  6,291,837     50,398
* Wynn Resorts Ltd.    869,556     49,547
Penske Automotive Group Inc.    442,879     46,365
Carter's Inc.    638,163     44,978
* JetBlue Airways Corp.  5,349,953     44,779
Group 1 Automotive Inc.    262,858     44,633
* Meritage Homes Corp.    611,687     44,347
* Taylor Morrison Home Corp. Class A  1,894,336     44,252
*,1 Spirit Airlines Inc.  1,810,554     43,164
Foot Locker Inc.  1,601,922     40,449
Signet Jewelers Ltd.    750,324     40,112
KB Home  1,403,179     39,934
Nordstrom Inc.  1,854,187     39,179
* Victoria's Secret & Co.  1,380,486     38,612
Gap Inc.  4,313,876     35,546
Graham Holdings Co. Class B     62,032     35,162
Rush Enterprises Inc. Class A    716,906     34,555
          Shares Market
Value

($000)
John Wiley & Sons Inc. Class A    700,177     33,440
MillerKnoll Inc.  1,262,718     33,172
Cracker Barrel Old Country Store Inc.    387,072     32,317
Kontoor Brands Inc.    933,562     31,153
MDC Holdings Inc.    947,875     30,626
Ralph Lauren Corp.    338,910     30,383
Dana Inc.  2,148,727     30,233
* KAR Auction Services Inc.  2,024,853     29,907
PriceSmart Inc.    411,579     29,481
* Tri Pointe Homes Inc.  1,722,253     29,054
1 American Eagle Outfitters Inc.  2,538,229     28,377
* Central Garden & Pet Co. Class A    682,090     27,290
* Cinemark Holdings Inc.  1,804,864     27,109
* Under Armour Inc. Class C  3,576,352     27,109
Wolverine World Wide Inc.  1,344,512     27,105
* Knowles Corp.  1,527,858     26,478
Strategic Education Inc.    373,594     26,368
* Under Armour Inc. Class A  3,153,950     26,272
* Adtalem Global Education Inc.    713,399     25,661
Laureate Education Inc. Class A  2,153,465     24,916
Bloomin' Brands Inc.  1,476,235     24,535
* Tenneco Inc. Class A  1,386,977     23,800
HNI Corp.    670,140     23,247
Oxford Industries Inc.    258,370     22,928
Acushnet Holdings Corp.    540,452     22,526
Cheesecake Factory Inc.    834,213     22,040
* Sally Beauty Holdings Inc.  1,779,267     21,209
* ODP Corp.    695,223     21,024
Steven Madden Ltd.    603,806     19,449
Sturm Ruger & Co. Inc.    295,216     18,790
* National Vision Holdings Inc.    681,575     18,743
* SkyWest Inc.    846,390     17,986
* Urban Outfitters Inc.    941,093     17,561
La-Z-Boy Inc.    723,716     17,159
* Lions Gate Entertainment Corp. Class B  1,901,959     16,794
Rent-A-Center Inc.    843,297     16,402
* PowerSchool Holdings Inc. Class A  1,331,015     16,039
Qurate Retail Inc. Class A  5,585,923     16,032
* Brinker International Inc.    727,682     16,031
 
71

 

Small-Cap Value Index Fund
          Shares Market
Value

($000)
* Sabre Corp.  2,736,037     15,951
Dillard's Inc. Class A     71,562     15,784
1 Krispy Kreme Inc.  1,120,588     15,240
*,1 Duolingo Inc. Class A    171,592     15,023
* PROG Holdings Inc.    904,902     14,931
Sinclair Broadcast Group Inc. Class A    707,329     14,429
* iHeartMedia Inc. Class A  1,819,606     14,357
* Abercrombie & Fitch Co. Class A    844,072     14,282
Matthews International Corp. Class A    497,966     14,277
Buckle Inc.    504,923     13,981
* G-III Apparel Group Ltd.    685,775     13,873
* Stride Inc.    340,021     13,869
* American Axle & Manufacturing Holdings Inc.  1,820,169     13,706
Steelcase Inc. Class A  1,238,552     13,290
* AMC Networks Inc. Class A    447,518     13,032
* elf Beauty Inc.    414,690     12,723
Designer Brands Inc. Class A    972,691     12,703
* Vista Outdoor Inc.    449,467     12,540
Interface Inc. Class A    995,719     12,486
Sonic Automotive Inc. Class A    322,629     11,818
* Hawaiian Holdings Inc.    817,625     11,700
* GoPro Inc. Class A  2,090,261     11,559
Monro Inc.    266,969     11,448
Inter Parfums Inc.    146,788     10,724
* Life Time Group Holdings Inc.    811,426     10,451
* Cars.com Inc.  1,103,812     10,409
Scholastic Corp.    274,557      9,876
* Udemy Inc.    935,669      9,553
Big Lots Inc.    454,211      9,525
1 Guess? Inc.    550,281      9,382
* Lions Gate Entertainment Corp. Class A    959,662      8,934
Dine Brands Global Inc.    133,253      8,672
* BJ's Restaurants Inc.    371,936      8,064
Caleres Inc.    303,935      7,975
Aaron's Co. Inc.    488,316      7,105
* Zumiez Inc.    260,213      6,766
* Clear Channel Outdoor Holdings Inc.  5,937,877      6,354
* Central Garden & Pet Co.    146,506      6,215
Rush Enterprises Inc. Class B    122,239      6,064
* Cardlytics Inc.    257,149      5,737
* WW International Inc.    887,376      5,670
* Genesco Inc.    109,156      5,448
          Shares Market
Value

($000)
Smith & Wesson Brands Inc.    381,000      5,003
Global Industrial Co.    142,813      4,823
* Children's Place Inc.    107,468      4,183
*,1 Bed Bath & Beyond Inc.    534,400      2,656
* Vizio Holding Corp. Class A    387,789      2,645
1 Weber Inc. Class A    354,026      2,553
*,1 Cricut Inc. Class A    400,553      2,459
* Traeger Inc.    247,470      1,052
*,1 Bowlero Corp.     89,705        950
                    5,852,891
Consumer Staples (3.9%)
Bunge Ltd.  2,531,182    229,553
* Performance Food Group Co.  2,587,316    118,965
* US Foods Holding Corp.  3,736,794    114,645
Ingredion Inc.  1,050,435     92,606
Lamb Weston Holdings Inc.  1,203,785     86,022
Molson Coors Beverage Co. Class B  1,504,477     82,009
Flowers Foods Inc.  3,005,346     79,101
Sanderson Farms Inc.    354,338     76,370
* Grocery Outlet Holding Corp.  1,445,731     61,632
Spectrum Brands Holdings Inc.    680,802     55,839
* Hostess Brands Inc. Class A  2,305,685     48,904
* Sprouts Farmers Market Inc.  1,827,696     46,277
* TreeHouse Foods Inc.    933,700     39,047
* United Natural Foods Inc.    971,245     38,267
* Post Holdings Inc.    455,917     37,545
Nu Skin Enterprises Inc. Class A    794,827     34,416
Energizer Holdings Inc.  1,192,216     33,799
* Hain Celestial Group Inc.  1,421,810     33,754
* Herbalife Nutrition Ltd.  1,625,177     33,235
Edgewell Personal Care Co.    879,767     30,370
1 B&G Foods Inc.  1,147,400     27,285
* Pilgrim's Pride Corp.    799,939     24,982
Reynolds Consumer Products Inc.    872,635     23,797
Universal Corp.    389,002     23,535
Vector Group Ltd.  2,201,024     23,111
Lancaster Colony Corp.    161,429     20,789
Weis Markets Inc.    270,277     20,146
Fresh Del Monte Produce Inc.    640,615     18,917
Andersons Inc.    505,474     16,676
Utz Brands Inc.  1,138,329     15,732
 
72

 

Small-Cap Value Index Fund
          Shares Market
Value

($000)
Seaboard Corp.      3,856     14,971
* Duckhorn Portfolio Inc.    578,033     12,173
* Beauty Health Co.    816,381     10,499
ACCO Brands Corp.  1,543,365     10,078
Tootsie Roll Industries Inc.    118,596      4,192
*,1 Rite Aid Corp.    442,591      2,983
*,1 BRC Inc. Class A     55,354        452
                    1,642,674
Energy (6.1%)
APA Corp.  5,641,158    196,876
Ovintiv Inc.  4,306,716    190,314
Chesapeake Energy Corp.  2,123,031    172,178
* Antero Resources Corp.  4,670,946    143,165
Marathon Oil Corp.  5,903,531    132,711
* Southwestern Energy Co. 18,625,145    116,407
Targa Resources Corp.  1,901,987    113,492
NOV Inc.  6,556,649    110,873
HF Sinclair Corp.  2,421,532    109,356
* First Solar Inc.  1,601,412    109,104
* Range Resources Corp.  4,277,083    105,858
EQT Corp.  2,775,159     95,466
DT Midstream Inc.  1,612,207     79,030
Murphy Oil Corp.  2,464,270     74,396
Helmerich & Payne Inc.  1,582,071     68,124
Patterson-UTI Energy Inc.  3,608,901     56,876
California Resources Corp.  1,293,772     49,810
* PBF Energy Inc. Class A  1,708,783     49,589
Antero Midstream Corp.  5,181,714     46,895
Whiting Petroleum Corp.    653,951     44,488
Equitrans Midstream Corp.  6,850,168     43,567
* CNX Resources Corp.  2,604,228     42,866
* Peabody Energy Corp.  1,920,595     40,966
Arcosa Inc.    806,211     37,432
Arch Resources Inc.    258,397     36,974
Chord Energy Corp.    292,547     35,588
SM Energy Co.  1,015,320     34,714
* Transocean Ltd.  9,642,735     32,110
* Delek US Holdings Inc.  1,178,887     30,463
Warrior Met Coal Inc.    860,684     26,346
World Fuel Services Corp.    995,541     20,369
Archrock Inc.  2,450,549     20,266
* NOW Inc.  1,838,503     17,981
CVR Energy Inc.    504,972     16,917
* SunPower Corp.  1,053,119     16,650
* NexTier Oilfield Solutions Inc.  1,734,806     16,498
Core Laboratories NV    775,326     15,359
* ProPetro Holding Corp.  1,473,275     14,733
          Shares Market
Value

($000)
* MRC Global Inc.  1,314,249     13,090
* Stem Inc.  1,222,244      8,751
*,1 Fluence Energy Inc. Class A    600,668      5,694
*,1 EVgo Inc.    579,877      3,485
1 Crescent Energy Co. Class A    263,480      3,288
*,1 ProFrac Holding Corp. Class A    132,395      2,424
                    2,601,539
Financials (22.3%)
Brown & Brown Inc.  3,766,495    219,737
First Horizon Corp.  8,915,959    194,903
Signature Bank  1,052,662    188,648
American Financial Group Inc.  1,206,979    167,541
Comerica Inc.  2,181,480    160,077
Assurant Inc.    902,521    156,001
East West Bancorp Inc.  2,367,309    153,402
Carlyle Group Inc.  4,227,073    133,829
Reinsurance Group of America Inc.  1,117,948    131,124
First Citizens BancShares Inc. Class A    200,184    130,876
Zions Bancorp NA  2,525,580    128,552
Webster Financial Corp.  2,971,598    125,253
Invesco Ltd.  7,597,147    122,542
Commerce Bancshares Inc.  1,813,641    119,066
LPL Financial Holdings Inc.    633,801    116,924
RenaissanceRe Holdings Ltd.    737,511    115,325
Cullen/Frost Bankers Inc.    962,771    112,115
SEI Investments Co.  2,062,150    111,397
Old Republic International Corp.  4,633,039    103,595
Starwood Property Trust Inc.  4,867,310    101,678
Voya Financial Inc.  1,705,941    101,555
Prosperity Bancshares Inc.  1,462,305     99,832
SouthState Corp.  1,259,840     97,197
Unum Group  2,853,818     97,087
AGNC Investment Corp.  8,737,847     96,728
Stifel Financial Corp.  1,690,403     94,696
First American Financial Corp.  1,703,771     90,164
Popular Inc.  1,158,276     89,106
First Financial Bankshares Inc.  2,263,340     88,881
Glacier Bancorp Inc.  1,849,023     87,681
Selective Insurance Group Inc.  1,006,025     87,464
RLI Corp.    717,615     83,667
 
73

 

Small-Cap Value Index Fund
          Shares Market
Value

($000)
Synovus Financial Corp.  2,304,944     83,093
Wintrust Financial Corp.  1,006,335     80,658
United Bankshares Inc.  2,259,669     79,247
Hanover Insurance Group Inc.    534,085     78,110
Primerica Inc.    648,839     77,660
Jefferies Financial Group Inc.  2,794,278     77,178
Cadence Bank  3,208,952     75,346
Affiliated Managers Group Inc.    645,868     75,308
Valley National Bancorp  7,187,425     74,821
Blackstone Mortgage Trust Inc. Class A  2,697,203     74,632
Axis Capital Holdings Ltd.  1,279,539     73,049
New Residential Investment Corp.  7,781,572     72,524
Old National Bancorp  4,893,532     72,375
Globe Life Inc.    739,844     72,113
Bank OZK  1,906,220     71,540
SLM Corp.  4,486,702     71,518
OneMain Holdings Inc.  1,878,388     70,214
Home BancShares Inc.  3,256,221     67,632
New York Community Bancorp Inc.  7,395,181     67,518
Essent Group Ltd.  1,703,366     66,261
MGIC Investment Corp.  5,159,562     65,010
FNB Corp.  5,871,646     63,766
Umpqua Holdings Corp.  3,622,139     60,743
Hancock Whitney Corp.  1,367,905     60,639
Western Alliance Bancorp    856,988     60,503
Lincoln National Corp.  1,289,564     60,313
First Interstate BancSystem Inc. Class A  1,550,280     59,081
Independent Bank Corp. (Massachusetts)    742,277     58,959
White Mountains Insurance Group Ltd.     47,303     58,946
1 Lazard Ltd. Class A  1,787,168     57,922
Community Bank System Inc.    900,602     56,990
Assured Guaranty Ltd.  1,017,152     56,747
Radian Group Inc.  2,883,504     56,661
UMB Financial Corp.    645,421     55,571
CVB Financial Corp.  2,237,827     55,520
* Ryan Specialty Holdings Inc. Class A  1,378,993     54,043
Evercore Inc. Class A    575,070     53,832
United Community Banks Inc.  1,767,206     53,352
Janus Henderson Group plc  2,236,893     52,589
FirstCash Holdings Inc.    751,524     52,238
PacWest Bancorp  1,957,123     52,177
          Shares Market
Value

($000)
* Brighthouse Financial Inc.  1,248,305     51,205
Kemper Corp.  1,063,298     50,932
Walker & Dunlop Inc.    525,791     50,655
Eastern Bankshares Inc.  2,740,798     50,595
Bank of Hawaii Corp.    672,532     50,036
BankUnited Inc.  1,363,523     48,501
First Hawaiian Inc.  2,134,908     48,484
Cathay General Bancorp  1,191,819     46,660
Pacific Premier Bancorp Inc.  1,581,976     46,257
Federated Hermes Inc. Class B  1,451,387     46,140
American Equity Investment Life Holding Co.  1,241,133     45,388
* Texas Capital Bancshares Inc.    845,450     44,504
Simmons First National Corp. Class A  2,069,338     43,994
Associated Banc-Corp  2,377,089     43,406
WSFS Financial Corp.  1,077,457     43,195
Moelis & Co. Class A  1,080,425     42,515
First Bancorp  3,291,729     42,496
* Mr Cooper Group Inc.  1,108,738     40,735
Independent Bank Group Inc.    599,140     40,688
Atlantic Union Bankshares Corp.  1,187,984     40,296
Fulton Financial Corp.  2,645,892     38,233
* Enstar Group Ltd.    178,266     38,145
Artisan Partners Asset Management Inc. Class A  1,067,096     37,957
Columbia Banking System Inc.  1,310,543     37,547
International Bancshares Corp.    895,074     35,875
First Merchants Corp.    991,340     35,312
CNO Financial Group Inc.  1,931,918     34,948
Chimera Investment Corp.  3,951,132     34,849
Jackson Financial Inc. Class A  1,294,635     34,631
BOK Financial Corp.    453,991     34,313
Houlihan Lokey Inc. Class A    421,987     33,307
Arbor Realty Trust Inc.  2,537,645     33,269
Navient Corp.  2,341,244     32,754
Washington Federal Inc.  1,088,701     32,683
Banner Corp.    572,992     32,208
* Axos Financial Inc.    894,253     32,059
Piper Sandler Cos.    281,924     31,959
Towne Bank  1,150,451     31,235
WesBanco Inc.    954,171     30,257
 
74

 

Small-Cap Value Index Fund
          Shares Market
Value

($000)
* Genworth Financial Inc. Class A  8,514,921     30,058
Flagstar Bancorp Inc.    842,575     29,869
Park National Corp.    243,475     29,521
First Financial Bancorp  1,494,750     28,998
BancFirst Corp.    299,957     28,709
Two Harbors Investment Corp.  5,730,377     28,537
Trustmark Corp.    921,172     26,889
Horace Mann Educators Corp.    689,508     26,463
Hope Bancorp Inc.  1,904,585     26,359
Northwest Bancshares Inc.  2,015,589     25,800
Renasant Corp.    884,070     25,470
NBT Bancorp Inc.    677,254     25,458
Eagle Bancorp Inc.    534,018     25,318
Provident Financial Services Inc.  1,130,349     25,162
* Cannae Holdings Inc.  1,271,908     24,599
Apollo Commercial Real Estate Finance Inc.  2,339,314     24,422
Westamerica Bancorp    425,139     23,663
* PRA Group Inc.    632,839     23,010
Safety Insurance Group Inc.    234,400     22,760
* Encore Capital Group Inc.    383,651     22,164
Ameris Bancorp    548,947     22,057
1 Hilltop Holdings Inc.    810,161     21,599
Argo Group International Holdings Ltd.    581,457     21,432
ProAssurance Corp.    904,631     21,376
1 Compass Diversified Holdings    992,311     21,255
PennyMac Mortgage Investment Trust  1,528,562     21,140
Mercury General Corp.    463,504     20,533
OFG Bancorp    808,269     20,530
Capitol Federal Financial Inc.  2,204,416     20,237
Virtus Investment Partners Inc.    118,025     20,185
Ladder Capital Corp.  1,902,842     20,056
First Commonwealth Financial Corp.  1,489,283     19,986
PennyMac Financial Services Inc.    455,831     19,924
* LendingClub Corp.  1,699,184     19,863
City Holding Co.    238,090     19,019
1 Franklin BSP Realty Trust Inc.  1,391,592     18,759
MFA Financial Inc.  1,720,007     18,490
BGC Partners Inc. Class A  5,463,552     18,412
Employers Holdings Inc.    438,626     18,374
          Shares Market
Value

($000)
National Bank Holdings Corp. Class A    474,050     18,142
iStar Inc.  1,307,085     17,920
Berkshire Hills Bancorp Inc.    713,105     17,664
S&T Bancorp Inc.    624,322     17,125
Brookline Bancorp Inc.  1,230,767     16,381
Redwood Trust Inc.  2,012,396     15,516
KKR Real Estate Finance Trust Inc.    827,876     14,446
* Columbia Financial Inc.    657,458     14,339
Broadmark Realty Capital Inc.  2,093,238     14,046
Tompkins Financial Corp.    194,556     14,027
* Blucora Inc.    751,715     13,877
1 Claros Mortgage Trust Inc.    819,077     13,720
United Fire Group Inc.    400,038     13,693
Nelnet Inc. Class A    158,160     13,483
Heartland Financial USA Inc.    301,537     12,526
1 ARMOUR Residential REIT Inc.  1,728,267     12,167
Kearny Financial Corp.  1,061,556     11,794
Enact Holdings Inc.    545,597     11,719
WisdomTree Investments Inc.  2,088,856     10,590
Northfield Bancorp Inc.    736,914      9,602
Central Pacific Financial Corp.    437,127      9,376
TPG RE Finance Trust Inc.  1,030,426      9,284
* Ambac Financial Group Inc.    754,222      8,560
1 Invesco Mortgage Capital Inc.    554,025      8,133
* SiriusPoint Ltd.  1,493,846      8,097
* World Acceptance Corp.     71,428      8,017
TPG Inc. Class A    326,259      7,801
BrightSpire Capital Inc. Class A    987,561      7,456
National Western Life Group Inc. Class A     31,743      6,434
Victory Capital Holdings Inc. Class A    229,749      5,537
1 UWM Holdings Corp. Class A  1,394,854      4,938
Granite Point Mortgage Trust Inc.    451,737      4,323
GCM Grosvenor Inc. Class A    614,976      4,213
* AssetMark Financial Holdings Inc.    184,884      3,470
*,1 Bakkt Holdings Inc.    945,682      1,986
*,1 Hagerty Inc. Class A    106,561      1,224
 
75

 

Small-Cap Value Index Fund
          Shares Market
Value

($000)
Associated Capital Group Inc. Class A     28,075      1,006
loanDepot Inc. Class A    629,291        906
                    9,451,259
Health Care (5.3%)
* Molina Healthcare Inc.    979,347    273,835
* United Therapeutics Corp.    755,629    178,056
* Jazz Pharmaceuticals plc    987,618    154,078
Organon & Co.  4,231,284    142,806
* Envista Holdings Corp.  2,714,244    104,607
* Acadia Healthcare Co. Inc.  1,510,938    102,185
* Tenet Healthcare Corp.  1,798,447     94,526
Encompass Health Corp.  1,665,974     93,378
Perrigo Co. plc  2,242,008     90,958
Premier Inc. Class A  1,867,917     66,647
* Mirati Therapeutics Inc.    832,391     55,878
* Turning Point Therapeutics Inc.    703,427     52,933
* Prestige Consumer Healthcare Inc.    837,504     49,245
* Karuna Therapeutics Inc.    373,116     47,203
Patterson Cos. Inc.  1,463,969     44,358
* Enovis Corp.    765,322     42,093
Select Medical Holdings Corp.  1,740,983     41,122
* Integer Holdings Corp.    551,621     38,978
Owens & Minor Inc.  1,204,747     37,889
* agilon health Inc.  1,693,877     36,977
* Multiplan Corp.  5,856,340     32,151
* Pediatrix Medical Group Inc.  1,453,357     30,535
* Iovance Biotherapeutics Inc.  2,352,364     25,970
*,1 Novavax Inc.    500,304     25,731
* Myriad Genetics Inc.  1,275,271     23,172
* Meridian Bioscience Inc.    724,497     22,039
* Avanos Medical Inc.    786,464     21,502
Healthcare Services Group Inc.  1,230,524     21,423
* Axsome Therapeutics Inc.    488,718     18,718
* Pacific Biosciences of California Inc.  3,725,138     16,465
National HealthCare Corp.    233,201     16,301
* NextGen Healthcare Inc.    899,263     15,683
* Madrigal Pharmaceuticals Inc.    215,462     15,423
* Varex Imaging Corp.    665,236     14,229
* Reata Pharmaceuticals Inc. Class A    444,388     13,505
          Shares Market
Value

($000)
* Brookdale Senior Living Inc.  2,969,705     13,483
* Bridgebio Pharma Inc.  1,430,478     12,989
* Supernus Pharmaceuticals Inc.    424,816     12,286
* Embecta Corp.    483,745     12,249
* Ligand Pharmaceuticals Inc.    134,172     11,971
* Emergent BioSolutions Inc.    378,783     11,758
* Agios Pharmaceuticals Inc.    457,747     10,148
* OPKO Health Inc.  3,876,263      9,807
* NGM Biopharmaceuticals Inc.    597,342      7,658
* Orthofix Medical Inc.    311,549      7,334
* Amneal Pharmaceuticals Inc.  2,259,941      7,187
Phibro Animal Health Corp. Class A    341,346      6,530
* Day One Biopharmaceuticals Inc.    363,257      6,502
* Cano Health Inc.  1,391,638      6,095
* Stoke Therapeutics Inc.    360,964      4,768
* Natus Medical Inc.    145,384      4,764
* Kiniksa Pharmaceuticals Ltd. Class A    487,861      4,727
* Kymera Therapeutics Inc.    238,082      4,688
* Atea Pharmaceuticals Inc.    627,170      4,453
*,1 23andMe Holding Co.  1,694,552      4,203
* Cullinan Oncology Inc.    262,586      3,366
* Immunovant Inc.    691,109      2,695
*,1 Nuvalent Inc. Class A    161,491      2,190
* ALX Oncology Holdings Inc.    153,186      1,239
* Allovir Inc.    246,414        961
*,1 P3 Health Partners Inc.    245,474        913
* Aveanna Healthcare Holdings Inc.    387,089        875
* Endo International plc  1,870,001        871
* Adagio Therapeutics Inc.    229,566        753
* Praxis Precision Medicines Inc.    304,896        747
*,1 Bright Green Corp.    332,785        739
*,1,2 Zogenix Inc. CVR    265,295        531
*,1,2 Synergy Pharmaceuticals LLC  1,169,882         —
                    2,240,079
Industrials (20.4%)
Quanta Services Inc.  2,397,729    300,531
IDEX Corp.  1,266,961    230,118
Carlisle Cos. Inc.    862,304    205,754
 
76

 

Small-Cap Value Index Fund
          Shares Market
Value

($000)
Booz Allen Hamilton Holding Corp.  2,205,272    199,268
Howmet Aerospace Inc.  6,275,996    197,380
RPM International Inc.  2,160,375    170,065
* Builders FirstSource Inc.  2,883,253    154,831
AECOM  2,353,293    153,482
Huntington Ingalls Industries Inc.    668,240    145,556
Allegion plc  1,465,014    143,425
Sealed Air Corp.  2,437,677    140,703
Robert Half International Inc.  1,751,985    131,206
Regal Rexnord Corp.  1,118,220    126,940
Pentair plc  2,760,529    126,349
Tetra Tech Inc.    895,809    122,323
Owens Corning  1,619,919    120,376
Knight-Swift Transportation Holdings Inc. Class A  2,593,185    120,039
Lincoln Electric Holdings Inc.    969,866    119,643
AptarGroup Inc.  1,094,432    112,956
Sensata Technologies Holding plc  2,619,874    108,227
Western Union Co.  6,443,745    106,128
Graphic Packaging Holding Co.  5,146,508    105,503
* FTI Consulting Inc.    575,509    104,081
Donaldson Co. Inc.  2,062,907     99,308
AGCO Corp.    995,419     98,248
ITT Inc.  1,394,431     93,762
Sonoco Products Co.  1,625,394     92,712
MDU Resources Group Inc.  3,395,421     91,642
* WESCO International Inc.    846,781     90,690
Oshkosh Corp.  1,098,597     90,239
Acuity Brands Inc.    577,265     88,922
* XPO Logistics Inc.  1,825,081     87,896
EMCOR Group Inc.    852,587     87,782
nVent Electric plc  2,776,784     86,997
Brunswick Corp.  1,262,077     82,515
* Axalta Coating Systems Ltd.  3,697,270     81,747
Hubbell Inc. Class B    447,986     80,001
Valmont Industries Inc.    355,221     79,793
MSA Safety Inc.    622,700     75,390
Louisiana-Pacific Corp.  1,368,714     71,734
* MasTec Inc.    948,797     67,991
ManpowerGroup Inc.    879,067     67,169
Crane Holdings Co.    747,498     65,451
Allison Transmission Holdings Inc.  1,621,416     62,343
Flowserve Corp.  2,177,036     62,329
Vontier Corp.  2,689,702     61,836
Applied Industrial Technologies Inc.    642,039     61,745
          Shares Market
Value

($000)
* Kirby Corp.  1,005,067     61,148
* Atkore Inc.    718,487     59,642
Air Lease Corp. Class A  1,755,306     58,680
* Marqeta Inc. Class A  7,212,345     58,492
* Fluor Corp.  2,366,893     57,610
Ryder System Inc.    809,635     57,533
Silgan Holdings Inc.  1,385,548     57,292
* Middleby Corp.    453,269     56,822
Triton International Ltd.  1,070,504     56,362
MSC Industrial Direct Co. Inc. Class A    747,743     56,163
Watts Water Technologies Inc. Class A    457,168     56,159
GATX Corp.    594,479     55,976
* Mohawk Industries Inc.    450,107     55,854
Zurn Elkay Water Solutions Corp.  1,994,328     54,325
HB Fuller Co.    884,336     53,246
Korn Ferry    898,331     52,121
Spirit AeroSystems Holdings Inc. Class A  1,751,737     51,326
* API Group Corp.  3,302,974     49,446
Matson Inc.    675,807     49,253
ABM Industries Inc.  1,114,513     48,392
Brink's Co.    783,684     47,577
* Resideo Technologies Inc.  2,426,176     47,116
* Beacon Roofing Supply Inc.    916,779     47,086
* Allegheny Technologies Inc.  2,069,172     46,991
Otter Tail Corp.    693,732     46,570
* Summit Materials Inc. Class A  1,967,047     45,813
Woodward Inc.    480,108     44,405
Hillenbrand Inc.  1,075,858     44,067
EVERTEC Inc.  1,193,852     44,029
ManTech International Corp. Class A    459,296     43,840
UniFirst Corp.    252,983     43,559
* Meritor Inc.  1,181,440     42,922
Albany International Corp. Class A    525,109     41,373
EnerSys    677,215     39,929
Esab Corp.    900,584     39,401
Belden Inc.    737,507     39,287
Moog Inc. Class A    483,454     38,381
* SPX Corp.    723,932     38,253
Altra Industrial Motion Corp.  1,084,234     38,219
* Hub Group Inc. Class A    538,457     38,198
Werner Enterprises Inc.    976,175     37,622
* O-I Glass Inc.  2,603,389     36,447
Brady Corp. Class A    761,040     35,952
Trinity Industries Inc.  1,389,299     33,649
 
77

 

Small-Cap Value Index Fund
          Shares Market
Value

($000)
Encore Wire Corp.    312,338     32,458
Kennametal Inc.  1,377,786     32,006
* Alight Inc. Class A  4,651,153     31,395
McGrath RentCorp    405,664     30,830
Maxar Technologies Inc.  1,166,698     30,439
* GMS Inc.    680,887     30,299
Terex Corp.  1,097,132     30,028
ESCO Technologies Inc.    430,485     29,432
Bread Financial Holdings Inc.    787,930     29,201
EnPro Industries Inc.    347,817     28,497
* Atlas Air Worldwide Holdings Inc.    446,045     27,525
ArcBest Corp.    387,345     27,257
Greif Inc. Class A    421,365     26,285
Barnes Group Inc.    801,874     24,970
Comfort Systems USA Inc.    299,298     24,887
Griffon Corp.    853,863     23,934
* AAR Corp.    556,223     23,272
* Huron Consulting Group Inc.    353,524     22,976
* CoreCivic Inc.  2,032,012     22,576
Granite Construction Inc.    754,377     21,983
* Dycom Industries Inc.    235,582     21,919
ADT Inc.  3,545,261     21,803
* OSI Systems Inc.    255,063     21,793
TTEC Holdings Inc.    312,549     21,219
* Gates Industrial Corp. plc  1,941,628     20,989
* JELD-WEN Holding Inc.  1,385,615     20,216
Kforce Inc.    322,242     19,766
TriMas Corp.    711,306     19,696
Primoris Services Corp.    886,378     19,288
* Green Dot Corp. Class A    765,150     19,213
Greenbrier Cos. Inc.    514,420     18,514
*,1 Joby Aviation Inc.  3,525,424     17,310
Standex International Corp.    202,118     17,136
AZZ Inc.    391,868     15,996
Deluxe Corp.    722,210     15,650
*,1 Proterra Inc.  3,335,692     15,478
Astec Industries Inc.    378,975     15,455
H&E Equipment Services Inc.    514,671     14,910
* Rocket Lab USA Inc.  3,886,003     14,728
Kaman Corp.    468,233     14,632
Apogee Enterprises Inc.    371,662     14,577
Schneider National Inc. Class B    635,448     14,221
* Cornerstone Building Brands Inc.    533,393     13,063
Quanex Building Products Corp.    558,989     12,717
          Shares Market
Value

($000)
*,1 AvidXchange Holdings Inc.  1,987,735     12,205
* ZipRecruiter Inc. Class A    805,116     11,932
* Conduent Inc.  2,681,776     11,585
* First Advantage Corp.    887,965     11,251
Heartland Express Inc.    792,909     11,029
Wabash National Corp.    778,232     10,568
Kelly Services Inc. Class A    520,768     10,327
Enerpac Tool Group Corp. Class A    506,541      9,634
* TrueBlue Inc.    529,239      9,473
Pitney Bowes Inc.  2,613,545      9,461
International Seaways Inc.    415,782      8,815
* BrightView Holdings Inc.    700,687      8,408
*,1 Enovix Corp.    919,442      8,192
* Payoneer Global Inc.  2,012,940      7,891
Kronos Worldwide Inc.    387,969      7,139
* Triumph Group Inc.    514,731      6,841
REV Group Inc.    577,052      6,273
* American Woodmark Corp.    139,100      6,261
* Tutor Perini Corp.    686,366      6,026
Pactiv Evergreen Inc.    597,779      5,954
National Presto Industries Inc.     88,522      5,811
*,1 Mirion Technologies Inc.    918,908      5,293
* Advantage Solutions Inc.  1,333,814      5,068
Gorman-Rupp Co.    175,402      4,964
Hyster-Yale Materials Handling Inc.    153,790      4,955
Greif Inc. Class B     72,950      4,544
* Thermon Group Holdings Inc.    265,426      3,729
* Vivint Smart Home Inc.    889,858      3,097
*,1 Microvast Holdings Inc.  1,267,114      2,813
* CIRCOR International Inc.    169,560      2,779
*,1 Velodyne Lidar Inc.  1,218,796      1,164
                    8,673,675
Real Estate (9.6%)
Kimco Realty Corp. 10,309,461    203,818
Gaming & Leisure Properties Inc.  3,923,839    179,947
Life Storage Inc.  1,407,666    157,180
Medical Properties Trust Inc. 10,014,457    152,921
* Jones Lang LaSalle Inc.    815,398    142,580
Federal Realty OP LP  1,325,557    126,909
National Retail Properties Inc.  2,936,936    126,288
Omega Healthcare Investors Inc.  3,926,716    110,694
 
78

 

Small-Cap Value Index Fund
          Shares Market
Value

($000)
Apartment Income REIT Corp. Class A  2,616,040    108,827
EastGroup Properties Inc.    695,728    107,372
First Industrial Realty Trust Inc.  2,200,383    104,474
Brixmor Property Group Inc.  5,000,856    101,067
Rayonier Inc.  2,438,730     91,160
Agree Realty Corp.  1,253,523     90,417
Regency Centers Corp.  1,436,782     85,216
Vornado Realty Trust  2,876,635     82,243
Cousins Properties Inc.  2,480,647     72,509
Healthcare Realty Trust Inc.  2,527,268     68,742
Physicians Realty Trust  3,763,831     65,679
Lamar Advertising Co. Class A    725,714     63,841
Douglas Emmett Inc.  2,784,241     62,311
Highwoods Properties Inc.  1,753,828     59,963
EPR Properties  1,251,866     58,750
STORE Capital Corp.  2,222,998     57,976
Sabra Health Care REIT Inc.  3,859,188     53,913
Apple Hospitality REIT Inc.  3,631,858     53,279
LXP Industrial Trust  4,780,077     51,338
Kilroy Realty Corp.    972,912     50,912
SL Green Realty Corp.  1,069,140     49,341
* Equity Commonwealth  1,787,259     49,203
Corporate Office Properties Trust  1,877,140     49,162
JBG SMITH Properties  2,059,928     48,697
* DigitalBridge Group Inc.  9,950,970     48,561
PotlatchDeltic Corp.  1,098,684     48,551
Park Hotels & Resorts Inc.  3,500,220     47,498
National Health Investors Inc.    726,284     44,020
Outfront Media Inc.  2,462,972     41,747
SITE Centers Corp.  3,030,185     40,817
* Cushman & Wakefield plc  2,632,809     40,124
Kennedy-Wilson Holdings Inc.  1,952,949     36,989
* Sunstone Hotel Investors Inc.  3,587,328     35,586
Hudson Pacific Properties Inc.  2,291,159     34,001
1 Phillips Edison & Co. Inc.    948,181     31,679
Washington REIT  1,456,904     31,047
Retail Opportunity Investments Corp.  1,966,129     31,026
Macerich Co.  3,397,573     29,593
          Shares Market
Value

($000)
* DiamondRock Hospitality Co.  3,512,928     28,841
Urban Edge Properties  1,857,907     28,259
* Xenia Hotels & Resorts Inc.  1,904,350     27,670
Brandywine Realty Trust  2,853,876     27,511
InvenTrust Properties Corp.  1,066,351     27,501
Piedmont Office Realty Trust Inc. Class A  2,053,442     26,941
LTC Properties Inc.    656,835     25,216
Acadia Realty Trust  1,579,318     24,669
Global Net Lease Inc.  1,734,483     24,560
Newmark Group Inc. Class A  2,445,145     23,645
Tanger Factory Outlet Centers Inc.  1,650,038     23,464
American Assets Trust Inc.    754,887     22,420
Alexander & Baldwin Inc.  1,208,632     21,695
Centerspace    255,399     20,828
Empire State Realty Trust Inc. Class A  2,794,718     19,647
* Anywhere Real Estate Inc.  1,881,118     18,491
Pebblebrook Hotel Trust  1,091,519     18,086
Getty Realty Corp.    661,011     17,517
* Veris Residential Inc.  1,284,818     17,011
* Apartment Investment & Management Co. Class A  2,558,136     16,372
Necessity Retail REIT Inc. Class A  2,227,811     16,218
Office Properties Income Trust    808,784     16,135
Industrial Logistics Properties Trust  1,097,949     15,459
*,1 Compass Inc. Class A  4,270,885     15,418
CareTrust REIT Inc.    815,222     15,033
Service Properties Trust  2,776,160     14,519
RPT Realty  1,424,379     14,002
* GEO Group Inc.  1,953,774     12,895
*,1 WeWork Inc.  2,363,433     11,864
Saul Centers Inc.    219,201     10,327
RMR Group Inc. Class A    260,041      7,372
Diversified Healthcare Trust  4,001,426      7,283
Bridge Investment Group Holdings Inc. Class A    462,824      6,729
Franklin Street Properties Corp.  1,548,380      6,457
* Summit Hotel Properties Inc.    850,291      6,182
Douglas Elliman Inc.  1,088,061      5,212
 
79

 

Small-Cap Value Index Fund
          Shares Market
Value

($000)
Urstadt Biddle Properties Inc. Class A    252,059      4,083
* Forestar Group Inc.    283,694      3,884
Alexander's Inc.     16,994      3,775
* Seritage Growth Properties Class A    292,286      1,523
Urstadt Biddle Properties Inc.     22,797        395
*,2 Spirit MTA REIT    334,911         90
                    4,083,167
Technology (6.2%)
* Arrow Electronics Inc.  1,118,739    125,399
* DXC Technology Co.  4,080,175    123,670
Leidos Holdings Inc.  1,140,645    114,874
KBR Inc.  2,329,371    112,718
* CACI International Inc. Class A    390,815    110,124
Jabil Inc.  2,121,523    108,643
CDK Global Inc.  1,944,863    106,520
Concentrix Corp.    700,619     95,032
* Change Healthcare Inc.  3,905,099     90,052
Science Applications International Corp.    932,101     86,779
* Synaptics Inc.    660,089     77,924
* F5 Inc.    503,869     77,112
* SentinelOne Inc. Class A  3,125,022     72,907
Avnet Inc.  1,628,533     69,831
* Cirrus Logic Inc.    935,453     67,858
TD SYNNEX Corp.    720,837     65,668
* NCR Corp.  2,048,676     63,734
* Teradata Corp.  1,657,277     61,336
* Dun & Bradstreet Holdings Inc.  3,978,972     59,804
* Insight Enterprises Inc.    585,812     50,544
* Verint Systems Inc.  1,077,782     45,644
* NetScout Systems Inc.  1,173,587     39,726
* Rambus Inc.  1,837,660     39,491
* Sanmina Corp.    963,547     39,245
Vishay Intertechnology Inc.  2,199,151     39,189
* Covetrus Inc.  1,743,499     36,178
* Plexus Corp.    438,983     34,460
Progress Software Corp.    730,119     33,074
* Kyndryl Holdings Inc.  3,367,578     32,935
Amkor Technology Inc.  1,836,006     31,120
CSG Systems International Inc.    513,383     30,639
* Super Micro Computer Inc.    734,524     29,638
* Ziff Davis Inc.    374,011     27,875
* Allscripts Healthcare Solutions Inc.  1,835,495     27,220
Xerox Holdings Corp.  1,806,276     26,823
* Blackbaud Inc.    440,632     25,587
* Parsons Corp.    604,126     24,419
          Shares Market
Value

($000)
Xperi Holding Corp.  1,643,279     23,713
* CCC Intelligent Solutions Holdings Inc.  2,555,977     23,515
* Allegro MicroSystems Inc.  1,119,109     23,154
*,1 C3.ai Inc. Class A  1,197,086     21,859
Methode Electronics Inc.    583,591     21,616
* TTM Technologies Inc.  1,522,819     19,035
*,1 Squarespace Inc. Class A    836,311     17,496
* Cerence Inc.    626,711     15,812
* Olo Inc. Class A  1,450,083     14,312
* ScanSource Inc.    422,527     13,157
* Unisys Corp.  1,072,773     12,905
Benchmark Electronics Inc.    558,949     12,610
* Informatica Inc. Class A    593,115     12,319
* Amplitude Inc. Class A    750,364     10,723
*,1 Expensify Inc. Class A    512,854      9,124
*,1 Rackspace Technology Inc.  1,058,527      7,590
*,1 Samsara Inc. Class A    645,562      7,211
SolarWinds Corp.    673,551      6,904
* Couchbase Inc.    410,879      6,747
* N-able Inc.    523,516      4,712
* AvePoint Inc.  1,072,961      4,657
*,1 SmartRent Inc. Class A    817,769      3,696
*,1 Groupon Inc.    326,078      3,685
Ebix Inc.    207,906      3,514
* Avaya Holdings Corp.  1,355,138      3,036
1 Vivid Seats Inc. Class A    398,135      2,974
* Vertex Inc. Class A    249,752      2,830
* Nextdoor Holdings Inc.    830,210      2,748
*,1 WM Technology Inc.    576,670      1,897
* Planet Labs PBC    303,422      1,314
* Loyalty Ventures Inc.    165,093        589
* BuzzFeed Inc.    217,527        335
                    2,619,581
Telecommunications (1.2%)
* Frontier Communications Parent Inc.  4,088,818     96,251
Juniper Networks Inc.  2,698,582     76,910
* Iridium Communications Inc.  1,919,243     72,087
* Viavi Solutions Inc.  3,796,123     50,223
* Vonage Holdings Corp.  2,138,387     40,287
* Altice USA Inc. Class A  3,602,616     33,324
InterDigital Inc.    513,719     31,234
* Plantronics Inc.    681,857     27,056
Telephone & Data Systems Inc.  1,696,903     26,794
* CommScope Holding Co. Inc.  3,275,411     20,045
 
80

 

Small-Cap Value Index Fund
          Shares Market
Value

($000)
Shenandoah Telecommunications Co.    790,337     17,545
* EchoStar Corp. Class A    592,309     11,432
* NETGEAR Inc.    457,733      8,477
* United States Cellular Corp.    264,092      7,648
*,1 fuboTV Inc.  2,790,113      6,892
ADTRAN Inc.    390,599      6,847
                      533,052
Utilities (5.6%)
Atmos Energy Corp.  2,318,559    259,911
Essential Utilities Inc.  3,934,695    180,406
Constellation Energy Corp.  2,725,871    156,083
NRG Energy Inc.  3,958,973    151,114
Pinnacle West Capital Corp.  1,885,637    137,878
UGI Corp.  3,503,719    135,279
OGE Energy Corp.  3,341,960    128,866
National Fuel Gas Co.  1,526,586    100,831
Southwest Gas Holdings Inc.  1,047,117     91,183
IDACORP Inc.    844,129     89,410
Black Hills Corp.  1,080,794     78,649
ONE Gas Inc.    901,383     73,183
Portland General Electric Co.  1,487,293     71,881
New Jersey Resources Corp.  1,602,682     71,367
Hawaiian Electric Industries Inc.  1,732,646     70,865
South Jersey Industries Inc.  2,044,876     69,812
PNM Resources Inc.  1,433,781     68,506
* Stericycle Inc.  1,534,659     67,295
Spire Inc.    825,426     61,387
ALLETE Inc.    941,788     55,358
NorthWestern Corp.    902,718     53,197
Avista Corp.  1,207,998     52,560
          Shares Market
Value

($000)
American States Water Co.    616,127     50,221
MGE Energy Inc.    602,677     46,906
Northwest Natural Holding Co.    570,718     30,305
California Water Service Group    447,142     24,839
* Harsco Corp.  1,330,159      9,458
*,1 Excelerate Energy Inc. Class A    153,887      3,065
*,1 NuScale Power Corp.    123,330      1,232
                    2,391,047
Total Common Stocks
(Cost $37,273,805)
42,368,160
Temporary Cash Investments (1.1%)
Money Market Fund (1.1%)
3,4 Vanguard Market Liquidity Fund, 1.417%
(Cost $451,547)
 4,516,839           451,548
Total Investments (100.9%)
(Cost $37,725,352)
  42,819,708
Other Assets and Liabilities—Net (-0.9%)   (370,511)
Net Assets (100%)   42,449,197
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 $368,354,000.
2 Security value determined using significant unobservable inputs.
3 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is the 7-day yield.
4 Collateral of $394,276,000 was received for securities on loan.
  CVR—Contingent Value Rights.
  REIT—Real Estate Investment Trust.
 
81

 

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 2022 820 70,028 (1,131)
    
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)
Bridgebio Pharma Inc. 8/31/22 BANA 2,049 (1.330) 673
Novavax Inc. 1/31/23 GSI 6,185 (1.633) 1,527
Popular Inc. 8/31/22 BANA 9,805 (1.634) (526)
SunPower Corp. 1/31/23 GSI 6,834 (1.554) (625)
          2,200 (1,151)
1 Based on USD Overnight Bank Funding Rate as of the most recent payment date. Floating interest payment received/paid monthly.
  BANA—Bank of America, N.A.
  GSI—Goldman Sachs International.
At June 30, 2022, the counterparties had deposited in segregated accounts securities with a value of $749,000 in connection with open over-the-counter swap contracts.
See accompanying Notes, which are an integral part of the Financial Statements.
82

 

Small-Cap Value Index Fund
Statement of Assets and Liabilities
As of June 30, 2022
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value1  
Unaffiliated Issuers (Cost $37,273,805) 42,368,160
Affiliated Issuers (Cost $451,547) 451,548
Total Investments in Securities 42,819,708
Investment in Vanguard 1,700
Cash Collateral Pledged—Futures Contracts 3,530
Receivables for Investment Securities Sold 37,385
Receivables for Accrued Income 57,160
Receivables for Capital Shares Issued 9,779
Unrealized Appreciation—Over-the-Counter Swap Contracts 2,200
Total Assets 42,931,462
Liabilities  
Due to Custodian 31,676
Payables for Investment Securities Purchased 37,487
Collateral for Securities on Loan 394,276
Payables for Capital Shares Redeemed 16,051
Payables to Vanguard 1,223
Variation Margin Payable—Futures Contracts 401
Unrealized Depreciation—Over-the-Counter Swap Contracts 1,151
Total Liabilities 482,265
Net Assets 42,449,197
1 Includes $368,354 of securities on loan.  
83

 

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


At June 30, 2022, net assets consisted of:

($000s, except shares and per-share amounts) Amount
Paid-in Capital 38,564,054
Total Distributable Earnings (Loss) 3,885,143
Net Assets 42,449,197
 
Investor Shares—Net Assets  
Applicable to 4,186,015 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
150,398
Net Asset Value Per Share—Investor Shares $35.93
 
ETF Shares—Net Assets  
Applicable to 146,337,839 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
21,925,644
Net Asset Value Per Share—ETF Shares $149.83
 
Admiral Shares—Net Assets  
Applicable to 254,074,879 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
16,357,274
Net Asset Value Per Share—Admiral Shares $64.38
 
Institutional Shares—Net Assets  
Applicable to 111,597,720 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
4,015,881
Net Asset Value Per Share—Institutional Shares $35.99
See accompanying Notes, which are an integral part of the Financial Statements.
84

 

Small-Cap Value Index Fund
Statement of Operations
  Six Months Ended
June 30, 2022
  ($000)
Investment Income  
Income  
Dividends1 389,439
Interest2 71
Securities Lending—Net 3,577
Total Income 393,087
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 805
Management and Administrative—Investor Shares 159
Management and Administrative—ETF Shares 7,444
Management and Administrative—Admiral Shares 5,457
Management and Administrative—Institutional Shares 1,134
Marketing and Distribution—Investor Shares 7
Marketing and Distribution—ETF Shares 396
Marketing and Distribution—Admiral Shares 392
Marketing and Distribution—Institutional Shares 77
Custodian Fees 283
Shareholders’ Reports—Investor Shares
Shareholders’ Reports—ETF Shares 421
Shareholders’ Reports—Admiral Shares 106
Shareholders’ Reports—Institutional Shares 35
Trustees’ Fees and Expenses 12
Other Expenses 8
Total Expenses 16,736
Expenses Paid Indirectly (2)
Net Expenses 16,734
Net Investment Income 376,353
Realized Net Gain (Loss)  
Investment Securities Sold2,3 1,754,527
Futures Contracts (14,314)
Swap Contracts (30,968)
Realized Net Gain (Loss) 1,709,245
85

 

Small-Cap Value Index Fund
Statement of Operations (continued)
  Six Months Ended
June 30, 2022
  ($000)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities2 (9,958,012)
Futures Contracts (1,083)
Swap Contracts 13,604
Change in Unrealized Appreciation (Depreciation) (9,945,491)
Net Increase (Decrease) in Net Assets Resulting from Operations (7,859,893)
1 Dividends are net of foreign withholding taxes of $12,000.
2 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $71,000, ($28,000), and ($30,000), respectively. Purchases and sales are for temporary cash investment purposes.
3 Includes $2,391,511,000 of net gain (loss) resulting from in-kind redemptions.
See accompanying Notes, which are an integral part of the Financial Statements.
86

 

Small-Cap Value Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2022
  Year Ended
December 31,
2021
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 376,353   869,598
Realized Net Gain (Loss) 1,709,245   2,618,650
Change in Unrealized Appreciation (Depreciation) (9,945,491)   7,023,947
Net Increase (Decrease) in Net Assets Resulting from Operations (7,859,893)   10,512,195
Distributions      
Investor Shares (1,277)   (4,230)
ETF Shares (198,012)   (452,167)
Admiral Shares (145,424)   (333,221)
Institutional Shares (36,109)   (82,438)
Total Distributions (380,822)   (872,056)
Capital Share Transactions      
Investor Shares (27,612)   (85,331)
ETF Shares (638,169)   4,135,700
Admiral Shares 203,709   1,226,583
Institutional Shares 50,483   25,431
Net Increase (Decrease) from Capital Share Transactions (411,589)   5,302,383
Total Increase (Decrease) (8,652,304)   14,942,522
Net Assets      
Beginning of Period 51,101,501   36,158,979
End of Period 42,449,197   51,101,501
See accompanying Notes, which are an integral part of the Financial Statements.
87

 

Small-Cap Value Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $42.87 $34.08 $32.86 $27.35 $31.82 $29.00
Investment Operations            
Net Investment Income1 .286 .724 .550 .543 .603 .534
Net Realized and Unrealized Gain (Loss) on Investments (6.930) 8.767 1.208 5.608 (4.471) 2.820
Total from Investment Operations (6.644) 9.491 1.758 6.151 (3.868) 3.354
Distributions            
Dividends from Net Investment Income (.296) (.701) (.538) (.641) (.602) (.534)
Distributions from Realized Capital Gains
Total Distributions (.296) (.701) (.538) (.641) (.602) (.534)
Net Asset Value, End of Period $35.93 $42.87 $34.08 $32.86 $27.35 $31.82
Total Return2 -15.54% 27.96% 5.72% 22.61% -12.34% 11.67%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $150 $208 $234 $255 $1,501 $2,060
Ratio of Total Expenses to Average Net Assets 0.19%3 0.19% 0.19% 0.19% 0.19% 0.19%
Ratio of Net Investment Income to Average Net Assets 1.54% 1.78% 1.98% 1.76% 1.92% 1.82%
Portfolio Turnover Rate4 6% 16% 26% 19% 18% 19%
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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.19%.
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.
88

 

Small-Cap Value Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $178.77 $142.13 $137.05 $114.05 $132.71 $120.95
Investment Operations            
Net Investment Income1 1.314 3.131 2.584 2.840 2.720 2.427
Net Realized and Unrealized Gain (Loss) on Investments (28.916) 36.640 4.884 22.984 (18.702) 11.709
Total from Investment Operations (27.602) 39.771 7.468 25.824 (15.982) 14.136
Distributions            
Dividends from Net Investment Income (1.338) (3.131) (2.388) (2.824) (2.678) (2.376)
Distributions from Realized Capital Gains
Total Distributions (1.338) (3.131) (2.388) (2.824) (2.678) (2.376)
Net Asset Value, End of Period $149.83 $178.77 $142.13 $137.05 $114.05 $132.71
Total Return -15.48% 28.07% 5.82% 22.76% -12.22% 11.79%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $21,926 $26,854 $17,837 $14,808 $11,560 $12,650
Ratio of Total Expenses to Average Net Assets 0.07%2 0.07% 0.07% 0.07% 0.07% 0.07%
Ratio of Net Investment Income to Average Net Assets 1.69% 1.84% 2.23% 2.19% 2.04% 1.94%
Portfolio Turnover Rate3 6% 16% 26% 19% 18% 19%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.07%.
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.
89

 

Small-Cap Value Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $76.81 $61.07 $58.89 $49.01 $57.02 $51.97
Investment Operations            
Net Investment Income1 .562 1.381 1.058 1.230 1.165 1.039
Net Realized and Unrealized Gain (Loss) on Investments (12.417) 15.704 2.148 9.863 (8.024) 5.032
Total from Investment Operations (11.855) 17.085 3.206 11.093 (6.859) 6.071
Distributions            
Dividends from Net Investment Income (.575) (1.345) (1.026) (1.213) (1.151) (1.021)
Distributions from Realized Capital Gains
Total Distributions (.575) (1.345) (1.026) (1.213) (1.151) (1.021)
Net Asset Value, End of Period $64.38 $76.81 $61.07 $58.89 $49.01 $57.02
Total Return2 -15.48% 28.09% 5.85% 22.76% -12.23% 11.80%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $16,357 $19,307 $14,314 $13,907 $10,167 $11,278
Ratio of Total Expenses to Average Net Assets 0.07%3 0.07% 0.07% 0.07% 0.07% 0.07%
Ratio of Net Investment Income to Average Net Assets 1.68% 1.89% 2.13% 2.21% 2.04% 1.94%
Portfolio Turnover Rate4 6% 16% 26% 19% 18% 19%
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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.07%.
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.
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Small-Cap Value Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $42.94 $34.14 $32.92 $27.39 $31.87 $29.05
Investment Operations            
Net Investment Income1 .317 .781 .597 .684 .651 .587
Net Realized and Unrealized Gain (Loss) on Investments (6.944) 8.775 1.199 5.527 (4.485) 2.808
Total from Investment Operations (6.627) 9.556 1.796 6.211 (3.834) 3.395
Distributions            
Dividends from Net Investment Income (.323) (.756) (.576) (.681) (.646) (.575)
Distributions from Realized Capital Gains
Total Distributions (.323) (.756) (.576) (.681) (.646) (.575)
Net Asset Value, End of Period $35.99 $42.94 $34.14 $32.92 $27.39 $31.87
Total Return -15.48% 28.11% 5.86% 22.81% -12.23% 11.80%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $4,016 $4,733 $3,774 $3,632 $3,077 $3,649
Ratio of Total Expenses to Average Net Assets 0.06%2 0.06% 0.06% 0.06% 0.06% 0.06%
Ratio of Net Investment Income to Average Net Assets 1.69% 1.91% 2.14% 2.20% 2.05% 1.95%
Portfolio Turnover Rate3 6% 16% 26% 19% 18% 19%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.06%.
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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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.
Significant market disruptions, such as those caused by pandemics (e.g., COVID-19 pandemic), natural or environmental disasters, war (e.g., Russia's invasion of Ukraine), acts of terrorism, or other events, can adversely affect local and global markets and normal market operations. Any such disruptions could have an adverse impact on the value of the fund's investments and 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.
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 securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. 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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Small-Cap Value Index Fund
During the six months ended June 30, 2022, 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.
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.
The notional amounts of swap contracts are not recorded in the Statement of Assets and Liabilities. 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.
During the six months ended June 30, 2022, 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. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is
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Small-Cap Value Index Fund
generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for 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 $4.4 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 and are 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, which 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 an agreed-upon spread plus the higher of the federal funds effective rate, the overnight bank funding rate, or the Daily Simple Secured Overnight Financing Rate inclusive of an additional agreed-upon spread. However, borrowings under the uncommitted credit facility may bear interest based upon an alternate 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
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Small-Cap Value Index Fund
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, 2022, the fund did not utilize the credit facilities or the Interfund Lending Program.
8. Other: Dividend income is recorded on the ex-dividend date. Non-cash dividends included in income, if any, are recorded at the fair value of the securities received. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. 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, 2022, the fund had contributed to Vanguard capital in the amount of $1,700,000, representing less than 0.01% of the fund’s net assets and 0.68% 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, 2022, custodian fee offset arrangements reduced the fund’s expenses by $2,000 (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 and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
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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, 2022, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 42,367,539 621 42,368,160
Temporary Cash Investments 451,548 451,548
Total 42,819,087 621 42,819,708
Derivative Financial Instruments        
Assets        
Swap Contracts 2,200 2,200
Liabilities        
Futures Contracts1 1,131 1,131
Swap Contracts 1,151 1,151
Total 1,131 1,151 2,282
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
E. As of June 30, 2022, 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 37,804,661
Gross Unrealized Appreciation 9,784,466
Gross Unrealized Depreciation (4,769,501)
Net Unrealized Appreciation (Depreciation) 5,014,965
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, 2021, the fund had available capital losses totaling $2,897,288,000 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, 2022; 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, 2022, the fund purchased $7,810,786,000 of investment securities and sold $8,065,306,000 of investment securities, other than temporary cash investments. Purchases and sales include $4,306,654,000 and $4,946,114,000, 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, 2022, such purchases were $568,279,000 and sales were $540,150,000,
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Small-Cap Value Index Fund
resulting in net realized loss of $342,025,000; 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, 2022
  Year Ended
December 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 9,157 224   54,280 1,367
Issued in Lieu of Cash Distributions 1,277 33   4,230 104
Redeemed (38,046) (921)   (143,841) (3,484)
Net Increase (Decrease)—Investor Shares (27,612) (664)   (85,331) (2,013)
ETF Shares          
Issued 4,658,421 28,423   7,328,388 43,317
Issued in Lieu of Cash Distributions  
Redeemed (5,296,590) (32,300)   (3,192,688) (18,600)
Net Increase (Decrease)—ETF Shares (638,169) (3,877)   4,135,700 24,717
Admiral Shares          
Issued 1,622,178 22,249   4,310,954 59,661
Issued in Lieu of Cash Distributions 127,804 1,854   290,460 3,954
Redeemed (1,546,273) (21,369)   (3,374,831) (46,666)
Net Increase (Decrease)—Admiral Shares 203,709 2,734   1,226,583 16,949
Institutional Shares          
Issued 560,186 13,800   1,068,001 26,335
Issued in Lieu of Cash Distributions 34,157 887   77,051 1,876
Redeemed (543,860) (13,328)   (1,119,621) (28,530)
Net Increase (Decrease)—Institutional Shares 50,483 1,359   25,431 (319)
H. Management has determined that no events or transactions occurred subsequent to June 30, 2022, that would require recognition or disclosure in these financial statements.
97

 

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 decisions 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 periodic reports throughout the year, which included information about the portfolio’s performance relative to its peers and benchmark, as applicable, and updates, as needed, on the Portfolio Review Department’s ongoing assessment of the advisor.
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 decisions.
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 below the average expense ratio charged by funds in its peer group and that each fund’s advisory expenses were also 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.
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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.
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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 January 1, 2021, through December 31, 2021 (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.
© 2022 The Vanguard Group, Inc.
All rights reserved.
U.S. Patent No. 6,879,964.
Vanguard Marketing Corporation, Distributor.
Q482 082022

 

 

Semiannual Report  |  June 30, 2022
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

 

Contents
About Your Fund's Expenses

1
Extended Market Index Fund

3
Mid-Cap Index Fund

48
Mid-Cap Growth Index Fund

68
Mid-Cap Value Index Fund

82
Trustees Approve Advisory Arrangements

97
Liquidity Risk Management

98

 

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, 2022      
  Beginning
Account Value
12/31/2021
Ending
Account Value
6/30/2022
Expenses
Paid During
Period
Based on Actual Fund Return
Extended Market Index Fund      
Investor Shares $1,000.00 $718.70 $0.81
ETF Shares 1,000.00 719.20 0.26
Admiral™ Shares 1,000.00 719.20 0.26
Institutional Shares 1,000.00 719.20 0.21
Institutional Plus Shares 1,000.00 719.30 0.17
Institutional Select Shares 1,000.00 719.40 0.09
Mid-Cap Index Fund      
Investor Shares $1,000.00 $777.50 $0.75
ETF Shares 1,000.00 778.00 0.18
Admiral Shares 1,000.00 777.90 0.22
Institutional Shares 1,000.00 777.90 0.18
Institutional Plus Shares 1,000.00 778.00 0.13
Mid-Cap Growth Index Fund      
Investor Shares $1,000.00 $690.70 $0.80
ETF Shares 1,000.00 691.10 0.29
Admiral Shares 1,000.00 691.00 0.29
Mid-Cap Value Index Fund      
Investor Shares $1,000.00 $869.30 $0.88
ETF Shares 1,000.00 869.80 0.32
Admiral Shares 1,000.00 869.80 0.32
Based on Hypothetical 5% Yearly Return
Extended Market Index Fund      
Investor Shares $1,000.00 $1,023.85 $0.95
ETF Shares 1,000.00 1,024.50 0.30
Admiral Shares 1,000.00 1,024.50 0.30
Institutional Shares 1,000.00 1,024.55 0.25
Institutional Plus Shares 1,000.00 1,024.60 0.20
Institutional Select Shares 1,000.00 1,024.70 0.10
Mid-Cap Index Fund      
Investor Shares $1,000.00 $1,023.95 $0.85
ETF Shares 1,000.00 1,024.60 0.20
Admiral Shares 1,000.00 1,024.55 0.25
Institutional Shares 1,000.00 1,024.60 0.20
Institutional Plus Shares 1,000.00 1,024.65 0.15
Mid-Cap Growth Index Fund      
Investor Shares $1,000.00 $1,023.85 $0.95
ETF Shares 1,000.00 1,024.45 0.35
Admiral Shares 1,000.00 1,024.45 0.35
Mid-Cap Value Index Fund      
Investor Shares $1,000.00 $1,023.85 $0.95
ETF Shares 1,000.00 1,024.45 0.35
Admiral Shares 1,000.00 1,024.45 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 (181/365).
2

 

Extended Market Index Fund
Fund Allocation
As of June 30, 2022
Communication Services 3.7%
Consumer Discretionary 10.6
Consumer Staples 3.0
Energy 4.6
Financials 16.0
Health Care 13.4
Industrials 14.4
Information Technology 19.7
Materials 4.3
Other 0.0
Real Estate 7.7
Utilities 2.6
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

 

Extended Market Index Fund
Financial Statements (unaudited)
Schedule of Investments
As of June 30, 2022
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 (99.1%)
Communication Services (3.7%)
* Liberty Broadband Corp. Class C  1,879,733    217,372
* Snap Inc. Class A 14,637,403    192,189
* Liberty Media Corp.-Liberty Formula One Class C  2,690,256    170,751
* Pinterest Inc. Class A  7,683,628    139,535
* ZoomInfo Technologies Inc. Class A  4,067,807    135,214
* Roku Inc.  1,611,128    132,338
* Liberty Global plc Class C  4,935,038    109,015
*,1 AMC Entertainment Holdings Inc. Class A  6,946,743     94,128
  Nexstar Media Group Inc. Class A    541,748     88,240
* IAC/InterActiveCorp  1,127,680     85,670
  Cable One Inc.     65,673     84,674
* Liberty Media Corp.-Liberty SiriusXM Class C  2,124,735     76,597
* Frontier Communications Parent Inc.  2,799,711     65,905
* Iridium Communications Inc.  1,727,526     64,886
  New York Times Co. Class A  2,250,305     62,784
  TEGNA Inc.  2,947,582     61,811
1 Sirius XM Holdings Inc.  8,115,809     49,750
* Ziff Davis Inc.    641,043     47,777
* Liberty Media Corp.-Liberty SiriusXM Class A  1,066,088     38,422
  Warner Music Group Corp. Class A  1,553,309     37,839
  World Wrestling Entertainment Inc. Class A    586,208     36,632
* Madison Square Garden Sports Corp.    229,430     34,644
  Cogent Communications Holdings Inc.    562,648     34,186
* Altice USA Inc. Class A  3,053,535     28,245
  John Wiley & Sons Inc. Class A    590,596     28,207
* Bumble Inc. Class A    971,079     27,336
* Liberty Global plc Class A  1,280,628     26,957
* Cargurus Inc. Class A  1,160,660     24,943
* Yelp Inc. Class A    897,360     24,920
* TripAdvisor Inc.  1,328,136     23,641
* TechTarget Inc.    353,949     23,262
* Cinemark Holdings Inc.  1,423,338     21,379
  Telephone & Data Systems Inc.  1,305,896     20,620
  Gray Television Inc.  1,200,954     20,284
* Liberty Media Corp.-Liberty Formula One Class A    347,370     20,137
* Playtika Holding Corp.  1,383,802     18,322
* Madison Square Garden Entertainment Corp.    341,038     17,945
* Liberty Broadband Corp. Class A    144,598     16,419
  Scholastic Corp.    414,892     14,924
  Shenandoah Telecommunications Co.    667,438     14,817
* Gogo Inc.    896,250     14,510
* Lions Gate Entertainment Corp. Class B  1,636,798     14,453
* Radius Global Infrastructure Inc.    941,711     14,371
* Liberty Latin America Ltd. Class C  1,777,809     13,849
* Magnite Inc.  1,535,293     13,633
* WideOpenWest Inc.    705,213     12,842
* Vimeo Inc.  2,104,607     12,670
  Sinclair Broadcast Group Inc. Class A    584,220     11,918
* iHeartMedia Inc. Class A  1,466,089     11,567
* AMC Networks Inc. Class A    395,142     11,507
* Liberty Media Corp.-Liberty Braves Class C    465,517     11,172
* Globalstar Inc.  8,873,742     10,915
* Eventbrite Inc. Class A  1,023,993     10,516
* Anterix Inc.    246,503     10,124
* EchoStar Corp. Class A    520,312     10,042
* Cardlytics Inc.    446,196      9,955
* EW Scripps Co. Class A    775,311      9,668
* PubMatic Inc. Class A    596,843      9,484
          Shares Market
Value

($000)
*,1 Charge Enterprises Inc.  1,978,844      9,439
* Cars.com Inc.    867,497      8,180
* Lions Gate Entertainment Corp. Class A    815,797      7,595
* Consolidated Communications Holdings Inc.    986,925      6,908
* Liberty Latin America Ltd. Class A    879,551      6,861
* Clear Channel Outdoor Holdings Inc.  6,384,120      6,831
* QuinStreet Inc.    676,110      6,802
*,1 fuboTV Inc.  2,745,486      6,781
  ATN International Inc.    141,007      6,615
*,1 Starry Group Holdings Inc. Class A  1,493,239      6,152
* IDT Corp. Class B    235,246      5,916
* Bandwidth Inc. Class A    313,027      5,891
* Gannett Co. Inc.  1,971,172      5,716
* Stagwell Inc.    999,489      5,427
* United States Cellular Corp.    183,457      5,313
* Thryv Holdings Inc.    234,203      5,244
* Advantage Solutions Inc.  1,360,664      5,171
* Nextdoor Holdings Inc.  1,529,837      5,064
* Boston Omaha Corp. Class A    231,795      4,787
* Marcus Corp.    317,813      4,694
*,1 Playstudios Inc.  1,092,288      4,675
* Angi Inc. Class A  1,020,572      4,674
* Sciplay Corp. Class A    327,501      4,575
*,1 Skillz Inc. Class A  3,616,291      4,484
*,1 Liberty Media Corp.-Liberty Braves Class A    177,664      4,468
  Entravision Communications Corp. Class A    835,184      3,808
* Ooma Inc.    300,626      3,559
*,1 AST SpaceMobile Inc.    546,884      3,434
*,1 Genius Brands International Inc.  3,944,268      2,986
* Daily Journal Corp.     11,157      2,887
* DHI Group Inc.    580,240      2,884
* TrueCar Inc.  1,107,250      2,868
* MediaAlpha Inc. Class A    279,154      2,750
* Reservoir Media Inc.    380,922      2,484
* EverQuote Inc. Class A    258,096      2,282
* ZipRecruiter Inc. Class A    151,403      2,244
* Integral Ad Science Holding Corp.    204,655      2,032
*,1 AdTheorent Holding Co. Inc.    653,683      2,020
* Hemisphere Media Group Inc. Class A    260,645      1,989
* comScore Inc.    908,163      1,871
*,1 Cumulus Media Inc. Class A    227,630      1,760
  Spok Holdings Inc.    269,844      1,700
*,1 System1 Inc.    237,301      1,654
*,1 Golden Matrix Group Inc.    363,580      1,629
  Saga Communications Inc. Class A     62,836      1,561
* Emerald Holding Inc.    366,898      1,493
* Audacy Inc. Class A  1,584,481      1,493
*,1 Leafly Holdings Inc.    331,500      1,492
*,1 KORE Group Holdings Inc.    434,608      1,334
*,1 Arena Group Holdings Inc.    147,317      1,326
* Lee Enterprises Inc.     68,380      1,299
* Innovid Corp.    687,821      1,142
* Townsquare Media Inc. Class A    136,294      1,116
*,1 Urban One Inc. Class A    203,760      1,113
* Loyalty Ventures Inc.    269,437        962
*,1 Cinedigm Corp. Class A  1,867,441        919
*,1 Redbox Entertainment Inc.    112,252        831
* Gaia Inc. Class A    194,110        825
1 National CineMedia Inc.    868,027        795
* Liberty TripAdvisor Holdings Inc. Class A  1,017,762        770
4

 

Extended Market Index Fund
          Shares Market
Value

($000)
* Reading International Inc. Class A    211,846        765
* Fluent Inc.    638,538        760
*,1 Chicken Soup For The Soul Entertainment Inc.    102,374        759
* IZEA Worldwide Inc.    784,653        705
*,1 CuriosityStream Inc.    392,105        663
*,1 LiveOne Inc.    762,327        653
*,1 Wejo Group Ltd.    529,730        630
* Travelzoo    102,326        620
* Ballantyne Strong Inc.    249,405        601
* Outbrain Inc.    105,760        532
* Marchex Inc. Class B    400,100        528
* BuzzFeed Inc.    337,800        520
* Zedge Inc. Class B    160,734        463
* Super League Gaming Inc.    414,943        423
*,1,2 NII Holdings Inc.  1,297,367        337
  DallasNews Corp.     52,044        329
* Salem Media Group Inc. Class A    133,017        282
*,1 Dolphin Entertainment Inc.     86,444        273
* NextPlay Technologies Inc.    510,817        178
* Stran & Co. Inc.    103,686        172
* Beasley Broadcast Group Inc. Class A    109,596        140
*,1 Society Pass Inc.     71,319        138
* Insignia Systems Inc.     17,904        137
* SPAR Group Inc.    108,259        128
*,1 Paltalk Inc.     62,318        125
* Creatd Inc.    149,216        110
* Kubient Inc.    128,879         85
* Cuentas Inc.    114,035         71
* Mediaco Holding Inc. Class A     32,748         68
* Creative Realities Inc.    103,597         63
*,1 Troika Media Group Inc.     69,905         53
*,1 Professional Diversity Network Inc.     73,847         52
* AutoWeb Inc.    128,788         49
* Grom Social Enterprises Inc.    105,935         43
* Motorsport Games Inc. Class A     62,787         41
*,1 Moving Image Technologies Inc.     28,721         37
* Direct Digital Holdings Inc. Class A     28,276         36
* Urban One Inc.      7,400         32
* NextPlat Corp.        300          1
                    2,871,090
Consumer Discretionary (10.5%)
* Airbnb Inc. Class A  4,915,308    437,856
* Lululemon Athletica Inc.  1,562,496    425,952
  Service Corp. International  2,130,867    147,286
* DoorDash Inc. Class A  2,242,610    143,908
* Burlington Stores Inc.    886,071    120,709
  Vail Resorts Inc.    544,625    118,755
  Lithia Motors Inc. Class A    385,973    106,069
  Aramark  3,457,654    105,908
* Mattel Inc.  4,731,166    105,647
  Williams-Sonoma Inc.    936,043    103,854
*,1 GameStop Corp. Class A    829,316    101,425
  Lear Corp.    802,049    100,970
*,1 Lucid Group Inc.  5,742,776     98,546
* Deckers Outdoor Corp.    367,031     93,721
* Floor & Decor Holdings Inc. Class A  1,422,442     89,557
  Churchill Downs Inc.    457,765     87,676
  Gentex Corp.  3,128,974     87,517
* Five Below Inc.    740,894     84,040
* Capri Holdings Ltd.  1,988,886     81,564
  Wyndham Hotels & Resorts Inc.  1,221,706     80,291
* Planet Fitness Inc. Class A  1,144,211     77,818
  H&R Block Inc.  2,142,910     75,688
  Autoliv Inc.  1,047,842     74,994
  Polaris Inc.    746,348     74,097
* TopBuild Corp.    437,464     73,126
  Macy's Inc.  3,807,863     69,760
  Murphy USA Inc.    294,734     68,635
* Bright Horizons Family Solutions Inc.    794,396     67,142
          Shares Market
Value

($000)
  Texas Roadhouse Inc. Class A    909,521     66,577
* Terminix Global Holdings Inc.  1,630,804     66,292
  Brunswick Corp.  1,006,878     65,830
  Toll Brothers Inc.  1,458,734     65,060
* Skechers USA Inc. Class A  1,818,713     64,710
  Marriott Vacations Worldwide Corp.    551,849     64,125
  Harley-Davidson Inc.  1,986,638     62,897
  Leggett & Platt Inc.  1,791,832     61,962
  Kohl's Corp.  1,715,939     61,242
* Light & Wonder Inc.  1,289,850     60,610
1 Dick's Sporting Goods Inc.    773,189     58,275
*,1 DraftKings Inc. Class A  4,846,332     56,557
*,1 Rivian Automotive Inc. Class A  2,164,307     55,709
  Thor Industries Inc.    727,593     54,373
* AutoNation Inc.    478,058     53,428
  Boyd Gaming Corp.  1,061,644     52,817
* Helen of Troy Ltd.    320,643     52,076
* Hyatt Hotels Corp. Class A    677,579     50,080
* Asbury Automotive Group Inc.    295,435     50,029
  Tempur Sealy International Inc.  2,337,039     49,943
* RH    234,293     49,731
* YETI Holdings Inc.  1,142,695     49,444
  Choice Hotels International Inc.    442,386     49,384
  Hanesbrands Inc.  4,700,382     48,367
* Ollie's Bargain Outlet Holdings Inc.    786,091     46,183
* Fox Factory Holding Corp.    566,257     45,606
  Travel + Leisure Co.  1,126,203     43,719
* Hilton Grand Vacations Inc.  1,188,991     42,483
  Wendy's Co.  2,249,048     42,462
* Dorman Products Inc.    379,909     41,680
  Penske Automotive Group Inc.    396,664     41,527
*,1 Wayfair Inc. Class A    948,394     41,312
* Grand Canyon Education Inc.    427,003     40,219
  Academy Sports & Outdoors Inc.  1,126,121     40,022
* Goodyear Tire & Rubber Co.  3,731,142     39,961
* Crocs Inc.    815,382     39,685
* Visteon Corp.    372,978     38,633
  LCI Industries    337,144     37,720
  Carter's Inc.    534,593     37,678
* Peloton Interactive Inc. Class A  4,093,822     37,581
  Group 1 Automotive Inc.    220,175     37,386
* Adient plc  1,260,128     37,338
* Taylor Morrison Home Corp. Class A  1,577,590     36,853
  Papa John's International Inc.    428,531     35,791
* Meritage Homes Corp.    490,931     35,593
  Signet Jewelers Ltd.    640,028     34,216
* Skyline Champion Corp.    702,608     33,318
  Steven Madden Ltd.  1,017,385     32,770
  KB Home  1,139,508     32,430
* Chegg Inc.  1,708,268     32,081
* Callaway Golf Co.  1,556,491     31,752
  Nordstrom Inc.  1,498,548     31,664
*,1 Chewy Inc. Class A    891,790     30,963
  Columbia Sportswear Co.    428,815     30,695
* Sonos Inc.  1,689,803     30,484
* Carvana Co.  1,338,654     30,227
* National Vision Holdings Inc.  1,096,701     30,159
  Graham Holdings Co. Class B     52,914     29,994
  Wingstop Inc.    397,431     29,716
*,1 QuantumScape Corp. Class A  3,454,350     29,673
* Under Armour Inc. Class C  3,872,809     29,356
  Foot Locker Inc.  1,114,133     28,132
* Leslie's Inc.  1,845,907     28,021
* SeaWorld Entertainment Inc.    628,312     27,759
* Gentherm Inc.    444,592     27,747
* Boot Barn Holdings Inc.    395,776     27,273
  Dana Inc.  1,925,338     27,090
  Cracker Barrel Old Country Store Inc.    312,771     26,113
  Installed Building Products Inc.    311,487     25,903
 
5

 

Extended Market Index Fund
          Shares Market
Value

($000)
* Frontdoor Inc.  1,073,602     25,852
* Victoria's Secret & Co.    909,018     25,425
* LGI Homes Inc.    285,235     24,787
  MDC Holdings Inc.    752,058     24,299
*,1 Duolingo Inc. Class A    276,690     24,224
  Red Rock Resorts Inc. Class A    709,117     23,656
  Gap Inc.  2,859,799     23,565
* Stride Inc.    572,687     23,360
* Tri Pointe Homes Inc.  1,368,965     23,094
  American Eagle Outfitters Inc.  2,037,606     22,780
* Six Flags Entertainment Corp.  1,039,960     22,567
  Wolverine World Wide Inc.  1,104,986     22,277
* Cavco Industries Inc.    113,532     22,251
* Adtalem Global Education Inc.    616,022     22,158
  Strategic Education Inc.    306,651     21,643
  Levi Strauss & Co. Class A  1,320,640     21,553
  Winnebago Industries Inc.    440,573     21,394
  Laureate Education Inc. Class A  1,829,708     21,170
  Kontoor Brands Inc.    634,338     21,168
* Vista Outdoor Inc.    753,258     21,016
* Shake Shack Inc. Class A    522,678     20,635
* Everi Holdings Inc.  1,212,258     19,772
  ADT Inc.  3,133,767     19,273
  Monro Inc.    446,742     19,156
  Acushnet Holdings Corp.    454,743     18,954
  Bloomin' Brands Inc.  1,083,163     18,002
  Century Communities Inc.    398,125     17,904
  Shutterstock Inc.    307,519     17,624
  Oxford Industries Inc.    197,548     17,530
* Tenneco Inc. Class A  1,012,285     17,371
* ODP Corp.    573,704     17,349
* Sally Beauty Holdings Inc.  1,448,094     17,261
  Cheesecake Factory Inc.    650,072     17,175
*,1 Luminar Technologies Inc. Class A  2,877,809     17,065
* Dave & Buster's Entertainment Inc.    516,335     16,925
* Urban Outfitters Inc.    873,261     16,295
*,1 Petco Health & Wellness Co. Inc. Class A  1,098,444     16,191
*,1 Fisker Inc. Class A  1,874,442     16,064
  Jack in the Box Inc.    282,850     15,857
* Coursera Inc.  1,117,960     15,853
  Patrick Industries Inc.    298,577     15,478
* M/I Homes Inc.    385,142     15,275
  Dine Brands Global Inc.    232,418     15,126
  Sturm Ruger & Co. Inc.    236,228     15,036
* Malibu Boats Inc. Class A    279,401     14,727
  Rent-A-Center Inc.    737,688     14,348
*,1 Overstock.com Inc.    571,028     14,281
  La-Z-Boy Inc.    582,416     13,809
  Qurate Retail Inc. Class A  4,807,714     13,798
* Revolve Group Inc. Class A    525,386     13,613
  Caleres Inc.    514,996     13,513
* iRobot Corp.    361,974     13,303
* Brinker International Inc.    598,532     13,186
  Franchise Group Inc.    363,365     12,743
* Playa Hotels & Resorts NV  1,812,469     12,452
* Under Armour Inc. Class A  1,446,600     12,050
* G-III Apparel Group Ltd.    588,465     11,905
*,1 Dutch Bros Inc. Class A    371,428     11,756
* American Axle & Manufacturing Holdings Inc.  1,546,990     11,649
* Green Brick Partners Inc.    587,303     11,494
* Perdoceo Education Corp.    961,212     11,323
  Standard Motor Products Inc.    251,659     11,322
* Abercrombie & Fitch Co. Class A    668,270     11,307
  Buckle Inc.    391,402     10,838
  Designer Brands Inc. Class A    829,505     10,833
* Golden Entertainment Inc.    271,818     10,750
* 2U Inc.  1,025,213     10,734
  Dillard's Inc. Class A     48,458     10,688
1 Camping World Holdings Inc. Class A    493,227     10,649
          Shares Market
Value

($000)
* MarineMax Inc.    291,612     10,533
* Monarch Casino & Resort Inc.    177,477     10,413
* XPEL Inc.    223,213     10,252
  Sonic Automotive Inc. Class A    268,809      9,846
* GoPro Inc. Class A  1,726,026      9,545
* Sleep Number Corp.    304,204      9,415
* Genesco Inc.    180,621      9,015
* America's Car-Mart Inc.     83,750      8,425
  Big Lots Inc.    394,701      8,277
  Smith & Wesson Brands Inc.    626,426      8,225
* Chico's FAS Inc.  1,643,919      8,170
* Accel Entertainment Inc. Class A    766,882      8,144
*,1 Solid Power Inc.  1,488,331      8,007
  Winmark Corp.     40,280      7,878
* Bally's Corp.    393,206      7,778
* Modine Manufacturing Co.    737,935      7,770
* Funko Inc. Class A    343,585      7,669
1 Guess? Inc.    442,536      7,545
* Denny's Corp.    862,366      7,485
  Hibbett Inc.    169,254      7,398
*,1 ContextLogic Inc. Class A  4,523,462      7,238
  Arko Corp.    884,625      7,219
* Children's Place Inc.    182,342      7,097
  Ruth's Hospitality Group Inc.    429,407      6,982
* BJ's Restaurants Inc.    320,583      6,950
  Movado Group Inc.    224,390      6,940
  Clarus Corp.    359,105      6,819
  Carriage Services Inc. Class A    170,324      6,753
* PowerSchool Holdings Inc. Class A    555,757      6,697
* Life Time Group Holdings Inc.    510,512      6,575
* Stoneridge Inc.    378,045      6,483
  Aaron's Co. Inc.    427,623      6,222
*,1 Garrett Motion Inc.    781,391      6,040
*,1 Faraday Future Intelligent Electric Inc.  2,310,713      6,008
  Ethan Allen Interiors Inc.    294,625      5,954
  Johnson Outdoors Inc. Class A     96,650      5,911
*,1 Vuzix Corp.    825,641      5,862
* Mister Car Wash Inc.    529,167      5,757
1 PetMed Express Inc.    287,369      5,719
* OneSpaWorld Holdings Ltd.    793,312      5,688
*,1 Bowlero Corp.    533,638      5,651
* TravelCenters of America Inc.    163,680      5,642
*,1 EVgo Inc.    938,216      5,639
* Sportsman's Warehouse Holdings Inc.    575,524      5,519
* Chuy's Holdings Inc.    276,813      5,514
* Stitch Fix Inc. Class A  1,107,115      5,469
1 Krispy Kreme Inc.    395,317      5,376
* MasterCraft Boat Holdings Inc.    254,349      5,354
*,1 Bed Bath & Beyond Inc.  1,069,098      5,313
* Zumiez Inc.    204,139      5,308
* Allbirds Inc. Class A  1,346,815      5,293
  RCI Hospitality Holdings Inc.    108,512      5,248
* Holley Inc.    495,201      5,200
  Shoe Carnival Inc.    239,663      5,179
* OneWater Marine Inc. Class A    155,515      5,140
* Poshmark Inc. Class A    506,020      5,116
*,1 Xometry Inc. Class A    147,272      4,997
*,1 Workhorse Group Inc.  1,921,698      4,996
* Lovesac Co.    180,499      4,964
* Liquidity Services Inc.    358,341      4,816
* Beazer Homes USA Inc.    394,716      4,764
* Universal Electronics Inc.    183,853      4,701
  Haverty Furniture Cos. Inc.    202,025      4,683
* WW International Inc.    732,278      4,679
*,1 Portillo's Inc. Class A    285,618      4,670
  Bluegreen Vacations Holding Corp. Class A    178,835      4,464
*,1 AMMO Inc.  1,154,214      4,444
  European Wax Center Inc. Class A    248,641      4,381
* CarParts.com Inc.    627,648      4,356
 
6

 

Extended Market Index Fund
          Shares Market
Value

($000)
* American Public Education Inc.    258,110      4,171
* Tupperware Brands Corp.    639,167      4,052
*,1 Rover Group Inc. Class A  1,045,269      3,930
* LL Flooring Holdings Inc.    405,817      3,803
* Motorcar Parts of America Inc.    274,315      3,599
*,1 Vacasa Inc. Class A  1,242,784      3,579
* Quotient Technology Inc.  1,203,275      3,574
*,1 Canoo Inc.  1,930,731      3,572
* Fossil Group Inc.    652,699      3,374
*,1 Mullen Automotive Inc.  3,305,925      3,372
  Build-A-Bear Workshop Inc.    205,300      3,371
* Vizio Holding Corp. Class A    493,729      3,367
* Universal Technical Institute Inc.    470,925      3,358
* Rush Street Interactive Inc.    718,094      3,354
* 1-800-Flowers.com Inc. Class A    350,145      3,330
*,1 Purple Innovation Inc. Class A  1,082,104      3,311
* Lindblad Expeditions Holdings Inc.    405,270      3,283
*,1 Vinco Ventures Inc.  2,325,336      3,209
1 Big 5 Sporting Goods Corp.    282,616      3,168
  Rocky Brands Inc.     91,776      3,137
*,1 Groupon Inc.    272,343      3,077
* Latham Group Inc.    438,630      3,040
*,1 Cricut Inc. Class A    491,773      3,019
  Cato Corp. Class A    259,186      3,009
* Inspired Entertainment Inc.    345,687      2,976
* Kura Sushi USA Inc. Class A     57,384      2,842
* Full House Resorts Inc.    462,908      2,814
* Container Store Group Inc.    450,433      2,806
* Unifi Inc.    198,648      2,793
* Citi Trends Inc.    117,624      2,782
* Hovnanian Enterprises Inc. Class A     64,336      2,753
*,1 Membership Collective Group Inc. Class A    422,619      2,739
* Century Casinos Inc.    380,189      2,737
* RealReal Inc.  1,077,657      2,683
* El Pollo Loco Holdings Inc.    269,009      2,647
*,1 Dream Finders Homes Inc. Class A    245,412      2,611
*,1 GrowGeneration Corp.    725,080      2,603
* Porch Group Inc.  1,013,957      2,596
*,1 Lordstown Motors Corp.  1,591,419      2,514
* Delta Apparel Inc.     85,481      2,425
  Bassett Furniture Industries Inc.    133,588      2,421
* ONE Group Hospitality Inc.    328,361      2,420
* Noodles & Co. Class A    507,164      2,384
  Nathan's Famous Inc.     40,632      2,380
  Hooker Furnishings Corp.    152,512      2,372
  Superior Group of Cos. Inc.    133,063      2,362
*,1 Inspirato Inc.    508,398      2,354
  Tilly's Inc. Class A    329,794      2,315
1 Vivid Seats Inc. Class A    294,894      2,203
* Lincoln Educational Services Corp.    346,233      2,185
*,1 Vroom Inc.  1,716,710      2,146
*,1 Volta Inc.  1,650,331      2,145
* Target Hospitality Corp.    372,679      2,128
* Udemy Inc.    207,087      2,114
* PlayAGS Inc.    404,403      2,087
*,1 Sonder Holdings Inc.  1,978,206      2,057
* VOXX International Corp. Class A    220,373      2,052
* Party City Holdco Inc.  1,517,532      2,003
* Sweetgreen Inc. Class A    170,935      1,991
* Conn's Inc.    246,065      1,973
*,1 PLBY Group Inc.    298,816      1,912
* Nerdy Inc.    893,801      1,904
* American Outdoor Brands Inc.    199,836      1,900
  Weyco Group Inc.     77,297      1,890
* Legacy Housing Corp.    144,516      1,886
* Vivint Smart Home Inc.    542,086      1,886
* Strattec Security Corp.     55,213      1,830
* Fiesta Restaurant Group Inc.    255,912      1,827
* First Watch Restaurant Group Inc.    126,490      1,824
          Shares Market
Value

($000)
* Lakeland Industries Inc.    118,707      1,823
* Xponential Fitness Inc. Class A    145,010      1,821
* Express Inc.    918,336      1,800
* Potbelly Corp.    316,599      1,789
* ThredUp Inc. Class A    706,201      1,766
  Lifetime Brands Inc.    159,603      1,762
* Red Robin Gourmet Burgers Inc.    216,678      1,740
* Lands' End Inc.    163,048      1,732
1 Weber Inc. Class A    239,722      1,728
* 1847 Goedeker Inc.  1,393,929      1,701
* Snap One Holdings Corp.    183,026      1,678
  Flexsteel Industries Inc.     92,819      1,671
* RumbleON Inc. Class B    113,553      1,670
  Escalade Inc.    128,370      1,668
* Destination XL Group Inc.    489,246      1,659
* Duluth Holdings Inc. Class B    171,333      1,635
* Drive Shack Inc.  1,191,290      1,632
* GAN Ltd.    547,456      1,620
* Vera Bradley Inc.    367,525      1,595
*,1 Warby Parker Inc. Class A    141,172      1,590
*,1 Beachbody Co. Inc.  1,290,565      1,549
*,1 XL Fleet Corp.  1,345,824      1,548
* Superior Industries International Inc.    376,611      1,488
* Lazydays Holdings Inc.    120,006      1,414
*,1 BARK Inc.  1,077,810      1,380
* Barnes & Noble Education Inc.    469,981      1,377
* JAKKS Pacific Inc.    108,436      1,373
* BBQ Holdings Inc.    129,641      1,351
* Traeger Inc.    312,006      1,326
  Marine Products Corp.    138,653      1,319
  Tile Shop Holdings Inc.    421,024      1,293
*,1 Arcimoto Inc.    391,016      1,279
* StoneMor Inc.    373,699      1,278
* Landsea Homes Corp.    187,775      1,251
1 JOANN Inc.    158,866      1,231
*,1 Boxed Inc.    656,465      1,214
*,1 Aterian Inc.    555,355      1,200
* Cooper-Standard Holdings Inc.    229,018      1,143
  Hamilton Beach Brands Holding Co. Class A     91,773      1,139
* F45 Training Holdings Inc.    281,788      1,107
  Carrols Restaurant Group Inc.    519,956      1,050
* XpresSpa Group Inc.  1,491,550      1,030
* J. Jill Inc.     54,078        989
* Arhaus Inc. Class A    179,801        809
* Biglari Holdings Inc. Class B      6,433        789
* Biglari Holdings Inc. Class A      1,330        782
* Nautilus Inc.    434,117        760
*,1 Solo Brands Inc. Class A    174,043        707
* Brilliant Earth Group Inc. Class A    148,379        705
*,1 Rent the Runway Inc. Class A    225,526        692
  Ark Restaurants Corp.     38,415        691
*,1 Koss Corp.     94,122        654
*,1 Shift Technologies Inc. Class A    963,316        648
*,1 Torrid Holdings Inc.    149,855        647
  Culp Inc.    147,635        635
*,1 Kirkland's Inc.    179,720        633
* Lulu's Fashion Lounge Holdings Inc.     55,179        599
* Charles & Colvard Ltd.    443,539        550
* BurgerFi International Inc.    167,609        541
*,1 Remark Holdings Inc.  1,193,540        526
  Crown Crafts Inc.     81,882        513
* Lottery.com Inc.    457,623        513
* Live Ventures Inc.     19,993        500
*,1 Regis Corp.    455,543        492
*,1 Hall of Fame Resort & Entertainment Co.    817,409        485
* Horizon Global Corp.    296,562        483
* 1stdibs.com Inc.     79,197        451
* Sypris Solutions Inc.    190,093        441
* Zovio Inc. Class A    419,786        407
 
7

 

Extended Market Index Fund
          Shares Market
Value

($000)
* LMP Automotive Holdings Inc.     85,415        406
* CarLotz Inc.    906,418        357
  AMCON Distributing Co.      2,113        344
* Aspen Group Inc.    331,830        325
* Vince Holding Corp.     40,117        315
* AYRO Inc.    351,561        295
*,1 Harbor Custom Development Inc.    201,700        280
  Educational Development Corp.     64,641        273
* Rave Restaurant Group Inc.    246,099        268
  Flanigan's Enterprises Inc.      8,326        250
*,1 Kaival Brands Innovations Group Inc.    154,970        245
* Dixie Group Inc.    188,449        241
* iMedia Brands Inc.    185,283        224
* Waitr Holdings Inc.  1,410,517        215
* Tuesday Morning Corp.    585,590        211
* Forward Industries Inc.    139,573        207
* Xcel Brands Inc.    113,019        133
* Envela Corp.     17,179        122
* Esports Entertainment Group Inc.    298,412        122
* Allied Esports Entertainment Inc.     77,728        111
*,1 Enjoy Technology Inc.    483,593        105
* Good Times Restaurants Inc.     33,267        100
* Volcon Inc.     47,761         88
*,1 Greenlane Holdings Inc. Class A    361,747         71
  Canterbury Park Holding Corp.      2,678         69
* Nephros Inc.     44,580         68
* Amesite Inc.    145,556         67
* EBET Inc.     27,374         66
* TRxADE HEALTH Inc.     39,629         61
* Yunhong CTI Ltd.     80,660         58
* Emerson Radio Corp.     68,379         45
* iPower Inc.     42,702         45
*,1 Nova Lifestyle Inc.     60,182         43
*,2 Zagg Inc. CVR    448,712         40
* Kidpik Corp.     19,500         26
* Unique Fabricating Inc.     17,733         24
*,1 Toughbuilt Industries Inc.      8,301         19
  Jerash Holdings US Inc.      2,870         14
* Digital Brands Group Inc.     59,422         12
* Amergent Hospitality Group Inc.     19,975          5
*,2 Ocuphire Pharma Inc. CVR     13,673          2
* Worksport Ltd.        700          1
                    8,126,424
Consumer Staples (3.0%)
  Bunge Ltd.  2,031,789    184,263
* Darling Ingredients Inc.  2,165,371    129,489
* BJ's Wholesale Club Holdings Inc.  1,804,051    112,428
* Performance Food Group Co.  2,071,399     95,243
  Casey's General Stores Inc.    498,419     92,198
* US Foods Holding Corp.  3,001,527     92,087
  Ingredion Inc.    877,209     77,335
  Flowers Foods Inc.  2,668,558     70,236
* Post Holdings Inc.    746,344     61,461
  Sanderson Farms Inc.    276,163     59,521
* Grocery Outlet Holding Corp.  1,177,528     50,198
* Simply Good Foods Co.  1,209,437     45,680
  Spectrum Brands Holdings Inc.    547,166     44,879
* Hostess Brands Inc. Class A  1,839,135     39,008
  Albertsons Cos. Inc. Class A  1,440,889     38,501
* Boston Beer Co. Inc. Class A    126,009     38,177
* Coty Inc. Class A  4,624,044     37,039
  WD-40 Co.    183,448     36,939
* BellRing Brands Inc.  1,467,541     36,527
* Sprouts Farmers Market Inc.  1,441,393     36,496
  Coca-Cola Consolidated Inc.     62,020     34,973
  Lancaster Colony Corp.    264,236     34,028
* Freshpet Inc.    641,957     33,311
* Celsius Holdings Inc.    507,445     33,116
* TreeHouse Foods Inc.    741,583     31,013
          Shares Market
Value

($000)
* United Natural Foods Inc.    771,546     30,399
* Hain Celestial Group Inc.  1,217,238     28,897
  Nu Skin Enterprises Inc. Class A    660,089     28,582
  Medifast Inc.    155,018     27,982
  J & J Snack Foods Corp.    198,005     27,653
* Herbalife Nutrition Ltd.  1,261,254     25,793
  Energizer Holdings Inc.    877,604     24,880
  Edgewell Personal Care Co.    719,906     24,851
  Cal-Maine Foods Inc.    501,577     24,783
  PriceSmart Inc.    317,367     22,733
1 B&G Foods Inc.    951,748     22,633
* Pilgrim's Pride Corp.    655,782     20,480
  Universal Corp.    330,819     20,015
* elf Beauty Inc.    635,095     19,485
*,1 Beyond Meat Inc.    813,030     19,464
  Reynolds Consumer Products Inc.    698,657     19,052
* Central Garden & Pet Co. Class A    472,842     18,918
  Vector Group Ltd.  1,752,381     18,400
  Inter Parfums Inc.    235,369     17,196
* Chefs' Warehouse Inc.    435,165     16,924
  MGP Ingredients Inc.    168,833     16,898
* Beauty Health Co.  1,280,674     16,469
  Ingles Markets Inc. Class A    187,630     16,277
  Weis Markets Inc.    217,076     16,181
  National Beverage Corp.    314,552     15,394
  SpartanNash Co.    474,707     14,322
* Olaplex Holdings Inc.    965,340     13,602
  Fresh Del Monte Produce Inc.    457,252     13,503
  Andersons Inc.    406,621     13,414
  Seaboard Corp.      3,382     13,131
  Utz Brands Inc.    838,298     11,585
* USANA Health Sciences Inc.    154,529     11,182
  Calavo Growers Inc.    241,345     10,069
*,1 Veru Inc.    806,712      9,116
* Duckhorn Portfolio Inc.    428,089      9,016
  John B Sanfilippo & Son Inc.    115,896      8,401
  Tootsie Roll Industries Inc.    234,243      8,280
* Central Garden & Pet Co.    188,831      8,010
* Mission Produce Inc.    488,857      6,966
  Turning Point Brands Inc.    203,417      5,519
*,1 Rite Aid Corp.    764,368      5,152
* Sovos Brands Inc.    324,477      5,149
*,1 Benson Hill Inc.  1,857,206      5,089
*,1 22nd Century Group Inc.  2,271,867      4,839
* Seneca Foods Corp. Class A     84,564      4,697
*,1 Tattooed Chef Inc.    612,331      3,858
*,1 BRC Inc. Class A    468,144      3,820
* Landec Corp.    369,220      3,681
* Whole Earth Brands Inc.    513,294      3,182
* Vintage Wine Estates Inc.    402,058      3,160
*,1 AppHarvest Inc.    807,132      2,817
* HF Foods Group Inc.    531,573      2,775
* Vital Farms Inc.    316,473      2,769
  Limoneira Co.    192,872      2,718
  Village Super Market Inc. Class A    115,601      2,637
  Natural Grocers by Vitamin Cottage Inc.    147,698      2,356
  Oil-Dri Corp. of America     64,835      1,987
* Nature's Sunshine Products Inc.    174,217      1,859
  Alico Inc.     50,557      1,801
* Vita Coco Co. Inc.    155,319      1,521
*,1 Blue Apron Holdings Inc. Class A    363,845      1,324
*,1 Local Bounti Corp.    353,047      1,123
* Farmer Bros Co.    228,266      1,071
* Honest Co. Inc.    355,606      1,038
  Lifevantage Corp.    195,139        849
*,1 Splash Beverage Group Inc.    275,454        824
* Natural Alternatives International Inc.     74,963        783
  United-Guardian Inc.     52,153        782
* Rocky Mountain Chocolate Factory Inc.     95,693        659
 
8

 

Extended Market Index Fund
          Shares Market
Value

($000)
  Natural Health Trends Corp.    109,142        586
* Better Choice Co. Inc.    261,363        575
* LifeMD Inc.    269,119        549
* Alkaline Water Co. Inc.  1,233,065        485
* RiceBran Technologies    697,387        467
* Willamette Valley Vineyards Inc.     72,806        456
* Lifeway Foods Inc.     87,562        435
*,1 NewAge Inc.  1,874,944        420
* Zevia PBC Class A    148,393        417
  Ocean Bio-Chem Inc.     31,040        400
* Seneca Foods Corp. Class B      6,394        363
*,1 Arcadia Biosciences Inc.    300,033        300
* Real Good Food Co. Inc. Class A     25,029        176
* Reed's Inc.  1,113,652        174
* Cyanotech Corp.     51,994        152
  Coffee Holding Co. Inc.     55,673        136
* S&W Seed Co.    124,628        126
  Mannatech Inc.      7,348        122
* MedAvail Holdings Inc.     61,608         94
* Eastside Distilling Inc.    132,920         92
*,1 Laird Superfood Inc.     46,278         88
* Blue Star Foods Corp.     60,570         74
* Stryve Foods Inc. Class A     58,772         52
* Nuzee Inc.     49,869         50
*,1 Jupiter Wellness Inc.     59,271         43
* Guardion Health Sciences Inc.    278,115         40
* Zivo Bioscience Inc.      9,996         39
                    2,321,832
Energy (4.5%)
  Cheniere Energy Inc.  3,174,078    422,248
  Targa Resources Corp.  3,057,004    182,411
  Ovintiv Inc.  3,477,634    153,677
  EQT Corp.  3,965,133    136,401
  Texas Pacific Land Corp.     82,988    123,488
  Chesapeake Energy Corp.  1,514,116    122,795
* Antero Resources Corp.  3,793,997    116,286
* Southwestern Energy Co. 14,969,406     93,559
  HF Sinclair Corp.  2,006,511     90,614
  NOV Inc.  5,268,999     89,099
* Range Resources Corp.  3,468,286     85,840
  PDC Energy Inc.  1,276,169     78,625
  Matador Resources Co.  1,482,318     69,061
  DT Midstream Inc.  1,291,785     63,323
  Helmerich & Payne Inc.  1,397,799     60,189
  Murphy Oil Corp.  1,948,041     58,811
  SM Energy Co.  1,619,179     55,360
  ChampionX Corp.  2,714,560     53,884
  Continental Resources Inc.    779,266     50,925
  Civitas Resources Inc.    964,873     50,453
  Patterson-UTI Energy Inc.  2,885,689     45,478
* CNX Resources Corp.  2,608,941     42,943
  Magnolia Oil & Gas Corp. Class A  2,012,793     42,249
* Denbury Inc.    665,047     39,896
  California Resources Corp.  1,028,010     39,578
  Antero Midstream Corp.  4,350,524     39,372
* TechnipFMC plc  5,638,022     37,944
* Valaris Ltd.    882,699     37,285
* Kosmos Energy Ltd.  6,021,217     37,271
* PBF Energy Inc. Class A  1,265,080     36,713
  Whiting Petroleum Corp.    519,247     35,324
  Equitrans Midstream Corp.  5,393,273     34,301
  Cactus Inc. Class A    807,743     32,528
* Peabody Energy Corp.  1,421,812     30,327
  Chord Energy Corp.    249,086     30,301
  Arch Resources Inc.    204,073     29,201
* Transocean Ltd.  8,507,219     28,329
* Callon Petroleum Co.    629,920     24,693
* Delek US Holdings Inc.    943,671     24,384
  New Fortress Energy Inc. Class A    558,285     22,091
          Shares Market
Value

($000)
* Noble Corp.    871,405     22,090
  Northern Oil & Gas Inc.    871,256     22,008
  Enviva Inc.    379,852     21,735
* CONSOL Energy Inc.    422,510     20,864
* NexTier Oilfield Solutions Inc.  2,136,876     20,322
* Green Plains Inc.    715,804     19,448
* Tellurian Inc.  6,324,453     18,847
* Weatherford International plc    883,648     18,707
* Liberty Energy Inc. Class A  1,457,891     18,603
  Brigham Minerals Inc. Class A    698,778     17,211
  World Fuel Services Corp.    819,336     16,764
* Nabors Industries Ltd.    123,732     16,568
* Centennial Resource Development Inc. Class A  2,463,298     14,731
* Comstock Resources Inc.  1,208,288     14,596
  Archrock Inc.  1,716,567     14,196
* Oceaneering International Inc.  1,307,013     13,959
* Laredo Petroleum Inc.    191,769     13,221
  CVR Energy Inc.    388,412     13,012
  Core Laboratories NV    625,885     12,399
* Gulfport Energy Corp.    154,212     12,261
* Tidewater Inc.    570,497     12,032
*,1 Uranium Energy Corp.  3,866,500     11,909
  International Seaways Inc.    555,996     11,787
* Dril-Quip Inc.    456,679     11,782
* Archaea Energy Inc. Class A    745,314     11,575
* US Silica Holdings Inc.    998,589     11,404
* ProPetro Holding Corp.  1,094,471     10,945
* Clean Energy Fuels Corp.  2,262,454     10,136
* Par Pacific Holdings Inc.    618,429      9,641
* Ranger Oil Corp.    286,032      9,402
*,1 Earthstone Energy Inc. Class A    687,635      9,386
  Kinetik Holdings Inc. Class A    258,230      8,816
* Talos Energy Inc.    542,538      8,393
* TETRA Technologies Inc.  1,738,991      7,060
* Bristow Group Inc. Class A    301,476      7,055
* Diamond Offshore Drilling Inc.  1,183,622      6,972
  Berry Corp.    886,946      6,759
* SandRidge Energy Inc.    423,456      6,636
*,1 Vertex Energy Inc.    629,406      6,621
* RPC Inc.    957,745      6,618
*,1 Gevo Inc.  2,699,322      6,343
* Select Energy Services Inc. Class A    904,728      6,170
* Helix Energy Solutions Group Inc.  1,946,985      6,036
* REX American Resources Corp.     70,629      5,989
* W&T Offshore Inc.  1,252,512      5,411
  Dorian LPG Ltd.    352,418      5,357
1 VAALCO Energy Inc.    753,349      5,228
* Oil States International Inc.    863,135      4,678
*,1 Excelerate Energy Inc. Class A    233,056      4,642
* DMC Global Inc.    256,086      4,617
1 Crescent Energy Co. Class A    367,432      4,586
  Solaris Oilfield Infrastructure Inc. Class A    402,775      4,382
* Expro Group Holdings NV    370,843      4,272
* Newpark Resources Inc.  1,292,614      3,994
*,1 SilverBow Resources Inc.    130,971      3,714
*,1 ProFrac Holding Corp. Class A    202,748      3,712
* Alto Ingredients Inc.    954,480      3,541
* Centrus Energy Corp. Class A    141,570      3,504
* Amplify Energy Corp.    525,672      3,438
  Sitio Royalties Corp.    134,185      3,110
*,1 Ring Energy Inc.  1,102,202      2,932
  Evolution Petroleum Corp.    420,942      2,298
  NACCO Industries Inc. Class A     56,684      2,148
*,1 Camber Energy Inc.  5,383,085      2,139
* Overseas Shipholding Group Inc. Class A  1,032,700      2,117
*,1 Aemetis Inc.    397,046      1,949
* Natural Gas Services Group Inc.    173,685      1,911
* Hallador Energy Co.    326,167      1,765
* Ranger Energy Services Inc. Class A    169,545      1,719
 
9

 

Extended Market Index Fund
          Shares Market
Value

($000)
* SEACOR Marine Holdings Inc.    298,506      1,719
  Epsilon Energy Ltd.    283,298      1,669
* NextDecade Corp.    362,516      1,610
*,1 Empire Petroleum Corp.    129,900      1,542
* Exterran Corp.    352,303      1,515
  Riley Exploration Permian Inc.     52,515      1,270
  PHX Minerals Inc.    391,669      1,191
*,1 Nabors Industries Ltd. Warrants Exp. 6/11/26     37,085      1,186
* Forum Energy Technologies Inc.     59,624      1,170
*,1 American Resources Corp.    678,650        984
  Adams Resources & Energy Inc.     26,384        849
* Geospace Technologies Corp.    178,733        847
* Gulf Island Fabrication Inc.    224,317        751
*,1 Ecoark Holdings Inc.    286,702        751
* Smart Sand Inc.    335,545        671
* Profire Energy Inc.    440,514        634
*,1 Houston American Energy Corp.    137,617        632
*,1 Lightbridge Corp.    106,984        499
* Nine Energy Service Inc.    182,633        484
* Battalion Oil Corp.     53,331        455
  US Energy Corp. Wyoming    113,357        392
*,1 KLX Energy Services Holdings Inc.     82,907        359
* Mammoth Energy Services Inc.    157,081        346
* PrimeEnergy Resources Corp.      4,159        326
* NCS Multistage Holdings Inc.     10,147        310
*,1 US Well Services Inc.    313,256        294
* Mexco Energy Corp.     16,503        284
*,1 ENGlobal Corp.    296,135        282
* Independence Contract Drilling Inc.     86,020        269
*,1 Enservco Corp.    132,516        260
* Superior Drilling Products Inc.    200,379        198
* PEDEVCO Corp.    154,098        177
* Barnwell Industries Inc.     68,182        160
* MIND Technology Inc.    165,579        146
*,1 New Concept Energy Inc.     56,567         87
*,1,2 Miragen Therapeutics Inc. CVR    330,960          7
*,2 Pineapple Energy Inc. CVR     30,377          4
*,1,2 Harvest Natural Resources Inc.    133,886         —
                    3,509,760
Financials (15.9%)
  Blackstone Inc.  9,422,337    859,600
  KKR & Co. Inc.  7,946,303    367,834
  Apollo Global Management Inc.  4,995,439    242,179
* Markel Corp.    179,281    231,855
* Arch Capital Group Ltd.  5,001,495    227,518
  LPL Financial Holdings Inc.  1,073,776    198,090
  First Horizon Corp.  7,180,810    156,973
* Alleghany Corp.    180,486    150,363
  Ally Financial Inc.  4,301,337    144,138
  Fidelity National Financial Inc.  3,733,134    137,977
  Ares Management Corp. Class A  2,301,737    130,877
  East West Bancorp Inc.  1,907,597    123,612
  American Financial Group Inc.    890,095    123,554
  Annaly Capital Management Inc. 20,886,912    123,442
  Equitable Holdings Inc.  4,720,432    123,062
  First Citizens BancShares Inc. Class A    179,239    117,183
  Reinsurance Group of America Inc.    893,257    104,770
  Western Alliance Bancorp  1,455,111    102,731
  Webster Financial Corp.  2,383,433    100,462
  Tradeweb Markets Inc. Class A  1,438,054     98,147
  Commerce Bancshares Inc.  1,450,499     95,225
  RenaissanceRe Holdings Ltd.    591,758     92,533
  Unum Group  2,698,574     91,805
  Cullen/Frost Bankers Inc.    765,499     89,142
  Starwood Property Trust Inc.  4,123,921     86,149
  Old Republic International Corp.  3,829,842     85,635
  Prosperity Bancshares Inc.  1,239,334     84,609
  Voya Financial Inc.  1,355,796     80,711
  Stifel Financial Corp.  1,431,070     80,169
          Shares Market
Value

($000)
  AGNC Investment Corp.  7,036,569     77,895
  SouthState Corp.  1,001,084     77,234
  SEI Investments Co.  1,404,952     75,896
  First American Financial Corp.  1,431,690     75,765
  Morningstar Inc.    312,495     75,571
  Pinnacle Financial Partners Inc.  1,023,430     74,004
  Popular Inc.    934,456     71,888
  Jefferies Financial Group Inc.  2,547,596     70,365
  Synovus Financial Corp.  1,946,579     70,174
  Hanover Insurance Group Inc.    478,821     70,028
  Selective Insurance Group Inc.    801,581     69,689
  Glacier Bancorp Inc.  1,450,467     68,781
  First Financial Bankshares Inc.  1,710,280     67,163
  Kinsale Capital Group Inc.    286,530     65,799
  Interactive Brokers Group Inc. Class A  1,174,860     64,629
  Wintrust Financial Corp.    805,724     64,579
  Erie Indemnity Co. Class A    335,732     64,524
  Blackstone Mortgage Trust Inc. Class A  2,294,829     63,498
  United Bankshares Inc.  1,810,562     63,496
  RLI Corp.    533,356     62,184
  Primerica Inc.    515,211     61,666
  Affiliated Managers Group Inc.    515,262     60,080
  Carlyle Group Inc.  1,880,725     59,544
  Axis Capital Holdings Ltd.  1,038,199     59,271
  New Residential Investment Corp.  6,285,984     58,585
  Valley National Bancorp  5,621,552     58,520
  Old National Bancorp  3,926,509     58,073
  Cadence Bank  2,453,680     57,612
  SLM Corp.  3,612,718     57,587
  New York Community Bancorp Inc.  6,302,701     57,544
  Bank OZK  1,493,763     56,061
  Essent Group Ltd.  1,438,009     55,939
  Home BancShares Inc.  2,579,208     53,570
  OneMain Holdings Inc.  1,407,721     52,621
  MGIC Investment Corp.  4,158,796     52,401
  Janus Henderson Group plc  2,215,230     52,080
*,1 SoFi Technologies Inc.  9,879,073     52,063
  Houlihan Lokey Inc. Class A    658,737     51,994
  ServisFirst Bancshares Inc.    650,677     51,351
  Hancock Whitney Corp.  1,146,293     50,815
  Evercore Inc. Class A    539,363     50,490
  Independent Bank Corp. (Massachusetts)    629,545     50,005
  White Mountains Insurance Group Ltd.     39,924     49,750
  UMB Financial Corp.    573,055     49,340
1 Lazard Ltd. Class A  1,514,757     49,093
  FNB Corp.  4,481,243     48,666
  Umpqua Holdings Corp.  2,899,346     48,622
  Assured Guaranty Ltd.    860,139     47,987
*,1 Credit Acceptance Corp.    100,909     47,771
  Blue Owl Capital Inc. Class A  4,695,827     47,099
  Radian Group Inc.  2,300,074     45,196
  Community Bank System Inc.    712,080     45,060
  Hannon Armstrong Sustainable Infrastructure Capital Inc.  1,173,969     44,446
  CVB Financial Corp.  1,769,780     43,908
  United Community Banks Inc.  1,387,000     41,874
  Eastern Bankshares Inc.  2,244,809     41,439
  PacWest Bancorp  1,549,947     41,322
  First Interstate BancSystem Inc. Class A  1,080,215     41,167
* Brighthouse Financial Inc.  1,001,796     41,094
  Walker & Dunlop Inc.    418,046     40,275
  Bank of Hawaii Corp.    534,935     39,799
  Cathay General Bancorp  1,008,301     39,475
  Federated Hermes Inc. Class B  1,235,843     39,287
  Kemper Corp.    806,342     38,624
  BankUnited Inc.  1,084,232     38,566
  First Hawaiian Inc.  1,689,281     38,364
  American Equity Investment Life Holding Co.  1,042,759     38,134
  Pacific Premier Bancorp Inc.  1,256,619     36,744
 
10

 

Extended Market Index Fund
          Shares Market
Value

($000)
* Mr Cooper Group Inc.    993,830     36,513
  Associated Banc-Corp  1,974,915     36,062
  FirstCash Holdings Inc.    516,001     35,867
  Simmons First National Corp. Class A  1,680,558     35,729
  Ameris Bancorp    881,025     35,400
* Texas Capital Bancshares Inc.    670,030     35,270
  WSFS Financial Corp.    878,532     35,220
* Enstar Group Ltd.    163,573     35,001
  Atlantic Union Bankshares Corp.  1,011,733     34,318
  Moelis & Co. Class A    867,770     34,147
  First Bancorp (XNYS)  2,616,078     33,774
  Independent Bank Group Inc.    488,923     33,203
  Artisan Partners Asset Management Inc. Class A    894,058     31,802
  Hamilton Lane Inc. Class A    464,349     31,195
* Ryan Specialty Holdings Inc. Class A    791,758     31,029
  Jackson Financial Inc. Class A  1,153,618     30,859
  Fulton Financial Corp.  2,134,418     30,842
  BOK Financial Corp.    407,536     30,802
  Columbia Banking System Inc.  1,033,833     29,619
  Seacoast Banking Corp. of Florida    869,527     28,729
  CNO Financial Group Inc.  1,573,468     28,464
  International Bancshares Corp.    703,532     28,198
  Arbor Realty Trust Inc.  2,102,901     27,569
* Trupanion Inc.    456,251     27,494
  Chimera Investment Corp.  3,110,471     27,434
  Navient Corp.  1,932,553     27,036
  First Merchants Corp.    757,681     26,989
  Washington Federal Inc.    873,079     26,210
  Banner Corp.    459,227     25,813
* Axos Financial Inc.    717,905     25,737
  Flagstar Bancorp Inc.    711,467     25,222
  WesBanco Inc.    790,737     25,074
* Focus Financial Partners Inc. Class A    730,147     24,869
  First Financial Bancorp  1,268,545     24,610
  Virtu Financial Inc. Class A  1,051,160     24,608
  Towne Bank    888,641     24,127
  BancFirst Corp.    249,409     23,871
* Genworth Financial Inc. Class A  6,761,925     23,870
  Park National Corp.    195,676     23,726
  Nelnet Inc. Class A    274,654     23,414
  Trustmark Corp.    800,767     23,374
  Sandy Spring Bancorp Inc.    586,170     22,902
* Silvergate Capital Corp. Class A    427,258     22,871
  Stock Yards Bancorp Inc.    379,585     22,707
  Heartland Financial USA Inc.    546,242     22,691
  PJT Partners Inc. Class A    322,366     22,656
  Provident Financial Services Inc.  1,013,392     22,558
  Two Harbors Investment Corp.  4,518,748     22,503
  Veritex Holdings Inc.    762,289     22,305
  Lakeland Financial Corp.    335,093     22,257
  Renasant Corp.    753,606     21,711
  Horace Mann Educators Corp.    564,279     21,657
  Hope Bancorp Inc.  1,559,605     21,585
*,1 Upstart Holdings Inc.    680,826     21,528
  Cohen & Steers Inc.    337,352     21,452
* Cannae Holdings Inc.  1,107,692     21,423
  NBT Bancorp Inc.    566,941     21,311
  Northwest Bancshares Inc.  1,654,160     21,173
  Piper Sandler Cos.    186,472     21,138
* Palomar Holdings Inc.    325,700     20,975
  TriCo Bancshares    458,094     20,907
*,1 Coinbase Global Inc. Class A    443,115     20,835
  Westamerica Bancorp    363,882     20,254
  Enterprise Financial Services Corp.    479,676     19,907
* Triumph Bancorp Inc.    316,803     19,819
  Eagle Bancorp Inc.    416,027     19,724
* PRA Group Inc.    533,033     19,381
* NMI Holdings Inc. Class A  1,154,486     19,222
* Encore Capital Group Inc.    328,351     18,969
          Shares Market
Value

($000)
  FB Financial Corp.    478,468     18,766
* Green Dot Corp. Class A    733,376     18,415
  Safety Insurance Group Inc.    188,892     18,341
  Apollo Commercial Real Estate Finance Inc.  1,748,903     18,259
  Stewart Information Services Corp.    360,258     17,923
  PennyMac Financial Services Inc.    405,360     17,718
* StoneX Group Inc.    226,169     17,657
  Hilltop Holdings Inc.    657,968     17,541
* BRP Group Inc. Class A    720,455     17,399
  Argo Group International Holdings Ltd.    467,596     17,236
  First Commonwealth Financial Corp.  1,272,288     17,074
  ProAssurance Corp.    722,505     17,073
  StepStone Group Inc. Class A    648,101     16,870
  PennyMac Mortgage Investment Trust  1,215,655     16,813
  First Bancorp (XNGS)    473,101     16,511
  Virtus Investment Partners Inc.     95,377     16,311
  CNA Financial Corp.    361,302     16,222
  Capitol Federal Financial Inc.  1,751,568     16,079
  Employers Holdings Inc.    381,390     15,976
  National Bank Holdings Corp. Class A    416,505     15,940
1 Franklin BSP Realty Trust Inc.  1,179,856     15,904
  Mercury General Corp.    358,683     15,890
  City Holding Co.    198,222     15,834
  Berkshire Hills Bancorp Inc.    637,844     15,799
  OFG Bancorp    620,983     15,773
* LendingClub Corp.  1,344,419     15,716
  Ladder Capital Corp.  1,489,087     15,695
  Southside Bancshares Inc.    416,625     15,590
  First Busey Corp.    678,296     15,499
  OceanFirst Financial Corp.    809,591     15,487
  Meta Financial Group Inc.    394,919     15,272
* Bancorp Inc.    769,780     15,026
  BGC Partners Inc. Class A  4,336,448     14,614
  Live Oak Bancshares Inc.    428,858     14,534
  German American Bancorp Inc.    415,026     14,186
*,1 Forge Global Holdings Inc.  1,361,311     14,171
  S&T Bancorp Inc.    512,137     14,048
  Brookline Bancorp Inc.  1,052,753     14,012
* Open Lending Corp. Class A  1,365,924     13,973
  New York Mortgage Trust Inc.  5,042,154     13,916
* Customers Bancorp Inc.    402,414     13,642
  AMERISAFE Inc.    260,507     13,549
* Enova International Inc.    453,799     13,078
  First Foundation Inc.    638,368     13,074
  Dime Community Bancshares Inc.    439,812     13,040
  Banc of California Inc.    736,472     12,977
  MFA Financial Inc.  1,198,067     12,879
  Premier Financial Corp.    496,371     12,583
  James River Group Holdings Ltd.    506,342     12,547
  Preferred Bank    182,815     12,435
  Lakeland Bancorp Inc.    849,018     12,413
  Heritage Financial Corp.    488,279     12,285
  Goosehead Insurance Inc. Class A    265,776     12,138
1 Rocket Cos. Inc. Class A  1,644,755     12,105
* Blucora Inc.    653,694     12,067
  Redwood Trust Inc.  1,560,468     12,031
  Broadmark Realty Capital Inc.  1,782,775     11,962
  QCR Holdings Inc.    220,995     11,932
* Columbia Financial Inc.    542,670     11,836
  ConnectOne Bancorp Inc.    483,515     11,822
  KKR Real Estate Finance Trust Inc.    677,133     11,816
* Nicolet Bankshares Inc.    162,471     11,753
  Origin Bancorp Inc.    298,658     11,588
  Tompkins Financial Corp.    160,324     11,559
* PROG Holdings Inc.    700,361     11,556
* Donnelley Financial Solutions Inc.    391,925     11,479
  Washington Trust Bancorp Inc.    236,745     11,451
1 ARMOUR Residential REIT Inc.  1,605,388     11,302
  TPG Inc. Class A    462,913     11,068
 
11

 

Extended Market Index Fund
          Shares Market
Value

($000)
  Ready Capital Corp.    912,906     10,882
  Ellington Financial Inc.    731,903     10,737
  Federal Agricultural Mortgage Corp. Class C    107,372     10,485
  1st Source Corp.    230,710     10,474
  United Fire Group Inc.    303,999     10,406
  Univest Financial Corp.    404,096     10,280
  Kearny Financial Corp.    874,706      9,718
  Allegiance Bancshares Inc.    255,868      9,662
  BrightSpire Capital Inc. Class A  1,267,224      9,568
* Metropolitan Bank Holding Corp.    137,496      9,545
*,1 Lemonade Inc.    522,718      9,545
  Horizon Bancorp Inc.    543,184      9,462
  Hanmi Financial Corp.    415,195      9,317
  B. Riley Financial Inc.    215,284      9,096
  TFS Financial Corp.    646,851      8,881
  Camden National Corp.    201,112      8,859
  Cowen Inc. Class A    371,876      8,810
  Flushing Financial Corp.    412,255      8,765
  HarborOne Bancorp Inc.    615,171      8,483
  Peoples Bancorp Inc.    318,690      8,477
  Brightsphere Investment Group Inc.    468,429      8,436
  Central Pacific Financial Corp.    392,156      8,412
  Community Trust Bancorp Inc.    206,394      8,347
  Amerant Bancorp Inc. Class A    295,727      8,316
  First Mid Bancshares Inc.    229,804      8,197
  Heritage Commerce Corp.    757,118      8,094
  HomeStreet Inc.    231,698      8,033
* CrossFirst Bankshares Inc.    608,330      8,030
* MBIA Inc.    645,428      7,971
  Byline Bancorp Inc.    333,045      7,926
  Merchants Bancorp    345,881      7,841
  Dynex Capital Inc.    491,233      7,820
  Ares Commercial Real Estate Corp.    625,090      7,645
  First Bancshares Inc.    264,986      7,579
  WisdomTree Investments Inc.  1,484,335      7,526
  HCI Group Inc.    110,239      7,470
  Victory Capital Holdings Inc. Class A    307,459      7,410
  Diamond Hill Investment Group Inc.     42,656      7,407
  TPG RE Finance Trust Inc.    814,344      7,337
  Granite Point Mortgage Trust Inc.    764,281      7,314
* Ambac Financial Group Inc.    639,779      7,261
  A-Mark Precious Metals Inc.    224,577      7,243
  Old Second Bancorp Inc.    541,346      7,243
  Cambridge Bancorp     86,883      7,185
  TrustCo Bank Corp.    227,418      7,014
  Great Southern Bancorp Inc.    118,906      6,963
1 Orchid Island Capital Inc.  2,376,229      6,772
  CBTX Inc.    253,882      6,751
* LendingTree Inc.    153,933      6,745
  Midland States Bancorp Inc.    279,944      6,730
  Northfield Bancorp Inc.    511,179      6,661
* SiriusPoint Ltd.  1,213,453      6,577
  Mercantile Bank Corp.    201,767      6,446
  Bank of Marin Bancorp    202,458      6,434
  Bank First Corp.     83,949      6,364
1 Invesco Mortgage Capital Inc.    418,811      6,148
  National Western Life Group Inc. Class A     30,179      6,117
  Hingham Institution For Savings     21,465      6,091
  Arrow Financial Corp.    188,255      5,988
  MidWestOne Financial Group Inc.    201,289      5,982
  P10 Inc. Class A    535,667      5,957
  Business First Bancshares Inc.    277,782      5,920
  Peapack-Gladstone Financial Corp.    195,058      5,793
  Independent Bank Corp. (Michigan)    300,173      5,787
  First Financial Corp.    127,139      5,658
  Financial Institutions Inc.    215,311      5,602
  Equity Bancshares Inc. Class A    192,093      5,601
  Republic Bancorp Inc. Class A    115,936      5,594
* EZCORP Inc. Class A    742,162      5,574
          Shares Market
Value

($000)
  Farmers National Banc Corp.    369,162      5,537
  HomeTrust Bancshares Inc.    221,267      5,532
  Waterstone Financial Inc.    323,527      5,516
  CNB Financial Corp.    226,856      5,488
  First Community Bankshares Inc.    178,444      5,248
  Bar Harbor Bankshares    202,285      5,231
  Peoples Financial Services Corp.     93,637      5,229
  Primis Financial Corp.    379,729      5,176
  Universal Insurance Holdings Inc.    395,366      5,152
* World Acceptance Corp.     45,189      5,072
  Citizens & Northern Corp.    209,102      5,054
* Coastal Financial Corp.    132,314      5,044
  Alerus Financial Corp.    211,273      5,030
  Capstar Financial Holdings Inc.    252,366      4,951
  SmartFinancial Inc.    204,788      4,948
  Regional Management Corp.    131,460      4,913
1 Farmers & Merchants Bancorp Inc.    147,667      4,901
  West Bancorp Inc.    199,877      4,865
* Blue Foundry Bancorp    405,607      4,863
  American National Bankshares Inc.    139,995      4,845
  Metrocity Bankshares Inc.    237,854      4,831
  First Internet Bancorp    130,572      4,808
* Carter Bankshares Inc.    359,589      4,747
  Mid Penn Bancorp Inc.    172,371      4,649
* AssetMark Financial Holdings Inc.    247,389      4,643
  Southern Missouri Bancorp Inc.    102,303      4,630
* Southern First Bancshares Inc.    104,405      4,551
  Bridge Investment Group Holdings Inc. Class A    312,811      4,548
  MVB Financial Corp.    145,333      4,521
*,1 Hippo Holdings Inc.  5,079,443      4,463
  Capital City Bank Group Inc.    159,090      4,437
  Shore Bancshares Inc.    238,396      4,410
  First of Long Island Corp.    250,442      4,390
1 UWM Holdings Corp. Class A  1,225,713      4,339
  Civista Bancshares Inc.    199,556      4,243
* Selectquote Inc.  1,694,230      4,202
  Sierra Bancorp    192,109      4,175
* Bridgewater Bancshares Inc.    257,194      4,151
*,1 Hagerty Inc. Class A    358,458      4,119
  Oppenheimer Holdings Inc. Class A    123,770      4,089
  Amalgamated Financial Corp.    204,171      4,039
  Guaranty Bancshares Inc.    106,714      3,868
  Home Bancorp Inc.    112,003      3,823
* Professional Holding Corp. Class A    190,415      3,818
  South Plains Financial Inc.    157,484      3,802
  Orrstown Financial Services Inc.    157,220      3,800
  Northeast Bank    103,692      3,788
  Provident Bancorp Inc.    238,739      3,748
  BayCom Corp.    180,145      3,725
  PCSB Financial Corp.    193,725      3,698
  BCB Bancorp Inc.    212,841      3,625
  ACNB Corp.    121,038      3,594
  Red River Bancshares Inc.     65,868      3,562
  Northrim Bancorp Inc.     88,413      3,560
1 John Marshall Bancorp Inc.    155,700      3,509
* Acacia Research Corp.    680,956      3,432
  First Bancorp Inc.    113,699      3,426
  RBB Bancorp    164,129      3,393
  Esquire Financial Holdings Inc.    101,788      3,390
  Colony Bankcorp Inc.    224,239      3,384
  Enterprise Bancorp Inc.    104,032      3,349
  Donegal Group Inc. Class A    194,016      3,308
  Investors Title Co.     21,033      3,300
  Summit Financial Group Inc.    118,808      3,300
  PCB Bancorp    176,010      3,288
  Blue Ridge Bankshares Inc.    214,239      3,282
  First Bank    232,221      3,246
* Ocwen Financial Corp.    115,250      3,158
  FS Bancorp Inc.    109,226      3,136
 
12

 

Extended Market Index Fund
          Shares Market
Value

($000)
  GCM Grosvenor Inc. Class A    441,003      3,021
* Velocity Financial Inc.    273,207      3,003
  AFC Gamma Inc.    194,728      2,985
* eHealth Inc.    318,234      2,969
* Ponce Financial Group Inc.    321,052      2,967
  Tiptree Inc. Class A    277,013      2,942
  Investar Holding Corp.    134,265      2,940
  Perella Weinberg Partners Class A    497,279      2,899
  Macatawa Bank Corp.    320,645      2,835
  First Business Financial Services Inc.     90,275      2,816
* Greenlight Capital Re Ltd. Class A    362,625      2,803
  Evans Bancorp Inc.     82,185      2,793
  Community Financial Corp.     75,681      2,791
* FVCBankcorp Inc.    147,925      2,785
  National Bankshares Inc.     88,324      2,773
  Parke Bancorp Inc.    129,820      2,721
  Territorial Bancorp Inc.    129,778      2,706
  HBT Financial Inc.    151,274      2,703
  Federal Agricultural Mortgage Corp. Class A     29,589      2,692
  Norwood Financial Corp.    110,554      2,682
* Republic First Bancorp Inc.    703,196      2,679
  Ames National Corp.    120,576      2,674
  Capital Bancorp Inc.    122,969      2,668
*,1 Citizens Inc. Class A    632,742      2,651
  Codorus Valley Bancorp Inc.    117,292      2,640
* Atlanticus Holdings Corp.     74,373      2,616
  Bankwell Financial Group Inc.     83,749      2,600
  Manning & Napier Inc. Class A    208,505      2,600
  Timberland Bancorp Inc.    100,093      2,502
  Meridian Corp.     81,751      2,477
  Great Ajax Corp.    243,268      2,333
  Middlefield Banc Corp.     91,987      2,318
  Unity Bancorp Inc.     87,448      2,316
  Chemung Financial Corp.     48,507      2,280
  ESSA Bancorp Inc.    135,039      2,269
  First Northwest Bancorp    145,405      2,268
  Plumas Bancorp     79,224      2,261
  First Guaranty Bancshares Inc.     92,686      2,253
* First Western Financial Inc.     82,320      2,238
  Penns Woods Bancorp Inc.     96,644      2,232
  Luther Burbank Corp.    170,687      2,227
* Oscar Health Inc. Class A    522,848      2,222
  Nexpoint Real Estate Finance Inc.    107,930      2,188
  Bank of Princeton     79,418      2,181
  Richmond Mutual Bancorp Inc.    155,807      2,178
  Sculptor Capital Management Inc. Class A    260,847      2,178
  Hawthorn Bancshares Inc.     85,149      2,170
  Greene County Bancorp Inc.     47,791      2,164
* Oportun Financial Corp.    260,395      2,153
  Central Valley Community Bancorp    145,091      2,104
* California Bancorp    110,633      2,103
  Virginia National Bankshares Corp.     65,882      2,075
  C&F Financial Corp.     45,113      2,074
  AG Mortgage Investment Trust Inc.    306,551      2,069
  Five Star Bancorp     76,817      2,030
  MainStreet Bancshares Inc.     89,111      2,029
  Citizens Community Bancorp Inc.    145,610      2,014
  Fidelity D&D Bancorp Inc.     49,363      2,009
  LCNB Corp.    132,242      1,977
  Riverview Bancorp Inc.    299,733      1,972
  OP Bancorp    185,247      1,943
* Maiden Holdings Ltd.    999,523      1,939
  Randolph Bancorp Inc.     73,189      1,936
  Seven Hills Realty Trust    181,233      1,936
* NI Holdings Inc.    117,275      1,927
  William Penn Bancorp    163,503      1,913
  First United Corp.    100,991      1,895
  FNCB Bancorp Inc.    235,886      1,887
  Crawford & Co. Class B    265,916      1,875
          Shares Market
Value

($000)
  First Savings Financial Group Inc.     77,924      1,865
  Northeast Community Bancorp Inc.    157,983      1,859
  Peoples Bancorp of North Carolina Inc.     68,223      1,853
  Associated Capital Group Inc. Class A     51,505      1,845
  Greenhill & Co. Inc.    196,365      1,810
  BankFinancial Corp.    189,835      1,783
* Security National Financial Corp. Class A    209,334      1,771
* Consumer Portfolio Services Inc.    170,341      1,746
  ChoiceOne Financial Services Inc.     86,197      1,736
  First Community Corp.     90,477      1,734
  SB Financial Group Inc.     99,437      1,716
  Eagle Bancorp Montana Inc.     85,640      1,705
* Moneylion Inc.  1,278,896      1,688
  Sachem Capital Corp.    412,907      1,685
  Franklin Financial Services Corp.     55,477      1,673
* Malvern Bancorp Inc.    102,116      1,641
  Medallion Financial Corp.    253,406      1,622
* Arlington Asset Investment Corp. Class A    494,024      1,606
  Silvercrest Asset Management Group Inc. Class A     97,641      1,602
  Salisbury Bancorp Inc.     33,684      1,591
  Curo Group Holdings Corp.    286,704      1,585
  Westwood Holdings Group Inc.    114,381      1,578
1 Ellington Residential Mortgage REIT    209,047      1,562
*,1 Root Inc. Class A  1,309,013      1,558
  Ohio Valley Banc Corp.     51,092      1,542
1 Finward Bancorp     41,124      1,542
  First Financial Northwest Inc.     98,698      1,534
* Sunlight Financial Holdings Inc.    519,494      1,533
  Western New England Bancorp Inc.    198,404      1,480
  Oak Valley Bancorp     85,824      1,476
  Pzena Investment Management Inc. Class A    222,711      1,468
  Prudential Bancorp Inc.     96,106      1,454
* Sterling Bancorp Inc.    249,917      1,425
  GAMCO Investors Inc. Class A     67,560      1,412
  United Security Bancshares    183,759      1,400
  Provident Financial Holdings Inc.     92,138      1,366
* Trean Insurance Group Inc.    215,476      1,342
  CF Bankshares Inc.     63,217      1,328
  Summit State Bank     85,789      1,306
* Catalyst Bancorp Inc.     96,077      1,300
1 Chicago Atlantic Real Estate Finance Inc.     84,100      1,267
  Bank of South Carolina Corp.     72,414      1,260
* USCB Financial Holdings Inc.    109,163      1,260
  Lument Finance Trust Inc.    526,530      1,253
*,1 MarketWise Inc.    340,444      1,226
* Third Coast Bancshares Inc.     54,695      1,198
  Guild Holdings Co. Class A    117,176      1,194
  Western Asset Mortgage Capital Corp.    981,644      1,188
  First National Corp.     64,436      1,176
  First Capital Inc.     42,197      1,143
* SWK Holdings Corp.     65,223      1,139
  Old Point Financial Corp.     44,911      1,135
  United Bancorp Inc.     66,947      1,097
  HMN Financial Inc.     47,095      1,087
  Landmark Bancorp Inc.     42,400      1,074
*,1 Bakkt Holdings Inc.    509,027      1,069
* Pioneer Bancorp Inc.    108,951      1,068
1 Cherry Hill Mortgage Investment Corp.    164,718      1,054
  Bayfirst Financial Corp.     55,115      1,044
  Crawford & Co. Class A    133,513      1,041
* FFBW Inc.     85,136      1,034
1 Angel Oak Mortgage Inc.     79,746      1,034
  Union Bankshares Inc.     38,300      1,002
* Nicholas Financial Inc.    106,813        995
  Citizens Holding Co.     54,008        988
  Bank of the James Financial Group Inc.     75,721        984
  Heritage Insurance Holdings Inc.    370,621        978
  AmeriServ Financial Inc.    245,532        967
  CB Financial Services Inc.     41,665        952
 
13

 

Extended Market Index Fund
          Shares Market
Value

($000)
* MetroMile Inc.    970,104        890
* Safeguard Scientifics Inc.    237,576        886
  US Global Investors Inc. Class A    200,591        879
* Kingsway Financial Services Inc.    151,099        861
  Sound Financial Bancorp Inc.     22,590        857
  First US Bancshares Inc.     76,671        843
*,1 Katapult Holdings Inc.    787,864        843
* NerdWallet Inc. Class A    104,081        825
  Bank7 Corp.     35,498        811
  Partners Bancorp     87,982        795
* ACRES Commercial Realty Corp.     96,782        793
  Community West Bancshares     55,316        792
* Elevate Credit Inc.    313,340        739
* Affinity Bancshares Inc.     46,797        695
  IF Bancorp Inc.     35,959        683
* Hallmark Financial Services Inc.    269,016        651
*,1 OppFi Inc.    192,848        634
  Pathfinder Bancorp Inc.     31,287        624
  United Bancshares Inc.     20,954        596
  Limestone Bancorp Inc.     32,326        595
  Hennessy Advisors Inc.     56,865        594
  Auburn National Bancorp Inc.     19,557        529
  Emclaire Financial Corp.     14,701        513
* GoHealth Inc. Class A    858,555        513
*,1 Finance of America Cos. Inc. Class A    322,706        507
  Kingstone Cos. Inc.    123,015        485
  United Insurance Holdings Corp.    308,517        481
  Manhattan Bridge Capital Inc.     76,457        428
  loanDepot Inc. Class A    285,374        411
  Value Line Inc.      5,099        337
* Bogota Financial Corp.     29,674        333
* Midwest Holding Inc.     25,823        310
  Oconee Federal Financial Corp.     13,246        293
*,1 Reliance Global Group Inc.    139,137        291
* Oxbridge Re Holdings Ltd.     84,970        284
* Ashford Inc.     20,076        280
* Heritage Global Inc.    175,564        263
* Broadway Financial Corp.    235,423        250
  Atlantic American Corp.     88,286        236
*,1,2 Palisade Bio Inc. CVR    238,902        229
* Rhinebeck Bancorp Inc.     21,436        201
* Siebert Financial Corp.    129,565        201
* Vericity Inc.     26,052        186
* FlexShopper Inc.    180,047        162
  Magyar Bancorp Inc.     12,780        151
  Mid-Southern Bancorp Inc.     10,175        142
  TC Bancshares Inc.      9,876        134
* Carver Bancorp Inc.     21,622        125
1 Cohen & Co. Inc.     11,109        120
* Income Opportunity Realty Investors Inc.      8,937        110
* Impac Mortgage Holdings Inc.    181,058        105
  Glen Burnie Bancorp      9,237         98
  Home Federal Bancorp Inc. of Louisiana      4,434         93
* LM Funding America Inc.     98,813         81
*,1 Marpai Inc. Class A     71,725         69
* Finwise Bancorp      6,991         65
  Village Bank & Trust Financial Corp.      1,327         62
* FedNat Holding Co.    178,123         55
* Conifer Holdings Inc.     24,973         42
* Patriot National Bancorp Inc.      3,024         37
  National Security Group Inc.      1,272         21
  Southern States Bancshares Inc.        900         20
  Kentucky First Federal Bancorp      2,051         16
  Lake Shore Bancorp Inc.         38          1
*,2 Cogent Biosciences Inc. CVR    101,693         —
                   12,295,532
Health Care (13.3%)
* Veeva Systems Inc. Class A  1,871,601    370,652
* Seagen Inc.  1,722,946    304,858
          Shares Market
Value

($000)
* Avantor Inc.  8,170,873    254,114
* Horizon Therapeutics plc  3,084,768    246,041
* Alnylam Pharmaceuticals Inc.  1,621,872    236,550
* BioMarin Pharmaceutical Inc.  2,476,116    205,196
  Royalty Pharma plc Class A  4,858,726    204,261
* Insulet Corp.    933,025    203,343
* United Therapeutics Corp.    606,665    142,955
* Jazz Pharmaceuticals plc    840,689    131,156
* Neurocrine Biosciences Inc.  1,277,755    124,556
* Elanco Animal Health Inc.  6,318,799    124,038
* Biohaven Pharmaceutical Holding Co. Ltd.    846,708    123,374
* Repligen Corp.    692,676    112,491
* Syneos Health Inc.  1,375,080     98,566
  Chemed Corp.    201,960     94,798
* Exact Sciences Corp.  2,346,286     92,420
* Shockwave Medical Inc.    480,949     91,943
* Masimo Corp.    684,363     89,426
* Exelixis Inc.  4,266,046     88,819
* Sarepta Therapeutics Inc.  1,174,262     88,023
  Bruker Corp.  1,339,697     84,079
* Envista Holdings Corp.  2,180,493     84,036
* Novocure Ltd.  1,206,852     83,876
* Acadia Healthcare Co. Inc.  1,210,612     81,874
* Halozyme Therapeutics Inc.  1,838,616     80,899
* Change Healthcare Inc.  3,401,713     78,444
* Tenet Healthcare Corp.  1,446,241     76,014
  Encompass Health Corp.  1,336,526     74,912
  Perrigo Co. plc  1,801,754     73,097
  Azenta Inc.  1,008,446     72,709
* Teladoc Health Inc.  2,155,414     71,581
* Ionis Pharmaceuticals Inc.  1,902,852     70,444
* HealthEquity Inc.  1,133,122     69,562
* Intra-Cellular Therapies Inc.  1,170,571     66,816
* Inspire Medical Systems Inc.    365,588     66,782
* Omnicell Inc.    586,606     66,726
* AMN Healthcare Services Inc.    599,772     65,801
* Alkermes plc  2,207,806     65,771
* QuidelOrtho Corp.    672,465     65,350
* LHC Group Inc.    412,117     64,183
* Lantheus Holdings Inc.    920,865     60,805
* Globus Medical Inc. Class A  1,065,863     59,838
* Penumbra Inc.    473,473     58,957
* 10X Genomics Inc. Class A  1,275,110     57,699
* Ultragenyx Pharmaceutical Inc.    965,804     57,620
*,1 CRISPR Therapeutics AG    948,169     57,620
  Premier Inc. Class A  1,584,843     56,547
* Apellis Pharmaceuticals Inc.  1,232,800     55,747
* Guardant Health Inc.  1,371,836     55,340
* Medpace Holdings Inc.    366,270     54,820
*,1 Novavax Inc.  1,057,512     54,388
* Integra LifeSciences Holdings Corp.    957,251     51,720
  Ensign Group Inc.    697,877     51,273
* Option Care Health Inc.  1,842,105     51,192
* Tandem Diabetes Care Inc.    858,771     50,831
* Intellia Therapeutics Inc.    967,972     50,102
* Turning Point Therapeutics Inc.    664,016     49,967
* Arrowhead Pharmaceuticals Inc.  1,402,841     49,394
* Amedisys Inc.    438,268     46,071
* Cytokinetics Inc.  1,164,358     45,748
* STAAR Surgical Co.    633,634     44,944
* Mirati Therapeutics Inc.    667,348     44,799
* Haemonetics Corp.    680,802     44,375
* ICU Medical Inc.    268,912     44,206
* LivaNova plc    707,402     44,191
*,1 Doximity Inc. Class A  1,249,818     43,519
* iRhythm Technologies Inc.    400,665     43,284
* Natera Inc.  1,184,029     41,962
* Maravai LifeSciences Holdings Inc. Class A  1,471,074     41,793
* Blueprint Medicines Corp.    784,942     39,647
 
14

 

Extended Market Index Fund
          Shares Market
Value

($000)
* Prestige Consumer Healthcare Inc.    669,987     39,395
* PTC Therapeutics Inc.    944,000     37,817
* R1 RCM Inc.  1,785,066     37,415
  CONMED Corp.    388,532     37,206
* Karuna Therapeutics Inc.    291,814     36,917
* Denali Therapeutics Inc.  1,243,594     36,599
* Merit Medical Systems Inc.    674,267     36,592
* Pacira BioSciences Inc.    624,356     36,400
* Amicus Therapeutics Inc.  3,349,206     35,970
* Enovis Corp.    652,954     35,912
* Axonics Inc.    618,209     35,034
  Patterson Cos. Inc.  1,152,010     34,906
*,1 Neogen Corp.  1,429,129     34,428
* NuVasive Inc.    688,441     33,844
* Evolent Health Inc. Class A  1,089,311     33,453
  Select Medical Holdings Corp.  1,401,953     33,114
* Inari Medical Inc.    467,798     31,806
  Owens & Minor Inc.  1,003,095     31,547
* Insmed Inc.  1,580,210     31,162
* Integer Holdings Corp.    439,490     31,054
* Oak Street Health Inc.  1,888,086     31,040
* Certara Inc.  1,411,409     30,289
*,1 Corcept Therapeutics Inc.  1,269,749     30,195
* Covetrus Inc.  1,376,723     28,567
* Glaukos Corp.    625,896     28,428
* Twist Bioscience Corp.    799,119     27,937
* BioCryst Pharmaceuticals Inc.  2,563,886     27,126
* Progyny Inc.    926,127     26,904
* Fate Therapeutics Inc.  1,084,679     26,878
* Sotera Health Co.  1,341,252     26,275
* Beam Therapeutics Inc.    656,083     25,397
* AtriCure Inc.    614,810     25,121
* Global Blood Therapeutics Inc.    785,995     25,113
* Vir Biotechnology Inc.    981,625     25,002
* Arvinas Inc.    577,810     24,320
* Pediatrix Medical Group Inc.  1,135,040     23,847
* Ironwood Pharmaceuticals Inc. Class A  2,038,566     23,505
* AdaptHealth Corp. Class A  1,295,406     23,369
* Allscripts Healthcare Solutions Inc.  1,554,765     23,057
* Sage Therapeutics Inc.    700,151     22,615
* ACADIA Pharmaceuticals Inc.  1,567,760     22,090
* Xencor Inc.    779,913     21,346
* Supernus Pharmaceuticals Inc.    715,499     20,692
* CryoPort Inc.    664,351     20,582
* Nevro Corp.    467,810     20,504
* Iovance Biotherapeutics Inc.  1,843,586     20,353
* Dynavax Technologies Corp.  1,607,693     20,241
* Ligand Pharmaceuticals Inc.    223,229     19,917
* Cerevel Therapeutics Holdings Inc.    750,764     19,850
* Embecta Corp.    766,449     19,407
* Apollo Medical Holdings Inc.    502,373     19,387
* Myriad Genetics Inc.  1,060,890     19,276
  US Physical Therapy Inc.    173,990     19,000
* Veracyte Inc.    950,348     18,912
* CorVel Corp.    124,535     18,340
* Emergent BioSolutions Inc.    590,796     18,338
* Krystal Biotech Inc.    272,714     17,906
* 1Life Healthcare Inc.  2,275,314     17,838
* Zentalis Pharmaceuticals Inc.    634,632     17,833
* Meridian Bioscience Inc.    585,023     17,796
* Multiplan Corp.  3,233,427     17,752
* Addus HomeCare Corp.    212,815     17,723
* Avanos Medical Inc.    644,263     17,614
* Phreesia Inc.    687,934     17,205
* Relay Therapeutics Inc.  1,024,913     17,167
* Amphastar Pharmaceuticals Inc.    490,653     17,070
* Silk Road Medical Inc.    468,801     17,060
* Celldex Therapeutics Inc.    625,183     16,855
* Travere Therapeutics Inc.    690,659     16,735
          Shares Market
Value

($000)
* Schrodinger Inc.    632,432     16,703
* Kura Oncology Inc.    904,571     16,581
* REVOLUTION Medicines Inc.    838,595     16,344
* Agios Pharmaceuticals Inc.    736,493     16,328
* ChemoCentryx Inc.    654,692     16,223
* Vericel Corp.    625,071     15,739
* Arcus Biosciences Inc.    610,068     15,459
* Axsome Therapeutics Inc.    400,912     15,355
* CareDx Inc.    705,569     15,156
* Natus Medical Inc.    461,979     15,139
* Harmony Biosciences Holdings Inc.    304,511     14,851
  Mesa Laboratories Inc.     70,186     14,314
*,1 EQRx Inc.  3,024,906     14,187
* Fulgent Genetics Inc.    260,094     14,183
*,1 Cassava Sciences Inc.    500,687     14,079
* agilon health Inc.    642,681     14,030
* Syndax Pharmaceuticals Inc.    727,771     14,002
* ModivCare Inc.    163,733     13,835
* IVERIC bio Inc.  1,434,787     13,803
* OPKO Health Inc.  5,450,891     13,791
* Surgery Partners Inc.    474,218     13,714
* Heska Corp.    144,654     13,671
* NeoGenomics Inc.  1,649,007     13,439
* NextGen Healthcare Inc.    768,355     13,400
* Bridgebio Pharma Inc.  1,454,965     13,211
* Pacific Biosciences of California Inc.  2,950,387     13,041
* Prothena Corp. plc    479,642     13,022
*,1 MannKind Corp.  3,386,240     12,902
* Avid Bioservices Inc.    823,514     12,567
* Innoviva Inc.    845,153     12,474
  National HealthCare Corp.    177,822     12,430
* REGENXBIO Inc.    502,446     12,410
* Cerus Corp.  2,344,619     12,403
* Revance Therapeutics Inc.    896,338     12,387
* FibroGen Inc.  1,161,086     12,261
* ImmunoGen Inc.  2,706,652     12,180
*,1 Sorrento Therapeutics Inc.  6,058,370     12,177
  LeMaitre Vascular Inc.    264,669     12,056
* Crinetics Pharmaceuticals Inc.    643,240     11,996
* Adaptive Biotechnologies Corp.  1,481,532     11,986
* Madrigal Pharmaceuticals Inc.    167,353     11,979
  Atrion Corp.     18,798     11,821
* TransMedics Group Inc.    374,180     11,768
* American Well Corp. Class A  2,681,082     11,582
* Allogene Therapeutics Inc.  1,007,167     11,482
* Enanta Pharmaceuticals Inc.    242,647     11,470
* Varex Imaging Corp.    533,101     11,403
* Brookdale Senior Living Inc.  2,489,305     11,301
* Reata Pharmaceuticals Inc. Class A    371,240     11,282
* Chinook Therapeutics Inc.    623,654     10,908
* Editas Medicine Inc.    918,872     10,870
*,1 Cano Health Inc.  2,458,343     10,768
  Simulations Plus Inc.    215,357     10,624
* RadNet Inc.    613,506     10,601
* Privia Health Group Inc.    355,850     10,362
* Health Catalyst Inc.    711,047     10,303
* Anavex Life Sciences Corp.  1,023,362     10,244
* Artivion Inc.    540,989     10,214
* AngioDynamics Inc.    525,433     10,167
* Sangamo Therapeutics Inc.  2,455,645     10,166
*,1 Clover Health Investments Corp. Class A  4,674,124     10,003
* Cross Country Healthcare Inc.    474,592      9,886
*,1 Geron Corp.  6,187,616      9,591
* Vaxcyte Inc.    440,011      9,575
* Nektar Therapeutics  2,502,916      9,511
* Kymera Therapeutics Inc.    476,201      9,376
* Atara Biotherapeutics Inc.  1,199,486      9,344
* uniQure NV    491,547      9,162
* Catalyst Pharmaceuticals Inc.  1,297,982      9,099
 
15

 

Extended Market Index Fund
          Shares Market
Value

($000)
* Aclaris Therapeutics Inc.    636,343      8,883
* SomaLogic Inc.  1,932,988      8,737
* SpringWorks Therapeutics Inc.    349,719      8,610
* Avidity Biosciences Inc.    588,233      8,547
* Definitive Healthcare Corp. Class A    369,814      8,480
* Rocket Pharmaceuticals Inc.    615,335      8,467
* Collegium Pharmaceutical Inc.    473,443      8,389
* Codexis Inc.    793,903      8,304
* Vanda Pharmaceuticals Inc.    759,457      8,278
* OrthoPediatrics Corp.    191,211      8,251
* Cutera Inc.    219,463      8,230
* Outset Medical Inc.    550,456      8,180
* Alector Inc.    790,813      8,035
* Arcutis Biotherapeutics Inc.    375,835      8,009
* Cardiovascular Systems Inc.    553,494      7,948
* NanoString Technologies Inc.    615,852      7,821
* Morphic Holding Inc.    355,303      7,710
* Hims & Hers Health Inc.  1,701,655      7,709
* Deciphera Pharmaceuticals Inc.    585,329      7,697
* 2seventy bio Inc.    575,970      7,603
* TG Therapeutics Inc.  1,786,257      7,592
* Mersana Therapeutics Inc.  1,642,466      7,588
*,1 Myovant Sciences Ltd.    605,022      7,520
* Agiliti Inc.    364,467      7,475
* HealthStream Inc.    341,230      7,408
* Quanterix Corp.    457,463      7,406
* UFP Technologies Inc.     92,921      7,394
*,1 DocGo Inc.  1,033,899      7,382
  National Research Corp.    189,793      7,265
* Hanger Inc.    506,930      7,259
*,1 Sana Biotechnology Inc.  1,119,164      7,196
* Y-mAbs Therapeutics Inc.    474,545      7,180
* Replimune Group Inc.    406,641      7,108
* Surmodics Inc.    188,347      7,012
*,1 23andMe Holding Co.  2,820,529      6,995
* Pulmonx Corp.    474,979      6,992
* Castle Biosciences Inc.    318,102      6,982
* Eagle Pharmaceuticals Inc.    156,309      6,945
* Nurix Therapeutics Inc.    543,041      6,880
*,1 Point Biopharma Global Inc. Class A  1,001,548      6,821
*,1 Invitae Corp.  2,795,049      6,820
* Radius Health Inc.    651,518      6,756
* OptimizeRx Corp.    245,836      6,733
* Relmada Therapeutics Inc.    351,617      6,677
* Inogen Inc.    276,063      6,675
* Computer Programs & Systems Inc.    206,068      6,588
* NGM Biopharmaceuticals Inc.    510,283      6,542
*,1 CTI BioPharma Corp.  1,093,754      6,530
* Theravance Biopharma Inc.    714,314      6,472
* Orthofix Medical Inc.    274,513      6,462
* Coherus Biosciences Inc.    876,830      6,348
*,1 Sharecare Inc.  3,949,157      6,240
* Community Health Systems Inc.  1,658,555      6,220
* Ideaya Biosciences Inc.    450,541      6,217
* Agenus Inc.  3,198,400      6,205
*,1 Ocugen Inc.  2,707,219      6,145
* PetIQ Inc. Class A    365,492      6,137
* Gossamer Bio Inc.    732,204      6,129
* Alphatec Holdings Inc.    925,251      6,051
1 SIGA Technologies Inc.    513,603      5,948
*,1 Vaxart Inc.  1,697,682      5,942
* Accolade Inc.    788,710      5,836
*,1 Senseonics Holdings Inc.  5,517,614      5,683
* Altimmune Inc.    480,065      5,617
* BioLife Solutions Inc.    404,402      5,585
* iTeos Therapeutics Inc.    269,897      5,560
* Evolus Inc.    476,680      5,529
*,1 Bionano Genomics Inc.  3,963,654      5,470
* GoodRx Holdings Inc. Class A    921,603      5,456
          Shares Market
Value

($000)
  Phibro Animal Health Corp. Class A    285,005      5,452
*,1 Butterfly Network Inc.  1,772,553      5,442
* ViewRay Inc.  2,044,963      5,419
* AnaptysBio Inc.    265,231      5,384
* Cara Therapeutics Inc.    587,508      5,364
*,1 Roivant Sciences Ltd.  1,304,803      5,311
*,1 Esperion Therapeutics Inc.    833,408      5,300
* Albireo Pharma Inc.    265,710      5,277
* PMV Pharmaceuticals Inc.    369,443      5,265
* ANI Pharmaceuticals Inc.    175,516      5,208
* Atea Pharmaceuticals Inc.    724,271      5,142
*,1 ADMA Biologics Inc.  2,555,403      5,060
*,1 Sema4 Holdings Corp.  4,005,010      5,046
* Nuvation Bio Inc.  1,556,076      5,042
* Day One Biopharmaceuticals Inc.    278,909      4,992
* SI-BONE Inc.    377,284      4,980
* Inovio Pharmaceuticals Inc.  2,872,555      4,970
* Aerie Pharmaceuticals Inc.    650,497      4,879
* RAPT Therapeutics Inc.    267,207      4,877
* Keros Therapeutics Inc.    176,070      4,865
* Axogen Inc.    583,910      4,782
* Protagonist Therapeutics Inc.    603,836      4,776
* Pennant Group Inc.    371,053      4,753
*,1 Viridian Therapeutics Inc.    406,221      4,700
* Arcturus Therapeutics Holdings Inc.    297,077      4,676
*,1 Intercept Pharmaceuticals Inc.    336,297      4,644
* Anika Therapeutics Inc.    206,804      4,616
* Zimvie Inc.    282,062      4,516
*,1 Nkarta Inc.    364,602      4,492
* Kezar Life Sciences Inc.    541,789      4,481
* Figs Inc. Class A    487,153      4,438
* Signify Health Inc. Class A    319,277      4,406
* Ocular Therapeutix Inc.  1,090,428      4,384
* Seer Inc. Class A    486,887      4,358
*,1 Tricida Inc.    447,813      4,335
*,1 Mirum Pharmaceuticals Inc.    221,550      4,311
* Karyopharm Therapeutics Inc.    939,089      4,235
* Amneal Pharmaceuticals Inc.  1,313,864      4,178
* Alignment Healthcare Inc.    363,579      4,148
* Organogenesis Holdings Inc. Class A    848,776      4,142
  Utah Medical Products Inc.     47,898      4,114
* Cullinan Oncology Inc.    320,717      4,112
*,1 Cogent Biosciences Inc.    453,705      4,092
* Bluebird Bio Inc.    968,064      4,008
* Stoke Therapeutics Inc.    303,303      4,007
*,1 Tango Therapeutics Inc.    883,351      4,002
* Heron Therapeutics Inc.  1,405,934      3,923
* Prometheus Biosciences Inc.    138,859      3,920
* MiMedx Group Inc.  1,110,308      3,853
*,1 Alaunos Therapeutics Inc.  3,097,222      3,841
* Generation Bio Co.    582,442      3,821
* C4 Therapeutics Inc.    492,654      3,715
* Kiniksa Pharmaceuticals Ltd. Class A    376,289      3,646
* Foghorn Therapeutics Inc.    261,708      3,559
* Aadi Bioscience Inc.    287,960      3,548
*,1 Bioxcel Therapeutics Inc.    265,635      3,506
* Epizyme Inc.  2,351,974      3,457
* Arbutus Biopharma Corp.  1,274,366      3,454
* Adicet Bio Inc.    235,153      3,433
* Kodiak Sciences Inc.    438,652      3,351
*,1 ImmunityBio Inc.    897,851      3,340
*,1 XOMA Corp.    149,872      3,339
*,1 ClearPoint Neuro Inc.    248,345      3,241
*,1 CareMax Inc.    885,783      3,215
*,1 Tarsus Pharmaceuticals Inc.    219,962      3,211
*,1 Clovis Oncology Inc.  1,756,343      3,161
* Inhibrx Inc.    275,736      3,130
* Sutro Biopharma Inc.    593,620      3,093
*,1 CinCor Pharma Inc.    163,220      3,075
 
16

 

Extended Market Index Fund
          Shares Market
Value

($000)
*,1 LifeStance Health Group Inc.    542,869      3,018
* Akero Therapeutics Inc.    318,130      3,006
* Forma Therapeutics Holdings Inc.    435,980      3,004
* PROCEPT BioRobotics Corp.     91,789      3,001
  iRadimed Corp.     88,053      2,989
* Cymabay Therapeutics Inc.  1,003,707      2,961
* Seres Therapeutics Inc.    858,564      2,945
* Joint Corp.    191,030      2,925
*,1 Verve Therapeutics Inc.    190,944      2,918
*,1 Zomedica Corp. 13,205,251      2,906
* Eiger BioPharmaceuticals Inc.    454,347      2,862
* Aldeyra Therapeutics Inc.    716,158      2,857
* Verastem Inc.  2,414,753      2,801
*,1 VBI Vaccines Inc.  3,463,874      2,801
* Berkeley Lights Inc.    556,804      2,767
* Provention Bio Inc.    688,273      2,753
* Viking Therapeutics Inc.    951,502      2,750
* Rigel Pharmaceuticals Inc.  2,388,005      2,698
*,1 CEL - SCI Corp.    598,752      2,694
*,1 Lineage Cell Therapeutics Inc.  1,704,495      2,693
* OraSure Technologies Inc.    986,046      2,672
* KalVista Pharmaceuticals Inc.    271,213      2,669
* AVEO Pharmaceuticals Inc.    405,482      2,660
*,1 Recursion Pharmaceuticals Inc. Class A    323,509      2,633
*,1 Quantum-Si Inc.  1,134,487      2,632
*,1 DICE Therapeutics Inc.    169,126      2,625
* Kinnate Biopharma Inc.    206,204      2,600
*,1 Humacyte Inc.    808,579      2,596
* Liquidia Corp.    594,006      2,590
*,2 PDL BioPharma Inc.  1,757,467      2,583
*,1 Amylyx Pharmaceuticals Inc.    131,359      2,530
* Harrow Health Inc.    346,656      2,524
*,1 G1 Therapeutics Inc.    500,843      2,474
* SeaSpine Holdings Corp.    435,508      2,461
1 Zynex Inc.    306,578      2,447
*,1 Xeris Biopharma Holdings Inc.  1,580,195      2,434
* Accuray Inc.  1,241,097      2,433
* InfuSystem Holdings Inc.    250,919      2,416
* Apyx Medical Corp.    407,859      2,390
* EyePoint Pharmaceuticals Inc.    302,989      2,385
*,1 Omeros Corp.    860,394      2,366
* 4D Molecular Therapeutics Inc.    333,488      2,328
* Pliant Therapeutics Inc.    282,015      2,259
* ALX Oncology Holdings Inc.    277,012      2,241
  ProPhase Labs Inc.    176,029      2,232
*,1 IGM Biosciences Inc.    122,922      2,216
* Immunovant Inc.    566,815      2,211
* Beyond Air Inc.    330,217      2,209
* Rhythm Pharmaceuticals Inc.    531,206      2,205
*,1 Inozyme Pharma Inc.    462,254      2,205
* Design Therapeutics Inc.    157,236      2,201
* Treace Medical Concepts Inc.    153,406      2,200
* Dyne Therapeutics Inc.    318,763      2,190
* MacroGenics Inc.    737,125      2,175
* Voyager Therapeutics Inc.    366,690      2,167
* Co-Diagnostics Inc.    383,392      2,151
*,1 VistaGen Therapeutics Inc.  2,426,478      2,135
* Marinus Pharmaceuticals Inc.    439,069      2,125
*,1 Talkspace Inc.  1,231,313      2,093
* Cytek Biosciences Inc.    194,833      2,091
*,1 CorMedix Inc.    516,109      2,075
* Savara Inc.  1,364,571      2,074
*,1 Sesen Bio Inc.  2,559,435      2,074
*,1 Lyell Immunopharma Inc.    317,510      2,070
* Arcellx Inc.    113,209      2,047
* Optinose Inc.    554,680      2,030
* Kronos Bio Inc.    552,831      2,012
* Scholar Rock Holding Corp.    361,076      1,982
* Chimerix Inc.    948,029      1,972
          Shares Market
Value

($000)
*,1 Janux Therapeutics Inc.    160,794      1,963
* Tactile Systems Technology Inc.    268,032      1,957
* ORIC Pharmaceuticals Inc.    431,438      1,933
* Bioventus Inc. Class A    280,713      1,914
*,1 KemPharm Inc.    427,052      1,905
*,1 DermTech Inc.    342,841      1,899
* Fulcrum Therapeutics Inc.    387,083      1,897
* Semler Scientific Inc.     65,908      1,857
* Inotiv Inc.    192,729      1,850
* Harvard Bioscience Inc.    511,664      1,842
*,1 Matinas BioPharma Holdings Inc.  2,328,621      1,840
*,1 Atossa Therapeutics Inc.  1,683,368      1,835
* Phathom Pharmaceuticals Inc.    213,738      1,804
* Assertio Holdings Inc.    609,803      1,799
*,1 GreenLight Biosciences Holdings PBC    811,503      1,793
* F-star Therapeutics Inc.    285,564      1,788
*,1 Nautilus Biotechnology Inc. Class A    664,589      1,788
*,1 Lyra Therapeutics Inc.    316,335      1,787
* Lexicon Pharmaceuticals Inc.    956,981      1,780
* Gritstone bio Inc.    730,628      1,768
* Personalis Inc.    508,354      1,754
* WaVe Life Sciences Ltd.    539,798      1,754
*,1 HilleVax Inc.    159,913      1,748
*,1 Nuvalent Inc. Class A    126,260      1,712
*,1 Spectrum Pharmaceuticals Inc.  2,191,617      1,709
*,1 Aerovate Therapeutics Inc.    109,365      1,709
*,1 Precigen Inc.  1,274,327      1,708
* Convey Health Solutions Holdings Inc.    163,984      1,705
* Selecta Biosciences Inc.  1,273,212      1,668
* Otonomy Inc.    800,841      1,666
* Vera Therapeutics Inc. Class A    121,514      1,654
* Rezolute Inc.    511,793      1,653
* Pieris Pharmaceuticals Inc.    871,212      1,629
*,1 Paragon 28 Inc.    102,345      1,624
* Avita Medical Inc.    339,404      1,612
*,1 Citius Pharmaceuticals Inc.  1,735,800      1,597
*,1 Monte Rosa Therapeutics Inc.    165,175      1,597
*,1 Ventyx Biosciences Inc.    130,468      1,596
*,1 Olema Pharmaceuticals Inc.    391,189      1,592
* Concert Pharmaceuticals Inc.    376,519      1,585
*,1 Owlet Inc.    924,492      1,572
* Imago Biosciences Inc.    117,086      1,568
*,1 PepGen Inc.    157,149      1,561
* CytomX Therapeutics Inc.    843,775      1,544
*,1 MediciNova Inc.    609,149      1,541
* Apollo Endosurgery Inc.    421,512      1,539
*,1 Standard BioTools Inc.    960,982      1,538
* Vicarious Surgical Inc.    523,257      1,538
* Durect Corp.  3,190,608      1,525
*,1 TFF Pharmaceuticals Inc.    268,314      1,516
* Allovir Inc.    388,550      1,515
* Puma Biotechnology Inc.    528,174      1,505
* Adverum Biotechnologies Inc.  1,240,466      1,489
* Caribou Biosciences Inc.    274,267      1,489
*,1 SmileDirectClub Inc. Class A  1,430,179      1,487
*,1 Inmune Bio Inc.    167,766      1,483
* Shattuck Labs Inc.    363,637      1,476
* Alpine Immune Sciences Inc.    169,911      1,446
* Endo International plc  3,091,975      1,440
*,1 Biomea Fusion Inc.    119,961      1,437
* Allakos Inc.    458,654      1,436
*,1 Science 37 Holdings Inc.    712,362      1,432
*,1 Erasca Inc.    256,947      1,431
*,1 Entrada Therapeutics Inc.    117,094      1,426
* Sensus Healthcare Inc.    184,192      1,415
* FONAR Corp.     92,217      1,401
* Actinium Pharmaceuticals Inc.    289,718      1,394
* Celcuity Inc.    151,836      1,382
* Akouos Inc.    285,455      1,339
 
17

 

Extended Market Index Fund
          Shares Market
Value

($000)
*,1 Outlook Therapeutics Inc.  1,306,521      1,333
* Athira Pharma Inc.    432,337      1,319
* Jounce Therapeutics Inc.    429,036      1,300
* ContraFect Corp.    423,212      1,299
* Enzo Biochem Inc.    624,206      1,292
*,1 DarioHealth Corp.    209,614      1,287
* iCAD Inc.    318,743      1,275
* TCR2 Therapeutics Inc.    438,705      1,272
* Sight Sciences Inc.    141,329      1,271
*,1 PDS Biotechnology Corp.    347,979      1,270
* Annexon Inc.    335,473      1,265
* Merrimack Pharmaceuticals Inc.    212,255      1,263
*,1 Hyperfine Inc. Class A    566,000      1,262
* CytoSorbents Corp.    574,625      1,258
*,1 ChromaDex Corp.    742,094      1,239
* Ovid therapeutics Inc.    576,453      1,239
* Akoya Biosciences Inc.     95,703      1,230
* Silverback Therapeutics Inc.    288,024      1,221
*,1 Asensus Surgical Inc.  3,064,734      1,220
*,1 Cardiff Oncology Inc.    551,356      1,213
*,1 Humanigen Inc.    682,358      1,208
* Aveanna Healthcare Holdings Inc.    534,364      1,208
*,1 Capricor Therapeutics Inc.    339,900      1,186
* Stereotaxis Inc.    638,545      1,175
*,1 Paratek Pharmaceuticals Inc.    607,789      1,173
* Praxis Precision Medicines Inc.    478,421      1,172
*,1 Taysha Gene Therapies Inc.    313,296      1,165
*,1 Biora Therapeutics Inc.  1,658,860      1,161
* Edgewise Therapeutics Inc.    145,776      1,160
*,1 Oncology Institute Inc.    227,500      1,151
  XBiotech Inc.    203,977      1,148
*,1 Century Therapeutics Inc.    135,830      1,141
* Dare Bioscience Inc.    925,508      1,138
* Neuronetics Inc.    349,783      1,123
* BrainStorm Cell Therapeutics Inc.    405,606      1,119
* RxSight Inc.     79,390      1,118
*,1 Precision BioSciences Inc.    690,689      1,105
* KORU Medical Systems Inc.    436,377      1,104
* Assembly Biosciences Inc.    519,500      1,091
*,1 Innovage Holding Corp.    245,528      1,075
* Pardes Biosciences Inc. Class A    346,043      1,062
* Homology Medicines Inc.    535,097      1,054
*,1 Adamis Pharmaceuticals Corp.  2,103,096      1,054
*,1 Viracta Therapeutics Inc.    268,632      1,042
* Curis Inc.  1,052,279      1,036
* Passage Bio Inc.    438,742      1,035
* Clearside Biomedical Inc.    696,581      1,024
* Sonida Senior Living Inc.     48,598      1,021
*,1 TherapeuticsMD Inc.    102,558      1,020
*,1 Tyra Biosciences Inc.    142,355      1,018
* Lipocine Inc.  1,260,794      1,010
*,1 Forian Inc.    228,825      1,005
* VolitionRX Ltd.    489,552      1,004
* Anixa Biosciences Inc.    327,750      1,003
* aTyr Pharma Inc.    352,693        998
* AquaBounty Technologies Inc.    579,648        991
* Instil Bio Inc.    213,893        988
* Oncocyte Corp.  1,089,017        980
* Cue Biopharma Inc.    392,131        976
* Biotricity Inc.    550,453        974
*,1 Leap Therapeutics Inc.    842,416        969
*,1 Icosavax Inc.    169,005        968
*,1 PAVmed Inc.  1,033,854        966
*,1 ATI Physical Therapy Inc.    680,882        960
*,1 Trevena Inc.  2,309,501        956
* Tenaya Therapeutics Inc.    169,457        954
* Poseida Therapeutics Inc.    368,186        950
* La Jolla Pharmaceutical Co.    297,161        948
* NextCure Inc.    201,452        947
          Shares Market
Value

($000)
* Electromed Inc.     98,004        945
*,1 Seelos Therapeutics Inc.  1,388,840        945
*,1 Retractable Technologies Inc.    246,386        944
* Conformis Inc.  2,618,559        926
* Catalyst Biosciences Inc.    513,243        914
*,1 Rani Therapeutics Holdings Inc. Class A     88,181        911
* NightHawk Biosciences Inc.    351,949        897
*,1 Impel Pharmaceuticals Inc.     95,935        894
* MyMD Pharmaceuticals Inc.    410,026        890
*,1 Checkpoint Therapeutics Inc.    860,683        887
* Prelude Therapeutics Inc.    169,140        883
* Galectin Therapeutics Inc.    669,113        877
*,1 MEI Pharma Inc.  1,446,242        875
* Immunic Inc.    250,592        870
* LENSAR Inc.    133,054        866
* Akebia Therapeutics Inc.  2,409,053        851
*,1 Tela Bio Inc.    118,352        841
*,1 P3 Health Partners Inc.    223,860        833
*,1 Genprex Inc.    597,928        831
* Tabula Rasa HealthCare Inc.    322,440        829
* Fortress Biotech Inc.    984,130        827
*,1 GT Biopharma Inc.    275,611        824
* Exagen Inc.    141,784        814
* Palatin Technologies Inc.  2,887,432        810
* Adagio Therapeutics Inc.    246,191        808
*,1 Evelo Biosciences Inc.    381,811        806
* Vapotherm Inc.    318,283        805
*,1 iBio Inc.  3,046,799        804
*,1 Annovis Bio Inc.     70,905        804
*,1 PLx Pharma Inc.    329,367        800
*,1 Surrozen Inc.    271,491        798
* Infinity Pharmaceuticals Inc.  1,258,444        796
*,1 9 Meters Biopharma Inc.  3,040,609        793
*,1 Theseus Pharmaceuticals Inc.    142,199        786
* Surface Oncology Inc.    466,484        765
*,1 SQZ Biotechnologies Co.    240,692        765
*,1 Syros Pharmaceuticals Inc.    779,586        751
* Opiant Pharmaceuticals Inc.     62,250        746
*,1 Second Sight Medical Products Inc.    367,213        745
*,1 Oyster Point Pharma Inc.    171,624        743
* Streamline Health Solutions Inc.    582,649        740
* Orgenesis Inc.    300,195        726
*,1 Clene Inc.    288,123        726
*,1 Athersys Inc.  2,760,991        718
* Synlogic Inc.    623,408        717
*,1 Vor BioPharma Inc.    144,337        717
*,1 Sientra Inc.    849,618        712
*,1 Atreca Inc. Class A    392,599        703
* Rallybio Corp.     92,986        702
* IsoRay Inc.  2,232,052        690
* Oncternal Therapeutics Inc.    620,309        689
*,1 Augmedix Inc.    382,907        689
*,1 Zynerba Pharmaceuticals Inc.    603,145        688
* AirSculpt Technologies Inc.    115,400        684
* Codiak Biosciences Inc.    236,468        681
*,1 Eton Pharmaceuticals Inc.    259,195        679
* Acumen Pharmaceuticals Inc.    142,419        669
* Frequency Therapeutics Inc.    443,323        665
* BioAtla Inc.    233,111        664
* Moleculin Biotech Inc.    454,105        658
*,1 Pear Therapeutics Inc.    427,197        658
* Applied Molecular Transport Inc.    222,282        647
*,1 Ardelyx Inc.  1,083,721        639
*,1 Invacare Corp.    490,517        628
*,1 Mustang Bio Inc.  1,070,054        626
* Hepion Pharmaceuticals Inc.  1,089,086        624
* Alpha Teknova Inc.     73,861        620
* Black Diamond Therapeutics Inc.    248,601        612
*,1 Gelesis Holdings Inc.    394,479        611
 
18

 

Extended Market Index Fund
          Shares Market
Value

($000)
*,1 Absci Corp.    178,102        591
* Great Elm Group Inc.    274,500        590
* Harpoon Therapeutics Inc.    308,417        589
* Milestone Scientific Inc.    643,170        589
* UpHealth Inc.    984,568        583
*,1 Microbot Medical Inc.    113,273        581
* Singular Genomics Systems Inc.    151,515        579
* ImmuCell Corp.     66,076        574
* Lantern Pharma Inc.     99,130        566
* CVRx Inc.     93,620        563
* Rain Therapeutics Inc.    100,844        561
* Ikena Oncology Inc.    125,336        555
*,1 Immuneering Corp. Class A    102,456        554
* Magenta Therapeutics Inc.    459,219        551
* Sharps Compliance Corp.    186,634        545
*,1 SCYNEXIS Inc.    292,607        544
*,1 Solid Biosciences Inc.    882,100        543
* Eyenovia Inc.    277,328        541
* Talaris Therapeutics Inc.    119,365        538
* Achieve Life Sciences Inc.    109,487        534
* Champions Oncology Inc.     65,827        533
* Graphite Bio Inc.    193,655        533
* scPharmaceuticals Inc.    110,442        532
*,1 Aspira Women's Health Inc.    902,198        530
* Axcella Health Inc.    259,076        526
* Tracon Pharmaceuticals Inc.    262,440        525
* Molecular Templates Inc.    565,684        516
* Aura Biosciences Inc.     36,270        514
*,1 Cortexyme Inc.    225,353        500
*,1 Hookipa Pharma Inc.    305,886        499
  Psychemedics Corp.     78,208        496
* Equillium Inc.    242,039        494
*,1 SAB Biotherapeutics Inc.    339,966        493
* Neoleukin Therapeutics Inc.    478,112        492
* Eledon Pharmaceuticals Inc.    200,945        490
* Novan Inc.    209,835        489
* Biomerica Inc.    167,984        485
*,1 AIM ImmunoTech Inc.    619,120        483
* Avrobio Inc.    513,661        473
*,1 Oragenics Inc.  1,364,121        473
* Rubius Therapeutics Inc.    553,386        471
* Decibel Therapeutics Inc.    110,152        464
* Greenwich Lifesciences Inc.     54,664        463
* DiaMedica Therapeutics Inc.    228,271        461
*,1 Accelerate Diagnostics Inc.    463,803        460
* AIkido Pharma Inc.     77,589        457
*,1 Rapid Micro Biosystems Inc. Class A    105,947        456
* Caladrius Biosciences Inc.    850,585        451
* SELLAS Life Sciences Group Inc.    201,652        450
* Werewolf Therapeutics Inc.    109,878        449
*,1 Athenex Inc.  1,063,900        436
*,1 Ampio Pharmaceuticals Inc.  2,587,329        435
* Candel Therapeutics Inc.    133,875        434
* Avalo Therapeutics Inc.    863,405        432
* Ocuphire Pharma Inc.    224,241        431
*,1 Xilio Therapeutics Inc.    147,680        431
*,1 Enochian Biosciences Inc.    223,050        430
* Applied Genetic Technologies Corp.    556,629        429
* Corbus Pharmaceuticals Holdings Inc.  1,697,444        428
* Satsuma Pharmaceuticals Inc.    102,986        426
* Biolase Inc.     92,558        424
*,1 NeuroPace Inc.     85,399        423
* Entasis Therapeutics Holdings Inc.    192,039        422
* IRIDEX Corp.    163,869        421
* Synthetic Biologics Inc.  1,942,122        414
* Protara Therapeutics Inc.    140,444        412
* CareCloud Inc.    119,683        410
*,1 AcelRx Pharmaceuticals Inc.  1,657,710        405
*,1 Immunome Inc.    125,377        402
          Shares Market
Value

($000)
*,1 Gemini Therapeutics Inc. Class A    237,759        402
*,2 Tobira Therapeutics Inc. CVR Exp. 12/31/28     87,894        398
* Tyme Technologies Inc.  1,414,981        396
* enVVeno Medical Corp.    104,199        394
*,1 89bio Inc.    121,613        392
*,1 Jasper Therapeutics Inc.    201,513        389
* Omega Therapeutics Inc.    101,298        385
* NeuBase Therapeutics Inc.    362,230        380
* Sanara Medtech Inc.     18,221        380
* Five Star Senior Living Inc.    312,843        375
* Societal CDMO Inc.    470,492        374
* Precipio Inc.    352,392        374
*,1 Delcath Systems Inc.     92,408        369
* Bio-Path Holdings Inc.     94,978        368
* ElectroCore Inc.    718,880        367
* Pyxis Oncology Inc.    151,114        360
* CASI Pharmaceuticals Inc.    125,795        360
* Kewaunee Scientific Corp.     21,459        355
*,1 Vivos Therapeutics Inc.    274,143        354
* Corvus Pharmaceuticals Inc.    356,146        353
*,1 NeuroMetrix Inc.     94,942        349
* ARCA biopharma Inc.    140,054        349
* GlycoMimetics Inc.    582,678        348
*,1 T2 Biosystems Inc.  2,150,741        347
* Cocrystal Pharma Inc.    841,362        345
* Larimar Therapeutics Inc.    172,508        338
*,1 Trevi Therapeutics Inc.    119,865        337
*,1 Dyadic International Inc.    108,822        332
* Renovacor Inc.    163,183        331
* Finch Therapeutics Group Inc.    116,096        330
* PhaseBio Pharmaceuticals Inc.    545,560        327
*,1 Nemaura Medical Inc.    126,397        326
* Lumos Pharma Inc.     42,130        324
* Longeveron Inc.     54,411        323
* Bolt Biotherapeutics Inc.    157,140        321
*,1 Verrica Pharmaceuticals Inc.    166,230        319
*,1 Quotient Ltd.  1,327,497        319
* Onconova Therapeutics Inc.    236,310        312
*,1 Acutus Medical Inc.    277,784        311
* Eloxx Pharmaceuticals Inc.  1,154,415        308
*,1 Aligos Therapeutics Inc.    246,820        299
* Ekso Bionics Holdings Inc.    179,165        296
*,1 Idera Pharmaceuticals Inc.    644,948        296
* Alimera Sciences Inc.     53,677        294
* Predictive Oncology Inc.    712,227        292
*,1 Pulse Biosciences Inc.    190,750        292
*,1 Tonix Pharmaceuticals Holding Corp.    183,041        289
* Aileron Therapeutics Inc.  1,106,799        288
* Marker Therapeutics Inc.    869,815        287
* Spero Therapeutics Inc.    387,103        287
*,1 VYNE Therapeutics Inc.    738,229        287
*,1 Lannett Co. Inc.    491,745        285
* UNITY Biotechnology Inc.    503,319        284
* Oncorus Inc.    224,961        283
* Aptevo Therapeutics Inc.     78,656        282
*,1 BioCardia Inc.    189,000        280
* Aeglea BioTherapeutics Inc.    551,501        279
* Aptinyx Inc. Class A    490,875        274
*,1 RVL Pharmaceuticals plc    200,978        273
* Cidara Therapeutics Inc.    545,619        267
*,1 BioSig Technologies Inc.    403,690        266
* Cellectar Biosciences Inc.    653,769        264
* Reneo Pharmaceuticals Inc.     99,437        264
* 180 Life Sciences Corp.    307,089        260
* Terns Pharmaceuticals Inc.    103,931        258
* Cyclerion Therapeutics Inc.    468,984        257
* X4 Pharmaceuticals Inc.    262,584        253
* Pro-Dex Inc.     15,693        253
* Regulus Therapeutics Inc.    119,991        248
 
19

 

Extended Market Index Fund
          Shares Market
Value

($000)
*,1 Eliem Therapeutics Inc.     80,793        244
* OpGen Inc.    444,132        242
* Lucira Health Inc.    130,090        242
* Cyteir Therapeutics Inc.     80,980        242
* Soligenix Inc.    400,675        240
* Clever Leaves Holdings Inc.    244,530        239
*,1 Eargo Inc.    316,063        238
*,1 Chembio Diagnostics Inc.    359,348        234
* cbdMD Inc.    529,204        233
* NanoViricides Inc.    123,977        233
* Aytu BioPharma Inc.    338,161        233
* Applied Therapeutics Inc.    242,749        230
* Adial Pharmaceuticals Inc.    170,755        229
*,1 vTv Therapeutics Inc. Class A    304,454        228
*,1 Vincerx Pharma Inc.    173,040        228
* Strata Skin Sciences Inc.    235,454        226
* Sonendo Inc.    130,960        225
* Aquestive Therapeutics Inc.    345,020        221
* Sensei Biotherapeutics Inc.     97,509        221
*,1 Synaptogenix Inc.     43,477        220
*,1 Abeona Therapeutics Inc.  1,037,222        216
* Surgalign Holdings Inc.     63,088        215
* Sio Gene Therapies Inc.    593,038        214
* OncoSec Medical Inc.    286,551        213
* Biofrontera Inc.    114,476        213
*,1 Qualigen Therapeutics Inc.    370,708        211
*,1 NRX Pharmaceuticals Inc.    347,990        209
* Biocept Inc.    217,755        205
* Cabaletta Bio Inc.    191,348        203
* Minerva Neurosciences Inc.     61,078        202
* Navidea Biopharmaceuticals Inc.    276,491        199
*,1 Vaccinex Inc.    183,225        198
* Aethlon Medical Inc.    176,989        198
* Forte Biosciences Inc.    148,829        193
*,1 Brooklyn ImmunoTherapeutics Inc.    370,478        192
* Vyant Bio Inc.    210,231        191
* Diffusion Pharmaceuticals Inc.     28,936        190
*,1 Organovo Holdings Inc.    104,359        185
*,1 Spruce Biosciences Inc.    104,042        181
* Tempest Therapeutics Inc.     84,613        180
*,1 NanoVibronix Inc.    289,829        178
* Galera Therapeutics Inc.    135,361        176
* Bellerophon Therapeutics Inc.    142,009        175
*,1 Evofem Biosciences Inc.    154,402        174
*,1 Jaguar Health Inc.    587,867        173
* Cumberland Pharmaceuticals Inc.     82,984        172
* Edesa Biotech Inc.    106,091        170
* Talis Biomedical Corp.    209,178        170
*,1 Codex DNA Inc.     93,668        169
*,1 eFFECTOR Therapeutics Inc.    117,573        167
* Aravive Inc.    166,831        165
* Processa Pharmaceuticals Inc.     57,932        163
*,1 Brickell Biotech Inc.  1,250,058        158
*,1 SiNtx Technologies Inc.    362,591        157
* NexImmune Inc.     97,320        157
*,1 Rockwell Medical Inc.    119,969        155
*,1 Kala Pharmaceuticals Inc.    508,706        153
* American Shared Hospital Services     68,306        152
*,1 Nuvectis Pharma Inc.     13,612        152
*,1 AN2 Therapeutics Inc.     19,514        151
* AgeX Therapeutics Inc.    259,011        149
* Virpax Pharmaceuticals Inc.     88,040        148
* Celsion Corp.     79,599        145
*,1 Aridis Pharmaceuticals Inc.    128,846        142
* Cyclo Therapeutics Inc.     71,043        142
* Better Therapeutics Inc.     89,933        140
* Soleno Therapeutics Inc.    749,100        139
* Aprea Therapeutics Inc.    187,071        138
*,1 Allena Pharmaceuticals Inc.    681,160        130
          Shares Market
Value

($000)
*,1 Motus GI Holdings Inc.    461,025        130
*,1 Ontrak Inc.    121,550        129
* Astria Therapeutics Inc.     43,064        129
*,2 Strongbridge Biopharma plc CVR    687,671        125
*,1 LogicMark Inc.    114,124        124
* Nutriband Inc.     29,833        123
* Pulmatrix Inc.     26,806        123
* ENDRA Life Sciences Inc.    513,961        120
* Context Therapeutics Inc.     55,579        118
* Cohbar Inc.    606,938        115
* Reviva Pharmaceuticals Holdings Inc.    103,986        114
*,1 Biodesix Inc.     69,032        113
*,1 Calithera Biosciences Inc.     46,049        113
* Phio Pharmaceuticals Corp.    154,261        111
* TScan Therapeutics Inc.     35,247        111
* IsoPlexis Corp.     50,953        110
*,1 Bellicum Pharmaceuticals Inc.     92,706        109
* SunLink Health Systems Inc.    108,130        108
* Statera Biopharma Inc.    378,677        108
* Kintara Therapeutics Inc.    377,452        105
* Graybug Vision Inc.     96,699        105
* Myomo Inc.     61,353        103
*,1 Avinger Inc.     70,590        103
* LogicBio Therapeutics Inc.    282,216        102
*,1 Ensysce Biosciences Inc.    117,994        102
* Sonoma Pharmaceuticals Inc.     34,014        100
*,1 Lexaria Bioscience Corp.     33,164         99
*,1 Immix Biopharma Inc.     38,129         99
* Petros Pharmaceuticals Inc.    119,141         98
* Monopar Therapeutics Inc.     45,070         98
* Venus Concept Inc.    209,199         97
* Angion Biomedica Corp.     84,876         97
*,1 Evoke Pharma Inc.     29,851         97
* Cyclacel Pharmaceuticals Inc.     86,789         94
*,1 NovaBay Pharmaceuticals Inc.    373,541         93
* Protagenic Therapeutics Inc.    126,837         91
* PharmaCyte Biotech Inc.     39,935         90
*,1 Vigil Neuroscience Inc.     34,534         89
* Hoth Therapeutics Inc.    210,314         88
*,1 Benitec Biopharma Inc.     74,773         87
* Armata Pharmaceuticals Inc.     21,625         84
* PetVivo Holdings Inc.     52,937         84
* Plus Therapeutics Inc.    154,194         83
*,1 Yield10 Bioscience Inc.     36,944         83
* IMARA Inc.     65,610         80
* iSpecimen Inc.     36,786         80
* Salarius Pharmaceuticals Inc.    377,847         79
* Timber Pharmaceuticals Inc.    252,587         79
* Aziyo Biologics Inc. Class A     11,215         79
* Sigilon Therapeutics Inc.     95,157         79
* Virios Therapeutics Inc.     18,685         79
* Xenetic Biosciences Inc.     96,724         77
* GeoVax Labs Inc.     91,154         76
* IN8bio Inc.     31,297         76
* Landos Biopharma Inc.    103,089         75
* Exicure Inc.     34,823         75
* Allied Healthcare Products Inc.     45,588         74
* Viveve Medical Inc.    114,011         74
*,1 HTG Molecular Diagnostics Inc.     70,922         73
* Longboard Pharmaceuticals Inc.     23,559         73
* Sonnet BioTherapeutics Holdings Inc.    252,808         71
* INVO BioScience Inc.    105,539         70
* Miromatrix Medical Inc.     17,578         70
*,1 Windtree Therapeutics Inc.    166,133         69
* CynergisTek Inc.     55,455         67
* SCWorx Corp.    103,672         67
* Dynatronics Corp.    106,188         66
*,1 Applied DNA Sciences Inc.     87,412         65
*,2 Adamas Pharmaceuticals Inc. CVR  1,055,708         64
 
20

 

Extended Market Index Fund
          Shares Market
Value

($000)
* Imac Holdings Inc.     76,183         63
*,1 Elevation Oncology Inc.     40,981         57
* Acorda Therapeutics Inc.    117,219         55
  Indaptus Therapeutics Inc.     21,050         55
* Pasithea Therapeutics Corp.     53,683         54
* Yumanity Therapeutics Inc.     29,192         53
* Tenax Therapeutics Inc.    173,801         52
* ReShape Lifesciences Inc.     88,359         51
* HCW Biologics Inc.     23,321         51
* Minerva Surgical Inc.     21,195         50
* Baudax Bio Inc.     58,320         49
* BioVie Inc. Class A     32,672         47
*,1 Calyxt Inc.    192,274         46
* Sera Prognostics Inc. Class A     28,210         46
* Creative Medical Technology Holdings Inc.     61,050         46
* PolarityTE Inc.     31,876         46
* Galecto Inc.     25,708         44
* Biorestorative Therapies Inc.     14,000         42
* Titan Pharmaceuticals Inc.     72,773         41
* Enveric Biosciences Inc.    191,247         41
* Metacrine Inc.     74,962         37
* Lixte Biotechnology Holdings Inc.     48,388         37
*,1 Agile Therapeutics Inc.     29,419         34
* Avenue Therapeutics Inc.    125,030         33
*,1 Histogen Inc.     13,638         31
*,1 RA Medical Systems Inc.     96,567         30
* NeuroBo Pharmaceuticals Inc.     59,547         28
*,2 Aduro Biotech Inc. CVR    150,581         28
* Palisade Bio Inc.     69,410         28
*,1 Kiora Pharmaceuticals Inc.     59,968         28
* Inhibikase Therapeutics Inc.     34,361         26
*,1 Clarus Therapeutics Holdings Inc.     65,600         25
*,1,2 Oncternal Therapeutics Inc. CVR     20,153         21
* ThermoGenesis Holdings Inc.     77,065         21
*,2 Aevi Genomic Medicine Inc. CVR    631,947         21
* HeartBeam Inc.     15,570         20
* Aditxt Inc.    118,348         17
* Tenon Medical Inc.      7,028         16
* Vallon Pharmaceuticals Inc.     22,146         14
*,1 Panbela Therapeutics Inc.     20,608         14
*,2 Ocera Therapeutics Inc. CVR     48,417         13
* Cognition Therapeutics Inc.      4,487         10
* GBS Inc.     11,388          8
*,2 Qualigen Therapeutics Inc. CVR     91,096          6
*,2 Alexza Pharmaceuticals Inc. CVR    128,704          5
* Ligand Pharmaceuticals Inc. Glucagon CVR Rights    395,811          3
* Ligand Pharmaceuticals Inc. General CVR Rights    395,811          3
* Ligand Pharmaceuticals Inc. Roche CVR Rights    395,811          3
*,1,2 Seelos Therapeutics Inc. CVR      5,736          3
*,2 F-star Therapeutics Inc. CVR     40,838          3
* InVivo Therapeutics Holdings Corp.        648          3
*,2 Ambit Biosciences Corp. CVR     22,388         —
*,2 NeuroBo Pharmaceuticals Inc. CVR      5,194         —
* Advaxis Inc. Warrants Exp. 9/11/24     47,130         —
*,2 Lantheus Holdings Inc. CVR  1,316,898         —
*,2 Achillion Pharmaceuticals Inc. CVR        374         —
*,1,2 Aerpio Pharmaceuticals Inc. CVR    498,929         —
*,2 Salarius Pharmaceuticals Inc. Warrants Exp. 1/20/25    119,407         —
* First Wave BioPharma Inc.        400         —
                   10,302,810
Industrials (14.2%)
* Uber Technologies Inc. 22,661,929    463,663
* CoStar Group Inc.  5,302,862    320,346
  TransUnion  2,577,436    206,169
  Carlisle Cos. Inc.    692,591    165,259
  Booz Allen Hamilton Holding Corp.  1,780,110    160,851
  Graco Inc.  2,241,638    133,176
  Hubbell Inc. Class B    717,487    128,129
* Builders FirstSource Inc.  2,325,131    124,860
          Shares Market
Value

($000)
  AECOM  1,892,743    123,445
*,1 Plug Power Inc.  6,994,081    115,892
  Watsco Inc.    444,241    106,094
  Toro Co.  1,392,752    105,557
  Regal Rexnord Corp.    895,936    101,707
  Knight-Swift Transportation Holdings Inc. Class A  2,189,999    101,375
  HEICO Corp. Class A    942,788     99,351
  Tetra Tech Inc.    721,184     98,478
* WillScot Mobile Mini Holdings Corp.  2,986,704     96,829
  Owens Corning  1,299,288     96,550
  Lincoln Electric Holdings Inc.    778,374     96,020
  Lennox International Inc.    441,678     91,246
* Middleby Corp.    725,757     90,981
  KBR Inc.  1,870,366     90,507
* Axon Enterprise Inc.    956,012     89,072
* CACI International Inc. Class A    313,844     88,435
  Sensata Technologies Holding plc  2,086,580     86,197
* FTI Consulting Inc.    460,937     83,360
* Trex Co. Inc.  1,525,264     83,005
  AGCO Corp.    816,061     80,545
* Chart Industries Inc.    480,941     80,500
  HEICO Corp.    609,898     79,970
  Donaldson Co. Inc.  1,657,926     79,813
  Woodward Inc.    812,108     75,112
  ITT Inc.  1,112,282     74,790
  MDU Resources Group Inc.  2,726,490     73,588
* Clarivate plc  5,238,919     72,611
  Oshkosh Corp.    876,803     72,021
* SiteOne Landscape Supply Inc.    603,203     71,703
  Landstar System Inc.    491,761     71,512
* RBC Bearings Inc.    386,167     71,422
  Acuity Brands Inc.    462,127     71,186
  EMCOR Group Inc.    682,823     70,303
  Science Applications International Corp.    747,616     69,603
  nVent Electric plc  2,213,986     69,364
  Advanced Drainage Systems Inc.    766,031     68,996
  Curtiss-Wright Corp.    514,155     67,899
* Avis Budget Group Inc.    460,951     67,797
  BWX Technologies Inc.  1,214,066     66,883
* Saia Inc.    351,761     66,131
* Sunrun Inc.  2,793,811     65,263
  Valmont Industries Inc.    286,091     64,265
* XPO Logistics Inc.  1,328,386     63,975
* WESCO International Inc.    596,943     63,933
  Exponent Inc.    696,650     63,723
  AMERCO    132,103     63,176
* ASGN Inc.    679,061     61,285
  MSA Safety Inc.    492,114     59,580
* GXO Logistics Inc.  1,370,165     59,287
* Clean Harbors Inc.    674,796     59,159
  Hexcel Corp.  1,129,210     59,069
* IAA Inc.  1,795,565     58,841
  Simpson Manufacturing Co. Inc.    582,599     58,615
  UFP Industries Inc.    830,633     56,599
* Univar Solutions Inc.  2,271,838     56,501
  Crane Holdings Co.    644,072     56,395
* MasTec Inc.    775,977     55,607
* Stericycle Inc.  1,238,557     54,311
  ManpowerGroup Inc.    708,882     54,166
* Lyft Inc. Class A  4,038,950     53,637
* Evoqua Water Technologies Corp.  1,614,065     52,473
  Flowserve Corp.  1,746,517     50,003
  Allison Transmission Holdings Inc.  1,300,424     50,001
* Mercury Systems Inc.    765,994     49,276
  Applied Industrial Technologies Inc.    511,223     49,164
* Kirby Corp.    805,139     48,985
* Casella Waste Systems Inc. Class A    673,013     48,915
  Ryder System Inc.    676,375     48,063
* Atkore Inc.    578,271     48,002
 
21

 

Extended Market Index Fund
          Shares Market
Value

($000)
  Timken Co.    898,905     47,687
  Armstrong World Industries Inc.    631,596     47,344
  Insperity Inc.    472,614     47,181
  MSC Industrial Direct Co. Inc. Class A    627,324     47,118
  Air Lease Corp. Class A  1,400,107     46,806
  John Bean Technologies Corp.    423,476     46,760
* Fluor Corp.  1,884,727     45,874
  Zurn Elkay Water Solutions Corp.  1,672,591     45,561
  Triton International Ltd.    861,248     45,345
  Watts Water Technologies Inc. Class A    367,718     45,170
  GATX Corp.    470,260     44,280
  Korn Ferry    723,066     41,952
  Spirit AeroSystems Holdings Inc. Class A  1,421,819     41,659
* API Group Corp.  2,731,162     40,886
* Aerojet Rocketdyne Holdings Inc.    999,524     40,581
  Mueller Industries Inc.    757,138     40,348
  Comfort Systems USA Inc.    480,707     39,971
  Hillenbrand Inc.    967,097     39,612
* Welbilt Inc.  1,663,670     39,612
  Matson Inc.    538,993     39,282
* TriNet Group Inc.    505,405     39,230
  ABM Industries Inc.    894,913     38,857
  Brink's Co.    627,377     38,088
  Franklin Electric Co. Inc.    511,633     37,482
* Resideo Technologies Inc.  1,927,765     37,437
* Dycom Industries Inc.    398,348     37,062
* Beacon Roofing Supply Inc.    715,318     36,739
* Bloom Energy Corp. Class A  2,212,190     36,501
* JetBlue Airways Corp.  4,258,043     35,640
  ManTech International Corp. Class A    366,390     34,972
  UniFirst Corp.    202,853     34,927
*,1 Spirit Airlines Inc.  1,447,635     34,512
  Vertiv Holdings Co. Class A  4,111,238     33,794
* Meritor Inc.    927,606     33,700
* Upwork Inc.  1,609,178     33,278
  Forward Air Corp.    357,126     32,841
  EnerSys    552,404     32,570
  Albany International Corp. Class A    412,566     32,506
*,1 ChargePoint Holdings Inc.  2,357,560     32,275
* SPX Corp.    603,346     31,881
* Hub Group Inc. Class A    449,147     31,862
  Boise Cascade Co.    525,382     31,255
  Moog Inc. Class A    389,286     30,905
  Werner Enterprises Inc.    798,554     30,776
* Dun & Bradstreet Holdings Inc.  2,038,931     30,645
  Brady Corp. Class A    646,224     30,528
  Altra Industrial Motion Corp.    864,880     30,487
  AAON Inc.    551,369     30,193
  Arcosa Inc.    648,088     30,091
  Herc Holdings Inc.    333,604     30,074
  Federal Signal Corp.    813,934     28,976
  Helios Technologies Inc.    434,407     28,779
  Kadant Inc.    154,800     28,228
* CBIZ Inc.    702,111     28,056
  Encore Wire Corp.    259,425     26,959
  MillerKnoll Inc.  1,012,473     26,598
  Esab Corp.    607,745     26,589
  Rush Enterprises Inc. Class A    549,449     26,483
* GMS Inc.    577,885     25,716
  Kennametal Inc.  1,101,987     25,599
* AeroVironment Inc.    309,395     25,432
  Terex Corp.    926,311     25,353
  Maxar Technologies Inc.    971,567     25,348
* Shoals Technologies Group Inc. Class A  1,528,371     25,188
* AZEK Co. Inc. Class A  1,495,907     25,041
  McGrath RentCorp    323,295     24,570
  Mueller Water Products Inc. Class A  2,088,502     24,498
* KAR Auction Services Inc.  1,617,179     23,886
* Alight Inc. Class A  3,510,327     23,695
          Shares Market
Value

($000)
  ESCO Technologies Inc.    345,487     23,621
  ArcBest Corp.    330,575     23,263
* Masonite International Corp.    301,333     23,151
* Kratos Defense & Security Solutions Inc.  1,665,282     23,114
* Allegiant Travel Co.    201,156     22,749
  Trinity Industries Inc.    934,497     22,634
  EnPro Industries Inc.    276,021     22,614
* Air Transport Services Group Inc.    769,798     22,116
  CSW Industrials Inc.    211,950     21,837
* Atlas Air Worldwide Holdings Inc.    348,884     21,530
  ICF International Inc.    224,655     21,342
* Driven Brands Holdings Inc.    758,138     20,879
  HNI Corp.    580,810     20,148
* Veritiv Corp.    184,881     20,069
* Array Technologies Inc.  1,818,900     20,026
* MYR Group Inc.    227,152     20,019
  Lindsay Corp.    146,005     19,392
  Barnes Group Inc.    613,153     19,094
* Huron Consulting Group Inc.    292,520     19,011
* Ameresco Inc. Class A    413,048     18,818
  GrafTech International Ltd.  2,661,526     18,817
* NV5 Global Inc.    159,875     18,664
* AAR Corp.    445,223     18,628
* FuelCell Energy Inc.  4,905,678     18,396
  Griffon Corp.    642,788     18,017
* CoreCivic Inc.  1,611,876     17,908
  Granite Construction Inc.    611,515     17,820
* Proto Labs Inc.    369,760     17,689
* Cornerstone Building Brands Inc.    721,994     17,682
*,1 Joby Aviation Inc.  3,594,507     17,649
  Healthcare Services Group Inc.  1,002,554     17,454
* Core & Main Inc. Class A    777,610     17,341
* Gibraltar Industries Inc.    439,969     17,049
* JELD-WEN Holding Inc.  1,143,345     16,681
  Kforce Inc.    268,612     16,477
* Vicor Corp.    288,245     15,776
  Primoris Services Corp.    724,896     15,774
  Greenbrier Cos. Inc.    437,203     15,735
  Enerpac Tool Group Corp. Class A    819,490     15,587
  Alamo Group Inc.    132,726     15,453
  Tennant Co.    253,534     15,022
* NOW Inc.  1,494,581     14,617
*,1 Virgin Galactic Holdings Inc.  2,415,387     14,541
* Parsons Corp.    357,593     14,454
*,1 Nikola Corp.  3,010,644     14,331
* SkyWest Inc.    667,575     14,186
* Distribution Solutions Group Inc.    274,695     14,117
  Standex International Corp.    165,521     14,033
* Gates Industrial Corp. plc  1,286,966     13,912
  Marten Transport Ltd.    826,473     13,901
* PGT Innovations Inc.    816,418     13,585
  AZZ Inc.    328,825     13,423
*,1 Enovix Corp.  1,457,916     12,990
* Stem Inc.  1,770,184     12,675
  Steelcase Inc. Class A  1,178,071     12,641
  Deluxe Corp.    574,300     12,445
  Astec Industries Inc.    304,684     12,425
  H&E Equipment Services Inc.    427,488     12,384
  Matthews International Corp. Class A    427,125     12,246
* Montrose Environmental Group Inc.    358,081     12,089
* Hillman Solutions Corp.  1,379,629     11,920
  Apogee Enterprises Inc.    299,445     11,744
* Great Lakes Dredge & Dock Corp.    888,806     11,652
* Construction Partners Inc. Class A    554,673     11,615
* Triumph Group Inc.    873,222     11,605
*,1 Proterra Inc.  2,497,502     11,588
  Kaman Corp.    370,180     11,568
* Hayward Holdings Inc.    781,913     11,252
* GEO Group Inc.  1,662,116     10,970
 
22

 

Extended Market Index Fund
          Shares Market
Value

($000)
  Columbus McKinnon Corp.    380,623     10,798
  Schneider National Inc. Class B    474,951     10,629
* ACV Auctions Inc. Class A  1,617,791     10,580
*,1 Planet Labs PBC  2,438,177     10,557
*,1 Hertz Global Holdings Inc.    664,030     10,518
  Quanex Building Products Corp.    460,143     10,468
* Titan International Inc.    688,306     10,393
* Cimpress plc    264,662     10,295
  Interface Inc. Class A    807,200     10,122
* American Woodmark Corp.    224,551     10,107
* Energy Recovery Inc.    514,234      9,986
* Hawaiian Holdings Inc.    697,360      9,979
* SP Plus Corp.    313,900      9,643
  Eagle Bulk Shipping Inc.    185,400      9,619
  Kelly Services Inc. Class A    481,786      9,554
  Genco Shipping & Trading Ltd.    485,323      9,376
  CRA International Inc.    103,259      9,223
  Wabash National Corp.    665,913      9,043
  Insteel Industries Inc.    265,681      8,945
  Douglas Dynamics Inc.    309,037      8,882
* BlueLinx Holdings Inc.    130,835      8,741
* Sterling Infrastructure Inc.    397,237      8,707
  Heartland Express Inc.    621,793      8,649
  Gorman-Rupp Co.    305,574      8,648
  Heidrick & Struggles International Inc.    266,905      8,637
  Resources Connection Inc.    415,585      8,465
* MRC Global Inc.    831,932      8,286
  ACCO Brands Corp.  1,254,887      8,194
  Pitney Bowes Inc.  2,255,702      8,166
*,1 Blink Charging Co.    493,955      8,165
*,1 Energy Vault Holdings Inc.    808,086      8,097
  Shyft Group Inc.    432,159      8,034
* Viad Corp.    284,538      7,856
* Sun Country Airlines Holdings Inc.    418,605      7,677
* Harsco Corp.  1,076,464      7,654
* Franklin Covey Co.    164,813      7,611
  Barrett Business Services Inc.    104,255      7,597
  Global Industrial Co.    220,856      7,458
* Rocket Lab USA Inc.  1,956,730      7,416
* Ducommun Inc.    171,703      7,390
* Forrester Research Inc.    153,966      7,366
* TrueBlue Inc.    406,902      7,284
* DXP Enterprises Inc.    235,565      7,215
*,1 Microvast Holdings Inc.  3,235,942      7,184
  Argan Inc.    192,019      7,166
* BrightView Holdings Inc.    591,179      7,094
* First Advantage Corp.    554,429      7,025
* Janus International Group Inc.    756,487      6,831
* Aurora Innovation Inc.  3,532,447      6,747
* Thermon Group Holdings Inc.    472,605      6,640
* TPI Composites Inc.    513,767      6,422
  Rush Enterprises Inc. Class B    125,800      6,241
  Ennis Inc.    303,174      6,133
* Titan Machinery Inc.    272,801      6,113
* Heritage-Crystal Clean Inc.    219,044      5,905
* Vectrus Inc.    167,672      5,610
*,1 Desktop Metal Inc. Class A  2,514,810      5,533
  VSE Corp.    142,668      5,361
* Transcat Inc.     93,662      5,321
* Daseke Inc.    818,441      5,230
* Manitowoc Co. Inc.    488,184      5,141
*,1 SES AI Corp.  1,306,217      5,133
  Luxfer Holdings plc    338,900      5,124
* Hyliion Holdings Corp.  1,564,334      5,037
*,1 Archer Aviation Inc. Class A  1,619,708      4,989
1 Tecnoglass Inc.    281,421      4,939
  REV Group Inc.    445,605      4,844
* Radiant Logistics Inc.    648,725      4,814
*,1 Wheels Up Experience Inc.  2,432,718      4,744
          Shares Market
Value

($000)
* CIRCOR International Inc.    281,184      4,609
* Tutor Perini Corp.    512,208      4,497
* Babcock & Wilcox Enterprises Inc.    738,840      4,455
* Willdan Group Inc.    160,041      4,414
  National Presto Industries Inc.     66,810      4,385
*,1 Fluence Energy Inc. Class A    460,851      4,369
*,1 Skillsoft Corp.  1,239,592      4,363
  Omega Flex Inc.     40,220      4,328
  Aris Water Solution Inc. Class A    252,491      4,212
* HireRight Holdings Corp.    294,017      4,178
  Hyster-Yale Materials Handling Inc.    127,694      4,114
  Kimball International Inc. Class B    518,167      3,974
  Covenant Logistics Group Inc. Class A    149,160      3,742
* Northwest Pipe Co.    123,973      3,712
* IES Holdings Inc.    122,362      3,692
* Custom Truck One Source Inc.    656,809      3,678
  Park Aerospace Corp.    286,458      3,655
  Allied Motion Technologies Inc.    159,307      3,639
*,1 Frontier Group Holdings Inc.    388,093      3,636
*,1 Terran Orbital Corp.    790,460      3,620
*,1 Hyzon Motors Inc.  1,220,210      3,587
* Astronics Corp.    348,489      3,544
  Miller Industries Inc.    152,544      3,458
* TuSimple Holdings Inc. Class A    458,864      3,318
* Hudson Technologies Inc.    437,171      3,283
* USA Truck Inc.    102,838      3,231
* AerSale Corp.    222,318      3,226
* Infrastructure & Energy Alternatives Inc.    388,713      3,121
* Alta Equipment Group Inc.    347,612      3,118
* Sterling Check Corp.    191,168      3,118
  Powell Industries Inc.    129,883      3,035
*,1 Legalzoom.com Inc.    265,132      2,914
* Blade Air Mobility Inc.    622,531      2,777
  Universal Logistics Holdings Inc.     99,744      2,724
* Blue Bird Corp.    289,116      2,663
* Red Violet Inc.    138,369      2,635
* PAM Transportation Services Inc.     94,890      2,599
*,1 Heliogen Inc.  1,220,351      2,575
* CECO Environmental Corp.    427,598      2,557
  LSI Industries Inc.    397,782      2,454
* Commercial Vehicle Group Inc.    402,863      2,353
*,1 NuScale Power Corp.    233,915      2,337
* RCM Technologies Inc.    113,523      2,298
  Hurco Cos. Inc.     90,386      2,236
*,1 Astra Space Inc.  1,706,484      2,218
*,1 ESS Tech Inc.    777,617      2,185
  Preformed Line Products Co.     35,458      2,181
*,1 Sarcos Technology & Robotics Corp.    814,668      2,167
*,1 Beam Global    129,186      2,005
  Park-Ohio Holdings Corp.    125,056      1,983
* Matrix Service Co.    390,745      1,977
*,1 Byrna Technologies Inc.    227,102      1,951
* DLH Holdings Corp.    125,424      1,911
* American Superconductor Corp.    363,751      1,884
* L B Foster Co. Class A    142,200      1,830
  Eastern Co.     88,795      1,806
* Willis Lease Finance Corp.     47,825      1,792
*,1 BlackSky Technology Inc.    754,219      1,742
* Hydrofarm Holdings Group Inc.    493,198      1,716
* Concrete Pumping Holdings Inc.    281,122      1,704
  BGSF Inc.    136,529      1,688
*,1 Markforged Holding Corp.    911,060      1,685
  Cadre Holdings Inc.     82,941      1,631
*,1 BitNile Holdings Inc.  6,137,810      1,630
*,1 Spire Global Inc.  1,358,150      1,575
* Mistras Group Inc.    260,690      1,549
*,1 NN Inc.    612,157      1,549
* Performant Financial Corp.    586,337      1,542
*,1 Momentus Inc.    710,581      1,535
 
23

 

Extended Market Index Fund
          Shares Market
Value

($000)
  ARC Document Solutions Inc.    533,380      1,403
  Pangaea Logistics Solutions Ltd.    275,465      1,399
* Gencor Industries Inc.    137,566      1,398
*,1 Xos Inc.    747,681      1,376
* Yellow Corp.    458,062      1,342
  NL Industries Inc.    134,360      1,326
* Quad/Graphics Inc.    470,360      1,294
*,1 Advent Technologies Holdings Inc.    505,567      1,274
* Manitex International Inc.    195,893      1,271
* Atlas Technical Consultants Inc. Class A    239,663      1,261
* Karat Packaging Inc.     70,978      1,211
* Twin Disc Inc.    129,437      1,173
*,1 KULR Technology Group Inc.    739,737      1,147
* Velo3D Inc.    813,418      1,123
* INNOVATE Corp.    616,408      1,066
* Orion Group Holdings Inc.    456,467      1,041
* Hill International Inc.    616,501      1,036
*,1 Lightning eMotors Inc.    372,740      1,033
  Graham Corp.    147,083      1,018
* GEE Group Inc.  1,898,034        991
  Acme United Corp.     30,999        982
*,1 FTC Solar Inc.    271,125        981
* Mesa Air Group Inc.    442,324        969
* Mayville Engineering Co. Inc.    125,036        968
* Ideal Power Inc.     77,902        954
* US Xpress Enterprises Inc. Class A    347,528        931
*,1 Energous Corp.    926,993        927
* Orion Energy Systems Inc.    453,348        911
*,1 Bird Global Inc. Class A  1,961,426        855
* Innovative Solutions & Support Inc.    118,046        850
* Quest Resource Holding Corp.    205,290        840
*,1 Nuvve Holding Corp.    177,660        831
*,1 Aqua Metals Inc.    989,763        801
*,1 Berkshire Grey Inc.    545,737        791
* Alpha Pro Tech Ltd.    176,646        788
* Bowman Consulting Group Ltd. Class A     61,694        761
* EVI Industries Inc.     74,732        747
*,1 Fathom Digital Manufacturing C    188,957        733
*,1 Redwire Corp.    232,847        708
*,1 AgEagle Aerial Systems Inc.  1,079,804        698
* VirTra Inc.    139,803        688
* Mastech Digital Inc.     46,161        686
* FreightCar America Inc.    183,723        669
*,1 Sunworks Inc.    419,301        663
*,1 View Inc.    406,855        659
* Perma-Pipe International Holdings Inc.     72,289        651
*,1 Eos Energy Enterprises Inc.    537,466        650
* Virco Manufacturing Corp.    152,389        587
* Limbach Holdings Inc.    109,220        583
* Charah Solutions Inc.    155,260        581
* Hudson Global Inc.     18,261        573
* Romeo Power Inc.  1,260,601        566
  HireQuest Inc.     39,177        552
*,1 Agrify Corp.    277,822        547
* Urban-Gro Inc.    110,909        537
*,1 Westwater Resources Inc.    489,140        528
*,1 Orbital Energy Group Inc.    831,169        523
* Perma-Fix Environmental Services Inc.     99,897        518
* Ultralife Corp.    109,767        499
* Capstone Green Energy Corp.    192,817        476
* Fuel Tech Inc.    347,225        431
*,1 Ocean Power Technologies Inc.    752,572        424
* Broadwind Inc.    242,181        397
* Williams Industrial Services Group Inc.    250,947        349
*,1 India Globalization Capital Inc.    629,478        334
* Team Inc.    441,525        328
*,1 Aeroclean Technologies Inc.     24,787        325
*,1 Air Industries Group    452,721        317
* iSun Inc.     97,442        317
          Shares Market
Value

($000)
* LS Starrett Co. Class A     44,215        310
* Taylor Devices Inc.     35,698        310
* SG Blocks Inc.    183,195        306
*,1 Odyssey Marine Exploration Inc. Class B     85,385        291
* Air T Inc.     17,055        281
* Jewett-Cameron Trading Co. Ltd.     44,541        281
*,1 Flux Power Holdings Inc.    107,827        259
* Servotronics Inc.     19,402        218
*,1 Polar Power Inc.     79,893        217
* SIFCO Industries Inc.     59,569        185
* Sigma Labs Inc.    135,116        173
* Pioneer Power Solutions Inc.     58,157        167
* HyreCar Inc.    251,372        153
* DSS Inc.    433,041        152
* Astrotech Corp.    350,646        151
  Mega Matrix Corp.    106,575        145
*,1 Applied UV Inc.     59,088        134
*,1,2 FTE Networks Inc.     82,837        124
*,1 Shapeways Holdings Inc.     95,623        112
*,1 LiqTech International Inc.    246,351        111
*,1 Energy Focus Inc.     81,557        106
*,1 Wilhelmina International Inc.     22,778        103
* JanOne Inc.     39,400        102
* ShiftPixy Inc.    242,808         77
  Pineapple Energy Inc.     30,377         71
* Helbiz Inc.    106,121         69
* Gaucho Group Holdings Inc.    107,968         65
* Espey Manufacturing & Electronics Corp.      4,426         63
* FGI Industries Ltd.     26,156         60
* P&F Industries Inc. Class A      9,628         55
* Sidus Space Inc. Class A     14,775         49
*,1 Fast Radius Inc.     42,731         27
*,2 Recycling Asset Holdings Inc.     43,054          5
* TOMI Environmental Solutions Inc.      1,535          1
                   11,013,978
Information Technology (19.5%)
* Palo Alto Networks Inc.  1,324,515    654,231
  Marvell Technology Inc. 11,376,026    495,198
* Crowdstrike Holdings Inc. Class A  2,869,672    483,712
* Snowflake Inc. Class A  3,096,482    430,597
* Block Inc. Class A  6,756,558    415,258
* Workday Inc. Class A  2,661,052    371,430
* Zoom Video Communications Inc. Class A  3,049,584    329,264
* Datadog Inc. Class A  3,332,114    317,351
  VMware Inc. Class A  2,705,048    308,321
* Trade Desk Inc. Class A  5,936,065    248,662
* MongoDB Inc.    908,068    235,644
* Palantir Technologies Inc. Class A 21,958,819    199,166
* Twilio Inc. Class A  2,308,208    193,451
* Splunk Inc.  2,160,286    191,099
* Okta Inc.  2,023,063    182,885
* HubSpot Inc.    607,628    182,683
  SS&C Technologies Holdings Inc.  2,976,206    172,828
  Dell Technologies Inc. Class C  3,672,160    169,691
  Entegris Inc.  1,813,844    167,109
* Cloudflare Inc. Class A  3,781,348    165,434
* Zscaler Inc.  1,076,472    160,943
* GoDaddy Inc. Class A  2,169,994    150,945
* DocuSign Inc.  2,495,779    143,208
* Fair Isaac Corp.    347,808    139,436
* Black Knight Inc.  2,094,399    136,953
* Bill.com Holdings Inc.  1,160,993    127,640
* Zendesk Inc.  1,645,533    121,885
* Wolfspeed Inc.  1,664,929    105,640
* Dynatrace Inc.  2,636,358    103,978
  Cognex Corp.  2,331,280     99,126
* Arrow Electronics Inc.    873,859     97,951
* Pure Storage Inc. Class A  3,781,592     97,225
  Jabil Inc.  1,884,807     96,521
 
24

 

Extended Market Index Fund
          Shares Market
Value

($000)
  Genpact Ltd.  2,272,278     96,254
* Manhattan Associates Inc.    837,649     95,995
* WEX Inc.    603,711     93,913
* Ciena Corp.  2,046,528     93,526
* Paylocity Holding Corp.    534,418     93,213
* First Solar Inc.  1,332,564     90,788
* Lattice Semiconductor Corp.  1,862,073     90,311
* Coherent Inc.    331,105     88,147
  CDK Global Inc.  1,569,386     85,955
* Five9 Inc.    934,937     85,210
  Western Union Co.  5,144,342     84,727
  Littelfuse Inc.    331,751     84,278
  Bentley Systems Inc. Class B  2,526,018     84,116
* Avalara Inc.  1,172,133     82,753
* Unity Software Inc.  2,218,791     81,696
* Guidewire Software Inc.  1,121,158     79,591
* Sailpoint Technologies Holdings Inc.  1,265,023     79,292
  Concentrix Corp.    577,954     78,394
  MKS Instruments Inc.    745,215     76,481
* Dropbox Inc. Class A  3,583,729     75,222
* Lumentum Holdings Inc.    934,880     74,248
* II-VI Inc.  1,420,068     72,352
* Mandiant Corp.  3,235,481     70,598
* Aspen Technology Inc.    376,737     69,199
* Silicon Laboratories Inc.    492,921     69,117
* Euronet Worldwide Inc.    677,505     68,150
* UiPath Inc. Class A  3,734,298     67,927
* Elastic NV    981,317     66,406
  CMC Materials Inc.    375,534     65,527
* ExlService Holdings Inc.    442,507     65,195
* Rogers Corp.    246,724     64,664
* Vonage Holdings Corp.  3,367,796     63,449
  Switch Inc. Class A  1,859,704     62,300
* Synaptics Inc.    526,101     62,106
  Dolby Laboratories Inc. Class A    849,832     60,814
* RingCentral Inc. Class A  1,148,404     60,016
  Universal Display Corp.    583,537     59,019
  Power Integrations Inc.    786,379     58,986
* SentinelOne Inc. Class A  2,499,340     58,310
* Novanta Inc.    477,298     57,882
* Tenable Holdings Inc.  1,267,068     57,538
* Coupa Software Inc.  1,006,311     57,460
* NCR Corp.  1,829,528     56,917
* Qualys Inc.    445,915     56,248
* Cirrus Logic Inc.    770,335     55,880
  Avnet Inc.  1,291,886     55,396
* SPS Commerce Inc.    480,290     54,297
  National Instruments Corp.  1,733,483     54,137
* Smartsheet Inc. Class A  1,709,643     53,734
* Rapid7 Inc.    784,459     52,402
  Maximus Inc.    829,358     51,843
* Teradata Corp.  1,391,204     51,488
  TD SYNNEX Corp.    557,375     50,777
  Vontier Corp.  2,155,956     49,565
* Blackline Inc.    731,267     48,702
* Box Inc. Class A  1,913,740     48,111
* Semtech Corp.    852,799     46,878
* Onto Innovation Inc.    655,719     45,730
* IPG Photonics Corp.    473,200     44,542
* Nutanix Inc. Class A  3,002,778     43,931
* Varonis Systems Inc.  1,489,136     43,661
* Perficient Inc.    471,272     43,211
* Workiva Inc. Class A    652,131     43,034
* Toast Inc. Class A  3,287,675     42,543
* ACI Worldwide Inc.  1,559,460     40,374
* Viavi Solutions Inc.  3,043,248     40,262
* FormFactor Inc.  1,036,954     40,161
* New Relic Inc.    801,727     40,126
* Fabrinet    494,272     40,085
          Shares Market
Value

($000)
*,1 Affirm Holdings Inc. Class A  2,215,382     40,010
* Insight Enterprises Inc.    461,277     39,799
* Marqeta Inc. Class A  4,899,784     39,737
* Envestnet Inc.    749,538     39,553
* Alteryx Inc. Class A    804,866     38,972
* Diodes Inc.    595,345     38,441
* Alarm.com Holdings Inc.    612,834     37,910
* CommVault Systems Inc.    588,821     37,037
* Verint Systems Inc.    868,420     36,778
  Advanced Energy Industries Inc.    503,908     36,775
* Confluent Inc. Class A  1,579,683     36,712
* Altair Engineering Inc. Class A    684,461     35,934
* Blackbaud Inc.    616,795     35,817
* Sprout Social Inc. Class A    608,370     35,328
* SiTime Corp.    210,371     34,297
* Ambarella Inc.    519,095     33,980
1 Kulicke & Soffa Industries Inc.    792,567     33,930
* Sanmina Corp.    817,362     33,291
* NetScout Systems Inc.    975,849     33,032
* MaxLinear Inc. Class A    943,334     32,054
  Belden Inc.    598,745     31,895
  Badger Meter Inc.    389,455     31,503
  Vishay Intertechnology Inc.  1,764,032     31,435
* Rambus Inc.  1,448,308     31,124
* Viasat Inc.  1,000,834     30,656
* Itron Inc.    604,660     29,888
* Plexus Corp.    376,658     29,568
* MACOM Technology Solutions Holdings Inc.    640,111     29,509
* Q2 Holdings Inc.    760,244     29,323
  EVERTEC Inc.    791,178     29,179
* Verra Mobility Corp. Class A  1,707,239     26,821
* PagerDuty Inc.  1,080,989     26,787
  Pegasystems Inc.    552,482     26,431
  Progress Software Corp.    583,476     26,431
* Gitlab Inc. Class A    494,650     26,286
* Sabre Corp.  4,359,408     25,415
* Appian Corp.    531,723     25,182
* Appfolio Inc. Class A    275,086     24,934
* Calix Inc.    730,232     24,930
  Bread Financial Holdings Inc.    667,321     24,731
  InterDigital Inc.    405,644     24,663
  CSG Systems International Inc.    408,981     24,408
  Xerox Holdings Corp.  1,636,674     24,305
* Axcelis Technologies Inc.    442,821     24,284
* Shift4 Payments Inc. Class A    730,625     24,154
* nCino Inc.    770,017     23,809
* Super Micro Computer Inc.    588,140     23,731
* Kyndryl Holdings Inc.  2,417,977     23,648
* LiveRamp Holdings Inc.    908,837     23,457
  Amkor Technology Inc.  1,340,009     22,713
* Plantronics Inc.    569,224     22,587
* Knowles Corp.  1,214,727     21,051
1 Ubiquiti Inc.     82,874     20,570
* Digital Turbine Inc.  1,172,121     20,477
*,1 MicroStrategy Inc. Class A    124,023     20,377
  Xperi Holding Corp.  1,393,265     20,105
* Asana Inc. Class A  1,105,030     19,426
* ePlus Inc.    362,934     19,279
*,1 Freshworks Inc. Class A  1,461,377     19,217
  Methode Electronics Inc.    504,929     18,703
* Jamf Holding Corp.    743,235     18,410
* E2open Parent Holdings Inc.  2,357,252     18,339
* Cohu Inc.    651,719     18,085
* Qualtrics International Inc. Class A  1,433,749     17,936
* Ultra Clean Holdings Inc.    600,333     17,872
* SunPower Corp.  1,110,521     17,557
*,1 C3.ai Inc. Class A    955,499     17,447
* OSI Systems Inc.    203,382     17,377
* TTM Technologies Inc.  1,382,327     17,279
 
25

 

Extended Market Index Fund
          Shares Market
Value

($000)
* CommScope Holding Co. Inc.  2,775,386     16,985
* Fastly Inc. Class A  1,443,739     16,762
  TTEC Holdings Inc.    244,063     16,569
* 3D Systems Corp.  1,699,641     16,487
*,1 AppLovin Corp. Class A    478,135     16,467
* Photronics Inc.    821,238     15,998
* KnowBe4 Inc. Class A  1,023,261     15,983
* Extreme Networks Inc.  1,731,941     15,449
* Allegro MicroSystems Inc.    743,898     15,391
* Momentive Global Inc.  1,734,438     15,263
* Infinera Corp.  2,836,268     15,202
* Duck Creek Technologies Inc.  1,018,839     15,130
* Evo Payments Inc. Class A    636,364     14,967
* Impinj Inc.    252,295     14,802
* Everbridge Inc.    527,921     14,724
  CTS Corp.    431,714     14,700
* Ping Identity Holding Corp.    806,892     14,637
* PROS Holdings Inc.    542,988     14,243
* Zuora Inc. Class A  1,555,948     13,926
* Cerence Inc.    519,093     13,097
* Veeco Instruments Inc.    673,095     13,058
* BigCommerce Holdings Inc.    800,540     12,969
*,1 HashiCorp Inc. Class A    439,873     12,950
* PAR Technology Corp.    344,579     12,918
* Repay Holdings Corp. Class A  1,000,114     12,851
* LivePerson Inc.    895,126     12,657
*,1 Olo Inc. Class A  1,275,944     12,594
* Agilysys Inc.    265,240     12,538
* MoneyGram International Inc.  1,235,854     12,359
* Avid Technology Inc.    471,806     12,243
* Harmonic Inc.  1,393,526     12,082
  ADTRAN Inc.    660,537     11,579
  A10 Networks Inc.    805,054     11,577
* Digi International Inc.    471,547     11,421
* Model N Inc.    443,064     11,334
* Paycor HCM Inc.    431,389     11,216
*,1 Matterport Inc.  2,986,941     10,932
* Unisys Corp.    908,127     10,925
* Domo Inc. Class B    389,718     10,834
*,1 Samsara Inc. Class A    959,922     10,722
* ScanSource Inc.    341,971     10,649
  Benchmark Electronics Inc.    468,984     10,580
* NeoPhotonics Corp.    669,214     10,527
* CEVA Inc.    308,055     10,338
* Payoneer Global Inc.  2,637,144     10,338
* Grid Dynamics Holdings Inc.    613,861     10,325
* SMART Global Holdings Inc.    621,676     10,177
* Ichor Holdings Ltd.    383,856      9,973
* Clearfield Inc.    153,796      9,528
* DigitalOcean Holdings Inc.    229,866      9,507
* Consensus Cloud Solutions Inc.    216,764      9,468
* Alpha & Omega Semiconductor Ltd.    282,471      9,418
* Conduent Inc.  2,179,235      9,414
* International Money Express Inc.    453,970      9,293
*,1 ForgeRock Inc. Class A    429,378      9,197
*,1 Lightwave Logic Inc.  1,373,909      8,985
* Sumo Logic Inc.  1,195,896      8,957
* PDF Solutions Inc.    402,270      8,653
*,1 MicroVision Inc.  2,224,122      8,541
*,1 Informatica Inc. Class A    411,188      8,540
* ACM Research Inc. Class A    503,076      8,467
* N-able Inc.    930,087      8,371
* Sprinklr Inc. Class A    811,415      8,203
* Napco Security Technologies Inc.    397,809      8,191
*,1 Mirion Technologies Inc.  1,420,609      8,183
* 8x8 Inc.  1,562,623      8,048
* Squarespace Inc. Class A    384,061      8,035
* FARO Technologies Inc.    247,907      7,643
* CCC Intelligent Solutions Holdings Inc.    829,198      7,629
          Shares Market
Value

($000)
* Paya Holdings Inc.  1,153,390      7,578
* Yext Inc.  1,564,083      7,476
* I3 Verticals Inc. Class A    297,403      7,441
*,1 Marathon Digital Holdings Inc.  1,371,504      7,324
* Arlo Technologies Inc.  1,153,001      7,229
* NETGEAR Inc.    389,286      7,210
* Kimball Electronics Inc.    352,534      7,086
* Thoughtworks Holding Inc.    501,141      7,071
  American Software Inc. Class A    428,796      6,929
* Clearwater Analytics Holdings Inc. Class A    566,847      6,825
  Hackett Group Inc.    359,298      6,816
*,1 IonQ Inc.  1,543,584      6,761
  PC Connection Inc.    147,098      6,480
* TaskUS Inc. Class A    369,083      6,223
  SolarWinds Corp.    602,810      6,179
* ChannelAdvisor Corp.    421,864      6,151
* nLight Inc.    597,805      6,110
* Rackspace Technology Inc.    840,694      6,028
* Telos Corp.    723,001      5,842
*,1 Corsair Gaming Inc.    441,379      5,795
* OneSpan Inc.    484,289      5,763
*,1 Tucows Inc. Class A    129,055      5,744
*,1 Riot Blockchain Inc.  1,359,518      5,696
* Mitek Systems Inc.    606,711      5,606
*,1 SmartRent Inc. Class A  1,220,016      5,514
  Cass Information Systems Inc.    163,074      5,512
  Ebix Inc.    320,907      5,423
*,1 Cyxtera Technologies Inc.    475,296      5,390
* Upland Software Inc.    366,884      5,327
* Vishay Precision Group Inc.    180,960      5,271
*,1 AvePoint Inc.  1,213,115      5,265
* Ribbon Communications Inc.  1,670,678      5,079
* BTRS Holdings Inc.  1,009,027      5,025
* Braze Inc. Class A    130,794      4,739
*,1 SEMrush Holdings Inc. Class A    364,413      4,712
* Cantaloupe Inc.    816,617      4,573
*,1 Core Scientific Inc.  3,066,951      4,570
* indie Semiconductor Inc. Class A    798,404      4,551
*,1 908 Devices Inc.    216,201      4,452
* Amplitude Inc. Class A    311,106      4,446
* Edgio Inc.  1,833,706      4,236
*,1 Eastman Kodak Co.    910,650      4,225
* Vertex Inc. Class A    368,976      4,180
*,1 Cvent Holding Corp. Class A    898,007      4,149
* GTY Technology Holdings Inc.    649,439      4,065
*,1 SoundHound AI Inc.  1,511,902      4,052
*,1 Navitas Semiconductor Corp.  1,034,364      3,993
* Aeva Technologies Inc.  1,272,189      3,982
* Rigetti Computing Inc.  1,016,496      3,731
* DZS Inc.    225,110      3,663
* Clear Secure Inc. Class A    181,759      3,635
* CyberOptics Corp.    103,039      3,600
* Brightcove Inc.    552,582      3,492
* Identiv Inc.    300,298      3,477
*,1 WM Technology Inc.  1,030,550      3,391
* Benefitfocus Inc.    428,732      3,336
  Information Services Group Inc.    483,446      3,268
*,1 Meta Materials Inc.  3,168,633      3,264
  Comtech Telecommunications Corp.    356,025      3,229
* Aviat Networks Inc.    128,216      3,211
* AXT Inc.    544,121      3,189
* ShotSpotter Inc.    116,993      3,148
* CS Disco Inc.    172,201      3,106
  NVE Corp.     66,509      3,101
* MeridianLink Inc.    184,055      3,074
* eGain Corp.    311,555      3,038
* Credo Technology Group Holding Ltd.    257,400      3,006
*,1 Focus Universal Inc.    256,212      2,926
* PFSweb Inc.    236,891      2,786
 
26

 

Extended Market Index Fund
          Shares Market
Value

($000)
*,1 AEye Inc.  1,456,343      2,782
*,1 Atomera Inc.    293,795      2,756
*,1 Veritone Inc.    420,513      2,746
*,1 Rockley Photonics Holdings Ltd.  1,237,734      2,698
  Bel Fuse Inc. Class B    169,576      2,639
* Rimini Street Inc.    437,983      2,632
* Turtle Beach Corp.    214,938      2,629
*,1 Digimarc Corp.    181,621      2,568
*,1 Akoustis Technologies Inc.    693,505      2,566
* Enfusion Inc. Class A    249,671      2,549
* Avaya Holdings Corp.  1,129,709      2,531
* Luna Innovations Inc.    432,493      2,521
* Paymentus Holdings Inc. Class A    177,545      2,374
* EverCommerce Inc.    261,744      2,366
* Flywire Corp.    134,154      2,365
* Aehr Test Systems    310,269      2,327
*,1 Ondas Holdings Inc.    424,177      2,286
* Cambium Networks Corp.    151,410      2,218
* Diebold Nixdorf Inc.    976,284      2,216
*,1 Expensify Inc. Class A    124,376      2,213
* CoreCard Corp.     90,397      2,207
  Richardson Electronics Ltd.    148,916      2,183
* Intapp Inc.    148,793      2,178
* Immersion Corp.    397,260      2,121
* CalAmp Corp.    501,566      2,092
* AvidXchange Holdings Inc.    338,125      2,076
*,1 Cleanspark Inc.    521,350      2,044
*,1 Inseego Corp.  1,056,445      1,997
* Evolv Technologies Holdings Inc.    750,671      1,997
* Couchbase Inc.    119,170      1,957
* KVH Industries Inc.    220,466      1,918
* Casa Systems Inc.    487,239      1,915
* ServiceSource International Inc.  1,286,404      1,891
* Genasys Inc.    539,552      1,754
* Lantronix Inc.    321,313      1,729
* Iteris Inc.    594,898      1,719
* Daktronics Inc.    569,171      1,713
*,1 Cerberus Cyber Sentinel Corp.    452,724      1,630
* Intevac Inc.    335,609      1,624
* Smith Micro Software Inc.    654,525      1,617
*,1 Transphorm Inc.    420,844      1,603
* Computer Task Group Inc.    186,210      1,594
*,1 Ouster Inc.    982,567      1,592
*,1 AgileThought Inc. Class A    305,314      1,578
*,1 Dave Inc.  2,249,990      1,548
* SecureWorks Corp. Class A    136,531      1,483
* EMCORE Corp.    476,440      1,463
* Innodata Inc.    295,732      1,431
*,1 Alpine 4 Holdings Inc.  2,009,576      1,426
*,1 Latch Inc.  1,230,861      1,403
* Embark Technology Inc.  2,709,422      1,369
* Synchronoss Technologies Inc.  1,182,868      1,360
*,1 Zeta Global Holdings Corp. Class A    300,457      1,358
* QuickLogic Corp.    157,615      1,337
* Amtech Systems Inc.    181,247      1,323
* Pixelworks Inc.    670,552      1,281
* Velodyne Lidar Inc.  1,322,007      1,263
* Asure Software Inc.    218,983      1,247
* Airgain Inc.    152,031      1,234
*,1 Kopin Corp.  1,069,064      1,197
*,1 Phunware Inc.  1,095,846      1,184
*,1 Airspan Networks Holdings Inc.    393,381      1,176
* ON24 Inc.    122,769      1,165
* Powerfleet Inc.    535,648      1,162
* PCTEL Inc.    275,624      1,127
*,1 IronNet Inc.    506,050      1,118
* Everspin Technologies Inc.    213,096      1,117
* VirnetX Holding Corp.    904,272      1,058
* inTEST Corp.    148,143      1,010
          Shares Market
Value

($000)
* Priority Technology Holdings Inc.    298,954        987
*,1 CompoSecure Inc.    188,652        981
* AstroNova Inc.     81,242        973
* Viant Technology Inc. Class A    188,194        956
* SRAX Inc. Class A    286,040        950
  Wayside Technology Group Inc.     28,246        939
* Quantum Corp.    645,327        916
* Issuer Direct Corp.     34,223        871
*,1 MICT Inc.  1,530,039        870
* Park City Group Inc.    193,141        850
*,1 BM Technologies Inc.    144,161        849
*,1 Rekor Systems Inc.    470,915        829
* CPI Card Group Inc.     48,983        823
* LGL Group Inc.     63,106        819
*,1 Cipher Mining Inc.    572,553        784
*,1 Red Cat Holdings Inc.    381,770        779
* GSI Technology Inc.    219,225        756
*,1 Paysign Inc.    495,746        754
* Steel Connect Inc.    526,873        706
*,1 Inuvo Inc.  1,409,054        697
*,1 Blend Labs Inc. Class A    288,782        682
* LiveVox Holdings Inc.    407,815        677
* Key Tronic Corp.    152,801        674
* One Stop Systems Inc.    167,844        661
* Quantum Computing Inc.    276,738        659
* Frequency Electronics Inc.     89,424        653
* Research Frontiers Inc.    360,890        628
*,1 Wrap Technologies Inc.    337,522        628
*,1 NextNav Inc.    275,380        625
*,1 Intrusion Inc.    157,429        616
* NetSol Technologies Inc.    188,228        599
*,1 eMagin Corp.    904,971        588
*,1 SkyWater Technology Inc.     96,677        582
* ALJ Regional Holdings Inc.    298,666        576
* Usio Inc.    234,074        569
* RF Industries Ltd.     89,809        557
*,1 Ipsidy Inc.    281,693        546
* ClearSign Technologies Corp.    448,479        543
*,1 Applied Optoelectronics Inc.    348,449        540
*,1 Exela Technologies Inc.  4,715,065        539
* CSP Inc.     58,049        528
*,1 Digital Ally Inc.    646,697        512
* Backblaze Inc. Class A     96,150        503
* TESSCO Technologies Inc.     84,807        501
* Terawulf Inc.    414,269        497
* Intellicheck Inc.    242,030        489
*,1 Soluna Holdings Inc.    118,915        484
* Arteris Inc.     69,377        484
* TransAct Technologies Inc.    118,240        478
*,1 Boxlight Corp. Class A    701,328        477
* AudioEye Inc.     77,855        468
* Franklin Wireless Corp.    144,813        468
* StarTek Inc.    160,783        465
*,1 LightPath Technologies Inc. Class A    369,197        454
* Aware Inc.    182,226        434
*,1 CPS Technologies Corp.    139,869        425
* Kaltura Inc.    212,785        423
* Neonode Inc.     79,508        407
* Data I/O Corp.    131,381        403
*,1 Vislink Technologies Inc.    667,529        397
*,1 Cepton Inc.    249,600        389
  Autoscope Technologies Corp.     70,421        384
* SigmaTron International Inc.     54,207        383
*,1 Verb Technology Co. Inc.    727,515        380
* Optical Cable Corp.    101,217        365
*,1 SeaChange International Inc.    562,926        340
*,1 Marin Software Inc.    201,926        333
* Wireless Telecom Group Inc.    248,831        328
* Electro-Sensors Inc.     53,093        321
 
27

 

Extended Market Index Fund
          Shares Market
Value

($000)
* GSE Systems Inc.    255,595        319
* Greenidge Generation Holdings Inc.    123,184        313
*,1 Inpixon  1,830,210        311
* RealNetworks Inc.    451,582        285
* Quanergy Systems Inc.    675,700        277
* CVD Equipment Corp.     68,503        271
* WidePoint Corp.    112,347        269
*,1 GreenBox POS    241,671        254
* BSQUARE Corp.    189,335        239
*,1 Coda Octopus Group Inc.     45,235        226
*,1 Bio-key International Inc.    118,874        210
* Qumu Corp.    258,434        208
* Research Solutions Inc.    116,162        206
*,1 VerifyMe Inc.    104,906        206
* Socket Mobile Inc.     66,909        203
*,1 American Virtual Cloud Technologies Inc.    761,065        190
* Peraso Inc.     96,589        185
* TSR Inc.     23,470        175
*,1 Universal Security Instruments Inc.     45,910        166
* Trio-Tech International     37,821        164
*,1 Stronghold Digital Mining Inc. Class A     96,856        161
* AmpliTech Group Inc.     66,272        134
* BTCS Inc.     87,691        131
* Bridgeline Digital Inc.    106,529        128
* Alfi Inc.    108,022        125
  SilverSun Technologies Inc.     44,830        121
* Glimpse Group Inc.     30,269        120
* OLB Group Inc.    112,607         99
*,1 Data Storage Corp.     39,506         97
*,1 ComSovereign Holding Corp.    556,676         94
* DatChat Inc.     86,875         94
* WiSA Technologies Inc.    134,717         84
* Cemtrex Inc.    244,785         71
* ClearOne Inc.    114,463         62
* Auddia Inc.     71,444         62
  Crexendo Inc.     18,473         57
  Bel Fuse Inc. Class A      2,346         51
* ADDvantage Technologies Group Inc.     40,013         50
*,1 Akerna Corp.    296,793         41
* Blackboxstocks Inc.     26,607         39
* CYNGN Inc.     32,519         37
* Duos Technologies Group Inc.      8,483         32
* Kaspien Holdings Inc.     12,336         29
* WaveDancer Inc.     19,301         26
*,2 SRAX Inc.    284,252         20
* Sono-Tek Corp.      1,196          9
* Sonim Technologies Inc.      6,530          4
                   15,138,747
Materials (4.3%)
  Steel Dynamics Inc.  2,405,254    159,108
  Crown Holdings Inc.  1,647,300    151,832
  Reliance Steel & Aluminum Co.    827,637    140,582
  RPM International Inc.  1,726,331    135,897
  Alcoa Corp.  2,480,511    113,062
* Cleveland-Cliffs Inc.  6,409,190     98,509
* Berry Global Group Inc.  1,736,470     94,881
  Royal Gold Inc.    882,117     94,192
  AptarGroup Inc.    884,052     91,243
  Olin Corp.  1,865,614     86,341
  Graphic Packaging Holding Co.  3,797,995     77,859
  Huntsman Corp.  2,657,305     75,335
  Sonoco Products Co.  1,294,603     73,844
  Ashland Global Holdings Inc.    679,124     69,984
  Valvoline Inc.  2,374,199     68,448
  Chemours Co.  2,071,095     66,316
  United States Steel Corp.  3,494,888     62,593
* Axalta Coating Systems Ltd.  2,780,023     61,466
  Eagle Materials Inc.    532,643     58,559
  Louisiana-Pacific Corp.  1,098,086     57,551
          Shares Market
Value

($000)
  Balchem Corp.    431,534     55,987
  Commercial Metals Co.  1,616,996     53,523
  Element Solutions Inc.  2,931,118     52,174
  Avient Corp.  1,220,024     48,899
* Livent Corp.  2,152,030     48,830
  Cabot Corp.    749,848     47,833
  Silgan Holdings Inc.  1,127,688     46,630
  Sensient Technologies Corp.    555,489     44,750
  Westlake Corp.    446,619     43,778
  Scotts Miracle-Gro Co.    545,673     43,103
  HB Fuller Co.    712,853     42,921
* Arconic Corp.  1,420,783     39,853
* Allegheny Technologies Inc.  1,640,394     37,253
* Summit Materials Inc. Class A  1,575,848     36,701
* Ingevity Corp.    523,118     33,030
* MP Materials Corp.    997,879     32,012
  Innospec Inc.    325,736     31,202
*,1 Ginkgo Bioworks Holdings Inc. 13,072,556     31,113
  Alpha Metallurgical Resources Inc.    233,683     30,175
* O-I Glass Inc.  2,084,851     29,188
  Stepan Co.    284,668     28,851
  Hecla Mining Co.  7,194,352     28,202
  Minerals Technologies Inc.    443,935     27,231
  Greif Inc. Class A    428,643     26,739
  Quaker Chemical Corp.    178,818     26,737
  NewMarket Corp.     87,806     26,426
  Tronox Holdings plc Class A  1,516,699     25,481
* GCP Applied Technologies Inc.    683,686     21,386
  Warrior Met Coal Inc.    683,812     20,931
  Materion Corp.    272,929     20,123
  Worthington Industries Inc.    427,626     18,858
  Trinseo plc    483,902     18,611
  Carpenter Technology Corp.    650,888     18,166
  Kaiser Aluminum Corp.    210,704     16,665
  Compass Minerals International Inc.    457,617     16,195
  TriMas Corp.    575,137     15,926
  Sylvamo Corp.    479,153     15,659
  AdvanSix Inc.    379,656     12,696
  Orion Engineered Carbons SA    814,165     12,644
* Coeur Mining Inc.  3,878,684     11,791
  Schnitzer Steel Industries Inc. Class A    343,770     11,289
  Myers Industries Inc.    482,778     10,974
  Schweitzer-Mauduit International Inc.    422,517     10,614
*,1 PureCycle Technologies Inc.  1,423,696     10,564
* TimkenSteel Corp.    556,254     10,407
  Hawkins Inc.    263,558      9,496
*,1 Piedmont Lithium Inc.    250,383      9,116
  American Vanguard Corp.    373,322      8,344
*,1 Origin Materials Inc.  1,613,695      8,262
* Resolute Forest Products Inc.    626,671      7,996
  Chase Corp.    101,663      7,910
* Clearwater Paper Corp.    234,888      7,899
  Neenah Inc.    223,789      7,640
  SunCoke Energy Inc.  1,075,976      7,327
  Mercer International Inc.    554,340      7,290
  Ecovyst Inc.    737,507      7,264
  Koppers Holdings Inc.    303,379      6,868
  Haynes International Inc.    178,613      5,853
* Intrepid Potash Inc.    127,677      5,782
* LSB Industries Inc.    411,095      5,698
  Pactiv Evergreen Inc.    567,255      5,650
  Kronos Worldwide Inc.    294,982      5,428
*,1 Danimer Scientific Inc.  1,145,455      5,223
* Century Aluminum Co.    681,218      5,021
*,1 Amyris Inc.  2,618,256      4,844
  Ryerson Holding Corp.    218,026      4,642
*,1 5E Advanced Materials Inc.    379,805      4,626
* Diversey Holdings Ltd.    648,292      4,279
  Glatfelter Corp.    601,421      4,138
 
28

 

Extended Market Index Fund
          Shares Market
Value

($000)
* Ranpak Holdings Corp. Class A    542,439      3,797
  Tredegar Corp.    361,818      3,618
  Olympic Steel Inc.    134,910      3,474
*,1 Aspen Aerogels Inc.    334,951      3,309
  FutureFuel Corp.    378,631      2,756
  United States Lime & Minerals Inc.     22,733      2,401
* Rayonier Advanced Materials Inc.    870,744      2,281
* Hycroft Mining Holding Corp. Class A  1,842,144      2,045
* McEwen Mining Inc.  4,633,641      2,035
  Ramaco Resources Inc.    141,138      1,856
  Gold Resource Corp.  1,129,590      1,841
*,1 Gatos Silver Inc.    612,497      1,758
* Marrone Bio Innovations Inc.  1,424,715      1,653
* Synalloy Corp.    114,447      1,609
*,1 Idaho Strategic Resources Inc.    177,938      1,400
* Advanced Emissions Solutions Inc.    280,196      1,314
*,1 Loop Industries Inc.    332,003      1,288
*,1 Flotek Industries Inc.    940,861        933
* Core Molding Technologies Inc.     97,729        898
* Universal Stainless & Alloy Products Inc.    113,585        841
  Northern Technologies International Corp.     89,504        837
* Smith-Midland Corp.     58,159        814
* AgroFresh Solutions Inc.    393,836        705
  Friedman Industries Inc.     85,667        697
* Ampco-Pittsburgh Corp.    158,635        614
*,1 Golden Minerals Co.  1,362,026        487
* United States Antimony Corp.  1,197,293        484
* Cryptyde Inc.    232,534        472
* Solitario Zinc Corp.    784,751        447
* Comstock Inc.    598,635        371
* Zymergen Inc.    228,875        281
* US Gold Corp.     48,538        201
* Crown ElectroKinetics Corp.    173,237        158
* Paramount Gold Nevada Corp.    339,615        149
*,2 F-star Therapeutics Inc. CVR     40,838          3
*,2 Ikonics Corp. CVR     12,227         —
                    3,334,146
Other (0.0%)3
*,2 Biosante Pharmaceutical Inc. CVR     44,795         —
Real Estate (7.6%)
  Invitation Homes Inc.  8,101,447    288,249
  Sun Communities Inc.  1,617,231    257,722
  WP Carey Inc.  2,582,037    213,948
  Equity LifeStyle Properties Inc.  2,310,654    162,832
  Gaming & Leisure Properties Inc.  3,161,381    144,981
  American Homes 4 Rent Class A  3,968,250    140,635
  CubeSmart  2,999,072    128,120
  Rexford Industrial Realty Inc.  2,206,837    127,092
  Life Storage Inc.  1,125,530    125,677
  Medical Properties Trust Inc.  8,042,494    122,809
  American Campus Communities Inc.  1,876,837    121,000
* Jones Lang LaSalle Inc.    656,407    114,779
  Americold Realty Trust Inc.  3,598,827    108,109
  Lamar Advertising Co. Class A  1,170,776    102,993
  National Retail Properties Inc.  2,365,908    101,734
  Omega Healthcare Investors Inc.  3,161,425     89,121
  Apartment Income REIT Corp. Class A  2,114,051     87,945
  STORE Capital Corp.  3,360,847     87,651
  EastGroup Properties Inc.    557,124     85,981
  Healthcare Trust of America Inc. Class A  3,050,820     85,148
  First Industrial Realty Trust Inc.  1,758,312     83,485
  Brixmor Property Group Inc.  4,012,741     81,097
  STAG Industrial Inc.  2,399,821     74,106
  Kilroy Realty Corp.  1,414,073     73,998
  Rayonier Inc.  1,962,331     73,352
  Agree Realty Corp.    995,576     71,811
* Zillow Group Inc. Class C  2,168,119     68,838
  Spirit Realty Capital Inc.  1,785,144     67,443
          Shares Market
Value

($000)
  Independence Realty Trust Inc.  2,938,284     60,911
  Cousins Properties Inc.  2,009,412     58,735
  Terreno Realty Corp.  1,015,935     56,618
  National Storage Affiliates Trust  1,127,966     56,477
* Ryman Hospitality Properties Inc.    735,122     55,891
  Healthcare Realty Trust Inc.  2,040,064     55,490
  Physicians Realty Trust  3,044,876     53,133
  Douglas Emmett Inc.  2,366,717     52,967
  Kite Realty Group Trust  2,932,088     50,696
1 Phillips Edison & Co. Inc.  1,504,867     50,278
  PS Business Parks Inc.    266,391     49,855
  Highwoods Properties Inc.  1,399,875     47,862
  Broadstone Net Lease Inc.  2,315,087     47,482
  EPR Properties  1,006,742     47,246
  Sabra Health Care REIT Inc.  3,044,811     42,536
  Park Hotels & Resorts Inc.  3,088,663     41,913
  Innovative Industrial Properties Inc.    379,367     41,681
  Apple Hospitality REIT Inc.  2,829,675     41,511
* Equity Commonwealth  1,483,387     40,838
  PotlatchDeltic Corp.    920,767     40,689
  LXP Industrial Trust  3,754,873     40,327
  SL Green Realty Corp.    863,172     39,835
* DigitalBridge Group Inc.  8,151,816     39,781
  Corporate Office Properties Trust  1,505,708     39,434
  Essential Properties Realty Trust Inc.  1,773,511     38,113
  National Health Investors Inc.    611,012     37,033
* Howard Hughes Corp.    518,106     35,257
  JBG SMITH Properties  1,466,984     34,680
  Outfront Media Inc.  1,936,752     32,828
  SITE Centers Corp.  2,396,332     32,279
* Cushman & Wakefield plc  2,010,553     30,641
  Kennedy-Wilson Holdings Inc.  1,613,578     30,561
  Uniti Group Inc.  3,151,203     29,684
  Hudson Pacific Properties Inc.  1,958,123     29,059
  Pebblebrook Hotel Trust  1,753,163     29,050
* Sunstone Hotel Investors Inc.  2,927,335     29,039
  Four Corners Property Trust Inc.  1,042,457     27,719
  Retail Opportunity Investments Corp.  1,609,996     25,406
*,1 Opendoor Technologies Inc.  5,273,875     24,840
  Macerich Co.  2,840,076     24,737
  RLJ Lodging Trust  2,232,886     24,629
  Washington REIT  1,131,590     24,114
  CareTrust REIT Inc.  1,303,953     24,045
  Easterly Government Properties Inc. Class A  1,248,058     23,763
  InvenTrust Properties Corp.    911,836     23,516
* DiamondRock Hospitality Co.  2,826,640     23,207
  Urban Edge Properties  1,472,744     22,400
* Xenia Hotels & Resorts Inc.  1,541,428     22,397
  Piedmont Office Realty Trust Inc. Class A  1,677,684     22,011
  Brandywine Realty Trust  2,280,159     21,981
  American Assets Trust Inc.    706,160     20,973
  Acadia Realty Trust  1,306,543     20,408
  LTC Properties Inc.    524,948     20,153
  Newmark Group Inc. Class A  2,056,110     19,883
  Tanger Factory Outlet Centers Inc.  1,396,884     19,864
  Global Net Lease Inc.  1,373,430     19,448
  NexPoint Residential Trust Inc.    307,037     19,193
  St. Joe Co.    444,072     17,567
  Alexander & Baldwin Inc.    966,360     17,346
* Zillow Group Inc. Class A    526,435     16,746
  Centerspace    200,714     16,368
  iStar Inc.  1,155,157     15,837
  Paramount Group Inc.  2,177,429     15,743
* Anywhere Real Estate Inc.  1,567,018     15,404
*,1 WeWork Inc.  2,845,686     14,285
* Veris Residential Inc.  1,070,044     14,167
  Getty Realty Corp.    534,104     14,154
  UMH Properties Inc.    780,484     13,783
  Empire State Realty Trust Inc. Class A  1,911,819     13,440
 
29

 

Extended Market Index Fund
          Shares Market
Value

($000)
* Apartment Investment & Management Co. Class A  2,095,019     13,408
  Office Properties Income Trust    662,663     13,220
  NETSTREIT Corp.    681,265     12,855
  Marcus & Millichap Inc.    339,471     12,557
  Industrial Logistics Properties Trust    882,633     12,427
  Necessity Retail REIT Inc. Class A  1,672,888     12,179
  Gladstone Commercial Corp.    634,114     11,947
  Community Healthcare Trust Inc.    326,873     11,836
* Redfin Corp.  1,424,536     11,738
  Service Properties Trust  2,220,402     11,613
  Armada Hoffler Properties Inc.    895,488     11,498
  RPT Realty  1,146,264     11,268
  Plymouth Industrial REIT Inc.    625,649     10,974
* Summit Hotel Properties Inc.  1,468,265     10,674
1 eXp World Holdings Inc.    891,658     10,495
  Bluerock Residential Growth REIT Inc. Class A    360,954      9,489
  Gladstone Land Corp.    425,911      9,438
  Global Medical REIT Inc.    824,203      9,256
  Universal Health Realty Income Trust    165,697      8,817
  Saul Centers Inc.    181,228      8,538
  Orion Office REIT Inc.    764,421      8,378
  City Office REIT Inc.    587,254      7,605
  Urstadt Biddle Properties Inc. Class A    462,061      7,485
  Whitestone REIT    663,788      7,136
  CatchMark Timber Trust Inc. Class A    706,708      7,109
* Chatham Lodging Trust    676,266      7,067
  Safehold Inc.    192,085      6,794
  Alexander's Inc.     29,793      6,619
  RMR Group Inc. Class A    222,608      6,311
  Diversified Healthcare Trust  3,285,108      5,979
  One Liberty Properties Inc.    226,049      5,873
  RE/MAX Holdings Inc. Class A    235,412      5,772
* FRP Holdings Inc.     92,654      5,592
  Farmland Partners Inc.    393,633      5,432
  Franklin Street Properties Corp.  1,277,010      5,325
  Indus Realty Trust Inc.     89,466      5,311
* Tejon Ranch Co.    335,369      5,205
  CTO Realty Growth Inc.     83,855      5,125
  Cedar Realty Trust Inc.    173,818      5,004
* Hersha Hospitality Trust Class A    456,664      4,480
  Douglas Elliman Inc.    873,780      4,185
* Forestar Group Inc.    259,283      3,550
  BRT Apartments Corp.    161,953      3,480
  Braemar Hotels & Resorts Inc.    779,361      3,343
  Postal Realty Trust Inc. Class A    223,245      3,326
* Stratus Properties Inc.     96,387      3,106
  Alpine Income Property Trust Inc.    153,116      2,744
* Ashford Hospitality Trust Inc.    446,083      2,668
* Seritage Growth Properties Class A    504,395      2,628
*,1 Doma Holdings Inc.  2,416,616      2,489
*,1 Offerpad Solutions Inc.    969,559      2,114
  Clipper Realty Inc.    217,586      1,680
* Altisource Portfolio Solutions SA    126,246      1,356
  Creative Media & Community Trust Corp.    186,383      1,323
* Transcontinental Realty Investors Inc.     22,463        894
  New York City REIT Inc. Class A    160,831        844
* Maui Land & Pineapple Co. Inc.     87,398        828
* AMREP Corp.     56,416        633
*,1 Fathom Holdings Inc.     76,269        598
1 CorEnergy Infrastructure Trust Inc.    234,079        590
  Global Self Storage Inc.     79,508        448
* Power REIT     33,413        425
* Sotherly Hotels Inc.    218,019        379
* Wheeler REIT Inc.    146,044        371
* Trinity Place Holdings Inc.    313,786        317
* Rafael Holdings Inc. Class B    147,508        276
* InterGroup Corp.      6,187        260
* Comstock Holding Cos. Inc. Class A     52,273        236
*,1 Pennsylvania REIT     61,219        205
          Shares Market
Value

($000)
*,2 Spirit MTA REIT    653,668        175
  InnSuites Hospitality Trust     51,296        148
* Alset EHome International Inc.    432,045        127
                    5,884,168
Utilities (2.6%)
* PG&E Corp. 20,216,375    201,759
  Essential Utilities Inc.  3,083,961    141,400
  Vistra Corp.  5,774,377    131,945
  UGI Corp.  2,788,014    107,645
  OGE Energy Corp.  2,679,019    103,303
  National Fuel Gas Co.  1,212,296     80,072
  Southwest Gas Holdings Inc.    894,197     77,867
  IDACORP Inc.    683,066     72,350
  Black Hills Corp.    858,619     62,482
  Hawaiian Electric Industries Inc.  1,465,812     59,952
  ONE Gas Inc.    736,138     59,767
  Portland General Electric Co.  1,189,013     57,465
  New Jersey Resources Corp.  1,290,427     57,463
  South Jersey Industries Inc.  1,596,468     54,503
  PNM Resources Inc.  1,125,065     53,756
  Spire Inc.    688,350     51,193
  Ormat Technologies Inc.    597,541     46,817
  ALLETE Inc.    762,839     44,840
  Clearway Energy Inc. Class C  1,276,793     44,483
  Avangrid Inc.    934,639     43,106
  California Water Service Group    765,102     42,501
  NorthWestern Corp.    719,379     42,393
  Avista Corp.    960,037     41,771
  American States Water Co.    493,441     40,220
  MGE Energy Inc.    487,943     37,977
  Otter Tail Corp.    562,633     37,770
  Chesapeake Utilities Corp.    234,284     30,351
  Northwest Natural Holding Co.    468,285     24,866
  SJW Group    369,683     23,072
* Sunnova Energy International Inc.  1,251,348     23,062
  Middlesex Water Co.    234,537     20,564
  Unitil Corp.    210,596     12,366
*,1 Montauk Renewables Inc.    848,083      8,523
  Clearway Energy Inc. Class A    250,740      8,016
  York Water Co.    169,333      6,846
  Artesian Resources Corp. Class A    115,069      5,658
*,1 Altus Power Inc.    522,710      3,298
  Genie Energy Ltd. Class B    316,652      2,901
* Pure Cycle Corp.    268,033      2,825
  Consolidated Water Co. Ltd.    150,627      2,184
  RGC Resources Inc.    101,978      1,945
  Global Water Resources Inc.    124,335      1,642
  Via Renewables Inc. Class A    186,239      1,427
*,1 Cadiz Inc.    379,213        884
                    1,975,230
Total Common Stocks
(Cost $75,060,696)
76,773,717
Preferred Stocks (0.0%)
1,4 Meta Materials Inc. Pfd., 0.000%  1,758,570      2,717
  FAT Brands Inc. Pfd., 8.250%, 8/8/22      7,939        141
  Air T Funding Pfd., 8.000%, 6/7/24        704         15
Total Preferred Stocks
(Cost $143)
2,873
 
30

 

Extended Market Index Fund
          Shares Market
Value

($000)
Temporary Cash Investments (3.0%)
Money Market Fund (3.0%)
5,6 Vanguard Market Liquidity Fund, 1.417%
(Cost $2,342,069)
23,427,463           2,342,044
Total Investments (102.1%) (Cost $77,402,908)   79,118,634
Other Assets and Liabilities—Net (-2.1%)   (1,645,124)
Net Assets (100%)   77,473,510
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 $1,499,928,000.
2 Security value determined using significant unobservable inputs.
3 “Other” represents securities that are not classified by the fund’s benchmark index.
4 Perpetual security with no stated maturity date.
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 $1,705,687,000 was received for securities on loan, of which $1,705,176,000 is held in Vanguard Market Liquidity Fund and $511,000 is held in cash.
  CVR—Contingent Value Rights.
  REIT—Real Estate Investment Trust.

Derivative Financial Instruments Outstanding as of Period End

Futures Contracts
      ($000)
  Expiration Number of
Long (Short)
Contracts
Notional
Amount
Value and
Unrealized
Appreciation
(Depreciation)
Long Futures Contracts
E-mini Russell 2000 Index September 2022 5,210 444,934 (17,291)
E-mini S&P 500 Index September 2022 316 59,874 62
E-mini S&P Mid-Cap 400 Index September 2022 91 20,639 (1,194)
        (18,423)
    
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)
Airbnb Inc. Class A 8/31/22 BANA 13,900 (1.252) (3,669)
Airbnb Inc. Class A 8/31/22 BANA 13,900 (1.189) (3,669)
Bill.com Holdings Inc. 8/31/22 BANA 10,050 (1.235) (715)
Chewy Inc. Class A 1/31/23 GSI 9,064 (1.660) 1,694
Datadog Inc. Class A 8/31/22 BANA 12,401 (1.251) (31)
DocuSign Inc. 8/31/22 BANA 15,272 (1.177) (4,843)
Lucid Group Inc. 1/31/23 GSI 32,237 (1.594) (681)
Popular Inc. 8/31/22 BANA 2,416 (1.752) (110)
Popular Inc. 8/31/22 BANA 2,476 (1.725) (170)
Popular Inc. 8/31/22 BANA 2,507 (1.702) (201)
Seagen Inc. 8/31/22 BANA 10,176 (1.324) 3,085
Sirius XM Holdings Inc. 1/31/23 GSI 24,040 (1.581) 466
31

 

Extended Market Index Fund
Over-the-Counter Total Return Swaps (continued)
Reference Entity Termination
Date
Counterparty Notional
Amount
($000)
Floating
Interest
Rate
Received
(Paid)1
(%)
Value and
Unrealized
Appreciation
($000)
Value and
Unrealized
(Depreciation)
($000)
Snowflake Inc. Class A 8/31/22 BANA 20,169 (1.273) 1,784
Wayfair Inc. Class A 8/31/22 BANA 7,721 (1.188) (2,065)
          7,029 (16,154)
1 Based on USD Overnight Bank Funding Rate as of the most recent payment date. Floating interest payment received/paid monthly.
  BANA—Bank of America, N.A.
  GSI—Goldman Sachs International.
At June 30, 2022, the counterparties had deposited in segregated accounts securities with a value of $1,975,000 in connection with open over-the-counter swap contracts.
See accompanying Notes, which are an integral part of the Financial Statements.
32

 

Extended Market Index Fund
Statement of Assets and Liabilities
As of June 30, 2022
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value1  
Unaffiliated Issuers (Cost $75,060,839) 76,776,590
Affiliated Issuers (Cost $2,342,069) 2,342,044
Total Investments in Securities 79,118,634
Investment in Vanguard 3,069
Cash 511
Cash Collateral Pledged—Futures Contracts 33,202
Cash Collateral Pledged—Over-the-Counter Swap Contracts 6,540
Receivables for Investment Securities Sold 92,107
Receivables for Accrued Income 71,880
Receivables for Capital Shares Issued 57,284
Unrealized Appreciation—Over-the-Counter Swap Contracts 7,029
Total Assets 79,390,256
Liabilities  
Due to Custodian 62,328
Payables for Investment Securities Purchased 69,701
Collateral for Securities on Loan 1,705,687
Payables for Capital Shares Redeemed 57,213
Payables to Vanguard 1,469
Variation Margin Payable—Futures Contracts 4,194
Unrealized Depreciation—Over-the-Counter Swap Contracts 16,154
Total Liabilities 1,916,746
Net Assets 77,473,510
1 Includes $1,499,928 of securities on loan.  
33

 

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


At June 30, 2022, net assets consisted of:

($000s, except shares and per-share amounts) Amount
Paid-in Capital 77,445,578
Total Distributable Earnings (Loss) 27,932
Net Assets 77,473,510
 
Investor Shares—Net Assets  
Applicable to 2,471,077 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
246,005
Net Asset Value Per Share—Investor Shares $99.55
 
ETF Shares—Net Assets  
Applicable to 95,317,902 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
12,497,626
Net Asset Value Per Share—ETF Shares $131.12
 
Admiral Shares—Net Assets  
Applicable to 203,520,430 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
20,245,963
Net Asset Value Per Share—Admiral Shares $99.48
 
Institutional Shares—Net Assets  
Applicable to 138,414,059 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
13,768,225
Net Asset Value Per Share—Institutional Shares $99.47
 
Institutional Plus Shares—Net Assets  
Applicable to 46,419,687 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
11,394,945
Net Asset Value Per Share—Institutional Plus Shares $245.48
 
Institutional Select Shares—Net Assets  
Applicable to 120,874,765 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
19,320,746
Net Asset Value Per Share—Institutional Select Shares $159.84
  
See accompanying Notes, which are an integral part of the Financial Statements.
34

 

Extended Market Index Fund
Statement of Operations
  Six Months Ended
June 30, 2022
  ($000)
Investment Income  
Income  
Dividends 396,029
Interest1 1,337
Securities Lending—Net 51,823
Total Income 449,189
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,076
Management and Administrative—Investor Shares 277
Management and Administrative—ETF Shares 3,659
Management and Administrative—Admiral Shares 6,113
Management and Administrative—Institutional Shares 3,434
Management and Administrative—Institutional Plus Shares 2,143
Management and Administrative—Institutional Select Shares 1,927
Marketing and Distribution—Investor Shares 10
Marketing and Distribution—ETF Shares 275
Marketing and Distribution—Admiral Shares 436
Marketing and Distribution—Institutional Shares 287
Marketing and Distribution—Institutional Plus Shares 241
Marketing and Distribution—Institutional Select Shares 108
Custodian Fees 537
Shareholders’ Reports—Investor Shares
Shareholders’ Reports—ETF Shares 206
Shareholders’ Reports—Admiral Shares 91
Shareholders’ Reports—Institutional Shares 97
Shareholders’ Reports—Institutional Plus Shares 69
Shareholders’ Reports—Institutional Select Shares
Trustees’ Fees and Expenses 23
Other Expenses 14
Total Expenses 21,023
Expenses Paid Indirectly (27)
Net Expenses 20,996
Net Investment Income 428,193
Realized Net Gain (Loss)  
Investment Securities Sold1,2 1,802,259
Futures Contracts (107,879)
Swap Contracts (178,638)
Realized Net Gain (Loss) 1,515,742
Change in Unrealized Appreciation (Depreciation)  
Investment Securities1 (32,329,298)
Futures Contracts (29,220)
Swap Contracts 12,665
Change in Unrealized Appreciation (Depreciation) (32,345,853)
Net Increase (Decrease) in Net Assets Resulting from Operations (30,401,918)
1 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $1,333,000, ($326,000), and ($126,000), respectively. Purchases and sales are for temporary cash investment purposes.
2 Includes $1,775,083,000 of net gain (loss) resulting from in-kind redemptions.
  
See accompanying Notes, which are an integral part of the Financial Statements.
35

 

Extended Market Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2022
  Year Ended
December 31,
2021
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 428,193   1,130,746
Realized Net Gain (Loss) 1,515,742   8,497,813
Change in Unrealized Appreciation (Depreciation) (32,345,853)   2,395,353
Net Increase (Decrease) in Net Assets Resulting from Operations (30,401,918)   12,023,912
Distributions      
Investor Shares (561)   (4,470)
ETF Shares (37,588)   (191,121)
Admiral Shares (61,133)   (332,583)
Institutional Shares (42,460)   (236,015)
Institutional Plus Shares (35,873)   (169,310)
Institutional Select Shares (61,403)   (319,405)
Total Distributions (239,018)   (1,252,904)
Capital Share Transactions      
Investor Shares (50,890)   (107,099)
ETF Shares (168,288)   2,323,941
Admiral Shares (712,212)   (743,562)
Institutional Shares (161,363)   (1,373,546)
Institutional Plus Shares (62,299)   3,042,375
Institutional Select Shares 554,623   (994,136)
Net Increase (Decrease) from Capital Share Transactions (600,429)   2,147,973
Total Increase (Decrease) (31,241,365)   12,918,981
Net Assets      
Beginning of Period 108,714,875   95,795,894
End of Period 77,473,510   108,714,875
  
See accompanying Notes, which are an integral part of the Financial Statements.
36

 

Extended Market Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $138.80 $124.83 $95.66 $75.74 $84.80 $72.76
Investment Operations            
Net Investment Income1 .468 1.216 .983 .962 1.193 .916
Net Realized and Unrealized Gain (Loss) on Investments (39.498) 14.134 29.401 20.089 (9.104) 12.074
Total from Investment Operations (39.030) 15.350 30.384 21.051 (7.911) 12.990
Distributions            
Dividends from Net Investment Income (.220) (1.380) (1.214) (1.131) (1.149) (.950)
Distributions from Realized Capital Gains
Total Distributions (.220) (1.380) (1.214) (1.131) (1.149) (.950)
Net Asset Value, End of Period $99.55 $138.80 $124.83 $95.66 $75.74 $84.80
Total Return2 -28.13% 12.31% 32.04% 27.87% -9.47% 17.94%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $246 $399 $454 $455 $1,139 $1,548
Ratio of Total Expenses to Average Net Assets 0.19%3 0.19% 0.19% 0.19% 0.19% 0.21%
Ratio of Net Investment Income to Average Net Assets 0.92% 0.87% 1.04% 1.09% 1.38% 1.24%
Portfolio Turnover Rate4 4% 19% 19% 13% 10% 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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.19%.
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.
37

 

Extended Market Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $182.81 $164.43 $126.02 $99.77 $111.72 $95.86
Investment Operations            
Net Investment Income1 .712 1.867 1.509 1.636 1.742 1.420
Net Realized and Unrealized Gain (Loss) on Investments (52.008) 18.576 38.668 26.255 (12.036) 15.835
Total from Investment Operations (51.296) 20.443 40.177 27.891 (10.294) 17.255
Distributions            
Dividends from Net Investment Income (.394) (2.063) (1.767) (1.641) (1.656) (1.395)
Distributions from Realized Capital Gains
Total Distributions (.394) (2.063) (1.767) (1.641) (1.656) (1.395)
Net Asset Value, End of Period $131.12 $182.81 $164.43 $126.02 $99.77 $111.72
Total Return -28.08% 12.44% 32.20% 28.04% -9.37% 18.10%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $12,498 $17,593 $13,761 $8,119 $6,095 $5,711
Ratio of Total Expenses to Average Net Assets 0.06%2 0.06% 0.06% 0.06% 0.07% 0.08%
Ratio of Net Investment Income to Average Net Assets 1.04% 1.02% 1.20% 1.40% 1.50% 1.37%
Portfolio Turnover Rate3 4% 19% 19% 13% 10% 11%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.06%.
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.
38

 

Extended Market Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $138.70 $124.75 $95.61 $75.70 $84.76 $72.72
Investment Operations            
Net Investment Income1 .540 1.408 1.112 1.236 1.307 1.071
Net Realized and Unrealized Gain (Loss) on Investments (39.461) 14.106 29.367 19.918 (9.111) 12.026
Total from Investment Operations (38.921) 15.514 30.479 21.154 (7.804) 13.097
Distributions            
Dividends from Net Investment Income (.299) (1.564) (1.339) (1.244) (1.256) (1.057)
Distributions from Realized Capital Gains
Total Distributions (.299) (1.564) (1.339) (1.244) (1.256) (1.057)
Net Asset Value, End of Period $99.48 $138.70 $124.75 $95.61 $75.70 $84.76
Total Return2 -28.08% 12.45% 32.21% 28.03% -9.36% 18.11%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $20,246 $29,054 $26,784 $22,391 $17,644 $19,712
Ratio of Total Expenses to Average Net Assets 0.06%3 0.06% 0.06% 0.06% 0.07% 0.08%
Ratio of Net Investment Income to Average Net Assets 1.04% 1.01% 1.18% 1.39% 1.50% 1.37%
Portfolio Turnover Rate4 4% 19% 19% 13% 10% 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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.06%.
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.
39

 

Extended Market Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $138.69 $124.74 $95.60 $75.69 $84.75 $72.72
Investment Operations            
Net Investment Income1 .544 1.413 1.125 1.239 1.319 1.085
Net Realized and Unrealized Gain (Loss) on Investments (39.459) 14.115 29.364 19.925 (9.113) 12.018
Total from Investment Operations (38.915) 15.528 30.489 21.164 (7.794) 13.103
Distributions            
Dividends from Net Investment Income (.305) (1.578) (1.349) (1.254) (1.266) (1.073)
Distributions from Realized Capital Gains
Total Distributions (.305) (1.578) (1.349) (1.254) (1.266) (1.073)
Net Asset Value, End of Period $99.47 $138.69 $124.74 $95.60 $75.69 $84.75
Total Return -28.08% 12.47% 32.23% 28.05% -9.35% 18.12%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $13,768 $19,456 $18,659 $14,927 $12,443 $13,359
Ratio of Total Expenses to Average Net Assets 0.05%2 0.05% 0.05% 0.05% 0.06% 0.06%
Ratio of Net Investment Income to Average Net Assets 1.05% 1.01% 1.19% 1.40% 1.51% 1.39%
Portfolio Turnover Rate3 4% 19% 19% 13% 10% 11%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.05%.
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.
40

 

Extended Market Index Fund
Financial Highlights
Institutional Plus Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $342.27 $307.85 $235.94 $186.80 $209.16 $179.47
Investment Operations            
Net Investment Income1 1.360 3.595 2.798 3.078 3.208 2.611
Net Realized and Unrealized Gain (Loss) on Investments (97.384) 34.757 72.466 49.178 (22.426) 29.741
Total from Investment Operations (96.024) 38.352 75.264 52.256 (19.218) 32.352
Distributions            
Dividends from Net Investment Income (.766) (3.932) (3.354) (3.116) (3.142) (2.662)
Distributions from Realized Capital Gains
Total Distributions (.766) (3.932) (3.354) (3.116) (3.142) (2.662)
Net Asset Value, End of Period $245.48 $342.27 $307.85 $235.94 $186.80 $209.16
Total Return -28.07% 12.48% 32.24% 28.07% -9.35% 18.13%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $11,395 $15,973 $11,665 $9,486 $7,559 $10,565
Ratio of Total Expenses to Average Net Assets 0.04%2 0.04% 0.04% 0.04% 0.05% 0.05%
Ratio of Net Investment Income to Average Net Assets 1.06% 1.04% 1.20% 1.41% 1.52% 1.40%
Portfolio Turnover Rate3 4% 19% 19% 13% 10% 11%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.04%.
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

 

Extended Market Index Fund
Financial Highlights
Institutional Select Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $222.86 $200.45 $153.63 $121.63 $136.19 $116.85
Investment Operations            
Net Investment Income1 .907 2.352 1.855 2.059 2.184 1.891
Net Realized and Unrealized Gain (Loss) on Investments (63.411) 22.661 47.179 31.999 (14.655) 19.221
Total from Investment Operations (62.504) 25.013 49.034 34.058 (12.471) 21.112
Distributions            
Dividends from Net Investment Income (.516) (2.603) (2.214) (2.058) (2.089) (1.772)
Distributions from Realized Capital Gains
Total Distributions (.516) (2.603) (2.214) (2.058) (2.089) (1.772)
Net Asset Value, End of Period $159.84 $222.86 $200.45 $153.63 $121.63 $136.19
Total Return -28.06% 12.50% 32.27% 28.09% -9.32% 18.17%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $19,321 $26,240 $24,472 $19,166 $13,390 $12,250
Ratio of Total Expenses to Average Net Assets 0.02%2 0.02% 0.02% 0.02% 0.02% 0.02%
Ratio of Net Investment Income to Average Net Assets 1.09% 1.05% 1.22% 1.44% 1.55% 1.43%
Portfolio Turnover Rate3 4% 19% 19% 13% 10% 11%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.02%.
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

 

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.
Significant market disruptions, such as those caused by pandemics (e.g., COVID-19 pandemic), natural or environmental disasters, war (e.g., Russia's invasion of Ukraine), acts of terrorism, or other events, can adversely affect local and global markets and normal market operations. Any such disruptions could have an adverse impact on the value of the fund's investments and 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. Bonds and 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 securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. 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, 2022, the fund’s average investments in long and short futures contracts represented 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.
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
43

 

Extended Market Index Fund
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.
The notional amounts of swap contracts are not recorded in the Statement of Assets and Liabilities. 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.
During the six months ended June 30, 2022, 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. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for 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 $4.4 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 and are 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, which are allocated to
44

 

Extended Market Index Fund
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 an agreed-upon spread plus the higher of the federal funds effective rate, the overnight bank funding rate, or the Daily Simple Secured Overnight Financing Rate inclusive of an additional agreed-upon spread. However, borrowings under the uncommitted credit facility may bear interest based upon an alternate 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, 2022, the fund did not utilize the credit facilities or the Interfund Lending Program.
8. Other: Dividend income is recorded on the ex-dividend date. Non-cash dividends included in income, if any, are recorded at the fair value of the securities received. 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, 2022, the fund had contributed to Vanguard capital in the amount of $3,069,000, representing less than 0.01% of the fund’s net assets and 1.23% 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, 2022, custodian fee offset arrangements reduced the fund’s expenses by $27,000 (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 and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
45

 

Extended Market Index Fund
The following table summarizes the market value of the fund's investments and derivatives as of June 30, 2022, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 76,769,501 4,216 76,773,717
Preferred Stocks 2,873 2,873
Temporary Cash Investments 2,342,044 2,342,044
Total 79,114,418 4,216 79,118,634
Derivative Financial Instruments        
Assets        
Futures Contracts1 62 62
Swap Contracts 7,029 7,029
Total 62 7,029 7,091
Liabilities        
Futures Contracts1 18,485 18,485
Swap Contracts 16,154 16,154
Total 18,485 16,154 34,639
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
E.  As of June 30, 2022, 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 77,781,600
Gross Unrealized Appreciation 22,040,084
Gross Unrealized Depreciation (20,730,598)
Net Unrealized Appreciation (Depreciation) 1,309,486
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, 2021, the fund had available capital losses totaling $3,139,975,000 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, 2022; 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, 2022, the fund purchased $6,819,501,000 of investment securities and sold $7,170,787,000 of investment securities, other than temporary cash investments. Purchases and sales include $2,976,791,000 and $3,212,701,000, 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, 2022, such purchases were $262,454,000 and sales were $559,082,000, resulting in net realized loss of $81,260,000; these amounts, other than temporary cash investments, are included in the purchases and sales of investment securities noted above.
46

 

Extended Market Index Fund
G.  Capital share transactions for each class of shares were:
  Six Months Ended
June 30, 2022
  Year Ended
December 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 6,778 59   39,158 282
Issued in Lieu of Cash Distributions 561 5   4,470 33
Redeemed (58,229) (465)   (150,727) (1,083)
Net Increase (Decrease)—Investor Shares (50,890) (401)   (107,099) (768)
ETF Shares          
Issued 3,100,623 20,530   15,985,886 87,247
Issued in Lieu of Cash Distributions  
Redeemed (3,268,911) (21,450)   (13,661,945) (74,700)
Net Increase (Decrease)—ETF Shares (168,288) (920)   2,323,941 12,547
Admiral Shares          
Issued 1,178,555 10,030   3,642,653 26,360
Issued in Lieu of Cash Distributions 51,071 474   279,124 2,035
Redeemed (1,941,838) (16,459)   (4,665,339) (33,620)
Net Increase (Decrease)—Admiral Shares (712,212) (5,955)   (743,562) (5,225)
Institutional Shares          
Issued 1,448,138 12,165   4,149,788 30,111
Issued in Lieu of Cash Distributions 39,613 368   221,019 1,611
Redeemed (1,649,114) (14,399)   (5,744,353) (41,017)
Net Increase (Decrease)—Institutional Shares (161,363) (1,866)   (1,373,546) (9,295)
Institutional Plus Shares          
Issued 1,357,162 4,777   5,116,528 14,794
Issued in Lieu of Cash Distributions 34,503 130   161,853 477
Redeemed (1,453,964) (5,155)   (2,236,006) (6,495)
Net Increase (Decrease)—Institutional Plus Shares (62,299) (248)   3,042,375 8,776
Institutional Select Shares          
Issued 1,129,898 6,126   1,654,421 7,468
Issued in Lieu of Cash Distributions 61,403 354   319,405 1,448
Redeemed (636,678) (3,345)   (2,967,962) (13,263)
Net Increase (Decrease)—Institutional Select Shares 554,623 3,135   (994,136) (4,347)
H.  Management has determined that no events or transactions occurred subsequent to June 30, 2022, that would require recognition or disclosure in these financial statements.
47

 

Mid-Cap Index Fund
Fund Allocation
As of June 30, 2022
Basic Materials 4.2%
Consumer Discretionary 12.5
Consumer Staples 5.4
Energy 6.1
Financials 12.0
Health Care 11.0
Industrials 14.2
Real Estate 10.3
Technology 15.1
Telecommunications 1.8
Utilities 7.4
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.
48

 

Mid-Cap Index Fund
Financial Statements (unaudited)
Schedule of Investments
As of June 30, 2022
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 (99.6%)
Basic Materials (4.1%)
  International Flavors & Fragrances Inc.  5,867,167     698,897
  Fastenal Co. 13,251,667     661,523
  Nucor Corp.  6,124,395     639,448
  Albemarle Corp.  2,696,258     563,464
  LyondellBasell Industries NV Class A  6,034,559     527,783
  CF Industries Holdings Inc.  4,801,889     411,666
  Mosaic Co.  8,333,046     393,570
  International Paper Co.  8,533,777     356,968
  FMC Corp.  2,899,474     310,273
  Avery Dennison Corp.  1,881,411     304,544
  Eastman Chemical Co.  2,969,211     266,546
  Celanese Corp.  2,244,533     263,979
  Westlake Corp.    369,424      36,211
                     5,434,872
Consumer Discretionary (12.5%)
* Dollar Tree Inc.  4,933,529     768,891
* Aptiv plc  6,237,552     555,579
* Copart Inc.  4,924,887     535,138
  Tractor Supply Co.  2,575,841     499,327
* Southwest Airlines Co. 13,652,272     493,120
* AutoZone Inc.    228,500     491,074
  DR Horton Inc.  7,295,096     482,862
* Ulta Beauty Inc.  1,202,440     463,517
* Take-Two Interactive Software Inc.  3,729,289     456,950
  Genuine Parts Co.  3,260,228     433,610
  Lennar Corp. Class A  6,058,787     427,569
* Delta Air Lines Inc. 14,758,507     427,554
* Trade Desk Inc. Class A 10,178,195     426,365
* Chipotle Mexican Grill Inc.    305,723     399,659
  Hilton Worldwide Holdings Inc.  3,202,786     356,918
  VF Corp.  8,058,262     355,933
  Garmin Ltd.  3,557,323     349,507
* CarMax Inc.  3,695,976     334,412
* Expedia Group Inc.  3,489,265     330,887
  Darden Restaurants Inc.  2,871,013     324,769
  Domino's Pizza Inc.    829,764     323,367
  Best Buy Co. Inc.  4,661,654     303,893
  Omnicom Group Inc.  4,738,061     301,388
  Paramount Global Class B 11,962,695     295,239
* NVR Inc.     71,973     288,190
* Live Nation Entertainment Inc.  3,413,398     281,878
  LKQ Corp.  5,535,168     271,721
  eBay Inc.  6,442,887     268,475
* United Airlines Holdings Inc.  7,521,126     266,398
  Advance Auto Parts Inc.  1,396,040     241,641
  Hasbro Inc.  2,889,697     236,608
  MGM Resorts International  7,844,403     227,095
*,1 ROBLOX Corp. Class A  6,860,101     225,423
  Fox Corp. Class A  6,878,349     221,208
  PulteGroup Inc.  5,471,769     216,846
* Etsy Inc.  2,926,557     214,253
* Burlington Stores Inc.  1,521,758     207,309
1 Whirlpool Corp.  1,293,967     200,397
  Rollins Inc.  5,669,462     197,978
  BorgWarner Inc.  5,516,364     184,081
* Caesars Entertainment Inc.  4,686,984     179,512
  News Corp. Class A 11,230,586     174,973
          Shares Market
Value

($000)
* Royal Caribbean Cruises Ltd.  4,987,363     174,109
*,1 Carnival Corp. 19,359,811     167,462
  Pool Corp.    438,199     153,909
* Las Vegas Sands Corp.  3,956,986     132,915
* Liberty Media Corp.-Liberty SiriusXM Class C  3,562,145     128,415
  Interpublic Group of Cos. Inc.  4,535,385     124,859
*,1 Lucid Group Inc.  6,718,658     115,292
  Fox Corp. Class B  3,718,285     110,433
  Vail Resorts Inc.    466,432     101,706
1 Sirius XM Holdings Inc. 15,674,790      96,086
* American Airlines Group Inc.  7,470,864      94,731
*,1 GameStop Corp. Class A    746,902      91,346
  Lear Corp.    688,074      86,622
*,1 AMC Entertainment Holdings Inc. Class A  5,950,581      80,630
  Bath & Body Works Inc.  2,607,991      70,207
*,1 Chewy Inc. Class A  2,012,618      69,878
* Wynn Resorts Ltd.  1,200,589      68,410
  Warner Music Group Corp. Class A  2,686,191      65,436
* Liberty Media Corp.-Liberty SiriusXM Class A  1,766,681      63,671
* Endeavor Group Holdings Inc. Class A  2,944,047      60,530
* Lyft Inc. Class A  3,319,831      44,087
*,1 Wayfair Inc. Class A    869,915      37,894
* Carvana Co.  1,155,920      26,101
  Lennar Corp. Class B    212,879      12,498
  News Corp. Class B    355,310       5,646
1 Paramount Global Class A    184,136       5,020
* Peloton Interactive Inc. Class A        572           5
*,1 QuantumScape Corp. Class A        400           3
                    16,429,415
Consumer Staples (5.4%)
  Corteva Inc. 16,699,389     904,105
  Kroger Co. 14,937,686     707,001
  Tyson Foods Inc. Class A  6,712,775     577,701
  McKesson Corp.  1,673,452     545,897
  Church & Dwight Co. Inc.  5,589,138     517,890
  AmerisourceBergen Corp.  3,617,512     511,806
  Archer-Daniels-Midland Co.  6,477,723     502,671
  McCormick & Co. Inc. (Non-Voting)  5,760,983     479,602
  Kellogg Co.  5,834,134     416,207
  Clorox Co.  2,833,413     399,455
  Conagra Brands Inc. 11,048,564     378,303
  J M Smucker Co.  2,372,169     303,661
  Hormel Foods Corp.  5,824,433     275,845
  Campbell Soup Co.  4,514,949     216,943
  Lamb Weston Holdings Inc.  1,662,925     118,833
  Molson Coors Beverage Co. Class B  2,077,718     113,256
  Albertsons Cos. Inc. Class A  1,752,400      46,824
* Olaplex Holdings Inc.  2,240,272      31,565
                     7,047,565
Energy (6.1%)
  Devon Energy Corp. 15,195,316     837,414
  Cheniere Energy Inc.  5,266,309     700,577
  Hess Corp.  6,449,675     683,279
  Baker Hughes Co. 22,667,213     654,402
* Enphase Energy Inc.  3,108,682     606,939
  Halliburton Co. 18,689,354     586,098
  ONEOK Inc. 10,283,139     570,714
  Occidental Petroleum Corp.  8,633,164     508,321
  Valero Energy Corp.  4,698,862     499,395
49

 

Mid-Cap Index Fund
          Shares Market
Value

($000)
  Diamondback Energy Inc.  4,087,339     495,181
  Coterra Energy Inc. 17,622,069     454,473
  Phillips 66  5,538,265     454,082
  Williams Cos. Inc. 14,022,009     437,627
*,1 Plug Power Inc. 13,308,100     220,515
  Marathon Oil Corp.  8,144,224     183,082
  Continental Resources Inc.  1,253,335      81,906
  Pioneer Natural Resources Co.        460         103
  Marathon Petroleum Corp.      1,118          92
                     7,974,200
Financials (12.0%)
  Arthur J Gallagher & Co.  4,835,981     788,458
  MSCI Inc.  1,777,520     732,605
  M&T Bank Corp.  4,130,648     658,384
  Discover Financial Services  6,468,657     611,806
  Ameriprise Financial Inc.  2,530,434     601,434
  First Republic Bank  4,136,966     596,550
* SVB Financial Group  1,354,922     535,181
  Fifth Third Bancorp 15,796,822     530,773
  Willis Towers Watson plc  2,566,710     506,643
  Hartford Financial Services Group Inc.  7,571,261     495,388
  American International Group Inc.  9,119,746     466,293
  Northern Trust Corp.  4,557,844     439,741
  Cincinnati Financial Corp.  3,507,323     417,301
  Citizens Financial Group Inc. 11,407,402     407,130
  Nasdaq Inc.  2,654,297     404,886
  Regions Financial Corp. 21,515,602     403,417
  Raymond James Financial Inc.  4,489,547     401,410
  Huntington Bancshares Inc. 33,136,752     398,635
  Principal Financial Group Inc.  5,817,207     388,531
  Broadridge Financial Solutions Inc.  2,699,183     384,768
* Markel Corp.    296,769     383,796
* Arch Capital Group Ltd.  8,216,857     373,785
  KeyCorp 21,470,517     369,937
  State Street Corp.  5,979,708     368,649
  Apollo Global Management Inc.  7,274,143     352,650
  FactSet Research Systems Inc.    872,544     335,554
  W R Berkley Corp.  4,578,593     312,535
  Loews Corp.  4,818,762     285,560
  Cboe Global Markets Inc.  2,444,878     276,736
  Everest Re Group Ltd.    908,041     254,506
  Ally Financial Inc.  7,065,829     236,776
  Equitable Holdings Inc.  8,771,877     228,683
  Fidelity National Financial Inc.  6,139,873     226,930
  Annaly Capital Management Inc. 35,944,850     212,434
  MarketAxess Holdings Inc.    825,443     211,322
  Ares Management Corp. Class A  3,554,260     202,095
  Tradeweb Markets Inc. Class A  2,476,531     169,023
  Franklin Resources Inc.  6,907,369     161,011
*,1 Coinbase Global Inc. Class A  3,198,637     150,400
* Alleghany Corp.    147,164     122,602
  Interactive Brokers Group Inc. Class A  2,149,385     118,238
  Globe Life Inc.  1,021,443      99,560
  Lincoln National Corp.  1,781,333      83,313
1 Rocket Cos. Inc. Class A  2,591,556      19,074
1 UWM Holdings Corp. Class A        175           1
                    15,724,504
Health Care (11.0%)
* Centene Corp. 13,465,976   1,139,356
* IQVIA Holdings Inc.  4,357,814     945,602
  ResMed Inc.  3,367,933     706,020
* Dexcom Inc.  9,037,061     673,532
* Veeva Systems Inc. Class A  3,218,654     637,422
* Seagen Inc.  3,178,395     562,385
  West Pharmaceutical Services Inc.  1,705,407     515,664
  Zimmer Biomet Holdings Inc.  4,825,402     506,957
  Laboratory Corp. of America Holdings  2,145,247     502,760
  STERIS plc  2,305,265     475,230
          Shares Market
Value

($000)
* Avantor Inc. 13,949,417     433,827
* Horizon Therapeutics plc  5,292,742     422,149
* Catalent Inc.  3,919,750     420,550
1 PerkinElmer Inc.  2,904,211     413,037
* Alnylam Pharmaceuticals Inc.  2,781,352     405,660
* Hologic Inc.  5,741,713     397,901
  Quest Diagnostics Inc.  2,702,118     359,328
  Cooper Cos. Inc.  1,135,194     355,452
* BioMarin Pharmaceutical Inc.  4,259,134     352,955
* Insulet Corp.  1,596,377     347,914
* IDEXX Laboratories Inc.    967,078     339,183
  Royalty Pharma plc Class A  8,018,351     337,092
* Incyte Corp.  4,335,068     329,335
  Cardinal Health Inc.  6,271,770     327,826
  Viatris Inc. 27,912,919     292,248
  Teleflex Inc.  1,079,802     265,469
* ABIOMED Inc.    996,534     246,652
* Henry Schein Inc.  3,178,508     243,919
* Bio-Rad Laboratories Inc. Class A    486,786     240,959
* Align Technology Inc.    906,938     214,645
* Elanco Animal Health Inc. 10,369,400     203,551
  DENTSPLY SIRONA Inc.  4,960,624     177,243
* Exact Sciences Corp.  4,050,246     159,539
  Universal Health Services Inc. Class B  1,468,298     147,872
* Charles River Laboratories International Inc.    584,777     125,125
* DaVita Inc.  1,307,018     104,509
* Teladoc Health Inc.  1,668,484      55,410
* agilon health Inc.  2,340,447      51,092
* 10X Genomics Inc. Class A        167           8
* GoodRx Holdings Inc. Class A        138           1
*,1 Ginkgo Bioworks Holdings Inc.        354           1
                    14,435,380
Industrials (14.1%)
  Cintas Corp.  2,002,528     748,004
  Carrier Global Corp. 19,530,002     696,440
* TransDigm Group Inc.  1,193,892     640,726
  Verisk Analytics Inc.  3,635,459     629,262
  Old Dominion Freight Line Inc.  2,348,743     601,936
* Mettler-Toledo International Inc.    522,231     599,923
  PACCAR Inc.  7,204,622     593,229
  AMETEK Inc.  5,316,378     584,217
* Keysight Technologies Inc.  4,141,876     570,958
  Rockwell Automation Inc.  2,676,252     533,404
  Equifax Inc.  2,816,504     514,801
  Ball Corp.  7,362,546     506,322
  WW Grainger Inc.  1,058,927     481,208
* Waters Corp.  1,386,885     459,031
  Fortive Corp.  8,252,707     448,782
  Vulcan Materials Co.  3,059,705     434,784
  Martin Marietta Materials Inc.  1,433,990     429,107
* Teledyne Technologies Inc.  1,078,470     404,545
  Dover Corp.  3,319,382     402,707
* United Rentals Inc.  1,648,777     400,504
  Ingersoll Rand Inc.  9,346,044     393,282
  Jacobs Engineering Group Inc.  2,961,558     376,503
  Expeditors International of Washington Inc.  3,862,447     376,434
  Stanley Black & Decker Inc.  3,475,652     364,457
* FleetCor Technologies Inc.  1,691,676     355,438
* Zebra Technologies Corp. Class A  1,208,997     355,385
  TransUnion  4,429,669     354,329
  Otis Worldwide Corp.  4,867,305     343,972
* Trimble Inc.  5,759,029     335,348
  Westinghouse Air Brake Technologies Corp.  3,994,933     327,904
  Xylem Inc.  4,146,339     324,161
  Synchrony Financial 11,545,670     318,891
* Generac Holdings Inc.  1,469,484     309,444
  JB Hunt Transport Services Inc.  1,930,028     303,922
  Textron Inc.  4,952,260     302,435
  CH Robinson Worldwide Inc.  2,930,022     297,016
 
50

 

Mid-Cap Index Fund
          Shares Market
Value

($000)
  Packaging Corp. of America  2,157,400     296,642
  Masco Corp.  5,432,265     274,873
  Crown Holdings Inc.  2,830,587     260,895
* Bill.com Holdings Inc.  2,280,447     250,712
  Snap-on Inc.  1,228,945     242,139
  Westrock Co.  5,868,279     233,792
  Fortune Brands Home & Security Inc.  3,011,587     180,334
  HEICO Corp. Class A  1,688,008     177,882
  Jack Henry & Associates Inc.    838,856     151,011
  HEICO Corp.    940,960     123,379
  Hubbell Inc. Class B    617,637     110,298
  Cognex Corp.  1,899,910      80,784
* Mohawk Industries Inc.    621,826      77,162
*,1 Affirm Holdings Inc. Class A  2,083,989      37,637
* Marqeta Inc. Class A        322           3
* Aurora Innovation Inc.        189          —
                    18,616,354
Real Estate (10.2%)
  Realty Income Corp. 13,851,402     945,497
  Welltower Inc. 10,451,717     860,699
  Digital Realty Trust Inc.  6,553,989     850,904
  SBA Communications Corp.  2,482,586     794,552
  AvalonBay Communities Inc.  3,219,069     625,304
  Equity Residential  8,224,779     593,993
  VICI Properties Inc. 19,518,147     581,446
  Weyerhaeuser Co. 17,141,114     567,714
* CoStar Group Inc.  9,122,232     551,074
  Alexandria Real Estate Equities Inc.  3,757,816     544,996
* CBRE Group Inc. Class A  7,150,021     526,313
  Extra Space Storage Inc.  3,091,447     525,917
  Invitation Homes Inc. 14,051,328     499,946
  Duke Realty Corp.  8,851,118     486,369
  Ventas Inc.  9,202,220     473,270
  Mid-America Apartment Communities Inc.  2,657,360     464,161
  Sun Communities Inc.  2,799,831     446,181
  Essex Property Trust Inc.  1,504,074     393,330
  WP Carey Inc.  4,441,414     368,016
  Simon Property Group Inc.  3,783,279     359,109
  UDR Inc.  7,330,614     337,501
  Camden Property Trust  2,452,052     329,752
  Iron Mountain Inc.  6,689,640     325,719
  Healthpeak Properties Inc. 12,422,777     321,874
  Boston Properties Inc.  3,247,206     288,936
  Host Hotels & Resorts Inc.  8,227,242     129,003
* Zillow Group Inc. Class C  3,862,096     122,622
  Regency Centers Corp.  1,984,384     117,694
* Zillow Group Inc. Class A    831,330      26,445
*,1 Opendoor Technologies Inc.        929           4
                    13,458,341
Technology (15.0%)
* Synopsys Inc.  3,521,876   1,069,594
* Cadence Design Systems Inc.  6,348,960     952,534
  Amphenol Corp. Class A 13,798,822     888,368
  Microchip Technology Inc. 12,766,575     741,483
* Datadog Inc. Class A  5,865,981     558,676
  Corning Inc. 17,500,826     551,451
* Twitter Inc. 14,075,496     526,283
* Palo Alto Networks Inc.  1,062,889     525,003
* ON Semiconductor Corp. 10,003,590     503,281
  CDW Corp.  3,110,918     490,156
* ANSYS Inc.  2,002,866     479,266
* Match Group Inc.  6,575,059     458,216
* Fortinet Inc.  7,851,878     444,259
  Marvell Technology Inc.  9,792,330     426,260
* Gartner Inc.  1,761,645     426,019
  Hewlett Packard Enterprise Co. 29,934,998     396,938
  Monolithic Power Systems Inc.  1,020,135     391,773
* MongoDB Inc.  1,488,626     386,298
          Shares Market
Value

($000)
* EPAM Systems Inc.  1,249,978     368,469
* Palantir Technologies Inc. Class A 40,067,957     363,416
* VeriSign Inc.  2,143,927     358,743
  Skyworks Solutions Inc.  3,705,252     343,255
* Akamai Technologies Inc.  3,690,949     337,094
  Seagate Technology Holdings plc  4,699,276     335,716
  NetApp Inc.  5,123,469     334,255
* Twilio Inc. Class A  3,956,056     331,557
  Teradyne Inc.  3,688,463     330,302
* Paycom Software Inc.  1,179,119     330,295
* Splunk Inc.  3,705,036     327,747
* Western Digital Corp.  7,210,139     323,231
* Tyler Technologies Inc.    954,906     317,487
* HubSpot Inc.  1,044,733     314,099
* Okta Inc.  3,470,448     313,729
* Zscaler Inc.  1,949,299     291,440
  SS&C Technologies Holdings Inc.  4,986,659     289,575
  Citrix Systems Inc.  2,914,501     283,202
  NortonLifeLock Inc. 12,651,744     277,832
* DocuSign Inc.  4,548,069     260,968
* GoDaddy Inc. Class A  3,723,958     259,039
* Cloudflare Inc. Class A  5,827,820     254,967
* Pinterest Inc. Class A 13,023,832     236,513
* Qorvo Inc.  2,441,263     230,260
* Black Knight Inc.  3,411,250     223,062
* ZoomInfo Technologies Inc. Class A  6,500,812     216,087
* DoorDash Inc. Class A  2,955,048     189,625
* Unity Software Inc.  4,770,190     175,638
  Bentley Systems Inc. Class B  5,082,524     169,248
  Leidos Holdings Inc.  1,573,220     158,439
* Snap Inc. Class A 11,928,526     156,622
*,1 AppLovin Corp. Class A  4,135,509     142,427
* IAC/InterActiveCorp  1,839,047     139,712
* UiPath Inc. Class A  6,919,096     125,858
* F5 Inc.    696,018     106,519
* Zendesk Inc.  1,410,522     104,477
* Dropbox Inc. Class A  3,207,102      67,317
* RingCentral Inc. Class A    977,547      51,087
* Coupa Software Inc.    869,145      49,628
* Toast Inc. Class A  2,770,987      35,857
* Qualtrics International Inc. Class A  2,197,166      27,487
* Gitlab Inc. Class A         23           1
* HashiCorp Inc. Class A         28           1
                    19,768,141
Telecommunications (1.8%)
  Motorola Solutions Inc.  3,851,756     807,328
* Arista Networks Inc.  5,322,618     498,942
* Liberty Broadband Corp. Class C  3,008,729     347,930
1 Lumen Technologies Inc. 23,786,352     259,509
* Roku Inc.  2,759,340     226,652
  Juniper Networks Inc.  3,718,735     105,984
* DISH Network Corp. Class A  5,708,550     102,354
* Liberty Broadband Corp. Class A    445,109      50,542
                     2,399,241
Utilities (7.4%)
  Consolidated Edison Inc.  8,156,952     775,726
  Waste Connections Inc.  5,921,002     733,967
  WEC Energy Group Inc.  7,262,016     730,849
  Eversource Energy  7,940,085     670,699
  American Water Works Co. Inc.  4,184,432     622,518
  Edison International  8,776,233     555,009
  Ameren Corp.  5,928,013     535,655
  Entergy Corp.  4,682,102     527,392
* PG&E Corp. 48,241,494     481,450
  DTE Energy Co.  3,791,994     480,635
  FirstEnergy Corp. 12,487,685     479,402
  PPL Corp. 16,942,826     459,659
  CMS Energy Corp.  6,678,998     450,832
 
51

 

Mid-Cap Index Fund
          Shares Market
Value

($000)
  CenterPoint Energy Inc. 14,494,762     428,755
  Evergy Inc.  5,284,321     344,802
  Alliant Energy Corp.  5,773,974     338,413
  AES Corp. 15,375,828     323,046
  NiSource Inc.  9,343,114     275,529
  Vistra Corp.  9,941,497     227,163
  Constellation Energy Corp.  3,759,126     215,248
  Avangrid Inc.  1,781,406      82,159
                     9,738,908
Total Common Stocks
(Cost $101,285,695)
131,026,921
Temporary Cash Investments (0.7%)
Money Market Fund (0.7%)
2,3 Vanguard Market Liquidity Fund, 1.417%
(Cost $945,601)
 9,459,587            945,675
Total Investments (100.3%)
(Cost $102,231,296)
  131,972,596
Other Assets and Liabilities—Net (-0.3%)   (341,005)
Net Assets (100%)   131,631,591
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 $613,916,000.
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 $655,673,000 was received for securities on loan, of which $653,071,000 is held in Vanguard Market Liquidity Fund and $2,602,000 is held in cash.

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 2022 742 63,367 (429)
E-mini S&P 500 Index September 2022 523 99,095 (694)
E-mini S&P Mid-Cap 400 Index September 2022 234 53,071 (887)
        (2,010)
    
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)
Ameren Corp. 1/31/23 GSI 1,249 (1.581) 114
CRSP US Mid Cap TR Index 8/31/22 BANA 87,872 (1.624) (9,240)
DocuSign Inc. 8/31/22 BANA 4,531 (1.177) (1,437)
Hormel Foods Corp. 1/31/23 GSI 20,201 (1.583) 1,100
Palantir Technologies Inc. Class A 8/31/22 BANA 2,326 (1.263) 102
Palo Alto Networks Inc. 8/31/22 BANA 25,139 (1.252) (465)
Palo Alto Networks Inc. 8/31/22 BANA 17,095 (1.248) (317)
52

 

Mid-Cap Index Fund
Over-the-Counter Total Return Swaps (continued)
Reference Entity Termination
Date
Counterparty Notional
Amount
($000)
Floating
Interest
Rate
Received
(Paid)1
(%)
Value and
Unrealized
Appreciation
($000)
Value and
Unrealized
(Depreciation)
($000)
Pinterest Inc. Class A 8/31/22 BANA 4,068 (1.234) (312)
Sirius XM Holdings Inc. 1/31/23 GSI 14,875 (1.581) 289
State Street Corp. 8/31/23 BANA 148,605 (1.803) (21,261)
VICI Properties Inc. 8/31/22 BANA 76,362 (2.127) 3,495
          5,100 (33,032)
1 Based on USD Overnight Bank Funding Rate as of the most recent payment date. Floating interest payment received/paid monthly.
  BANA—Bank of America, N.A.
  GSI—Goldman Sachs International.
At June 30, 2022, the counterparties had deposited in segregated accounts securities with a value of $1,735,000 in connection with open over-the-counter swap contracts.
See accompanying Notes, which are an integral part of the Financial Statements.
53

 

Mid-Cap Index Fund
Statement of Assets and Liabilities
As of June 30, 2022
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value1  
Unaffiliated Issuers (Cost $101,285,695) 131,026,921
Affiliated Issuers (Cost $945,601) 945,675
Total Investments in Securities 131,972,596
Investment in Vanguard 5,214
Cash 2,602
Cash Collateral Pledged—Futures Contracts 4,125
Cash Collateral Pledged—Over-the-Counter Swap Contracts 24,180
Receivables for Investment Securities Sold 25,412
Receivables for Accrued Income 162,114
Receivables for Capital Shares Issued 244,623
Unrealized Appreciation—Over-the-Counter Swap Contracts 5,100
Total Assets 132,445,966
Liabilities  
Due to Custodian 11,104
Payables for Investment Securities Purchased 1,787
Collateral for Securities on Loan 655,673
Payables for Capital Shares Redeemed 109,874
Payables to Vanguard 2,343
Variation Margin Payable—Futures Contracts 562
Unrealized Depreciation—Over-the-Counter Swap Contracts 33,032
Total Liabilities 814,375
Net Assets 131,631,591
1 Includes $613,916 of securities on loan.  
54

 

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


At June 30, 2022, net assets consisted of:

($000s, except shares and per-share amounts) Amount
Paid-in Capital 107,755,876
Total Distributable Earnings (Loss) 23,875,715
Net Assets 131,631,591
 
Investor Shares—Net Assets  
Applicable to 9,244,878 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
497,114
Net Asset Value Per Share—Investor Shares $53.77
 
ETF Shares—Net Assets  
Applicable to 237,731,850 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
46,813,528
Net Asset Value Per Share—ETF Shares $196.92
 
Admiral Shares—Net Assets  
Applicable to 204,346,073 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
49,840,056
Net Asset Value Per Share—Admiral Shares $243.90
 
Institutional Shares—Net Assets  
Applicable to 375,922,138 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
20,254,259
Net Asset Value Per Share—Institutional Shares $53.88
 
Institutional Plus Shares—Net Assets  
Applicable to 53,540,182 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
14,226,634
Net Asset Value Per Share—Institutional Plus Shares $265.72
  
See accompanying Notes, which are an integral part of the Financial Statements.
55

 

Mid-Cap Index Fund
Statement of Operations
  Six Months Ended
June 30, 2022
  ($000)
Investment Income  
Income  
Dividends1 956,694
Interest2 1,236
Securities Lending—Net 9,806
Total Income 967,736
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,078
Management and Administrative—Investor Shares 484
Management and Administrative—ETF Shares 8,422
Management and Administrative—Admiral Shares 12,356
Management and Administrative—Institutional Shares 4,031
Management and Administrative—Institutional Plus Shares 1,956
Marketing and Distribution—Investor Shares 19
Marketing and Distribution—ETF Shares 986
Marketing and Distribution—Admiral Shares 1,103
Marketing and Distribution—Institutional Shares 373
Marketing and Distribution—Institutional Plus Shares 241
Custodian Fees 154
Shareholders’ Reports—Investor Shares 1
Shareholders’ Reports—ETF Shares 518
Shareholders’ Reports—Admiral Shares 251
Shareholders’ Reports—Institutional Shares 101
Shareholders’ Reports—Institutional Plus Shares 36
Trustees’ Fees and Expenses 38
Other Expenses 120
Total Expenses 32,268
Expenses Paid Indirectly (17)
Net Expenses 32,251
Net Investment Income 935,485
Realized Net Gain (Loss)  
Investment Securities Sold2,3 2,187,213
Futures Contracts (108,116)
Swap Contracts (48,100)
Realized Net Gain (Loss) 2,030,997
Change in Unrealized Appreciation (Depreciation)  
Investment Securities2 (40,346,014)
Futures Contracts (2,017)
Swap Contracts (43,671)
Change in Unrealized Appreciation (Depreciation) (40,391,702)
Net Increase (Decrease) in Net Assets Resulting from Operations (37,425,220)
1 Dividends are net of foreign withholding taxes of $426,000.
2 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $1,236,000, ($282,000), and ($34,000), respectively. Purchases and sales are for temporary cash investment purposes.
3 Includes $6,306,619,000 of net gain (loss) resulting from in-kind redemptions.
  
See accompanying Notes, which are an integral part of the Financial Statements.
56

 

Mid-Cap Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2022
  Year Ended
December 31,
2021
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 935,485   1,763,819
Realized Net Gain (Loss) 2,030,997   12,682,950
Change in Unrealized Appreciation (Depreciation) (40,391,702)   18,190,970
Net Increase (Decrease) in Net Assets Resulting from Operations (37,425,220)   32,637,739
Distributions      
Investor Shares (3,106)   (9,018)
ETF Shares (312,331)   (617,083)
Admiral Shares (336,489)   (728,126)
Institutional Shares (140,574)   (304,735)
Institutional Plus Shares (95,408)   (201,610)
Total Distributions (887,908)   (1,860,572)
Capital Share Transactions      
Investor Shares (88,165)   (268,407)
ETF Shares 2,347,096   6,295,046
Admiral Shares (581,755)   (452,497)
Institutional Shares (984,828)   (72,833)
Institutional Plus Shares 586,063   (563,005)
Net Increase (Decrease) from Capital Share Transactions 1,278,411   4,938,304
Total Increase (Decrease) (37,034,717)   35,715,471
Net Assets      
Beginning of Period 168,666,308   132,950,837
End of Period 131,631,591   168,666,308
  
See accompanying Notes, which are an integral part of the Financial Statements.
57

 

Mid-Cap Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $69.54 $56.52 $48.64 $37.71 $42.23 $35.92
Investment Operations            
Net Investment Income1 .341 .652 .698 .577 .640 .520
Net Realized and Unrealized Gain (Loss) on Investments (15.787) 13.065 7.937 11.018 (4.528) 6.313
Total from Investment Operations (15.446) 13.717 8.635 11.595 (3.888) 6.833
Distributions            
Dividends from Net Investment Income (.324) (.697) (.755) (.665) (.632) (.523)
Distributions from Realized Capital Gains
Total Distributions (.324) (.697) (.755) (.665) (.632) (.523)
Net Asset Value, End of Period $53.77 $69.54 $56.52 $48.64 $37.71 $42.23
Total Return2 -22.25% 24.36% 18.10% 30.86% -9.34% 19.12%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $497 $740 $834 $877 $3,043 $4,047
Ratio of Total Expenses to Average Net Assets 0.17%3 0.17% 0.17% 0.17% 0.17% 0.17%
Ratio of Net Investment Income to Average Net Assets 1.22% 1.02% 1.49% 1.31% 1.49% 1.34%
Portfolio Turnover Rate4 6% 16% 26% 15% 16% 14%
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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.17%.
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.
58

 

Mid-Cap Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $254.69 $207.00 $178.14 $138.08 $154.65 $131.55
Investment Operations            
Net Investment Income1 1.413 2.741 2.772 2.663 2.535 2.112
Net Realized and Unrealized Gain (Loss) on Investments (57.843) 47.811 29.084 40.043 (16.584) 23.076
Total from Investment Operations (56.430) 50.552 31.856 42.706 (14.049) 25.188
Distributions            
Dividends from Net Investment Income (1.340) (2.862) (2.996) (2.646) (2.521) (2.088)
Distributions from Realized Capital Gains
Total Distributions (1.340) (2.862) (2.996) (2.646) (2.521) (2.088)
Net Asset Value, End of Period $196.92 $254.69 $207.00 $178.14 $138.08 $154.65
Total Return -22.20% 24.52% 18.22% 31.04% -9.21% 19.25%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $46,814 $57,774 $41,587 $29,014 $21,261 $21,937
Ratio of Total Expenses to Average Net Assets 0.04%2 0.04% 0.04% 0.04% 0.04% 0.05%
Ratio of Net Investment Income to Average Net Assets 1.36% 1.16% 1.61% 1.62% 1.62% 1.46%
Portfolio Turnover Rate3 6% 16% 26% 15% 16% 14%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.04%.
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 Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $315.46 $256.40 $220.66 $171.04 $191.55 $162.94
Investment Operations            
Net Investment Income1 1.729 3.333 3.418 3.296 3.135 2.606
Net Realized and Unrealized Gain (Loss) on Investments (71.643) 59.242 36.010 49.578 (20.539) 28.591
Total from Investment Operations (69.914) 62.575 39.428 52.874 (17.404) 31.197
Distributions            
Dividends from Net Investment Income (1.646) (3.515) (3.688) (3.254) (3.106) (2.587)
Distributions from Realized Capital Gains
Total Distributions (1.646) (3.515) (3.688) (3.254) (3.106) (2.587)
Net Asset Value, End of Period $243.90 $315.46 $256.40 $220.66 $171.04 $191.55
Total Return2 -22.21% 24.51% 18.24% 31.03% -9.23% 19.25%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $49,840 $65,118 $53,301 $47,640 $34,754 $37,778
Ratio of Total Expenses to Average Net Assets 0.05%3 0.05% 0.05% 0.05% 0.05% 0.05%
Ratio of Net Investment Income to Average Net Assets 1.35% 1.14% 1.61% 1.62% 1.61% 1.46%
Portfolio Turnover Rate4 6% 16% 26% 15% 16% 14%
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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.05%.
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.
60

 

Mid-Cap Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $69.69 $56.64 $48.74 $37.78 $42.32 $35.99
Investment Operations            
Net Investment Income1 .386 .743 .759 .727 .697 .580
Net Realized and Unrealized Gain (Loss) on Investments (15.829) 13.090 7.961 10.957 (4.547) 6.325
Total from Investment Operations (15.443) 13.833 8.720 11.684 (3.850) 6.905
Distributions            
Dividends from Net Investment Income (.367) (.783) (.820) (.724) (.690) (.575)
Distributions from Realized Capital Gains
Total Distributions (.367) (.783) (.820) (.724) (.690) (.575)
Net Asset Value, End of Period $53.88 $69.69 $56.64 $48.74 $37.78 $42.32
Total Return -22.21% 24.53% 18.26% 31.04% -9.24% 19.29%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $20,254 $27,312 $22,291 $20,425 $16,524 $18,222
Ratio of Total Expenses to Average Net Assets 0.04%2 0.04% 0.04% 0.04% 0.04% 0.04%
Ratio of Net Investment Income to Average Net Assets 1.36% 1.15% 1.62% 1.62% 1.62% 1.47%
Portfolio Turnover Rate3 6% 16% 26% 15% 16% 14%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.04%.
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.
61

 

Mid-Cap Index Fund
Financial Highlights
Institutional Plus Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $343.68 $279.34 $240.40 $186.34 $208.69 $177.51
Investment Operations            
Net Investment Income1 1.915 3.688 3.774 3.598 3.464 2.856
Net Realized and Unrealized Gain (Loss) on Investments (78.051) 64.544 39.230 54.052 (22.388) 31.179
Total from Investment Operations (76.136) 68.232 43.004 57.650 (18.924) 34.035
Distributions            
Dividends from Net Investment Income (1.824) (3.892) (4.064) (3.590) (3.426) (2.855)
Distributions from Realized Capital Gains
Total Distributions (1.824) (3.892) (4.064) (3.590) (3.426) (2.855)
Net Asset Value, End of Period $265.72 $343.68 $279.34 $240.40 $186.34 $208.69
Total Return -22.20% 24.53% 18.27% 31.06% -9.21% 19.28%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $14,227 $17,723 $14,937 $13,612 $11,426 $12,749
Ratio of Total Expenses to Average Net Assets 0.03%2 0.03% 0.03% 0.03% 0.03% 0.03%
Ratio of Net Investment Income to Average Net Assets 1.37% 1.16% 1.63% 1.62% 1.63% 1.48%
Portfolio Turnover Rate3 6% 16% 26% 15% 16% 14%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.03%.
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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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.
Significant market disruptions, such as those caused by pandemics (e.g., COVID-19 pandemic), natural or environmental disasters, war (e.g., Russia's invasion of Ukraine), acts of terrorism, or other events, can adversely affect local and global markets and normal market operations. Any such disruptions could have an adverse impact on the value of the fund's investments and 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.
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 securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. 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, 2022, 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.
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
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Mid-Cap Index Fund
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.
The notional amounts of swap contracts are not recorded in the Statement of Assets and Liabilities. 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.
During the six months ended June 30, 2022, 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. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for 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 $4.4 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 and are 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, which 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
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Mid-Cap Index Fund
facility bear interest at an agreed-upon spread plus the higher of the federal funds effective rate, the overnight bank funding rate, or the Daily Simple Secured Overnight Financing Rate inclusive of an additional agreed-upon spread. However, borrowings under the uncommitted credit facility may bear interest based upon an alternate 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, 2022, the fund did not utilize the credit facilities or the Interfund Lending Program.
8. Other: Dividend income is recorded on the ex-dividend date. Non-cash dividends included in income, if any, are recorded at the fair value of the securities received. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. 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, 2022, the fund had contributed to Vanguard capital in the amount of $5,214,000, representing less than 0.01% of the fund’s net assets and 2.09% 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, 2022, custodian fee offset arrangements reduced the fund’s expenses by $17,000 (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 and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
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Mid-Cap Index Fund
The following table summarizes the market value of the fund's investments and derivatives as of June 30, 2022, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 131,026,921 131,026,921
Temporary Cash Investments 945,675 945,675
Total 131,972,596 131,972,596
Derivative Financial Instruments        
Assets        
Swap Contracts 5,100 5,100
Liabilities        
Futures Contracts1 2,010 2,010
Swap Contracts 33,032 33,032
Total 2,010 33,032 35,042
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
E.  As of June 30, 2022, 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 102,290,406
Gross Unrealized Appreciation 41,392,115
Gross Unrealized Depreciation (11,739,867)
Net Unrealized Appreciation (Depreciation) 29,652,248
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, 2021, the fund had available capital losses totaling $7,894,431,000 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, 2022; 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, 2022, the fund purchased $20,846,995,000 of investment securities and sold $19,729,846,000 of investment securities, other than temporary cash investments. Purchases and sales include $11,558,172,000 and $10,428,149,000, 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, 2022, such purchases were $545,361,000 and sales were $2,117,587,000, resulting in net realized loss of $3,634,898,000; 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, 2022
  Year Ended
December 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 24,151 392   57,093 901
Issued in Lieu of Cash Distributions 3,106 53   9,018 140
Redeemed (115,422) (1,835)   (334,518) (5,165)
Net Increase (Decrease)—Investor Shares (88,165) (1,390)   (268,407) (4,124)
66

 

Mid-Cap Index Fund
  Six Months Ended
June 30, 2022
  Year Ended
December 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
ETF Shares          
Issued 13,371,055 60,918   23,926,059 100,340
Issued in Lieu of Cash Distributions  
Redeemed (11,023,959) (50,025)   (17,631,013) (74,400)
Net Increase (Decrease)—ETF Shares 2,347,096 10,893   6,295,046 25,940
Admiral Shares          
Issued 3,581,451 12,760   8,108,777 28,148
Issued in Lieu of Cash Distributions 288,509 1,077   628,000 2,134
Redeemed (4,451,715) (15,915)   (9,189,274) (31,741)
Net Increase (Decrease)—Admiral Shares (581,755) (2,078)   (452,497) (1,459)
Institutional Shares          
Issued 1,870,360 30,080   4,726,431 73,690
Issued in Lieu of Cash Distributions 130,102 2,198   282,871 4,349
Redeemed (2,985,290) (48,285)   (5,082,135) (79,672)
Net Increase (Decrease)—Institutional Shares (984,828) (16,007)   (72,833) (1,633)
Institutional Plus Shares          
Issued 1,291,980 4,243   1,743,703 5,449
Issued in Lieu of Cash Distributions 94,776 325   200,859 626
Redeemed (800,693) (2,596)   (2,507,567) (7,981)
Net Increase (Decrease)—Institutional Plus Shares 586,063 1,972   (563,005) (1,906)
H.  Management has determined that no events or transactions occurred subsequent to June 30, 2022, that would require recognition or disclosure in these financial statements.
67

 

Mid-Cap Growth Index Fund
Fund Allocation
As of June 30, 2022
Basic Materials 2.9%
Consumer Discretionary 11.7
Consumer Staples 1.5
Energy 6.7
Financials 6.4
Health Care 16.0
Industrials 17.0
Real Estate 8.1
Technology 26.0
Telecommunications 2.5
Utilities 1.2
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.
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Mid-Cap Growth Index Fund
Financial Statements (unaudited)
Schedule of Investments
As of June 30, 2022
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 (2.9%)
  Fastenal Co.  3,832,202    191,304
  Albemarle Corp.    779,762    162,955
  Mosaic Co.  2,410,216    113,834
  FMC Corp.    419,213     44,860
                      512,953
Consumer Discretionary (11.7%)
* Aptiv plc  1,803,913    160,675
* Copart Inc.  1,424,200    154,754
  Tractor Supply Co.    744,887    144,396
* Ulta Beauty Inc.    347,726    134,041
* Take-Two Interactive Software Inc.  1,078,497    132,148
* Trade Desk Inc. Class A  2,943,506    123,304
* Chipotle Mexican Grill Inc.     88,434    115,606
  Hilton Worldwide Holdings Inc.    926,576    103,258
* Expedia Group Inc.  1,009,189     95,701
  Domino's Pizza Inc.    239,995     93,529
* NVR Inc.     20,809     83,322
* Live Nation Entertainment Inc.    987,049     81,511
  LKQ Corp.  1,600,591     78,573
*,1 ROBLOX Corp. Class A  1,984,602     65,214
* Etsy Inc.    846,459     61,969
* Burlington Stores Inc.    440,131     59,959
  Rollins Inc.  1,639,045     57,236
* Caesars Entertainment Inc.  1,355,591     51,919
* Royal Caribbean Cruises Ltd.  1,443,176     50,381
  Pool Corp.    126,728     44,511
* Las Vegas Sands Corp.  1,144,341     38,438
1 Sirius XM Holdings Inc.  5,239,365     32,117
  Vail Resorts Inc.    135,029     29,443
*,1 Chewy Inc. Class A    582,232     20,215
* Wynn Resorts Ltd.    347,800     19,818
  Warner Music Group Corp. Class A    776,533     18,916
* Endeavor Group Holdings Inc. Class A    851,304     17,503
* Lyft Inc. Class A    960,771     12,759
*,1 Wayfair Inc. Class A    251,657     10,962
* Carvana Co.    335,202      7,569
                    2,099,747
Consumer Staples (1.5%)
  Church & Dwight Co. Inc.  1,616,372    149,773
  McCormick & Co. Inc. (Non-Voting)    833,104     69,356
  Lamb Weston Holdings Inc.    480,913     34,366
* Olaplex Holdings Inc.    647,750      9,127
                      262,622
Energy (6.7%)
  Devon Energy Corp.  4,394,514    242,182
  Cheniere Energy Inc.  1,522,917    202,594
* Enphase Energy Inc.    899,052    175,531
  Diamondback Energy Inc.  1,182,190    143,222
  Coterra Energy Inc.  5,097,044    131,453
  Hess Corp.    932,631     98,803
  Halliburton Co.  2,702,421     84,748
*,1 Plug Power Inc.  3,849,388     63,784
  Marathon Oil Corp.  2,355,668     52,955
                    1,195,272
Financials (6.4%)
  MSCI Inc.    514,036    211,860
          Shares Market
Value

($000)
  First Republic Bank  1,196,379    172,518
* SVB Financial Group    391,839    154,772
  Broadridge Financial Solutions Inc.    780,495    111,260
  Apollo Global Management Inc.  2,103,863    101,995
  FactSet Research Systems Inc.    252,328     97,038
  MarketAxess Holdings Inc.    238,763     61,126
  Ares Management Corp. Class A  1,027,946     58,449
* Markel Corp.     42,908     55,491
  Tradeweb Markets Inc. Class A    716,035     48,869
*,1 Coinbase Global Inc. Class A    925,208     43,503
  Interactive Brokers Group Inc. Class A    621,569     34,192
                    1,151,073
Health Care (16.0%)
* IQVIA Holdings Inc.  1,260,259    273,464
  ResMed Inc.    973,977    204,175
* Dexcom Inc.  2,613,321    194,771
* Veeva Systems Inc. Class A    930,806    184,337
* Centene Corp.  1,947,513    164,779
* Seagen Inc.    919,216    162,646
  West Pharmaceutical Services Inc.    493,211    149,132
* Avantor Inc.  4,034,347    125,468
* Horizon Therapeutics plc  1,530,619    122,082
* Catalent Inc.  1,133,542    121,618
  PerkinElmer Inc.    839,907    119,452
* Alnylam Pharmaceuticals Inc.    804,396    117,321
  Cooper Cos. Inc.    328,234    102,777
* BioMarin Pharmaceutical Inc.  1,231,729    102,073
* Insulet Corp.    461,663    100,615
* IDEXX Laboratories Inc.    279,653     98,083
* Incyte Corp.  1,253,621     95,238
* ABIOMED Inc.    288,214     71,336
* Bio-Rad Laboratories Inc. Class A    140,797     69,694
  STERIS plc    333,344     68,719
* Align Technology Inc.    262,297     62,078
* Exact Sciences Corp.  1,171,241     46,135
  Teleflex Inc.    156,130     38,384
* Charles River Laboratories International Inc.    169,129     36,188
* Teladoc Health Inc.    483,190     16,047
* agilon health Inc.    676,890     14,776
                    2,861,388
Industrials (17.0%)
  Cintas Corp.    579,110    216,315
* TransDigm Group Inc.    345,256    185,288
  Verisk Analytics Inc.  1,051,349    181,978
  Old Dominion Freight Line Inc.    679,250    174,078
* Mettler-Toledo International Inc.    151,009    173,475
  AMETEK Inc.  1,537,474    168,953
  Equifax Inc.    814,516    148,877
* Waters Corp.    401,062    132,743
  Vulcan Materials Co.    884,846    125,737
  Martin Marietta Materials Inc.    414,694    124,093
* Teledyne Technologies Inc.    311,891    116,993
  Expeditors International of Washington Inc.  1,116,907    108,854
* FleetCor Technologies Inc.    489,198    102,785
* Zebra Technologies Corp. Class A    349,637    102,776
  TransUnion  1,280,982    102,466
* Trimble Inc.  1,665,608     96,988
  Westinghouse Air Brake Technologies Corp.  1,155,307     94,828
  Xylem Inc.  1,199,086     93,745
69

 

Mid-Cap Growth Index Fund
          Shares Market
Value

($000)
* Generac Holdings Inc.    424,987     89,494
  JB Hunt Transport Services Inc.    558,152     87,892
  Masco Corp.  1,571,052     79,495
  Ball Corp.  1,064,732     73,222
* Bill.com Holdings Inc.    659,554     72,511
  HEICO Corp. Class A    487,866     51,411
  Jack Henry & Associates Inc.    242,519     43,658
  HEICO Corp.    272,366     35,713
  Fortune Brands Home & Security Inc.    435,583     26,083
  Cognex Corp.    549,450     23,363
*,1 Affirm Holdings Inc. Class A    602,739     10,885
                    3,044,699
Real Estate (8.1%)
  Realty Income Corp.  4,005,606    273,423
  Digital Realty Trust Inc.  1,895,406    246,081
  SBA Communications Corp.    717,948    229,779
* CoStar Group Inc.  2,638,134    159,370
  Extra Space Storage Inc.    894,065    152,098
  Invitation Homes Inc.  4,063,607    144,583
  Sun Communities Inc.    809,721    129,037
  Camden Property Trust    354,581     47,684
* Zillow Group Inc. Class C  1,077,550     34,212
  Host Hotels & Resorts Inc.  1,189,198     18,647
* Zillow Group Inc. Class A    280,995      8,938
                    1,443,852
Technology (25.9%)
* Synopsys Inc.  1,018,513    309,323
* Cadence Design Systems Inc.  1,836,073    275,466
  Amphenol Corp. Class A  4,002,255    257,665
  Microchip Technology Inc.  3,692,015    214,432
* Palo Alto Networks Inc.    331,693    163,837
* Datadog Inc. Class A  1,696,471    161,572
* Twitter Inc.  4,070,411    152,193
* ON Semiconductor Corp.  2,893,081    145,551
* ANSYS Inc.    579,179    138,592
* Match Group Inc.  1,901,494    132,515
* Fortinet Inc.  2,271,248    128,507
  Marvell Technology Inc.  2,832,031    123,278
* Gartner Inc.    509,421    123,193
  Monolithic Power Systems Inc.    295,034    113,305
* MongoDB Inc.    430,501    111,715
* EPAM Systems Inc.    361,494    106,561
* Palantir Technologies Inc. Class A 11,665,075    105,802
* VeriSign Inc.    619,950    103,736
  Skyworks Solutions Inc.  1,071,451     99,259
* Akamai Technologies Inc.  1,067,331     97,479
* Twilio Inc. Class A  1,144,231     95,898
* Paycom Software Inc.    341,004     95,522
  Teradyne Inc.  1,066,664     95,520
* Splunk Inc.  1,071,516     94,786
* Tyler Technologies Inc.    276,140     91,811
* HubSpot Inc.    302,146     90,840
          Shares Market
Value

($000)
* Okta Inc.  1,003,682     90,733
* Zscaler Inc.    563,622     84,267
* DocuSign Inc.  1,331,123     76,380
* GoDaddy Inc. Class A  1,077,035     74,919
* Cloudflare Inc. Class A  1,685,534     73,742
* Pinterest Inc. Class A  3,826,631     69,492
* Black Knight Inc.    986,647     64,517
* ZoomInfo Technologies Inc. Class A  1,880,331     62,502
* DoorDash Inc. Class A    854,752     54,850
* Unity Software Inc.  1,379,875     50,807
  Bentley Systems Inc. Class B  1,470,019     48,952
* Snap Inc. Class A  3,450,743     45,308
  SS&C Technologies Holdings Inc.    721,643     41,906
*,1 AppLovin Corp. Class A  1,195,669     41,179
* IAC/InterActiveCorp    531,797     40,401
* Zendesk Inc.    407,916     30,214
* Dropbox Inc. Class A    927,648     19,471
* RingCentral Inc. Class A    282,900     14,784
* Coupa Software Inc.    251,509     14,361
* Toast Inc. Class A    802,027     10,378
* Qualtrics International Inc. Class A    635,713      7,953
                    4,645,474
Telecommunications (2.5%)
* Arista Networks Inc.  1,539,363    144,300
  Motorola Solutions Inc.    556,943    116,735
* Liberty Broadband Corp. Class C    870,689    100,686
* Roku Inc.    798,010     65,549
* Liberty Broadband Corp. Class A    127,738     14,505
                      441,775
Utilities (1.2%)
  Waste Connections Inc.  1,712,280    212,254
Total Common Stocks
(Cost $16,018,875)
17,871,109
Temporary Cash Investments (0.5%)
Money Market Fund (0.5%)
2,3 Vanguard Market Liquidity Fund, 1.417%
(Cost $89,764)
   897,937           89,767
Total Investments (100.4%)
(Cost $16,108,639)
  17,960,876
Other Assets and Liabilities—Net (-0.4%)   (67,545)
Net Assets (100%)   17,893,331
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 $71,169,000.
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 $78,147,000 was received for securities on loan, of which $75,064,000 is held in Vanguard Market Liquidity Fund and $3,083,000 is held in cash.
 
70

 

Mid-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 S&P 500 Index September 2022 65 12,316 360
E-mini S&P Mid-Cap 400 Index September 2022 39 8,845 (473)
        (113)
  
See accompanying Notes, which are an integral part of the Financial Statements.
71

 

Mid-Cap Growth Index Fund
Statement of Assets and Liabilities
As of June 30, 2022
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value1  
Unaffiliated Issuers (Cost $16,018,875) 17,871,109
Affiliated Issuers (Cost $89,764) 89,767
Total Investments in Securities 17,960,876
Investment in Vanguard 694
Cash 3,083
Cash Collateral Pledged—Futures Contracts 1,210
Receivables for Investment Securities Sold 19,097
Receivables for Accrued Income 4,370
Receivables for Capital Shares Issued 7,344
Total Assets 17,996,674
Liabilities  
Due to Custodian 10,177
Payables for Investment Securities Purchased 5,711
Collateral for Securities on Loan 78,147
Payables for Capital Shares Redeemed 8,598
Payables to Vanguard 520
Variation Margin Payable—Futures Contracts 190
Total Liabilities 103,343
Net Assets 17,893,331
1 Includes $71,169 of securities on loan.  

At June 30, 2022, net assets consisted of:

   
Paid-in Capital 17,380,486
Total Distributable Earnings (Loss) 512,845
Net Assets 17,893,331
 
Investor Shares—Net Assets  
Applicable to 676,818 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
46,668
Net Asset Value Per Share—Investor Shares $68.95
 
ETF Shares—Net Assets  
Applicable to 51,295,797 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
8,993,903
Net Asset Value Per Share—ETF Shares $175.33
 
Admiral Shares—Net Assets  
Applicable to 117,294,510 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
8,852,760
Net Asset Value Per Share—Admiral Shares $75.47
  
See accompanying Notes, which are an integral part of the Financial Statements.
72

 

Mid-Cap Growth Index Fund
Statement of Operations
  Six Months Ended
June 30, 2022
  ($000)
Investment Income  
Income  
Dividends1 60,497
Interest2 15
Securities Lending—Net 1,389
Total Income 61,901
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 709
Management and Administrative—Investor Shares 51
Management and Administrative—ETF Shares 2,919
Management and Administrative—Admiral Shares 2,944
Marketing and Distribution—Investor Shares 3
Marketing and Distribution—ETF Shares 194
Marketing and Distribution—Admiral Shares 242
Custodian Fees 43
Shareholders’ Reports—Investor Shares
Shareholders’ Reports—ETF Shares 155
Shareholders’ Reports—Admiral Shares 64
Trustees’ Fees and Expenses 5
Other Expenses 8
Total Expenses 7,337
Expenses Paid Indirectly (1)
Net Expenses 7,336
Net Investment Income 54,565
Realized Net Gain (Loss)  
Investment Securities Sold2,3 (131,044)
Futures Contracts (4,723)
Realized Net Gain (Loss) (135,767)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities2 (7,833,935)
Futures Contracts (1,383)
Change in Unrealized Appreciation (Depreciation) (7,835,318)
Net Increase (Decrease) in Net Assets Resulting from Operations (7,916,520)
1 Dividends are net of foreign withholding taxes of $124,000.
2 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $15,000, ($20,000), and $3,000, respectively. Purchases and sales are for temporary cash investment purposes.
3 Includes $1,123,176,000 of net gain (loss) resulting from in-kind redemptions.
  
See accompanying Notes, which are an integral part of the Financial Statements.
73

 

Mid-Cap Growth Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2022
  Year Ended
December 31,
2021
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 54,565   86,047
Realized Net Gain (Loss) (135,767)   2,746,227
Change in Unrealized Appreciation (Depreciation) (7,835,318)   1,423,310
Net Increase (Decrease) in Net Assets Resulting from Operations (7,916,520)   4,255,584
Distributions      
Investor Shares (131)   (202)
ETF Shares (30,855)   (41,740)
Admiral Shares (30,526)   (43,398)
Total Distributions (61,512)   (85,340)
Capital Share Transactions      
Investor Shares (15,817)   (10,066)
ETF Shares 163,390   630,212
Admiral Shares 42,615   (65,985)
Net Increase (Decrease) from Capital Share Transactions 190,188   554,161
Total Increase (Decrease) (7,787,844)   4,724,405
Net Assets      
Beginning of Period 25,681,175   20,956,770
End of Period 17,893,331   25,681,175
  
See accompanying Notes, which are an integral part of the Financial Statements.
74

 

Mid-Cap Growth Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $100.07 $83.37 $62.43 $47.02 $50.21 $41.52
Investment Operations            
Net Investment Income1 .158 .229 .340 .345 .333 .304
Net Realized and Unrealized Gain (Loss) on Investments (31.091) 16.697 20.984 15.485 (3.193) 8.692
Total from Investment Operations (30.933) 16.926 21.324 15.830 (2.860) 8.996
Distributions            
Dividends from Net Investment Income (.187) (.226) (.384) (.420) (.330) (.306)
Distributions from Realized Capital Gains
Total Distributions (.187) (.226) (.384) (.420) (.330) (.306)
Net Asset Value, End of Period $68.95 $100.07 $83.37 $62.43 $47.02 $50.21
Total Return2 -30.93% 20.32% 34.32% 33.72% -5.74% 21.72%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $47 $86 $81 $63 $405 $495
Ratio of Total Expenses to Average Net Assets 0.19%3 0.19% 0.19% 0.19% 0.19% 0.19%
Ratio of Net Investment Income to Average Net Assets 0.47% 0.25% 0.51% 0.62% 0.64% 0.67%
Portfolio Turnover Rate4 12% 25% 22% 18% 25% 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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.19%.
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.
75

 

Mid-Cap Growth Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $254.49 $212.00 $158.76 $119.58 $127.67 $105.60
Investment Operations            
Net Investment Income1 .539 .870 1.074 1.386 1.016 .932
Net Realized and Unrealized Gain (Loss) on Investments (79.092) 42.479 53.347 39.040 (8.101) 22.058
Total from Investment Operations (78.553) 43.349 54.421 40.426 (7.085) 22.990
Distributions            
Dividends from Net Investment Income (.607) (.859) (1.181) (1.246) (1.005) (.920)
Distributions from Realized Capital Gains
Total Distributions (.607) (.859) (1.181) (1.246) (1.005) (.920)
Net Asset Value, End of Period $175.33 $254.49 $212.00 $158.76 $119.58 $127.67
Total Return -30.89% 20.47% 34.46% 33.86% -5.60% 21.83%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $8,994 $12,798 $10,164 $6,995 $4,956 $5,130
Ratio of Total Expenses to Average Net Assets 0.07%2 0.07% 0.07% 0.07% 0.07% 0.07%
Ratio of Net Investment Income to Average Net Assets 0.60% 0.37% 0.63% 0.95% 0.76% 0.79%
Portfolio Turnover Rate3 12% 25% 22% 18% 25% 23%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.07%.
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.
76

 

Mid-Cap Growth Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $109.55 $91.26 $68.34 $51.48 $54.96 $45.46
Investment Operations            
Net Investment Income1 .233 .373 .461 .603 .437 .400
Net Realized and Unrealized Gain (Loss) on Investments (34.052) 18.287 22.967 16.793 (3.485) 9.496
Total from Investment Operations (33.819) 18.660 23.428 17.396 (3.048) 9.896
Distributions            
Dividends from Net Investment Income (.261) (.370) (.508) (.536) (.432) (.396)
Distributions from Realized Capital Gains
Total Distributions (.261) (.370) (.508) (.536) (.432) (.396)
Net Asset Value, End of Period $75.47 $109.55 $91.26 $68.34 $51.48 $54.96
Total Return2 -30.90% 20.48% 34.48% 33.86% -5.60% 21.83%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $8,853 $12,797 $10,712 $8,173 $5,544 $5,659
Ratio of Total Expenses to Average Net Assets 0.07%3 0.07% 0.07% 0.07% 0.07% 0.07%
Ratio of Net Investment Income to Average Net Assets 0.61% 0.37% 0.63% 0.96% 0.76% 0.79%
Portfolio Turnover Rate4 12% 25% 22% 18% 25% 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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.07%.
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.
77

 

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.
Significant market disruptions, such as those caused by pandemics (e.g., COVID-19 pandemic), natural or environmental disasters, war (e.g., Russia's invasion of Ukraine), acts of terrorism, or other events, can adversely affect local and global markets and normal market operations. Any such disruptions could have an adverse impact on the value of the fund's investments and 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.
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 securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. 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, 2022, 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. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for 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
78

 

Mid-Cap Growth Index Fund
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 $4.4 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 and are 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, which 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 an agreed-upon spread plus the higher of the federal funds effective rate, the overnight bank funding rate, or the Daily Simple Secured Overnight Financing Rate inclusive of an additional agreed-upon spread. However, borrowings under the uncommitted credit facility may bear interest based upon an alternate 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, 2022, the fund did not utilize the credit facilities or the Interfund Lending Program.
7. Other: Dividend income is recorded on the ex-dividend date. Non-cash dividends included in income, if any, are recorded at the fair value of the securities received. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. 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, 2022, the fund had contributed to Vanguard capital in the amount of $694,000,
79

 

Mid-Cap Growth Index Fund
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, 2022, custodian fee offset arrangements reduced the fund’s expenses by $1,000 (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 and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
At June 30, 2022, 100% of the market value of the fund's investments and derivatives was determined based on Level 1 inputs.
E.  As of June 30, 2022, 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 16,122,032
Gross Unrealized Appreciation 4,530,179
Gross Unrealized Depreciation (2,691,448)
Net Unrealized Appreciation (Depreciation) 1,838,731
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, 2021, the fund had available capital losses totaling $1,189,969,000 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, 2022; 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, 2022, the fund purchased $4,820,431,000 of investment securities and sold $4,600,512,000 of investment securities, other than temporary cash investments. Purchases and sales include $2,243,873,000 and $2,037,579,000, 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, 2022, such purchases were $277,726,000 and sales were $687,029,000, resulting in net realized loss of $1,043,095,000; 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, 2022
  Year Ended
December 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 4,300 52   19,175 208
Issued in Lieu of Cash Distributions 131 2   202 2
Redeemed (20,248) (237)   (29,443) (320)
Net Increase (Decrease)—Investor Shares (15,817) (183)   (10,066) (110)
80

 

Mid-Cap Growth Index Fund
  Six Months Ended
June 30, 2022
  Year Ended
December 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
ETF Shares          
Issued 2,284,306 11,408   5,301,356 22,469
Issued in Lieu of Cash Distributions  
Redeemed (2,120,916) (10,400)   (4,671,144) (20,125)
Net Increase (Decrease)—ETF Shares 163,390 1,008   630,212 2,344
Admiral Shares          
Issued 1,079,048 12,025   2,259,984 22,820
Issued in Lieu of Cash Distributions 27,338 325   38,861 380
Redeemed (1,063,771) (11,869)   (2,364,830) (23,759)
Net Increase (Decrease)—Admiral Shares 42,615 481   (65,985) (559)
H.  Management has determined that no events or transactions occurred subsequent to June 30, 2022, that would require recognition or disclosure in these financial statements.
81

 

Mid-Cap Value Index Fund
Fund Allocation
As of June 30, 2022
Basic Materials 5.3%
Consumer Discretionary 13.2
Consumer Staples 8.9
Energy 5.5
Financials 16.9
Health Care 6.5
Industrials 11.7
Real Estate 12.3
Technology 5.4
Telecommunications 1.3
Utilities 13.0
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.
82

 

Mid-Cap Value Index Fund
Financial Statements (unaudited)
Schedule of Investments
As of June 30, 2022
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 (99.8%)
Basic Materials (5.3%)
  International Flavors & Fragrances Inc.  2,247,250    267,692
  Nucor Corp.  2,345,676    244,912
  LyondellBasell Industries NV Class A  2,311,240    202,141
  CF Industries Holdings Inc.  1,839,514    157,702
  International Paper Co.  3,268,297    136,713
  Avery Dennison Corp.    720,594    116,643
  Eastman Chemical Co.  1,137,105    102,078
  Celanese Corp.    859,589    101,096
  FMC Corp.    555,280     59,420
  Westlake Corp.    141,530     13,873
                    1,402,270
Consumer Discretionary (13.2%)
* Dollar Tree Inc.  1,889,672    294,505
* Southwest Airlines Co.  5,228,925    188,869
* AutoZone Inc.     87,516    188,082
  DR Horton Inc.  2,793,951    184,932
  Genuine Parts Co.  1,248,621    166,067
* Delta Air Lines Inc.  5,653,185    163,773
  Lennar Corp. Class A  2,286,738    161,375
  VF Corp.  3,086,499    136,331
  Garmin Ltd.  1,362,445    133,860
* CarMax Inc.  1,415,674    128,090
  Darden Restaurants Inc.  1,099,954    124,427
  Best Buy Co. Inc.  1,785,456    116,394
  Omnicom Group Inc.  1,814,229    115,403
  Paramount Global Class B  4,562,745    112,609
  eBay Inc.  2,468,463    102,861
* United Airlines Holdings Inc.  2,881,283    102,055
  Advance Auto Parts Inc.    534,735     92,557
  Hasbro Inc.  1,106,698     90,616
  MGM Resorts International  3,005,671     87,014
  Fox Corp. Class A  2,638,608     84,858
  PulteGroup Inc.  2,095,547     83,047
  Whirlpool Corp.    495,620     76,757
  BorgWarner Inc.  2,112,479     70,493
* Carnival Corp.  7,418,495     64,170
  News Corp. Class A  4,098,803     63,859
* Liberty Media Corp.-Liberty SiriusXM Class C  1,345,672     48,511
  Interpublic Group of Cos. Inc.  1,736,314     47,801
*,1 Lucid Group Inc.  2,574,086     44,171
  Fox Corp. Class B  1,417,741     42,107
* American Airlines Group Inc.  2,862,920     36,302
*,1 GameStop Corp. Class A    286,205     35,003
  Lear Corp.    263,660     33,192
*,1 AMC Entertainment Holdings Inc. Class A  2,278,492     30,874
  Bath & Body Works Inc.    998,793     26,888
* Liberty Media Corp.-Liberty SiriusXM Class A    693,422     24,991
  Lennar Corp. Class B    122,627      7,199
  News Corp. Class B    378,120      6,008
  Paramount Global Class A     87,536      2,386
                    3,518,437
Consumer Staples (8.9%)
  Corteva Inc.  6,396,084    346,284
  Kroger Co.  5,721,679    270,807
  Tyson Foods Inc. Class A  2,570,879    221,250
  McKesson Corp.    640,933    209,079
  AmerisourceBergen Corp.  1,385,335    195,997
          Shares Market
Value

($000)
  Archer-Daniels-Midland Co.  2,481,070    192,531
  Kellogg Co.  2,234,561    159,413
  Clorox Co.  1,085,362    153,014
  Conagra Brands Inc.  4,231,701    144,893
  J M Smucker Co.    908,593    116,309
  Hormel Foods Corp.  2,402,960    113,804
  McCormick & Co. Inc. (Non-Voting)  1,103,275     91,848
  Campbell Soup Co.  1,729,321     83,094
  Molson Coors Beverage Co. Class B    795,829     43,381
  Albertsons Cos. Inc. Class A    671,432     17,941
                    2,359,645
Energy (5.5%)
  Baker Hughes Co.  8,682,306    250,658
  ONEOK Inc.  3,938,479    218,586
  Occidental Petroleum Corp.  3,305,791    194,645
  Valero Energy Corp.  1,799,367    191,237
  Phillips 66  2,121,264    173,922
  Williams Cos. Inc.  5,370,457    167,612
  Hess Corp.  1,235,189    130,856
  Halliburton Co.  3,579,226    112,244
  Continental Resources Inc.    479,997     31,368
                    1,471,128
Financials (16.9%)
  Arthur J Gallagher & Co.  1,852,450    302,023
  M&T Bank Corp.  1,582,154    252,180
  Discover Financial Services  2,477,647    234,336
  Ameriprise Financial Inc.    969,177    230,354
  Fifth Third Bancorp  6,050,125    203,284
  Willis Towers Watson plc    983,140    194,062
  Hartford Financial Services Group Inc.  2,900,019    189,748
  American International Group Inc.  3,492,910    178,593
  Northern Trust Corp.  1,745,682    168,423
  Cincinnati Financial Corp.  1,343,416    159,840
  Citizens Financial Group Inc.  4,369,016    155,930
  Nasdaq Inc.  1,016,530    155,061
  Regions Financial Corp.  8,240,692    154,513
  Raymond James Financial Inc.  1,719,523    153,743
  Huntington Bancshares Inc. 12,691,109    152,674
  Principal Financial Group Inc.  2,228,245    148,824
* Arch Capital Group Ltd.  3,146,964    143,155
  KeyCorp  8,222,742    141,678
  State Street Corp.  2,293,568    141,398
  W R Berkley Corp.  1,753,880    119,720
  Loews Corp.  1,844,660    109,315
  Cboe Global Markets Inc.    936,396    105,991
  Everest Re Group Ltd.    347,777     97,475
  Ally Financial Inc.  2,706,318     90,689
  Equitable Holdings Inc.  3,359,841     87,591
  Fidelity National Financial Inc.  2,351,618     86,916
  Annaly Capital Management Inc. 13,765,519     81,354
* Markel Corp.     56,832     73,498
  Franklin Resources Inc.  2,645,129     61,658
* Alleghany Corp.     56,365     46,958
  Globe Life Inc.    391,358     38,146
  Lincoln National Corp.    682,274     31,910
1 Rocket Cos. Inc. Class A    992,557      7,305
                    4,498,345
Health Care (6.5%)
* Centene Corp.  2,578,860    218,197
83

 

Mid-Cap Value Index Fund
          Shares Market
Value

($000)
  Zimmer Biomet Holdings Inc.  1,848,127    194,164
  Laboratory Corp. of America Holdings    821,654    192,563
* Hologic Inc.  2,199,123    152,399
  Quest Diagnostics Inc.  1,034,956    137,629
  Royalty Pharma plc Class A  3,070,997    129,105
  Cardinal Health Inc.  2,402,342    125,570
  Viatris Inc. 10,690,728    111,932
* Henry Schein Inc.  1,217,362     93,420
  STERIS plc    441,479     91,011
* Elanco Animal Health Inc.  3,971,736     77,965
  DENTSPLY SIRONA Inc.  1,899,951     67,885
  Universal Health Services Inc. Class B    562,352     56,635
  Teleflex Inc.    206,794     50,840
* DaVita Inc.    500,661     40,033
                    1,739,348
Industrials (11.6%)
  Carrier Global Corp.  7,480,109    266,741
  PACCAR Inc.  2,759,356    227,205
* Keysight Technologies Inc.  1,586,417    218,688
  Rockwell Automation Inc.  1,025,228    204,338
  WW Grainger Inc.    405,567    184,302
  Fortive Corp.  3,160,893    171,889
  Dover Corp.  1,271,275    154,231
* United Rentals Inc.    631,501    153,398
  Ingersoll Rand Inc.  3,579,654    150,632
  Jacobs Engineering Group Inc.  1,134,284    144,201
  Stanley Black & Decker Inc.  1,331,259    139,596
  Otis Worldwide Corp.  1,864,158    131,740
  Synchrony Financial  4,422,300    122,144
  Textron Inc.  1,896,684    115,830
  CH Robinson Worldwide Inc.  1,122,276    113,765
  Packaging Corp. of America    826,281    113,614
  Crown Holdings Inc.  1,084,152     99,926
  Ball Corp.  1,410,009     96,966
  Snap-on Inc.    470,663     92,735
  Westrock Co.  2,247,379     89,536
  Hubbell Inc. Class B    236,635     42,258
  Fortune Brands Home & Security Inc.    576,631     34,529
* Mohawk Industries Inc.    238,093     29,545
                    3,097,809
Real Estate (12.3%)
  Welltower Inc.  4,003,222    329,665
  VICI Properties Inc.  8,492,171    252,982
  AvalonBay Communities Inc.  1,232,956    239,502
  Equity Residential  3,150,242    227,511
  Weyerhaeuser Co.  6,565,262    217,442
  Alexandria Real Estate Equities Inc.  1,439,323    208,745
* CBRE Group Inc. Class A  2,738,278    201,565
  Duke Realty Corp.  3,390,251    186,294
  Ventas Inc.  3,524,622    181,271
  Mid-America Apartment Communities Inc.  1,017,876    177,792
  Essex Property Trust Inc.    576,124    150,662
  WP Carey Inc.  1,700,918    140,938
  Simon Property Group Inc.  1,449,032    137,542
  UDR Inc.  2,807,775    129,270
  Iron Mountain Inc.  2,562,278    124,757
  Healthpeak Properties Inc.  4,758,011    123,280
  Boston Properties Inc.  1,243,750    110,669
  Camden Property Trust    469,671     63,161
  Regency Centers Corp.    760,059     45,079
  Host Hotels & Resorts Inc.  1,575,543     24,705
                    3,272,832
Technology (5.4%)
  Corning Inc.  6,703,241    211,219
          Shares Market
Value

($000)
  CDW Corp.  1,191,491    187,731
  Hewlett Packard Enterprise Co. 11,464,831    152,024
  Seagate Technology Holdings plc  1,799,836    128,580
  NetApp Inc.  1,962,388    128,026
* Western Digital Corp.  2,761,628    123,804
  Citrix Systems Inc.  1,116,226    108,464
  NortonLifeLock Inc.  4,845,872    106,415
* Qorvo Inc.    934,988     88,188
  Leidos Holdings Inc.    602,556     60,684
  SS&C Technologies Holdings Inc.    954,981     55,456
* UiPath Inc. Class A  2,650,591     48,214
* F5 Inc.    266,678     40,812
                    1,439,617
Telecommunications (1.3%)
  Motorola Solutions Inc.    737,625    154,606
  Lumen Technologies Inc.  9,109,900     99,389
  Juniper Networks Inc.  1,424,780     40,606
* DISH Network Corp. Class A  2,185,587     39,188
                      333,789
Utilities (12.9%)
  Consolidated Edison Inc.  3,124,260    297,117
  WEC Energy Group Inc.  2,781,599    279,940
  Eversource Energy  3,041,245    256,894
  American Water Works Co. Inc.  1,602,779    238,445
  Edison International  3,361,561    212,585
  Ameren Corp.  2,275,952    205,655
  Entergy Corp.  1,793,413    202,010
* PG&E Corp. 18,478,356    184,414
  DTE Energy Co.  1,452,208    184,067
  FirstEnergy Corp.  4,782,953    183,618
  PPL Corp.  6,489,418    176,058
  CMS Energy Corp.  2,558,444    172,695
  CenterPoint Energy Inc.  5,550,597    164,187
  Evergy Inc.  2,023,649    132,043
  Alliant Energy Corp.  2,211,770    129,632
  AES Corp.  5,889,464    123,739
  NiSource Inc.  3,578,573    105,532
  Vistra Corp.  3,807,939     87,011
  Constellation Energy Corp.  1,440,317     82,473
  Avangrid Inc.    681,793     31,444
                    3,449,559
Total Common Stocks
(Cost $22,018,753)
26,582,779
Temporary Cash Investments (0.5%)
Money Market Fund (0.5%)
2,3 Vanguard Market Liquidity Fund, 1.417%
(Cost $132,205)
 1,322,404           132,201
Total Investments (100.3%)
(Cost $22,150,958)
  26,714,980
Other Assets and Liabilities—Net (-0.3%)   (67,404)
Net Assets (100%)   26,647,576
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 $93,525,000.
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 $97,133,000 was received for securities on loan, of which $97,107,000 is held in Vanguard Market Liquidity Fund and $26,000 is held in cash.
 
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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 2022 46 8,716 (347)
E-mini S&P Mid-Cap 400 Index September 2022 58 13,154 (761)
        (1,108)
    
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)
State Street Corp. 8/31/23 BANA 56,180 (1.803) (8,038)
1 Based on USD Overnight Bank Funding Rate as of the most recent payment date. Floating interest payment received/paid monthly.
  BANA—Bank of America, N.A.
  
See accompanying Notes, which are an integral part of the Financial Statements.
85

 

Mid-Cap Value Index Fund
Statement of Assets and Liabilities
As of June 30, 2022
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value1  
Unaffiliated Issuers (Cost $22,018,753) 26,582,779
Affiliated Issuers (Cost $132,205) 132,201
Total Investments in Securities 26,714,980
Investment in Vanguard 1,063
Cash 8,329
Cash Collateral Pledged—Futures Contracts 1,270
Cash Collateral Pledged—Over-the-Counter Swap Contracts 6,590
Receivables for Investment Securities Sold 7,503
Receivables for Accrued Income 56,116
Receivables for Capital Shares Issued 8,695
Total Assets 26,804,546
Liabilities  
Payables for Investment Securities Purchased 41,381
Collateral for Securities on Loan 97,133
Payables for Capital Shares Redeemed 9,445
Payables to Vanguard 771
Variation Margin Payable—Futures Contracts 202
Unrealized Depreciation—Over-the-Counter Swap Contracts 8,038
Total Liabilities 156,970
Net Assets 26,647,576
1 Includes $93,525 of securities on loan.  

At June 30, 2022, net assets consisted of:

   
Paid-in Capital 24,421,250
Total Distributable Earnings (Loss) 2,226,326
Net Assets 26,647,576
 
Investor Shares—Net Assets  
Applicable to 857,447 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
43,722
Net Asset Value Per Share—Investor Shares $50.99
 
ETF Shares—Net Assets  
Applicable to 116,467,489 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
15,082,941
Net Asset Value Per Share—ETF Shares $129.50
 
Admiral Shares—Net Assets  
Applicable to 171,729,610 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
11,520,913
Net Asset Value Per Share—Admiral Shares $67.09
  
See accompanying Notes, which are an integral part of the Financial Statements.
86

 

Mid-Cap Value Index Fund
Statement of Operations
  Six Months Ended
June 30, 2022
  ($000)
Investment Income  
Income  
Dividends 281,652
Interest1 121
Securities Lending—Net 1,775
Total Income 283,548
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 734
Management and Administrative—Investor Shares 44
Management and Administrative—ETF Shares 4,595
Management and Administrative—Admiral Shares 3,657
Marketing and Distribution—Investor Shares 2
Marketing and Distribution—ETF Shares 247
Marketing and Distribution—Admiral Shares 292
Custodian Fees 42
Shareholders’ Reports—Investor Shares
Shareholders’ Reports—ETF Shares 301
Shareholders’ Reports—Admiral Shares 76
Trustees’ Fees and Expenses 7
Other Expenses 155
Total Expenses 10,152
Expenses Paid Indirectly (3)
Net Expenses 10,149
Net Investment Income 273,399
Realized Net Gain (Loss)  
Investment Securities Sold1,2 664,130
Futures Contracts (6,020)
Swap Contracts (11,700)
Realized Net Gain (Loss) 646,410
Change in Unrealized Appreciation (Depreciation)  
Investment Securities1 (4,883,547)
Futures Contracts (3,678)
Swap Contracts (15,252)
Change in Unrealized Appreciation (Depreciation) (4,902,477)
Net Increase (Decrease) in Net Assets Resulting from Operations (3,982,668)
1 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $121,000, ($31,000), and ($3,000), respectively. Purchases and sales are for temporary cash investment purposes.
2 Includes $1,008,531,000 of net gain (loss) resulting from in-kind redemptions.
  
See accompanying Notes, which are an integral part of the Financial Statements.
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Mid-Cap Value Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2022
  Year Ended
December 31,
2021
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 273,399   514,018
Realized Net Gain (Loss) 646,410   1,280,568
Change in Unrealized Appreciation (Depreciation) (4,902,477)   4,465,567
Net Increase (Decrease) in Net Assets Resulting from Operations (3,982,668)   6,260,153
Distributions      
Investor Shares (407)   (965)
ETF Shares (144,981)   (274,814)
Admiral Shares (111,985)   (232,248)
Total Distributions (257,373)   (508,027)
Capital Share Transactions      
Investor Shares (6,509)   2,483
ETF Shares 1,387,831   1,966,665
Admiral Shares 144,237   445,190
Net Increase (Decrease) from Capital Share Transactions 1,525,559   2,414,338
Total Increase (Decrease) (2,714,482)   8,166,464
Net Assets      
Beginning of Period 29,362,058   21,195,594
End of Period 26,647,576   29,362,058
  
See accompanying Notes, which are an integral part of the Financial Statements.
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Mid-Cap Value Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $59.16 $46.83 $46.96 $37.50 $43.89 $38.24
Investment Operations            
Net Investment Income1 .491 1.006 1.0482 .808 1.0013 .771
Net Realized and Unrealized Gain (Loss) on Investments (8.197) 12.311 (.122) 9.566 (6.415) 5.646
Total from Investment Operations (7.706) 13.317 .926 10.374 (5.414) 6.417
Distributions            
Dividends from Net Investment Income (.464) (.987) (1.056) (.914) (.976) (.767)
Distributions from Realized Capital Gains
Total Distributions (.464) (.987) (1.056) (.914) (.976) (.767)
Net Asset Value, End of Period $50.99 $59.16 $46.83 $46.96 $37.50 $43.89
Total Return4 -13.07% 28.59% 2.43% 27.82% -12.53% 16.91%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $44 $57 $43 $52 $508 $682
Ratio of Total Expenses to Average Net Assets 0.19%5 0.19% 0.19% 0.19% 0.19% 0.19%
Ratio of Net Investment Income to Average Net Assets 1.84% 1.83% 2.58%2 1.90% 2.29%3 1.92%
Portfolio Turnover Rate6 7% 17% 39% 17% 17% 17%
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 $.142 and 0.35%, 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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.19%.
6 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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Mid-Cap Value Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $150.26 $118.93 $119.27 $95.22 $111.47 $97.12
Investment Operations            
Net Investment Income1 1.359 2.744 2.7812 2.497 2.6453 2.116
Net Realized and Unrealized Gain (Loss) on Investments (20.851) 31.258 (.310) 23.996 (16.278) 14.306
Total from Investment Operations (19.492) 34.002 2.471 26.493 (13.633) 16.422
Distributions            
Dividends from Net Investment Income (1.268) (2.672) (2.811) (2.443) (2.617) (2.072)
Distributions from Realized Capital Gains
Total Distributions (1.268) (2.672) (2.811) (2.443) (2.617) (2.072)
Net Asset Value, End of Period $129.50 $150.26 $118.93 $119.27 $95.22 $111.47
Total Return -13.02% 28.74% 2.50% 27.98% -12.41% 17.05%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $15,083 $16,086 $11,061 $10,339 $7,898 $8,355
Ratio of Total Expenses to Average Net Assets 0.07%4 0.07% 0.07% 0.07% 0.07% 0.07%
Ratio of Net Investment Income to Average Net Assets 2.00% 1.96% 2.69%2 2.26% 2.41%3 2.04%
Portfolio Turnover Rate5 7% 17% 39% 17% 17% 17%
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 $.362 and 0.35%, 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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.07%.
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.
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Mid-Cap Value Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $77.84 $61.61 $61.79 $49.33 $57.74 $50.31
Investment Operations            
Net Investment Income1 .699 1.413 1.4382 1.303 1.3853 1.096
Net Realized and Unrealized Gain (Loss) on Investments (10.792) 16.201 (.162) 12.422 (8.439) 7.407
Total from Investment Operations (10.093) 17.614 1.276 13.725 (7.054) 8.503
Distributions            
Dividends from Net Investment Income (.657) (1.384) (1.456) (1.265) (1.356) (1.073)
Distributions from Realized Capital Gains
Total Distributions (.657) (1.384) (1.456) (1.265) (1.356) (1.073)
Net Asset Value, End of Period $67.09 $77.84 $61.61 $61.79 $49.33 $57.74
Total Return4 -13.02% 28.76% 2.54% 27.99% -12.42% 17.04%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $11,521 $13,218 $10,092 $11,148 $7,738 $8,134
Ratio of Total Expenses to Average Net Assets 0.07%5 0.07% 0.07% 0.07% 0.07% 0.07%
Ratio of Net Investment Income to Average Net Assets 1.99% 1.95% 2.69%2 2.28% 2.41%3 2.04%
Portfolio Turnover Rate6 7% 17% 39% 17% 17% 17%
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 $.187 and 0.35%, 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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.07%.
6 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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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.
Significant market disruptions, such as those caused by pandemics (e.g., COVID-19 pandemic), natural or environmental disasters, war (e.g., Russia's invasion of Ukraine), acts of terrorism, or other events, can adversely affect local and global markets and normal market operations. Any such disruptions could have an adverse impact on the value of the fund's investments and 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.
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 securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. 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, 2022, 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.
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
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Mid-Cap Value Index Fund
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.
The notional amounts of swap contracts are not recorded in the Statement of Assets and Liabilities. 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.
During the six months ended June 30, 2022, 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. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for 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 $4.4 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 and are 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, which 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 an agreed-upon spread plus the higher of the federal funds effective rate, the
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Mid-Cap Value Index Fund
overnight bank funding rate, or the Daily Simple Secured Overnight Financing Rate inclusive of an additional agreed-upon spread. However, borrowings under the uncommitted credit facility may bear interest based upon an alternate 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, 2022, the fund did not utilize the credit facilities or the Interfund Lending Program.
8. Other: Dividend income is recorded on the ex-dividend date. Non-cash dividends included in income, if any, are recorded at the fair value of the securities received. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. 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, 2022, the fund had contributed to Vanguard capital in the amount of $1,063,000, representing less than 0.01% of the fund’s net assets and 0.43% 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, 2022, custodian fee offset arrangements reduced the fund’s expenses by $3,000 (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 and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
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The following table summarizes the market value of the fund's investments and derivatives as of June 30, 2022, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 26,582,779 26,582,779
Temporary Cash Investments 132,201 132,201
Total 26,714,980 26,714,980
Derivative Financial Instruments        
Liabilities        
Futures Contracts1 1,108 1,108
Swap Contracts 8,038 8,038
Total 1,108 8,038 9,146
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
E.  As of June 30, 2022, 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 22,181,500
Gross Unrealized Appreciation 5,927,144
Gross Unrealized Depreciation (1,402,810)
Net Unrealized Appreciation (Depreciation) 4,524,334
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, 2021, the fund had available capital losses totaling $2,979,657,000 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, 2022; 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, 2022, the fund purchased $5,692,248,000 of investment securities and sold $4,007,039,000 of investment securities, other than temporary cash investments. Purchases and sales include $3,463,614,000 and $2,094,004,000, 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, 2022, such purchases were $114,343,000 and sales were $250,692,000, resulting in net realized loss of $142,562,000; 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, 2022
  Year Ended
December 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 5,891 102   15,393 281
Issued in Lieu of Cash Distributions 407 8   965 17
Redeemed (12,807) (224)   (13,875) (252)
Net Increase (Decrease)—Investor Shares (6,509) (114)   2,483 46
95

 

Mid-Cap Value Index Fund
  Six Months Ended
June 30, 2022
  Year Ended
December 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
ETF Shares          
Issued 3,625,952 26,086   3,658,900 25,904
Issued in Lieu of Cash Distributions  
Redeemed (2,238,121) (16,675)   (1,692,235) (11,850)
Net Increase (Decrease)—ETF Shares 1,387,831 9,411   1,966,665 14,054
Admiral Shares          
Issued 1,363,038 18,220   2,834,601 39,559
Issued in Lieu of Cash Distributions 99,436 1,390   205,615 2,818
Redeemed (1,318,237) (17,694)   (2,595,026) (36,366)
Net Increase (Decrease)—Admiral Shares 144,237 1,916   445,190 6,011
H.  Management has determined that no events or transactions occurred subsequent to June 30, 2022, that would require recognition or disclosure in these financial statements.
96

 

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 decisions 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 periodic reports throughout the year, which included information about the portfolio’s performance relative to its peers and benchmark, as applicable, and updates, as needed, on the Portfolio Review Department’s ongoing assessment of the advisor.
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 decisions.
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 below the average expense ratio charged by funds in its peer group and that each fund’s advisory expenses were also 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.
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.
97

 

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 January 1, 2021, through December 31, 2021 (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.
98

 

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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.
© 2022 The Vanguard Group, Inc.
All rights reserved.
U.S. Patent No. 6,879,964.
Vanguard Marketing Corporation, Distributor.
Q982 082022

 

 

Semiannual Report   |   June 30, 2022
Vanguard U.S. Stock Index Funds Large-Capitalization Portfolios
Vanguard Growth Index Fund
Vanguard Value Index Fund
Vanguard Large-Cap Index Fund

 

Contents
About Your Fund’s Expenses

1
Growth Index Fund

3
Value Index Fund

22
Large-Cap Index Fund

42
Trustees Approve Advisory Arrangements

63
Liquidity Risk Management

65

 

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, 2022      
  Beginning
Account Value
12/31/2021
Ending
Account Value
6/30/2022
Expenses
Paid During
Period
Based on Actual Fund Return      
Growth Index Fund      
Investor Shares $1,000.00 $695.60 $0.71
ETF Shares 1,000.00 696.00 0.17
Admiral™ Shares 1,000.00 696.00 0.21
Institutional Shares 1,000.00 696.00 0.17
Value Index Fund      
Investor Shares $1,000.00 $905.60 $0.80
ETF Shares 1,000.00 906.10 0.19
Admiral Shares 1,000.00 906.00 0.24
Institutional Shares 1,000.00 906.20 0.19
Large-Cap Index Fund      
Investor Shares $1,000.00 $787.00 $0.75
ETF Shares 1,000.00 787.40 0.18
Admiral Shares 1,000.00 787.40 0.22
Institutional Shares 1,000.00 787.40 0.18
Based on Hypothetical 5% Yearly Return      
Growth Index Fund      
Investor Shares $1,000.00 $1,023.95 $0.85
ETF Shares 1,000.00 1,024.60 0.20
Admiral Shares 1,000.00 1,024.55 0.25
Institutional Shares 1,000.00 1,024.60 0.20
Value Index Fund      
Investor Shares $1,000.00 $1,023.95 $0.85
ETF Shares 1,000.00 1,024.60 0.20
Admiral Shares 1,000.00 1,024.55 0.25
Institutional Shares 1,000.00 1,024.60 0.20
Large-Cap Index Fund      
Investor Shares $1,000.00 $1,023.95 $0.85
ETF Shares 1,000.00 1,024.60 0.20
Admiral Shares 1,000.00 1,024.55 0.25
Institutional Shares 1,000.00 1,024.60 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 (181/365).
2

 

Growth Index Fund
Fund Allocation
As of June 30, 2022
Basic Materials 1.4%
Consumer Discretionary 22.4
Consumer Staples 0.9
Energy 1.3
Financials 2.7
Health Care 7.8
Industrials 10.7
Real Estate 2.9
Technology 48.6
Telecommunications 1.1
Utilities 0.2
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, 2022
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%)
  Linde plc   4,048,143   1,163,963
  Ecolab Inc.   2,073,434     318,811
  Fastenal Co.   4,642,033     231,730
  Albemarle Corp.     944,508     197,383
        1,911,887
Consumer Discretionary (22.4%)
* Amazon.com Inc.  69,751,180   7,408,273
* Tesla Inc.   7,102,393   4,782,893
  Home Depot Inc.   8,289,181   2,273,474
  Costco Wholesale Corp.   3,574,790   1,713,325
  McDonald's Corp.   5,964,695   1,472,564
* Walt Disney Co.  14,690,843   1,386,816
  NIKE Inc. Class B  10,232,876   1,045,800
  Lowe's Cos. Inc.   5,258,605     918,521
  Starbucks Corp.   9,250,160     706,620
* Netflix Inc.   3,483,209     609,109
* Booking Holdings Inc.     327,648     573,053
  TJX Cos. Inc.   8,998,502     502,566
  Dollar General Corp.   1,845,274     452,904
  Estee Lauder Cos. Inc. Class A   1,682,628     428,515
* AutoZone Inc.     160,096     344,066
* O'Reilly Automotive Inc.     530,097     334,894
  Marriott International Inc. Class A   2,375,775     323,129
* Uber Technologies Inc.  14,253,851     291,634
* Chipotle Mexican Grill Inc. Class A     214,253     280,084
  Electronic Arts Inc.   2,257,459     274,620
  Yum! Brands Inc.   2,299,977     261,070
* Lululemon Athletica Inc.     941,006     256,528
  Hilton Worldwide Holdings Inc.   2,244,799     250,160
* Airbnb Inc. Class A   2,774,691     247,169
  Activision Blizzard Inc.   2,837,807     220,952
  Ross Stores Inc.   2,834,056     199,036
* Aptiv plc   2,185,168     194,633
* Copart Inc.   1,725,070     187,446
  Tractor Supply Co.     902,383     174,927
* Ulta Beauty Inc.     421,302     162,403
* Take-Two Interactive Software Inc.   1,306,576     160,095
* Trade Desk Inc. Class A   3,544,011     148,459
    Shares Market
Value

($000)
* Expedia Group Inc.   1,222,508     115,930
  Domino's Pizza Inc.     290,728     113,300
* Rivian Automotive Inc. Class A   4,322,130     111,252
* NVR Inc.      25,200     100,904
* Live Nation Entertainment Inc.   1,195,584      98,731
* Las Vegas Sands Corp.   2,773,185      93,151
* Roblox Corp. Class A   2,404,028      78,996
* Etsy Inc.   1,025,514      75,078
* Burlington Stores Inc.     533,183      72,636
  Rollins Inc.   1,987,199      69,393
* Caesars Entertainment Inc.   1,643,473      62,945
* Royal Caribbean Cruises Ltd.   1,749,023      61,058
  Pool Corp.     153,740      53,998
1 Sirius XM Holdings Inc.   6,336,713      38,844
  Vail Resorts Inc.     163,186      35,583
*,1 AMC Entertainment Holdings Inc. Class A   2,090,944      28,332
*,1 Chewy Inc. Class A     703,653      24,431
* Wynn Resorts Ltd.     419,438      23,900
  Warner Music Group Corp. Class A     938,470      22,861
* Endeavor Group Holdings Inc. Class A   1,028,359      21,143
* Lyft Inc. Class A   1,159,237      15,395
*,1 Wayfair Inc. Class A     303,693      13,229
* Carvana Co. Class A     403,734       9,116
       29,925,944
Consumer Staples (0.9%)
* Monster Beverage Corp.   2,990,419     277,212
  Colgate-Palmolive Co.   3,379,389     270,824
  Hershey Co.   1,177,536     253,359
  Church & Dwight Co. Inc.   1,958,092     181,437
  Brown-Forman Corp. Class B   2,375,251     166,647
  Lamb Weston Holdings Inc.     291,519      20,832
  Brown-Forman Corp. Class A     271,313      18,351
4

 

Growth Index Fund
    Shares Market
Value

($000)
* Olaplex Holdings Inc.     783,797      11,044
        1,199,706
Energy (1.3%)
  Pioneer Natural Resources Co.   1,854,054     413,602
  Cheniere Energy Inc.   1,844,933     245,431
* Enphase Energy Inc.   1,089,032     212,623
  Diamondback Energy Inc.   1,432,258     173,518
  Coterra Energy Inc.   6,174,786     159,248
  Hess Corp.   1,128,776     119,582
  Baker Hughes Co. Class A   3,967,185     114,533
  Halliburton Co.   3,277,140     102,771
*,1 Plug Power Inc.   4,663,483      77,274
  Marathon Oil Corp.   2,851,503      64,102
        1,682,684
Financials (2.7%)
  S&P Global Inc.   2,741,341     923,996
  Blackstone Inc.   5,651,355     515,573
  Aon plc Class A (XNYS)   1,627,213     438,827
  Moody's Corp.   1,264,755     343,975
  MSCI Inc. Class A     622,618     256,612
  First Republic Bank   1,448,996     208,945
* SVB Financial Group     474,713     187,507
  Broadridge Financial Solutions Inc.     945,377     134,764
  Apollo Global Management Inc.   2,549,792     123,614
  FactSet Research Systems Inc.     305,606     117,527
  MarketAxess Holdings Inc.     289,279      74,058
  Ares Management Corp. Class A   1,246,826      70,895
* Markel Corp.      52,012      67,265
  Tradeweb Markets Inc. Class A     868,356      59,265
*,1 Coinbase Global Inc. Class A   1,121,995      52,756
  Interactive Brokers Group Inc. Class A     375,638      20,664
        3,596,243
Health Care (7.8%)
  Thermo Fisher Scientific Inc.   3,157,248   1,715,270
  Danaher Corp.   2,638,755     668,977
  Zoetis Inc.   3,416,185     587,208
* Vertex Pharmaceuticals Inc.   2,062,743     581,260
* Intuitive Surgical Inc.   2,895,083     581,072
  Stryker Corp.   2,744,879     546,039
* Regeneron Pharmaceuticals Inc.     827,705     489,281
* Edwards Lifesciences Corp.   5,014,514     476,830
* Boston Scientific Corp.  11,529,751     429,714
* Moderna Inc.   2,726,864     389,533
* IQVIA Holdings Inc.   1,526,515     331,239
  Agilent Technologies Inc.   2,411,345     286,395
  ResMed Inc.   1,179,803     247,322
    Shares Market
Value

($000)
* IDEXX Laboratories Inc.     677,537     237,633
* DexCom Inc.   3,165,656     235,936
* Illumina Inc.   1,267,023     233,588
* Veeva Systems Inc. Class A   1,127,650     223,320
* Seagen Inc.   1,113,453     197,014
  West Pharmaceutical Services Inc.     597,454     180,652
* Avantor Inc.   4,886,742     151,978
* Align Technology Inc.     635,564     150,419
* Horizon Therapeutics plc   1,854,078     147,881
* Catalent Inc.   1,373,092     147,319
1 PerkinElmer Inc.   1,017,297     144,680
* Alnylam Pharmaceuticals Inc.     974,402     142,117
  Cooper Cos. Inc.     397,606     124,498
* BioMarin Pharmaceutical Inc.   1,492,007     123,643
* Insulet Corp.     559,227     121,878
* Incyte Corp.   1,517,534     115,287
* ABIOMED Inc.     349,148      86,418
* Bio-Rad Laboratories Inc. Class A     170,561      84,428
  STERIS plc     403,844      83,252
* Exact Sciences Corp.   1,421,251      55,983
  Teleflex Inc.     189,487      46,585
* Charles River Laboratories International Inc.     205,329      43,934
* Teladoc Health Inc.     582,952      19,360
* agilon health Inc.     817,499      17,846
       10,445,789
Industrials (10.7%)
  Visa Inc. Class A  12,828,239   2,525,752
  Mastercard Inc. Class A   7,004,158   2,209,672
  Accenture plc Class A   5,342,716   1,483,405
  Automatic Data Processing Inc.   3,369,188     707,664
* Boeing Co.   4,771,711     652,388
* PayPal Holdings Inc.   9,339,943     652,302
  United Parcel Service Inc. Class B   2,961,844     540,655
  Union Pacific Corp.   2,532,677     540,169
  Sherwin-Williams Co.   1,888,244     422,797
* Fiserv Inc.   4,691,924     417,441
  Paychex Inc.   2,620,417     298,387
  Cintas Corp.     701,453     262,014
* Block Inc. (XNYS)   4,184,291     257,167
  Global Payments Inc.   2,270,678     251,228
* TransDigm Group Inc.     418,211     224,441
  Verisk Analytics Inc. Class A   1,273,507     220,431
  Old Dominion Freight Line Inc.     822,833     210,876
* Mettler-Toledo International Inc.     182,929     210,143
* Keysight Technologies Inc.   1,450,790     199,991
  Rockwell Automation Inc.     937,781     186,909
  Equifax Inc.     986,696     180,348
* Waters Corp.     485,930     160,833
  Vulcan Materials Co.   1,071,628     152,278
 
5

 

Growth Index Fund
    Shares Market
Value

($000)
* Teledyne Technologies Inc.     378,032     141,804
* Zebra Technologies Corp. Class A     423,531     124,497
  TransUnion   1,551,683     124,119
* Trimble Inc.   2,017,289     117,467
* Generac Holdings Inc.     514,771     108,400
  JB Hunt Transport Services Inc.     676,137     106,471
  Ball Corp.   1,289,541      88,682
* Bill.Com Holdings Inc.     798,888      87,830
  Martin Marietta Materials Inc.     251,230      75,178
  Expeditors International of Washington Inc.     676,139      65,897
  HEICO Corp. Class A     591,505      62,333
* FleetCor Technologies Inc.     296,541      62,306
  Jack Henry & Associates Inc.     294,269      52,974
  HEICO Corp.     329,443      43,197
  Cognex Corp.     664,180      28,241
*,1 Affirm Holdings Inc.     727,299      13,135
       14,269,822
Real Estate (2.9%)
  American Tower Corp.   3,747,404     957,799
  Crown Castle International Corp.   3,492,524     588,071
  Equinix Inc.     734,128     482,337
  Public Storage   1,203,314     376,240
  Digital Realty Trust Inc.   2,295,931     298,081
  SBA Communications Corp. Class A     869,686     278,343
* CoStar Group Inc.   3,195,530     193,042
  Invitation Homes Inc.   4,921,952     175,123
  Realty Income Corp.   2,425,873     165,590
  Sun Communities Inc.     980,748     156,292
  UDR Inc.   1,285,391      59,179
  Camden Property Trust     429,179      57,716
* Zillow Group Inc. Class C   1,300,777      41,300
* Zillow Group Inc. Class A     347,250      11,046
        3,840,159
Technology (48.5%)
  Apple Inc. 124,011,959  16,954,915
  Microsoft Corp.  60,320,953  15,492,230
* Alphabet Inc. Class A   2,426,946   5,288,946
* Alphabet Inc. Class C   2,147,137   4,696,755
* Meta Platforms Inc. Class A  18,497,990   2,982,801
  NVIDIA Corp.  19,185,914   2,908,393
* Adobe Inc.   3,810,889   1,395,014
* Salesforce Inc.   7,615,462   1,256,856
  Texas Instruments Inc.   7,437,390   1,142,755
* Advanced Micro Devices Inc.  13,069,900     999,455
  Intuit Inc.   2,161,295     833,049
* ServiceNow Inc.   1,616,779     768,811
  Applied Materials Inc.   7,124,864     648,220
  QUALCOMM Inc.   4,516,584     576,948
  Micron Technology Inc.   9,006,238     497,865
    Shares Market
Value

($000)
  Lam Research Corp.   1,118,796     476,775
* Palo Alto Networks Inc.     803,579     396,920
  KLA Corp.   1,203,613     384,049
* Synopsys Inc.   1,233,738     374,686
  Roper Technologies Inc.     854,249     337,129
* Cadence Design Systems Inc.   2,224,092     333,680
* Fortinet Inc.   5,502,477     311,330
  Amphenol Corp. Class A   4,815,703     310,035
* Autodesk Inc.   1,754,447     301,695
* Snowflake Inc. Class A   2,156,733     299,915
  Marvell Technology Inc.   6,860,915     298,656
* Crowdstrike Holdings Inc. Class A   1,634,743     275,552
  Microchip Technology Inc.   4,472,140     259,742
* Workday Inc. Class A   1,602,243     223,641
* Datadog Inc. Class A   2,055,029     195,721
* Zoom Video Communications Inc. Class A   1,725,597     186,313
* Twitter Inc.   4,930,654     184,357
* ANSYS Inc.     701,599     167,886
* Match Group Inc.   2,303,742     160,548
* Gartner Inc.     617,081     149,229
  Monolithic Power Systems Inc.     357,372     137,245
* MongoDB Inc. Class A     521,688     135,378
* DoorDash Inc. Class A   2,071,149     132,906
* EPAM Systems Inc.     437,885     129,080
* Palantir Technologies Inc. Class A  14,140,969     128,259
* VeriSign Inc.     750,963     125,659
  Skyworks Solutions Inc.   1,297,949     120,242
* Twilio Inc. Class A   1,386,089     116,168
* Paycom Software Inc.     413,072     115,710
  Teradyne Inc.   1,292,087     115,706
* Splunk Inc.   1,297,995     114,821
* Tyler Technologies Inc.     334,504     111,216
* HubSpot Inc.     366,005     110,039
* Okta Inc.   1,215,815     109,910
* Snap Inc. Class A   8,353,967     109,687
* Zscaler Inc.     682,718     102,073
* DocuSign Inc. Class A   1,612,308      92,514
* GoDaddy Inc. Class A   1,304,540      90,744
* Cloudflare Inc. Class A   2,040,588      89,276
* Pinterest Inc. Class A   4,635,079      84,173
* Black Knight Inc.   1,195,348      78,164
* ZoomInfo Technologies Inc. Class A   2,278,246      75,729
* Unity Software Inc.   1,672,098      61,567
  Bentley Systems Inc. Class B   1,782,347      59,352
* Akamai Technologies Inc.     647,136      59,103
  SS&C Technologies Holdings Inc.     873,798      50,741
*,1 AppLovin Corp. Class A   1,450,991      49,972
* Zendesk Inc.     493,083      36,523
 
6

 

Growth Index Fund
    Shares Market
Value

($000)
* IAC/InterActiveCorp.     323,255      24,558
* Dropbox Inc. Class A   1,118,344      23,474
* RingCentral Inc. Class A     341,339      17,838
* Coupa Software Inc.     303,497      17,330
* Toast Inc. Class A     970,402      12,557
* Qualtrics International Inc. Class A     768,694       9,616
       64,918,202
Telecommunications (1.1%)
* T-Mobile US Inc.   5,055,311     680,141
* Charter Communications Inc. Class A     648,159     303,682
* Arista Networks Inc.   1,864,858     174,812
  Motorola Solutions Inc.     674,621     141,401
* Liberty Broadband Corp. Class C   1,055,943     122,109
* Roku Inc.     966,621      79,398
* Liberty Broadband Corp. Class A     154,188      17,508
        1,519,051
Utilities (0.2%)
  Waste Connections Inc. (XTSE)   2,074,024     257,096
Total Common Stocks (Cost $77,903,616) 133,566,583
    Shares Market
Value

($000)
Temporary Cash Investments (0.2%)
Money Market Fund (0.2%)
2,3 Vanguard Market Liquidity Fund, 1.417% (Cost $318,498)   3,186,204            318,525
Total Investments (100.1%) (Cost $78,222,114) 133,885,108
Other Assets and Liabilities—Net (-0.1%) (118,422)
Net Assets (100%) 133,766,686
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 $154,885,000.
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 $167,114,000 was received for securities on loan.
 

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 2022 407 77,116 883
    
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)
Netflix Inc. 8/31/22 BANA 17,487 (0.820) (13)
Visa Inc. Class A 8/31/22 BANA 87,616 (0.720) 112
          112 (13)
1 Based on 1M USD Overnight Bank Funding Rate as of the most recent payment date. Floating interest payment received/paid monthly.
  1M—1-month.
  BANA—Bank of America, N.A.
  
See accompanying Notes, which are an integral part of the Financial Statements.
7

 

Growth Index Fund
Statement of Assets and Liabilities
As of June 30, 2022
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value1  
Unaffiliated Issuers (Cost $77,903,616) 133,566,583
Affiliated Issuers (Cost $318,498) 318,525
Total Investments in Securities 133,885,108
Investment in Vanguard 5,225
Cash Collateral Pledged—Futures Contracts 4,275
Cash Collateral Pledged—Over-the-Counter Swap Contracts 7,950
Receivables for Investment Securities Sold 31,533
Receivables for Accrued Income 41,958
Receivables for Capital Shares Issued 70,545
Unrealized Appreciation—Over-the-Counter Swap Contracts 112
Total Assets 134,046,706
Liabilities  
Due to Custodian 43,091
Payables for Investment Securities Purchased 9,295
Collateral for Securities on Loan 167,114
Payables for Capital Shares Redeemed 57,431
Payables to Vanguard 2,430
Variation Margin Payable—Futures Contracts 646
Unrealized Depreciation—Over-the-Counter Swap Contracts 13
Total Liabilities 280,020
Net Assets 133,766,686
1 Includes $154,885 of securities on loan.  
8

 

Growth Index Fund
Statement of Assets and Liabilities (continued)

At June 30, 2022, net assets consisted of:  
($000s, except shares and per-share amounts) Amount
Paid-in Capital 81,233,508
Total Distributable Earnings (Loss) 52,533,178
Net Assets 133,766,686
 
Investor Shares—Net Assets  
Applicable to 3,483,963 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
399,637
Net Asset Value Per Share—Investor Shares $114.71
 
ETF Shares—Net Assets  
Applicable to 300,925,914 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
67,032,301
Net Asset Value Per Share—ETF Shares $222.75
 
Admiral Shares—Net Assets  
Applicable to 411,463,227 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
47,179,552
Net Asset Value Per Share—Admiral Shares $114.66
 
Institutional Shares—Net Assets  
Applicable to 167,048,301 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
19,155,196
Net Asset Value Per Share—Institutional Shares $114.67
  
See accompanying Notes, which are an integral part of the Financial Statements.
9

 

Growth Index Fund
Statement of Operations
  Six Months Ended
June 30, 2022
  ($000)
Investment Income  
Income  
Dividends1 440,352
Interest2 564
Securities Lending—Net 3,205
Total Income 444,121
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,094
Management and Administrative—Investor Shares 406
Management and Administrative—ETF Shares 12,707
Management and Administrative—Admiral Shares 12,087
Management and Administrative—Institutional Shares 3,919
Marketing and Distribution—Investor Shares 18
Marketing and Distribution—ETF Shares 1,094
Marketing and Distribution—Admiral Shares 1,130
Marketing and Distribution—Institutional Shares 346
Custodian Fees 431
Shareholders’ Reports—Investor Shares 1
Shareholders’ Reports—ETF Shares 679
Shareholders’ Reports—Admiral Shares 195
Shareholders’ Reports—Institutional Shares 44
Trustees’ Fees and Expenses 39
Other Expenses 8
Total Expenses 34,198
Net Investment Income 409,923
Realized Net Gain (Loss)  
Investment Securities Sold2,3 57,824
Futures Contracts (15,987)
Swap Contracts (51,347)
Foreign Currencies 2
Realized Net Gain (Loss) (9,508)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities2 (57,803,802)
Futures Contracts (1,970)
Swap Contracts (66)
Change in Unrealized Appreciation (Depreciation) (57,805,838)
Net Increase (Decrease) in Net Assets Resulting from Operations (57,405,423)
1 Dividends are net of foreign withholding taxes of $143,000.
2 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $552,000, ($39,000), and less than $1,000, respectively. Purchases and sales are for temporary cash investment purposes.
3 Includes $2,768,977,000 of net gain (loss) resulting from in-kind redemptions.
  
See accompanying Notes, which are an integral part of the Financial Statements.
10

 

Growth Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2022
  Year Ended
December 31,
2021
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 409,923   850,277
Realized Net Gain (Loss) (9,508)   9,367,270
Change in Unrealized Appreciation (Depreciation) (57,805,838)   29,618,234
Net Increase (Decrease) in Net Assets Resulting from Operations (57,405,423)   39,835,781
Distributions      
Investor Shares (814)   (2,918)
ETF Shares (182,755)   (426,504)
Admiral Shares (128,381)   (323,130)
Institutional Shares (52,988)   (132,576)
Total Distributions (364,938)   (885,128)
Capital Share Transactions      
Investor Shares (101,861)   (228,745)
ETF Shares 4,848,884   3,475,469
Admiral Shares (364,360)   24,196
Institutional Shares (102,683)   (697,636)
Net Increase (Decrease) from Capital Share Transactions 4,279,980   2,573,284
Total Increase (Decrease) (53,490,381)   41,523,937
Net Assets      
Beginning of Period 187,257,067   145,733,130
End of Period 133,766,686   187,257,067
  
See accompanying Notes, which are an integral part of the Financial Statements.
11

 

Growth Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $165.20 $130.50 $93.87 $69.10 $72.36 $57.32
Investment Operations            
Net Investment Income1 .271 .565 .728 .746 .823 .750
Net Realized and Unrealized Gain (Loss) on Investments (50.535) 34.731 36.631 24.802 (3.271) 15.037
Total from Investment Operations (50.264) 35.296 37.359 25.548 (2.448) 15.787
Distributions            
Dividends from Net Investment Income (.226) (.596) (.729) (.778) (.812) (.747)
Distributions from Realized Capital Gains
Total Distributions (.226) (.596) (.729) (.778) (.812) (.747)
Net Asset Value, End of Period $114.71 $165.20 $130.50 $93.87 $69.10 $72.36
Total Return2 -30.44% 27.10% 40.01% 37.08% -3.46% 27.65%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $400 $692 $750 $572 $2,654 $3,210
Ratio of Total Expenses to Average Net Assets 0.17% 0.17% 0.17% 0.17% 0.17% 0.17%
Ratio of Net Investment Income to Average Net Assets 0.42% 0.39% 0.69% 0.92% 1.08% 1.15%
Portfolio Turnover Rate3 3% 8% 6% 11% 11% 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.
12

 

Growth Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $320.83 $253.44 $182.31 $134.21 $140.55 $111.33
Investment Operations            
Net Investment Income1 .701 1.483 1.683 1.773 1.807 1.626
Net Realized and Unrealized Gain (Loss) on Investments (98.160) 67.447 71.131 48.065 (6.373) 29.200
Total from Investment Operations (97.459) 68.930 72.814 49.838 (4.566) 30.826
Distributions            
Dividends from Net Investment Income (.621) (1.540) (1.684) (1.738) (1.774) (1.606)
Distributions from Realized Capital Gains
Total Distributions (.621) (1.540) (1.684) (1.738) (1.774) (1.606)
Net Asset Value, End of Period $222.75 $320.83 $253.44 $182.31 $134.21 $140.55
Total Return -30.40% 27.26% 40.16% 37.26% -3.32% 27.80%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $67,032 $90,506 $68,474 $46,481 $32,489 $31,399
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 0.55% 0.52% 0.81% 1.09% 1.21% 1.27%
Portfolio Turnover Rate2 3% 8% 6% 11% 11% 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.
13

 

Growth Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $165.15 $130.46 $93.84 $69.09 $72.35 $57.31
Investment Operations            
Net Investment Income1 .354 .748 .855 .907 .921 .836
Net Realized and Unrealized Gain (Loss) on Investments (50.532) 34.720 36.621 24.728 (3.274) 15.032
Total from Investment Operations (50.178) 35.468 37.476 25.635 (2.353) 15.868
Distributions            
Dividends from Net Investment Income (.312) (.778) (.856) (.885) (.907) (.828)
Distributions from Realized Capital Gains
Total Distributions (.312) (.778) (.856) (.885) (.907) (.828)
Net Asset Value, End of Period $114.66 $165.15 $130.46 $93.84 $69.09 $72.35
Total Return2 -30.40% 27.26% 40.19% 37.23% -3.34% 27.80%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $47,180 $68,372 $53,928 $38,103 $25,609 $26,013
Ratio of Total Expenses to Average Net Assets 0.05% 0.05% 0.05% 0.05% 0.05% 0.05%
Ratio of Net Investment Income to Average Net Assets 0.54% 0.51% 0.80% 1.08% 1.20% 1.27%
Portfolio Turnover Rate3 3% 8% 6% 11% 11% 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.
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Growth Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $165.16 $130.47 $93.85 $69.09 $72.35 $57.31
Investment Operations            
Net Investment Income1 .361 .762 .867 .912 .928 .841
Net Realized and Unrealized Gain (Loss) on Investments (50.532) 34.721 36.620 24.742 (3.274) 15.032
Total from Investment Operations (50.171) 35.483 37.487 25.654 (2.346) 15.873
Distributions            
Dividends from Net Investment Income (.319) (.793) (.867) (.894) (.914) (.833)
Distributions from Realized Capital Gains
Total Distributions (.319) (.793) (.867) (.894) (.914) (.833)
Net Asset Value, End of Period $114.67 $165.16 $130.47 $93.85 $69.09 $72.35
Total Return -30.40% 27.27% 40.20% 37.26% -3.33% 27.81%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $19,155 $27,688 $22,582 $16,426 $12,400 $12,495
Ratio of Total Expenses to Average Net Assets 0.04% 0.04% 0.04% 0.04% 0.04% 0.04%
Ratio of Net Investment Income to Average Net Assets 0.55% 0.52% 0.82% 1.09% 1.21% 1.28%
Portfolio Turnover Rate2 3% 8% 6% 11% 11% 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.
15

 

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.
Significant market disruptions, such as those caused by pandemics (e.g., COVID-19 pandemic), natural or environmental disasters, war (e.g., Russia’s invasion of Ukraine), acts of terrorism, or other events, can adversely affect local and global markets and normal market operations. Any such disruptions could have an adverse impact on the value of the fund’s investments and 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. Foreign Currency: Securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars using exchange rates obtained from an independent third party as of the fund’s pricing time on the valuation date. Realized gains (losses) and unrealized appreciation (depreciation) on investment securities include the effects of changes in exchange rates since the securities were purchased, combined with the effects of changes in security prices. Fluctuations in the value of other assets and liabilities resulting from changes in exchange rates are recorded as unrealized foreign currency gains (losses) until the assets or liabilities are settled in cash, at which time they are recorded as realized foreign currency gains (losses).
3. 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
16

 

Growth Index Fund
clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract. Any securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. 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, 2022, 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.
4.  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.
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.
The notional amounts of swap contracts are not recorded in the Statement of Assets and Liabilities. 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
17

 

Growth Index Fund
(depreciation) until periodic payments are made or the termination of the swap, at which time realized gain (loss) is recorded.
During the six months ended June 30, 2022, 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.
5. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for income tax is required in the fund’s financial statements.
6. 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.
7. 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.
8. Credit Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group ("Vanguard") participate in a $4.4 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 and are 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, which 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 an agreed-upon spread plus the
18

 

Growth Index Fund
higher of the federal funds effective rate, the overnight bank funding rate, or the Daily Simple Secured Overnight Financing Rate inclusive of an additional agreed-upon spread. However, borrowings under the uncommitted credit facility may bear interest based upon an alternate 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, 2022, the fund did not utilize the credit facilities or the Interfund Lending Program.
9. Other: Dividend income is recorded on the ex-dividend date. Non-cash dividends included in income, if any, are recorded at the fair value of the securities received. 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, 2022, the fund had contributed to Vanguard capital in the amount of $5,225,000, representing less than 0.01% of the fund’s net assets and 2.09% 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 and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
19

 

Growth 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 and derivatives 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, 2022, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 133,566,583 133,566,583
Temporary Cash Investments 318,525 318,525
Total 133,885,108 133,885,108
Derivative Financial Instruments        
Assets        
Futures Contracts1 883 883
Swap Contracts 112 112
Total 883 112 995
Liabilities        
Swap Contracts 13 13
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
D. As of June 30, 2022, 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 78,366,853
Gross Unrealized Appreciation 62,792,853
Gross Unrealized Depreciation (7,273,715)
Net Unrealized Appreciation (Depreciation) 55,519,138
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, 2021, the fund had available capital losses totaling $3,157,351,000 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, 2022; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.
20

 

Growth Index Fund
E. During the six months ended June 30, 2022, the fund purchased $12,436,932,000 of investment securities and sold $8,162,397,000 of investment securities, other than temporary cash investments. Purchases and sales include $7,400,884,000 and $3,608,172,000, 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, 2022, such purchases were $521,330,000 and sales were $772,486,000, resulting in net realized loss of $1,253,202,000; 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, 2022
  Year Ended
December 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 27,330 201   72,222 492
Issued in Lieu of Cash Distributions 814 6   2,919 20
Redeemed (130,005) (912)   (303,886) (2,069)
Net Increase (Decrease)—Investor Shares (101,861) (705)   (228,745) (1,557)
ETF Shares          
Issued 8,487,127 32,752   18,729,170 64,747
Issued in Lieu of Cash Distributions  
Redeemed (3,638,243) (13,925)   (15,253,701) (52,825)
Net Increase (Decrease)—ETF Shares 4,848,884 18,827   3,475,469 11,922
Admiral Shares          
Issued 4,521,739 33,189   9,587,947 66,521
Issued in Lieu of Cash Distributions 113,136 883   286,028 1,930
Redeemed (4,999,235) (36,615)   (9,849,779) (67,814)
Net Increase (Decrease)—Admiral Shares (364,360) (2,543)   24,196 637
Institutional Shares          
Issued 1,748,895 12,825   3,444,250 23,706
Issued in Lieu of Cash Distributions 51,030 399   126,911 856
Redeemed (1,902,608) (13,823)   (4,268,797) (29,999)
Net Increase (Decrease)—Institutional Shares (102,683) (599)   (697,636) (5,437)
G. Management has determined that no events or transactions occurred subsequent to June 30, 2022, that would require recognition or disclosure in these financial statements.
21

 

Value Index Fund
Fund Allocation
As of June 30, 2022
Basic Materials 2.3%
Consumer Discretionary 4.8
Consumer Staples 11.6
Energy 7.5
Financials 18.6
Health Care 21.4
Industrials 13.0
Real Estate 3.2
Technology 6.5
Telecommunications 4.5
Utilities 6.6
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.
22

 

Value Index Fund
Financial Statements (unaudited)
Schedule of Investments
As of June 30, 2022
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 (2.3%)
  Air Products and Chemicals Inc.  1,921,382     462,054
  Newmont Corp.  6,865,319     409,654
  Freeport-McMoRan Inc. 12,536,481     366,817
  Dow Inc.  6,300,075     325,147
  International Flavors & Fragrances Inc.  2,204,458     262,595
  Nucor Corp.  2,301,200     240,268
  LyondellBasell Industries NV Class A  2,265,999     198,184
  CF Industries Holdings Inc.  1,809,225     155,105
  Mosaic Co.  3,139,845     148,295
  International Paper Co.  3,215,278     134,495
  FMC Corp.  1,092,473     116,906
  Avery Dennison Corp.    704,536     114,043
  Eastman Chemical Co.  1,118,559     100,413
  Celanese Corp. Class A    846,178      99,519
  Westlake Corp.    139,131      13,638
        3,147,133
Consumer Discretionary (4.8%)
  Walmart Inc. 11,916,963   1,448,864
  Target Corp.  4,015,645     567,130
  Ford Motor Co. 34,153,361     380,127
* General Motors Co. 11,348,312     360,422
* Dollar Tree Inc.  1,853,854     288,923
* Warner Bros Discovery Inc. 18,892,357     253,535
  Activision Blizzard Inc.  3,042,923     236,922
  eBay Inc.  4,840,192     201,691
* Southwest Airlines Co.  5,125,021     185,116
  DR Horton Inc.  2,737,868     181,219
  Lennar Corp. Class A  2,325,586     164,117
  Genuine Parts Co.  1,223,142     162,678
* Delta Air Lines Inc.  5,536,115     160,381
  VF Corp.  3,036,455     134,120
  Garmin Ltd.  1,339,999     131,655
* CarMax Inc.  1,392,277     125,973
  Darden Restaurants Inc.  1,082,579     122,461
  Best Buy Co. Inc.  1,756,967     114,537
  Omnicom Group Inc.  1,774,520     112,877
  Paramount Global Inc. Class B  4,459,640     110,064
  LKQ Corp.  2,085,726     102,388
    Shares Market
Value

($000)
* United Airlines Holdings Inc.  2,834,045     100,382
  Advance Auto Parts Inc.    525,942      91,035
  Hasbro Inc.  1,088,827      89,153
*,1 Lucid Group Inc.  5,061,266      86,851
  MGM Resorts International  2,957,480      85,619
  Fox Corp. Class A  2,643,879      85,027
  PulteGroup Inc.  2,061,964      81,716
  Whirlpool Corp.    487,684      75,528
  BorgWarner Inc. (XNYS)  2,077,179      69,315
  News Corp. Class A  4,334,987      67,539
* Carnival Corp.  7,297,631      63,125
* Liberty Media Corp.- Liberty SiriusXM Class C  1,326,647      47,826
  Interpublic Group of Cos. Inc.  1,709,211      47,055
  Fox Corp. Class B  1,320,460      39,218
* American Airlines Group Inc.  2,815,970      35,707
*,1 GameStop Corp. Class A    281,530      34,431
  Lear Corp.    259,229      32,634
  Bath & Body Works Inc.    982,700      26,454
* Liberty Media Corp.- Liberty SiriusXM Class A    681,763      24,571
  Paramount Global Class A    112,899       3,078
  Lennar Corp. Class B     15,603         916
  News Corp. Class B     27,910         443
        6,732,823
Consumer Staples (11.6%)
  Procter & Gamble Co. 20,771,589   2,986,747
  Coca-Cola Co. 33,775,980   2,124,847
  PepsiCo Inc. 11,970,112   1,994,939
  Philip Morris International Inc. 13,421,222   1,325,211
  CVS Health Corp. 11,350,400   1,051,728
  Mondelez International Inc. Class A 11,981,426     743,927
  Altria Group Inc. 15,677,130     654,834
  McKesson Corp.  1,257,751     410,291
  Kimberly-Clark Corp.  2,914,442     393,887
  General Mills Inc.  5,209,799     393,079
  Archer-Daniels-Midland Co.  4,867,443     377,714
  Sysco Corp.  4,407,135     373,328
  Corteva Inc.  6,275,332     339,746
23

 

Value Index Fund
    Shares Market
Value

($000)
  Constellation Brands Inc. Class A  1,267,017     295,291
  Colgate-Palmolive Co.  3,623,887     290,418
  Keurig Dr Pepper Inc.  7,361,391     260,520
  Walgreens Boots Alliance Inc.  6,351,003     240,703
  Kraft Heinz Co.  5,838,303     222,673
  Kroger Co.  4,612,499     218,310
  Tyson Foods Inc. Class A  2,520,843     216,944
  AmerisourceBergen Corp. Class A  1,362,207     192,725
  McCormick & Co. Inc.  2,170,301     180,677
  Kellogg Co.  2,197,695     156,784
  Clorox Co.  1,062,518     149,794
  Conagra Brands Inc.  4,141,060     141,790
  J M Smucker Co.    893,643     114,395
  Hormel Foods Corp.  2,365,641     112,037
  Campbell Soup Co.  1,700,382      81,703
  Molson Coors Beverage Co. Class B    782,507      42,654
  Lamb Weston Holdings Inc.    313,136      22,377
  Albertsons Cos. Inc. Class A    660,273      17,642
       16,127,715
Energy (7.4%)
  Exxon Mobil Corp. 36,472,679   3,123,520
  Chevron Corp. 15,311,338   2,216,775
  ConocoPhillips 11,203,003   1,006,142
  EOG Resources Inc.  5,075,296     560,516
  Schlumberger NV 12,231,685     437,405
  Marathon Petroleum Corp.  4,679,901     384,735
  Occidental Petroleum Corp.  6,485,163     381,846
  Valero Energy Corp.  3,530,109     375,180
  Phillips 66  4,161,497     341,201
  Williams Cos. Inc. 10,536,766     328,852
  Devon Energy Corp.  5,709,850     314,670
  Kinder Morgan Inc. 17,653,795     295,878
  ONEOK Inc.  3,861,492     214,313
  Hess Corp.  1,209,816     128,168
  Baker Hughes Co. Class A  4,250,921     122,724
  Halliburton Co.  3,534,271     110,835
  Continental Resources Inc.    471,897      30,838
       10,373,598
Financials (18.5%)
* Berkshire Hathaway Inc. Class B 14,966,588   4,086,178
  JPMorgan Chase & Co. 25,428,744   2,863,531
  Bank of America Corp. 59,299,592   1,845,996
  Wells Fargo & Co. 32,821,276   1,285,609
  Morgan Stanley 12,116,872     921,609
  Goldman Sachs Group Inc.  2,848,842     846,163
  Charles Schwab Corp. 13,369,794     844,704
  BlackRock Inc.  1,246,014     758,872
  Citigroup Inc. 15,958,499     733,931
  Chubb Ltd.  3,487,214     685,517
  Marsh & McLennan Cos. Inc.  4,355,030     676,118
  CME Group Inc.  3,112,279     637,084
  Progressive Corp.  5,065,041     588,912
    Shares Market
Value

($000)
  PNC Financial Services Group Inc.  3,578,644     564,603
  Truist Financial Corp. 11,520,878     546,435
  US Bancorp 11,585,557     533,167
  Intercontinental Exchange Inc.  4,836,007     454,778
  Travelers Cos. Inc.  2,076,080     351,127
  American International Group Inc.  6,853,667     350,428
  MetLife Inc.  5,278,951     331,465
  Prudential Financial Inc.  3,245,532     310,533
  Allstate Corp.  2,378,711     301,454
  Arthur J Gallagher & Co.  1,817,193     296,275
  Aflac Inc.  5,016,273     277,550
  Bank of New York Mellon Corp.  6,290,587     262,380
  M&T Bank Corp.  1,552,219     247,408
  Discover Financial Services  2,430,050     229,834
  Ameriprise Financial Inc.    950,726     225,969
  KKR & Co. Inc.  4,868,838     225,379
  T Rowe Price Group Inc.  1,965,579     223,309
  Fifth Third Bancorp  5,931,460     199,297
  Willis Towers Watson plc    963,630     190,211
  Hartford Financial Services Group Inc.  2,842,167     185,963
  Northern Trust Corp.  1,718,573     165,808
  Cincinnati Financial Corp.  1,321,916     157,282
  Nasdaq Inc.  1,001,570     152,780
  Citizens Financial Group Inc.  4,276,654     152,634
  Regions Financial Corp.  8,124,427     152,333
  Raymond James Financial Inc.  1,684,136     150,579
  Huntington Bancshares Inc. 12,426,704     149,493
  Principal Financial Group Inc.  2,181,349     145,692
  State Street Corp.  2,339,645     144,239
* Arch Capital Group Ltd.  3,080,487     140,131
  KeyCorp.  8,048,875     138,682
  W R Berkley Corp.  1,715,280     117,085
  Loews Corp.  1,803,420     106,871
  Cboe Global Markets Inc.    921,245     104,276
  Everest Re Group Ltd.    342,113      95,888
  Ally Financial Inc.  2,662,543      89,222
  Equitable Holdings Inc.  3,281,850      85,558
  Fidelity National Financial Inc.  2,313,242      85,497
  Annaly Capital Management Inc. 13,546,201      80,058
* Markel Corp.     55,862      72,244
  Franklin Resources Inc.  2,602,556      60,666
* Alleghany Corp.     55,407      46,160
  Globe Life Inc.    384,788      37,505
  Lincoln National Corp.    671,336      31,398
  Interactive Brokers Group Inc. Class A    405,126      22,286
1 Rocket Cos. Inc. Class A    976,628       7,188
       25,773,344
 
24

 

Value Index Fund
    Shares Market
Value

($000)
Health Care (21.4%)
  UnitedHealth Group Inc.  8,122,039   4,171,723
  Johnson & Johnson 22,778,826   4,043,469
  Pfizer Inc. 48,571,090   2,546,582
  Eli Lilly & Co.  7,402,657   2,400,164
  AbbVie Inc. 15,297,814   2,343,013
  Merck & Co. Inc. 21,890,777   1,995,782
  Abbott Laboratories 15,154,203   1,646,504
  Bristol-Myers Squibb Co. 18,434,261   1,419,438
  Amgen Inc.  4,623,418   1,124,878
  Medtronic plc 11,610,807   1,042,070
  Elevance Health Inc.  2,087,666   1,007,466
  Cigna Corp.  2,747,637     724,057
  Danaher Corp.  2,832,305     718,046
  Gilead Sciences Inc. 10,860,984     671,317
  Becton Dickinson and Co.  2,468,319     608,515
  Humana Inc.  1,095,640     512,836
* Centene Corp.  5,059,383     428,074
  HCA Healthcare Inc.  1,916,832     322,143
  Baxter International Inc.  4,354,666     279,700
* Biogen Inc.  1,266,671     258,325
  Zimmer Biomet Holdings Inc.  1,811,219     190,287
  Laboratory Corp. of America Holdings    805,264     188,722
* Hologic Inc.  2,163,178     149,908
  Quest Diagnostics Inc.  1,012,866     134,691
  Royalty Pharma plc Class A  3,019,990     126,960
  Cardinal Health Inc.  2,349,724     122,820
  Viatris Inc. 10,515,873     110,101
* Henry Schein Inc.  1,197,480      91,895
  STERIS plc    434,219      89,514
* Elanco Animal Health Inc. (XNYS)  3,906,557      76,686
  DENTSPLY SIRONA Inc.  1,868,976      66,779
  Universal Health Services Inc. Class B    553,227      55,716
  Teleflex Inc.    203,438      50,015
* DaVita Inc.    492,471      39,378
       29,757,574
Industrials (12.9%)
  Raytheon Technologies Corp. 12,880,174   1,237,914
  Honeywell International Inc.  5,892,504   1,024,176
  Lockheed Martin Corp.  2,303,505     990,415
  Caterpillar Inc.  4,617,189     825,369
  Deere & Co.  2,390,535     715,894
  American Express Co.  4,889,975     677,848
  3M Co.  4,929,094     637,874
  General Electric Co.  9,531,067     606,843
  Union Pacific Corp.  2,719,498     580,015
  United Parcel Service Inc. Class B  3,176,870     579,906
  Northrop Grumman Corp.  1,211,715     579,891
  CSX Corp. 18,831,746     547,251
  Fidelity National Information Services Inc.  5,289,759     484,912
  Norfolk Southern Corp.  2,061,740     468,613
  FedEx Corp.  2,017,772     457,449
    Shares Market
Value

($000)
  General Dynamics Corp.  2,042,416     451,885
  Illinois Tool Works Inc.  2,425,195     441,992
  Eaton Corp. plc  3,456,774     435,519
  Emerson Electric Co.  5,146,899     409,384
  L3Harris Technologies Inc.  1,668,497     403,276
  Capital One Financial Corp.  3,399,828     354,228
  Johnson Controls International plc  6,018,026     288,143
  Parker-Hannifin Corp.  1,110,658     273,277
  Trane Technologies plc  2,023,035     262,732
  Carrier Global Corp.  7,337,857     261,668
  Otis Worldwide Corp.  3,657,682     258,488
  Cummins Inc.  1,220,407     236,185
  PPG Industries Inc.  2,042,751     233,568
  PACCAR Inc.  2,706,156     222,825
  DuPont de Nemours Inc.  3,957,994     219,985
  AMETEK Inc.  1,996,700     219,417
  WW Grainger Inc.    398,888     181,267
  Fortive Corp.  3,109,137     169,075
  Dover Corp.  1,245,534     151,108
* United Rentals Inc.    618,428     150,222
  Ingersoll Rand Inc.  3,525,858     148,368
  Jacobs Engineering Group Inc.  1,115,786     141,850
  Stanley Black & Decker Inc.  1,309,401     137,304
  Westinghouse Air Brake Technologies Corp.  1,497,166     122,887
  Xylem Inc.  1,562,121     122,127
  Synchrony Financial  4,351,174     120,179
  Textron Inc.  1,867,421     114,043
  CH Robinson Worldwide Inc.  1,104,067     111,919
  Packaging Corp. of America    812,154     111,671
  Masco Corp.  2,046,537     103,555
  Crown Holdings Inc.  1,066,617      98,310
  Ball Corp.  1,387,167      95,396
  Snap-on Inc.    462,764      91,178
  Westrock Co.  2,211,017      88,087
  Martin Marietta Materials Inc.    269,769      80,726
  Expeditors International of Washington Inc.    726,969      70,850
  Fortune Brands Home & Security Inc.  1,134,643      67,942
* FleetCor Technologies Inc.    318,802      66,984
  Hubbell Inc. Class B    232,680      41,552
* Mohawk Industries Inc.    234,379      29,084
       18,002,626
Real Estate (3.2%)
  Prologis Inc.  6,406,791     753,759
  Welltower Inc.  3,927,018     323,390
  Simon Property Group Inc.  2,842,744     269,833
  VICI Properties Inc.  8,326,563     248,048
  AvalonBay Communities Inc.  1,209,330     234,912
  Equity Residential  3,088,581     223,057
  Weyerhaeuser Co.  6,438,079     213,229
  Alexandria Real Estate Equities Inc.  1,410,690     204,592
 
25

 

Value Index Fund
    Shares Market
Value

($000)
* CBRE Group Inc. Class A  2,684,310     197,592
  Extra Space Storage Inc.  1,160,644     197,449
  Duke Realty Corp.  3,335,010     183,259
  Ventas Inc.  3,466,528     178,284
  Realty Income Corp.  2,599,507     177,442
  Mid-America Apartment Communities Inc.    997,148     174,172
  Essex Property Trust Inc.    566,635     148,181
  WP Carey Inc.  1,665,184     137,977
  Iron Mountain Inc.  2,520,841     122,740
  Healthpeak Properties Inc.  4,680,364     121,268
  Boston Properties Inc.  1,223,452     108,863
  UDR Inc.  1,379,123      63,495
  Camden Property Trust    462,547      62,203
  Host Hotels & Resorts Inc.  3,100,321      48,613
  Regency Centers Corp.    747,154      44,314
        4,436,672
Technology (6.5%)
  Broadcom Inc.  3,357,214   1,630,968
  Intel Corp. 35,405,976   1,324,537
  International Business Machines Corp.  7,504,276   1,059,529
  Oracle Corp. 12,702,557     887,528
  Analog Devices Inc.  4,500,935     657,542
  QUALCOMM Inc.  4,848,787     619,384
  TE Connectivity Ltd.  2,786,456     315,287
  Cognizant Technology Solutions Corp. Class A  4,507,560     304,215
  HP Inc.  8,048,358     263,825
  VMware Inc. Class A  1,820,393     207,488
  Corning Inc.  6,572,366     207,095
* ON Semiconductor Corp.  3,755,948     188,962
  CDW Corp.  1,167,843     184,005
  Hewlett Packard Enterprise Co. 11,276,985     149,533
  Seagate Technology Holdings plc  1,770,570     126,489
  NetApp Inc.  1,919,936     125,257
* Western Digital Corp.  2,716,662     121,788
  Citrix Systems Inc.  1,098,093     106,702
  NortonLifeLock Inc.  4,767,153     104,687
  Dell Technologies Inc. Class C  2,260,866     104,475
* Qorvo Inc.    919,803      86,756
* Akamai Technologies Inc.    695,433      63,514
  Leidos Holdings Inc.    592,709      59,692
  SS&C Technologies Holdings Inc.    938,761      54,514
* UiPath Inc. Class A  2,607,310      47,427
* F5 Inc.    262,177      40,124
* IAC/InterActiveCorp.    346,537      26,326
        9,067,649
Telecommunications (4.5%)
  Verizon Communications Inc. 34,537,329   1,752,770
  Comcast Corp. Class A 38,710,115   1,518,985
  Cisco Systems Inc. 32,257,441   1,375,457
  AT&T Inc. 61,990,190   1,299,314
    Shares Market
Value

($000)
  Motorola Solutions Inc.    725,527     152,071
  Lumen Technologies Inc.  8,960,897      97,763
  Juniper Networks Inc.  1,401,015      39,929
* DISH Network Corp. Class A  2,150,809      38,564
        6,274,853
Utilities (6.6%)
  NextEra Energy Inc. 16,580,111   1,284,295
  Duke Energy Corp.  6,668,499     714,930
  Southern Co.  9,202,264     656,213
  Dominion Energy Inc.  7,029,987     561,063
  Waste Management Inc.  3,595,995     550,115
  American Electric Power Co. Inc.  4,443,880     426,346
  Sempra Energy (XNYS)  2,719,619     408,677
  Exelon Corp.  8,481,646     384,388
  Xcel Energy Inc.  4,712,526     333,458
  Consolidated Edison Inc.  3,065,467     291,526
  WEC Energy Group Inc.  2,728,409     274,587
  Public Service Enterprise Group Inc.  4,318,873     273,298
  Eversource Energy  2,983,317     252,001
  American Water Works Co. Inc.  1,576,139     234,482
  Republic Services Inc. Class A  1,775,629     232,377
  Edison International  3,295,138     208,385
  Ameren Corp.  2,230,508     201,549
  Entergy Corp.  1,763,769     198,671
  DTE Energy Co.  1,427,778     180,971
* PG&E Corp. 18,107,300     180,711
  FirstEnergy Corp.  4,704,335     180,599
  PPL Corp.  6,382,236     173,150
  CMS Energy Corp.  2,505,944     169,151
  CenterPoint Energy Inc.  5,461,554     161,553
  Evergy Inc.  1,990,670     129,891
  Alliant Energy Corp.  2,164,488     126,861
  AES Corp.  5,758,841     120,993
  NiSource Inc.  3,520,616     103,823
  Vistra Corp.  3,746,322      85,604
  Constellation Energy Corp.  1,415,349      81,043
  Avangrid Inc.    670,557      30,926
        9,211,637
Total Common Stocks (Cost $114,142,471) 138,905,624
 
26

 

Value Index Fund
    Shares Market
Value

($000)
Temporary Cash Investments (0.3%)
Money Market Fund (0.3%)
2,3 Vanguard Market Liquidity Fund, 1.417% (Cost $391,268)  3,913,952            391,278
Total Investments (100.0%) (Cost $114,533,739) 139,296,902
Other Assets and Liabilities—Net (0.0%) (32,245)
Net Assets (100%) 139,264,657
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 $106,872,000.
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 $111,687,000 was received for securities on loan, of which $111,663,000 is held in Vanguard Market Liquidity Fund and $24,000 is held in cash.

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 2022 807 152,906 (1,717)
    
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)
Goldman Sachs Group Inc. 8/31/23 BANA 37,128 (1.420) 203
International Business Machines Corp. 8/31/22 BANA 39,533 (0.820) 436
Kroger Co. 1/31/23 GSI 50,880 (0.820) (3,566)
NextEra Energy Inc. 8/31/22 BANA 32,921 (0.820) 159
State Street Corp. 8/31/23 BANA 13,871 (1.420) 116
State Street Corp. 8/31/23 BANA 13,871 (1.420) 117
State Street Corp. 8/31/23 BANA 13,871 (1.420) 119
          1,150 (3,566)
1 Based on 1M USD Overnight Bank Funding Rate as of the most recent payment date. Floating interest payment received/paid monthly.
  1M—1-month.
  BANA—Bank of America, N.A.
  GSI—Goldman Sachs International.
  
See accompanying Notes, which are an integral part of the Financial Statements.
27

 

Value Index Fund
Statement of Assets and Liabilities
As of June 30, 2022
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value1  
Unaffiliated Issuers (Cost $114,142,471) 138,905,624
Affiliated Issuers (Cost $391,268) 391,278
Total Investments in Securities 139,296,902
Investment in Vanguard 5,407
Cash 24
Cash Collateral Pledged—Futures Contracts 8,480
Cash Collateral Pledged—Over-the-Counter Swap Contracts 9,100
Receivables for Investment Securities Sold 8,413
Receivables for Accrued Income 192,941
Receivables for Capital Shares Issued 43,361
Unrealized Appreciation—Over-the-Counter Swap Contracts 1,150
Total Assets 139,565,778
Liabilities  
Due to Custodian 5,990
Payables for Investment Securities Purchased 157,287
Collateral for Securities on Loan 111,687
Payables for Capital Shares Redeemed 18,903
Payables to Vanguard 2,407
Variation Margin Payable—Futures Contracts 1,281
Unrealized Depreciation—Over-the-Counter Swap Contracts 3,566
Total Liabilities 301,121
Net Assets 139,264,657
1 Includes $106,872 of securities on loan.  
28

 

Value Index Fund
Statement of Assets and Liabilities (continued)

At June 30, 2022, net assets consisted of:  
($000s, except shares and per-share amounts) Amount
Paid-in Capital 116,301,812
Total Distributable Earnings (Loss) 22,962,845
Net Assets 139,264,657
 
Investor Shares—Net Assets  
Applicable to 4,628,573 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
237,902
Net Asset Value Per Share—Investor Shares $51.40
 
ETF Shares—Net Assets  
Applicable to 719,297,415 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
94,740,412
Net Asset Value Per Share—ETF Shares $131.71
 
Admiral Shares—Net Assets  
Applicable to 579,018,608 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
29,751,496
Net Asset Value Per Share—Admiral Shares $51.38
 
Institutional Shares—Net Assets  
Applicable to 282,885,745 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
14,534,847
Net Asset Value Per Share—Institutional Shares $51.38
  
See accompanying Notes, which are an integral part of the Financial Statements.
29

 

Value Index Fund
Statement of Operations
  Six Months Ended
June 30, 2022
  ($000)
Investment Income  
Income  
Dividends 1,775,852
Interest1 413
Securities Lending—Net 2,423
Total Income 1,778,688
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,089
Management and Administrative—Investor Shares 187
Management and Administrative—ETF Shares 16,165
Management and Administrative—Admiral Shares 6,747
Management and Administrative—Institutional Shares 2,619
Marketing and Distribution—Investor Shares 9
Marketing and Distribution—ETF Shares 1,421
Marketing and Distribution—Admiral Shares 641
Marketing and Distribution—Institutional Shares 242
Custodian Fees 455
Shareholders’ Reports—Investor Shares 1
Shareholders’ Reports—ETF Shares 894
Shareholders’ Reports—Admiral Shares 125
Shareholders’ Reports—Institutional Shares 54
Trustees’ Fees and Expenses 37
Other Expenses 9
Total Expenses 30,695
Net Investment Income 1,747,993
Realized Net Gain (Loss)  
Investment Securities Sold1,2 1,860,805
Futures Contracts (36,687)
Swap Contracts (8,154)
Realized Net Gain (Loss) 1,815,964
Change in Unrealized Appreciation (Depreciation)  
Investment Securities1 (17,866,949)
Futures Contracts (1,580)
Swap Contracts (2,073)
Change in Unrealized Appreciation (Depreciation) (17,870,602)
Net Increase (Decrease) in Net Assets Resulting from Operations (14,306,645)
1 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $401,000, ($56,000), and $3,000, respectively. Purchases and sales are for temporary cash investment purposes.
2 Includes $2,235,631,000 of net gain (loss) resulting from in-kind redemptions.
  
See accompanying Notes, which are an integral part of the Financial Statements.
30

 

Value Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2022
  Year Ended
December 31,
2021
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 1,747,993   2,885,192
Realized Net Gain (Loss) 1,815,964   3,151,239
Change in Unrealized Appreciation (Depreciation) (17,870,602)   21,557,364
Net Increase (Decrease) in Net Assets Resulting from Operations (14,306,645)   27,593,795
Distributions      
Investor Shares (2,781)   (5,928)
ETF Shares (1,147,146)   (1,889,549)
Admiral Shares (360,255)   (667,738)
Institutional Shares (175,831)   (329,587)
Total Distributions (1,686,013)   (2,892,802)
Capital Share Transactions      
Investor Shares 722   (68,271)
ETF Shares 12,831,053   15,310,468
Admiral Shares 1,436,933   3,414,060
Institutional Shares 762,498   (49,760)
Net Increase (Decrease) from Capital Share Transactions 15,031,206   18,606,497
Total Increase (Decrease) (961,452)   43,307,490
Net Assets      
Beginning of Period 140,226,109   96,918,619
End of Period 139,264,657   140,226,109
  
See accompanying Notes, which are an integral part of the Financial Statements.
31

 

Value Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $57.39 $46.43 $46.78 $38.18 $41.42 $36.24
Investment Operations            
Net Investment Income1 .634 1.177 1.142 1.093 1.009 .918
Net Realized and Unrealized Gain (Loss) on Investments (6.024) 10.945 (.362) 8.623 (3.261) 5.166
Total from Investment Operations (5.390) 12.122 .780 9.716 (2.252) 6.084
Distributions            
Dividends from Net Investment Income (.600) (1.162) (1.130) (1.116) (.988) (.904)
Distributions from Realized Capital Gains
Total Distributions (.600) (1.162) (1.130) (1.116) (.988) (.904)
Net Asset Value, End of Period $51.40 $57.39 $46.43 $46.78 $38.18 $41.42
Total Return2 -9.44% 26.31% 2.18% 25.67% -5.55% 16.99%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $238 $264 $273 $328 $1,381 $1,626
Ratio of Total Expenses to Average Net Assets 0.17% 0.17% 0.17% 0.17% 0.17% 0.17%
Ratio of Net Investment Income to Average Net Assets 2.28% 2.22% 2.75% 2.58% 2.43% 2.40%
Portfolio Turnover Rate3 2% 9% 10% 12% 8% 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.
32

 

Value Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $147.08 $118.98 $119.90 $97.84 $106.14 $92.87
Investment Operations            
Net Investment Income1 1.722 3.212 3.055 3.046 2.722 2.473
Net Realized and Unrealized Gain (Loss) on Investments (15.464) 28.045 (.935) 22.014 (8.352) 13.234
Total from Investment Operations (13.742) 31.257 2.120 25.060 (5.630) 15.707
Distributions            
Dividends from Net Investment Income (1.628) (3.157) (3.040) (3.000) (2.670) (2.437)
Distributions from Realized Capital Gains
Total Distributions (1.628) (3.157) (3.040) (3.000) (2.670) (2.437)
Net Asset Value, End of Period $131.71 $147.08 $118.98 $119.90 $97.84 $106.14
Total Return -9.39% 26.47% 2.23% 25.85% -5.39% 17.12%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $94,740 $92,776 $61,580 $55,909 $41,510 $36,560
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 2.42% 2.35% 2.87% 2.76% 2.56% 2.52%
Portfolio Turnover Rate2 2% 9% 10% 12% 8% 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.
33

 

Value Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $57.38 $46.41 $46.77 $38.17 $41.41 $36.23
Investment Operations            
Net Investment Income1 .667 1.245 1.188 1.185 1.059 .965
Net Realized and Unrealized Gain (Loss) on Investments (6.035) 10.951 (.367) 8.581 (3.261) 5.165
Total from Investment Operations (5.368) 12.196 .821 9.766 (2.202) 6.130
Distributions            
Dividends from Net Investment Income (.632) (1.226) (1.181) (1.166) (1.038) (.950)
Distributions from Realized Capital Gains
Total Distributions (.632) (1.226) (1.181) (1.166) (1.038) (.950)
Net Asset Value, End of Period $51.38 $57.38 $46.41 $46.77 $38.17 $41.41
Total Return2 -9.40% 26.49% 2.29% 25.82% -5.43% 17.13%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $29,751 $31,741 $22,486 $22,414 $16,522 $16,778
Ratio of Total Expenses to Average Net Assets 0.05% 0.05% 0.05% 0.05% 0.05% 0.05%
Ratio of Net Investment Income to Average Net Assets 2.40% 2.34% 2.86% 2.75% 2.55% 2.52%
Portfolio Turnover Rate3 2% 9% 10% 12% 8% 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.
34

 

Value Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $57.37 $46.41 $46.77 $38.17 $41.41 $36.23
Investment Operations            
Net Investment Income1 .670 1.250 1.193 1.189 1.063 .969
Net Realized and Unrealized Gain (Loss) on Investments (6.025) 10.941 (.368) 8.581 (3.260) 5.165
Total from Investment Operations (5.355) 12.191 .825 9.770 (2.197) 6.134
Distributions            
Dividends from Net Investment Income (.635) (1.231) (1.185) (1.170) (1.043) (.954)
Distributions from Realized Capital Gains
Total Distributions (.635) (1.231) (1.185) (1.170) (1.043) (.954)
Net Asset Value, End of Period $51.38 $57.37 $46.41 $46.77 $38.17 $41.41
Total Return -9.38% 26.48% 2.30% 25.83% -5.42% 17.14%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $14,535 $15,446 $12,579 $12,481 $9,789 $10,085
Ratio of Total Expenses to Average Net Assets 0.04% 0.04% 0.04% 0.04% 0.04% 0.04%
Ratio of Net Investment Income to Average Net Assets 2.41% 2.35% 2.87% 2.76% 2.56% 2.53%
Portfolio Turnover Rate2 2% 9% 10% 12% 8% 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.
35

 

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.
Significant market disruptions, such as those caused by pandemics (e.g., COVID-19 pandemic), natural or environmental disasters, war (e.g., Russia’s invasion of Ukraine), acts of terrorism, or other events, can adversely affect local and global markets and normal market operations. Any such disruptions could have an adverse impact on the value of the fund’s investments and 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 securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. 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.
36

 

Value Index Fund
During the six months ended June 30, 2022, 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.
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.
The notional amounts of swap contracts are not recorded in the Statement of Assets and Liabilities. 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.
During the six months ended June 30, 2022, 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. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is
37

 

Value Index Fund
generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for 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 $4.4 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 and are 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, which 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 an agreed-upon spread plus the higher of the federal funds effective rate, the overnight bank funding rate, or the Daily Simple Secured Overnight Financing Rate inclusive of an additional agreed-upon spread. However, borrowings under the uncommitted credit facility may bear interest based upon an alternate 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
38

 

Value Index Fund
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, 2022, the fund did not utilize the credit facilities or the Interfund Lending Program.
8. Other: Dividend income is recorded on the ex-dividend date. Non-cash dividends included in income, if any, are recorded at the fair value of the securities received. 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, 2022, the fund had contributed to Vanguard capital in the amount of $5,407,000, representing less than 0.01% of the fund’s net assets and 2.16% 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 and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
39

 

Value Index Fund
The following table summarizes the market value of the fund’s investments and derivatives as of June 30, 2022, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 138,905,624 138,905,624
Temporary Cash Investments 391,278 391,278
Total 139,296,902 139,296,902
Derivative Financial Instruments        
Assets        
Swap Contracts 1,150 1,150
Liabilities        
Futures Contracts1 1,717 1,717
Swap Contracts 3,566 3,566
Total 1,717 3,566 5,283
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
D. As of June 30, 2022, 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 114,720,241
Gross Unrealized Appreciation 29,598,953
Gross Unrealized Depreciation (5,024,009)
Net Unrealized Appreciation (Depreciation) 24,574,944
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, 2021, the fund had available capital losses totaling $3,660,549,000 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, 2022; 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, 2022, the fund purchased $23,228,360,000 of investment securities and sold $8,355,564,000 of investment securities, other than temporary cash investments. Purchases and sales include $17,788,417,000 and $5,327,348,000, 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, 2022, such purchases were $459,590,000 and sales were $558,915,000,
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Value Index Fund
resulting in net realized loss of $21,953,000; 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, 2022
  Year Ended
December 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 38,544 689   42,557 819
Issued in Lieu of Cash Distributions 2,781 52   5,927 111
Redeemed (40,603) (713)   (116,755) (2,214)
Net Increase (Decrease)—Investor Shares 722 28   (68,271) (1,284)
ETF Shares          
Issued 18,327,870 128,043   22,597,318 166,669
Issued in Lieu of Cash Distributions  
Redeemed (5,496,817) (39,550)   (7,286,850) (53,450)
Net Increase (Decrease)—ETF Shares 12,831,053 88,493   15,310,468 113,219
Admiral Shares          
Issued 4,031,251 71,983   6,495,181 125,044
Issued in Connection with Acquisition of Vanguard Capital Value Fund   1,035,654 21,626
Issued in Lieu of Cash Distributions 314,470 5,841   581,649 10,864
Redeemed (2,908,788) (52,011)   (4,698,424) (88,804)
Net Increase (Decrease)—Admiral Shares 1,436,933 25,813   3,414,060 68,730
Institutional Shares          
Issued 1,765,401 31,687   2,348,847 44,862
Issued in Lieu of Cash Distributions 169,070 3,140   315,580 5,897
Redeemed (1,171,973) (21,152)   (2,714,187) (52,572)
Net Increase (Decrease)—Institutional Shares 762,498 13,675   (49,760) (1,813)
G. Management has determined that no events or transactions occurred subsequent to June 30, 2022, that would require recognition or disclosure in these financial statements.
41

 

Large-Cap Index Fund
Fund Allocation
As of June 30, 2022
Basic Materials 1.8%
Consumer Discretionary 13.8
Consumer Staples 6.2
Energy 4.3
Financials 10.5
Health Care 14.5
Industrials 11.8
Real Estate 3.0
Technology 27.9
Telecommunications 2.8
Utilities 3.4
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.
42

 

Large-Cap Index Fund
Financial Statements (unaudited)
Schedule of Investments
As of June 30, 2022
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 (1.8%)
* Linde plc    534,715    153,747
  Air Products and Chemicals Inc.    236,224     56,807
  Newmont Corp.    845,458     50,449
  Freeport-McMoRan Inc.  1,543,930     45,175
  Ecolab Inc.    273,862     42,109
  Dow Inc.    775,634     40,031
  International Flavors & Fragrances Inc.    271,479     32,339
  Fastenal Co.    612,951     30,599
  Nucor Corp.    283,453     29,595
  Albemarle Corp.    124,788     26,078
  LyondellBasell Industries NV Class A    279,198     24,419
  CF Industries Holdings Inc.    221,793     19,014
  Mosaic Co.    384,909     18,179
  International Paper Co.    394,783     16,514
  FMC Corp.    134,169     14,357
  Avery Dennison Corp.     87,048     14,090
  Eastman Chemical Co.    137,373     12,332
  Celanese Corp. Class A    104,007     12,232
  Westlake Corp.     16,990      1,665
         639,731
Consumer Discretionary (13.7%)
* Amazon.com Inc.  9,212,870    978,499
* Tesla Inc.    937,870    631,580
  Home Depot Inc.  1,094,925    300,305
  Costco Wholesale Corp.    472,171    226,302
  McDonald's Corp.    787,855    194,506
* Walt Disney Co.  1,940,412    183,175
  Walmart Inc.  1,466,312    178,274
  NIKE Inc. Class B  1,351,605    138,134
  Lowe's Cos. Inc.    694,659    121,336
  Starbucks Corp.  1,221,780     93,332
* Netflix Inc.    473,295     82,765
* Booking Holdings Inc.     43,252     75,647
  Target Corp.    494,016     69,770
  TJX Cos. Inc.  1,188,639     66,385
  Dollar General Corp.    243,742     59,824
  Activision Blizzard Inc.    749,792     58,379
  Estee Lauder Cos. Inc. Class A    222,273     56,606
  Ford Motor Co.  4,206,626     46,820
* AutoZone Inc.     21,169     45,495
* General Motors Co.  1,397,847     44,396
* O'Reilly Automotive Inc.     70,037     44,247
    Shares Market
Value

($000)
  Marriott International Inc. Class A    313,752     42,673
* Uber Technologies Inc.  1,881,466     38,495
* Chipotle Mexican Grill Inc. Class A     28,329     37,033
  Electronic Arts Inc.    298,141     36,269
* Dollar Tree Inc.    228,317     35,583
  Yum! Brands Inc.    303,805     34,485
* Lululemon Athletica Inc.    124,302     33,886
  Hilton Worldwide Holdings Inc.    296,524     33,045
* Airbnb Inc. Class A    366,351     32,635
* Warner Bros Discovery Inc.  2,326,632     31,223
  Ross Stores Inc.    374,352     26,291
* Aptiv plc    288,562     25,702
  eBay Inc.    596,391     24,852
* Copart Inc.    227,839     24,757
  Tractor Supply Co.    119,202     23,107
* Southwest Airlines Co.    631,627     22,814
  DR Horton Inc.    337,607     22,346
* Ulta Beauty Inc.     55,606     21,435
* Take-Two Interactive Software Inc.    172,526     21,140
  Genuine Parts Co.    150,850     20,063
* Delta Air Lines Inc.    682,921     19,784
* Trade Desk Inc. Class A    470,681     19,717
  Lennar Corp. Class A    276,626     19,521
  VF Corp.    372,986     16,475
  Garmin Ltd.    164,565     16,169
* CarMax Inc.    171,003     15,472
* Expedia Group Inc.    161,464     15,312
  Darden Restaurants Inc.    132,879     15,031
  Domino's Pizza Inc.     38,410     14,969
* Rivian Automotive Inc. Class A    569,211     14,651
  Best Buy Co. Inc.    215,750     14,065
  Omnicom Group Inc.    219,155     13,940
  Paramount Global Inc. Class B    554,323     13,681
* NVR Inc.      3,303     13,226
* Live Nation Entertainment Inc.    157,909     13,040
  LKQ Corp.    256,088     12,571
* United Airlines Holdings Inc.    348,027     12,327
* Las Vegas Sands Corp.    366,608     12,314
  Advance Auto Parts Inc.     64,597     11,181
  Hasbro Inc.    133,703     10,948
  Fox Corp. Class A    338,824     10,897
43

 

Large-Cap Index Fund
    Shares Market
Value

($000)
*,1 Lucid Group Inc.    621,810     10,670
  MGM Resorts International    363,265     10,517
* Roblox Corp. Class A    317,439     10,431
  PulteGroup Inc.    253,063     10,029
* Etsy Inc.    135,425      9,914
* Burlington Stores Inc.     70,427      9,594
  Whirlpool Corp.     59,879      9,273
  Rollins Inc.    262,693      9,173
  BorgWarner Inc. (XNYS)    255,515      8,527
* Caesars Entertainment Inc.    216,932      8,308
* Royal Caribbean Cruises Ltd.    230,884      8,060
* Carnival Corp.    896,132      7,752
  Pool Corp.     20,349      7,147
  News Corp. Class A    414,195      6,453
* Liberty Media Corp.- Liberty SiriusXM Class C    166,783      6,013
  Interpublic Group of Cos. Inc.    209,576      5,770
1 Sirius XM Holdings Inc.    838,031      5,137
  Vail Resorts Inc.     21,612      4,712
  Fox Corp. Class B    149,207      4,431
* American Airlines Group Inc.    345,887      4,386
*,1 GameStop Corp. Class A     34,530      4,223
  Lear Corp.     31,912      4,017
*,1 AMC Entertainment Holdings Inc. Class A    276,305      3,744
  Bath & Body Works Inc.    120,710      3,250
*,1 Chewy Inc. Class A     93,106      3,233
* Wynn Resorts Ltd.     55,794      3,179
  Warner Music Group Corp. Class A    124,173      3,025
* Liberty Media Corp.- Liberty SiriusXM Class A     79,536      2,866
* Endeavor Group Holdings Inc. Class A    136,194      2,800
* Lyft Inc. Class A    154,182      2,048
  News Corp. Class B    125,740      1,998
* Wayfair Inc. Class A     40,387      1,759
* Carvana Co. Class A     53,711      1,213
  Lennar Corp. Class B     14,351        843
  Paramount Global Class A      7,880        215
       4,783,612
Consumer Staples (6.2%)
  Procter & Gamble Co.  2,555,947    367,520
  Coca-Cola Co.  4,156,262    261,470
  PepsiCo Inc.  1,472,944    245,481
  Philip Morris International Inc.  1,651,296    163,049
  CVS Health Corp.  1,396,961    129,442
  Mondelez International Inc. Class A  1,474,324     91,541
  Altria Group Inc.  1,928,837     80,568
  Colgate-Palmolive Co.    892,636     71,536
  McKesson Corp.    154,888     50,526
  Kimberly-Clark Corp.    358,893     48,504
  General Mills Inc.    641,308     48,387
  Archer-Daniels-Midland Co.    599,414     46,515
  Sysco Corp.    542,710     45,973
  Corteva Inc.    772,680     41,833
    Shares Market
Value

($000)
* Monster Beverage Corp.    394,957     36,612
  Constellation Brands Inc. Class A    156,078     36,376
  Hershey Co.    155,498     33,457
  Kroger Co.    691,237     32,716
  Keurig Dr Pepper Inc.    906,659     32,087
  Walgreens Boots Alliance Inc.    781,935     29,635
  Kraft Heinz Co.    717,458     27,364
  Tyson Foods Inc. Class A    310,555     26,726
  Church & Dwight Co. Inc.    258,600     23,962
  AmerisourceBergen Corp. Class A    167,377     23,680
  McCormick & Co. Inc.    266,530     22,189
  Brown-Forman Corp. Class B    315,567     22,140
  Kellogg Co.    269,900     19,255
  Clorox Co.    131,066     18,478
  Conagra Brands Inc.    511,106     17,500
  J M Smucker Co.    109,804     14,056
  Hormel Foods Corp.    290,231     13,745
  Campbell Soup Co.    209,197     10,052
  Lamb Weston Holdings Inc.     77,037      5,505
  Molson Coors Beverage Co. Class B     96,164      5,242
  Brown-Forman Corp. Class A     33,966      2,297
  Albertsons Cos. Inc. Class A     81,065      2,166
* Olaplex Holdings Inc.    103,519      1,459
       2,149,044
Energy (4.3%)
  Exxon Mobil Corp.  4,487,646    384,322
  Chevron Corp.  1,884,613    272,854
  ConocoPhillips  1,377,958    123,755
  EOG Resources Inc.    623,961     68,910
  Pioneer Natural Resources Co.    244,863     54,624
  Schlumberger NV  1,505,694     53,844
  Marathon Petroleum Corp.    576,434     47,389
  Occidental Petroleum Corp.    799,255     47,060
  Valero Energy Corp.    434,741     46,204
  Phillips 66    512,312     42,005
  Williams Cos. Inc.  1,297,559     40,497
  Devon Energy Corp.    703,128     38,749
  Kinder Morgan Inc.  2,173,761     36,432
  Cheniere Energy Inc.    243,556     32,400
  Hess Corp.    298,433     31,616
  Baker Hughes Co. Class A  1,048,524     30,271
* Enphase Energy Inc.    143,793     28,074
  Halliburton Co.    864,759     27,119
  ONEOK Inc.    475,782     26,406
  Diamondback Energy Inc.    188,774     22,870
  Coterra Energy Inc.    813,965     20,992
* Plug Power Inc.    615,820     10,204
  Marathon Oil Corp.    375,561      8,443
  Continental Resources Inc.     57,829      3,779
       1,498,819
 
44

 

Large-Cap Index Fund
    Shares Market
Value

($000)
Financials (10.5%)
* Berkshire Hathaway Inc. Class B  1,833,949    500,705
  JPMorgan Chase & Co.  3,128,891    352,344
  Bank of America Corp.  7,295,616    227,113
  Wells Fargo & Co.  4,037,940    158,166
  S&P Global Inc.    362,104    122,051
  Morgan Stanley  1,490,936    113,401
  Goldman Sachs Group Inc.    365,820    108,656
  Charles Schwab Corp.  1,645,340    103,953
  BlackRock Inc.    153,293     93,362
  Citigroup Inc.  1,965,820     90,408
  Chubb Ltd.    428,662     84,266
  Marsh & McLennan Cos. Inc.    535,565     83,146
  CME Group Inc.    382,919     78,384
  Progressive Corp.    623,079     72,445
  PNC Financial Services Group Inc.    440,619     69,516
  Blackstone Inc.    746,484     68,102
  Truist Financial Corp.  1,418,349     67,272
  US Bancorp  1,424,477     65,554
  Aon plc Class A (XNYS)    214,962     57,971
  Intercontinental Exchange Inc.    594,755     55,931
  Moody's Corp.    167,092     45,444
  Travelers Cos. Inc.    255,644     43,237
  American International Group Inc.    844,026     43,155
  MetLife Inc.    649,791     40,800
  Prudential Financial Inc.    399,467     38,221
  Allstate Corp.    292,947     37,125
  Arthur J Gallagher & Co.    223,805     36,489
  Aflac Inc.    617,634     34,174
  MSCI Inc. Class A     82,238     33,894
  Bank of New York Mellon Corp.    774,523     32,305
  M&T Bank Corp.    191,060     30,453
  Discover Financial Services    299,278     28,306
  Ameriprise Financial Inc.    117,123     27,838
  KKR & Co. Inc.    599,728     27,761
  First Republic Bank    191,435     27,605
  T Rowe Price Group Inc.    242,137     27,509
* SVB Financial Group     62,707     24,769
  Fifth Third Bancorp    730,876     24,557
  Willis Towers Watson plc    118,792     23,448
  Hartford Financial Services Group Inc.    350,353     22,924
  State Street Corp.    371,533     22,905
  Northern Trust Corp.    210,887     20,346
  Cincinnati Financial Corp.    162,414     19,324
  Citizens Financial Group Inc.    527,745     18,835
  Nasdaq Inc.    122,819     18,735
  Regions Financial Corp.    995,176     18,660
  Raymond James Financial Inc.    207,617     18,563
  Huntington Bancshares Inc.  1,532,982     18,442
  Principal Financial Group Inc.    269,191     17,979
  Broadridge Financial Solutions Inc.    124,833     17,795
* Markel Corp.     13,751     17,784
* Arch Capital Group Ltd.    380,229     17,297
  KeyCorp.    993,207     17,113
    Shares Market
Value

($000)
  Apollo Global Management Inc.    337,106     16,343
  FactSet Research Systems Inc.     40,374     15,527
  W R Berkley Corp.    211,882     14,463
  Loews Corp.    222,856     13,206
  Cboe Global Markets Inc.    113,121     12,804
  Everest Re Group Ltd.     41,993     11,770
  Ally Financial Inc.    327,468     10,973
  Equitable Holdings Inc.    406,173     10,589
  Fidelity National Financial Inc.    284,039     10,498
  Annaly Capital Management Inc.  1,662,710      9,827
  MarketAxess Holdings Inc.     38,210      9,782
  Ares Management Corp. Class A    164,188      9,336
  Tradeweb Markets Inc. Class A    114,584      7,820
  Franklin Resources Inc.    319,224      7,441
*,1 Coinbase Global Inc. Class A    148,013      6,960
* Alleghany Corp.      6,759      5,631
  Interactive Brokers Group Inc. Class A     99,387      5,467
  Globe Life Inc.     47,174      4,598
  Lincoln National Corp.     82,362      3,852
* Berkshire Hathaway Inc. Class A          6      2,454
1 Rocket Cos. Inc. Class A    121,731        896
       3,656,775
Health Care (14.4%)
  UnitedHealth Group Inc.    999,430    513,337
  Johnson & Johnson  2,803,193    497,595
  Pfizer Inc.  5,977,258    313,388
  Eli Lilly & Co.    910,970    295,364
  AbbVie Inc.  1,882,484    288,321
  Merck & Co. Inc.  2,693,916    245,604
  Thermo Fisher Scientific Inc.    417,050    226,575
  Abbott Laboratories  1,865,335    202,669
  Danaher Corp.    697,049    176,716
  Bristol-Myers Squibb Co.  2,268,312    174,660
  Amgen Inc.    569,193    138,485
  Medtronic plc  1,428,975    128,250
  Elevance Health Inc.    256,838    123,945
  Cigna Corp.    337,996     89,069
  Gilead Sciences Inc.  1,336,201     82,591
  Zoetis Inc.    451,222     77,561
* Vertex Pharmaceuticals Inc.    272,467     76,778
* Intuitive Surgical Inc.    382,371     76,746
  Becton Dickinson and Co.    303,703     74,872
  Stryker Corp.    362,575     72,127
* Regeneron Pharmaceuticals Inc.    109,315     64,619
  Humana Inc.    134,732     63,064
* Edwards Lifesciences Corp.    662,353     62,983
* Boston Scientific Corp.  1,522,975     56,761
* Centene Corp.    623,061     52,717
* Moderna Inc.    360,122     51,443
* IQVIA Holdings Inc.    201,631     43,752
  HCA Healthcare Inc.    236,110     39,681
 
45

 

Large-Cap Index Fund
    Shares Market
Value

($000)
  Agilent Technologies Inc.    318,521     37,831
  Baxter International Inc.    536,421     34,454
  ResMed Inc.    155,814     32,663
* Biogen Inc.    155,984     31,811
* IDEXX Laboratories Inc.     89,485     31,385
* DexCom Inc.    417,635     31,126
* Illumina Inc.    167,369     30,856
* Veeva Systems Inc. Class A    148,899     29,488
* Seagen Inc.    147,050     26,019
  West Pharmaceutical Services Inc.     78,919     23,863
  Zimmer Biomet Holdings Inc.    223,282     23,458
  Laboratory Corp. of America Holdings     99,280     23,267
  STERIS plc    106,658     21,988
* Avantor Inc.    645,118     20,063
* Align Technology Inc.     83,924     19,862
* Horizon Therapeutics plc    244,865     19,530
* Catalent Inc.    181,270     19,448
  PerkinElmer Inc.    134,443     19,120
* Alnylam Pharmaceuticals Inc.    128,699     18,771
* Hologic Inc.    265,512     18,400
  Quest Diagnostics Inc.    125,033     16,627
  Cooper Cos. Inc.     52,512     16,443
* BioMarin Pharmaceutical Inc.    197,031     16,328
* Insulet Corp.     73,856     16,096
  Royalty Pharma plc Class A    370,965     15,595
* Incyte Corp.    200,692     15,247
  Cardinal Health Inc.    290,211     15,169
  Viatris Inc.  1,291,308     13,520
  Teleflex Inc.     49,993     12,291
* ABIOMED Inc.     46,128     11,417
* Henry Schein Inc.    147,051     11,285
* Bio-Rad Laboratories Inc. Class A     22,535     11,155
* Elanco Animal Health Inc. (XNYS)    479,754      9,418
  DENTSPLY SIRONA Inc.    229,524      8,201
* Exact Sciences Corp.    187,382      7,381
  Universal Health Services Inc. Class B     67,945      6,843
* Charles River Laboratories International Inc.     27,032      5,784
* DaVita Inc.     60,477      4,836
* Teladoc Health Inc.     77,516      2,574
* agilon health Inc.    108,563      2,370
       5,041,656
Industrials (11.8%)
  Visa Inc. Class A  1,753,212    345,190
  Mastercard Inc. Class A    925,136    291,862
  Accenture plc Class A    705,646    195,923
  Raytheon Technologies Corp.  1,584,319    152,269
  United Parcel Service Inc. Class B    782,389    142,817
  Union Pacific Corp.    669,077    142,701
  Honeywell International Inc.    725,218    126,050
  Lockheed Martin Corp.    283,506    121,896
  Caterpillar Inc.    568,210    101,573
    Shares Market
Value

($000)
  Automatic Data Processing Inc.    445,023     93,473
  Deere & Co.    294,145     88,088
* Boeing Co.    630,231     86,165
* PayPal Holdings Inc.  1,233,669     86,159
  American Express Co.    601,671     83,404
  3M Co.    606,186     78,447
  General Electric Co.  1,172,527     74,655
  Northrop Grumman Corp.    149,044     71,328
  CSX Corp.  2,316,354     67,313
  Fidelity National Information Services Inc.    650,649     59,645
  Norfolk Southern Corp.    253,910     57,711
  FedEx Corp.    248,512     56,340
  Sherwin-Williams Co.    249,400     55,843
  General Dynamics Corp.    251,515     55,648
* Fiserv Inc.    619,761     55,140
  Illinois Tool Works Inc.    298,600     54,420
  Eaton Corp. plc    425,088     53,557
  Emerson Electric Co.    632,628     50,319
  L3Harris Technologies Inc.    205,469     49,662
  Capital One Financial Corp.    418,742     43,629
  Paychex Inc.    346,129     39,414
  Johnson Controls International plc    741,139     35,486
  Cintas Corp.     92,674     34,617
* Block Inc. (XNYS)    552,631     33,965
  Parker-Hannifin Corp.    136,770     33,652
  Global Payments Inc.    299,900     33,181
  Trane Technologies plc    249,133     32,355
  Carrier Global Corp.    903,655     32,224
  Otis Worldwide Corp.    450,410     31,830
* TransDigm Group Inc.     55,250     29,651
  Verisk Analytics Inc. Class A    168,220     29,117
  Cummins Inc.    150,326     29,093
  PPG Industries Inc.    251,530     28,760
  Old Dominion Freight Line Inc.    108,693     27,856
* Mettler-Toledo International Inc.     24,160     27,754
  PACCAR Inc.    333,177     27,434
  DuPont de Nemours Inc.    487,537     27,097
  AMETEK Inc.    246,037     27,037
* Keysight Technologies Inc.    191,646     26,418
  Rockwell Automation Inc.    123,832     24,681
  Equifax Inc.    130,309     23,818
  Ball Corp.    340,650     23,426
  WW Grainger Inc.     48,990     22,263
* Waters Corp.     64,167     21,238
  Fortive Corp.    381,783     20,761
  Vulcan Materials Co.    141,642     20,127
  Martin Marietta Materials Inc.     66,303     19,840
* Teledyne Technologies Inc.     49,888     18,713
  Dover Corp.    153,578     18,632
* United Rentals Inc.     76,304     18,535
  Ingersoll Rand Inc.    432,478     18,199
  Jacobs Engineering Group Inc.    137,022     17,420
 
46

 

Large-Cap Index Fund
    Shares Market
Value

($000)
  Expeditors International of Washington Inc.    178,691     17,415
  Stanley Black & Decker Inc.    160,868     16,869
* FleetCor Technologies Inc.     78,287     16,449
* Zebra Technologies Corp. Class A     55,939     16,443
  TransUnion    204,919     16,391
* Trimble Inc.    266,420     15,514
  Westinghouse Air Brake Technologies Corp.    184,840     15,172
  Xylem Inc.    191,953     15,007
  Synchrony Financial    534,796     14,771
* Generac Holdings Inc.     67,969     14,313
  JB Hunt Transport Services Inc.     89,283     14,059
  Textron Inc.    229,119     13,992
  CH Robinson Worldwide Inc.    135,574     13,743
  Packaging Corp. of America     99,775     13,719
  Masco Corp.    251,342     12,718
  Crown Holdings Inc.    130,974     12,072
* Bill.Com Holdings Inc.    105,513     11,600
  Snap-on Inc.     56,826     11,196
  Westrock Co.    271,777     10,828
  Fortune Brands Home & Security Inc.    139,332      8,343
  HEICO Corp. Class A     77,538      8,171
  Jack Henry & Associates Inc.     38,899      7,003
  HEICO Corp.     43,991      5,768
  Hubbell Inc. Class B     28,614      5,110
  Cognex Corp.     87,888      3,737
* Mohawk Industries Inc.     28,751      3,568
* Affirm Holdings Inc.     96,816      1,748
       4,111,540
Real Estate (3.0%)
  American Tower Corp.    494,972    126,510
  Prologis Inc.    787,938     92,701
  Crown Castle International Corp.    461,282     77,671
  Equinix Inc.     96,961     63,705
  Public Storage    158,953     49,700
  Realty Income Corp.    640,842     43,744
  Welltower Inc.    483,590     39,824
  Digital Realty Trust Inc.    303,271     39,374
  SBA Communications Corp. Class A    114,852     36,758
  Simon Property Group Inc.    350,138     33,235
  VICI Properties Inc.  1,023,555     30,492
  AvalonBay Communities Inc.    148,944     28,932
  Equity Residential    380,526     27,482
  Weyerhaeuser Co.    793,123     26,268
* CoStar Group Inc.    422,058     25,496
  Alexandria Real Estate Equities Inc.    173,857     25,214
* CBRE Group Inc. Class A    330,727     24,345
  Extra Space Storage Inc.    143,057     24,337
  Invitation Homes Inc.    650,180     23,133
  Duke Realty Corp.    409,561     22,505
  Ventas Inc.    425,776     21,898
  Mid-America Apartment Communities Inc.    122,944     21,475
    Shares Market
Value

($000)
  Sun Communities Inc.    129,535     20,643
  Essex Property Trust Inc.     69,614     18,205
  WP Carey Inc.    205,414     17,021
  UDR Inc.    339,284     15,621
  Camden Property Trust    113,454     15,257
  Iron Mountain Inc.    309,487     15,069
  Healthpeak Properties Inc.    575,122     14,901
  Boston Properties Inc.    150,386     13,381
  Host Hotels & Resorts Inc.    380,606      5,968
  Regency Centers Corp.     91,747      5,441
* Zillow Group Inc. Class C    156,629      4,973
* Zillow Group Inc. Class A     61,163      1,946
       1,053,225
Technology (27.8%)
  Apple Inc. 16,380,279  2,239,512
  Microsoft Corp.  7,967,376  2,046,261
* Alphabet Inc. Class A    320,193    697,784
* Alphabet Inc. Class C    283,971    621,172
* Meta Platforms Inc. Class A  2,443,322    393,986
  NVIDIA Corp.  2,534,117    384,147
  Broadcom Inc.    413,173    200,724
* Adobe Inc.    503,325    184,247
* Salesforce Inc.  1,005,839    166,004
  Intel Corp.  4,355,914    162,955
  QUALCOMM Inc.  1,193,159    152,414
  Texas Instruments Inc.    982,343    150,937
  International Business Machines Corp.    958,155    135,282
* Advanced Micro Devices Inc.  1,726,337    132,013
  Intuit Inc.    285,485    110,037
  Oracle Corp.  1,563,296    109,227
* ServiceNow Inc.    213,521    101,533
  Applied Materials Inc.    941,052     85,617
  Analog Devices Inc.    553,772     80,901
  Micron Technology Inc.  1,189,569     65,759
  Lam Research Corp.    147,748     62,963
* Palo Alto Networks Inc.    106,130     52,422
  KLA Corp.    158,994     50,732
* Synopsys Inc.    162,944     49,486
  Roper Technologies Inc.    112,829     44,528
* Cadence Design Systems Inc.    293,779     44,076
* Fortinet Inc.    726,914     41,129
  Amphenol Corp. Class A    636,092     40,952
* Autodesk Inc.    231,744     39,851
* Snowflake Inc. Class A    284,831     39,609
  Marvell Technology Inc.    906,206     39,447
  TE Connectivity Ltd.    343,213     38,835
  Cognizant Technology Solutions Corp. Class A    555,198     37,470
* Crowdstrike Holdings Inc. Class A    215,894     36,391
  Microchip Technology Inc.    590,721     34,309
  HP Inc.    991,940     32,516
* Workday Inc. Class A    211,606     29,536
* Datadog Inc. Class A    271,390     25,847
  VMware Inc. Class A    224,284     25,564
  Corning Inc.    809,968     25,522
* Zoom Video Communications Inc. Class A    227,872     24,603
 
47

 

Large-Cap Index Fund
    Shares Market
Value

($000)
* Twitter Inc.    651,862     24,373
* ON Semiconductor Corp.    462,851     23,286
  CDW Corp.    143,935     22,678
* ANSYS Inc.     92,681     22,178
* Match Group Inc.    304,177     21,198
* Gartner Inc.     81,497     19,708
  Hewlett Packard Enterprise Co.  1,385,992     18,378
  Monolithic Power Systems Inc.     47,212     18,131
* MongoDB Inc. Class A     68,865     17,870
* DoorDash Inc. Class A    273,510     17,551
* EPAM Systems Inc.     57,852     17,054
* Palantir Technologies Inc. Class A  1,866,333     16,928
* VeriSign Inc.     99,167     16,594
  Skyworks Solutions Inc.    171,437     15,882
* Akamai Technologies Inc.    170,751     15,595
  Seagate Technology Holdings plc    217,432     15,533
  NetApp Inc.    236,982     15,461
* Twilio Inc. Class A    183,087     15,345
* Paycom Software Inc.     54,571     15,286
  Teradyne Inc.    170,633     15,280
* Splunk Inc.    171,425     15,164
* Western Digital Corp.    333,517     14,952
* Tyler Technologies Inc.     44,148     14,678
* HubSpot Inc.     48,340     14,533
* Okta Inc.    160,585     14,517
* Snap Inc. Class A  1,104,987     14,508
* Zscaler Inc.     90,163     13,480
  SS&C Technologies Holdings Inc.    230,719     13,398
  Citrix Systems Inc.    134,858     13,104
  NortonLifeLock Inc.    585,362     12,855
  Dell Technologies Inc. Class C    277,631     12,829
* DocuSign Inc. Class A    212,898     12,216
* GoDaddy Inc. Class A    172,318     11,986
* Cloudflare Inc. Class A    269,634     11,796
* Pinterest Inc. Class A    612,141     11,116
* Qorvo Inc.    112,932     10,652
* Black Knight Inc.    157,812     10,319
* ZoomInfo Technologies Inc. Class A    300,718      9,996
* Unity Software Inc.    220,701      8,126
  Bentley Systems Inc. Class B    235,063      7,828
  Leidos Holdings Inc.     72,854      7,337
*,1 AppLovin Corp. Class A    191,277      6,588
* IAC/InterActiveCorp.     85,101      6,465
* UiPath Inc. Class A    320,105      5,823
* F5 Inc.     32,279      4,940
* Zendesk Inc.     65,260      4,834
* Dropbox Inc. Class A    149,567      3,139
* RingCentral Inc. Class A     45,404      2,373
* Coupa Software Inc.     40,361      2,305
* Toast Inc. Class A    127,797      1,654
* Qualtrics International Inc. Class A    101,614      1,271
       9,695,391
Telecommunications (2.8%)
  Verizon Communications Inc.  4,249,336    215,654
  Comcast Corp. Class A  4,762,697    186,888
  Cisco Systems Inc.  3,970,182    169,289
    Shares Market
Value

($000)
  AT&T Inc.  7,626,217    159,845
* T-Mobile US Inc.    667,719     89,835
* Charter Communications Inc. Class A     85,741     40,172
  Motorola Solutions Inc.    178,205     37,352
* Arista Networks Inc.    246,303     23,088
* Liberty Broadband Corp. Class C    139,241     16,102
  Lumen Technologies Inc.  1,100,274     12,004
* Roku Inc.    127,680     10,488
  Juniper Networks Inc.    171,725      4,894
* DISH Network Corp. Class A    264,001      4,734
* Liberty Broadband Corp. Class A     20,591      2,338
         972,683
Utilities (3.4%)
  NextEra Energy Inc.  2,092,741    162,104
  Duke Energy Corp.    820,278     87,942
  Southern Co.  1,131,849     80,712
  Dominion Energy Inc.    864,209     68,973
  Waste Management Inc.    442,264     67,658
  American Electric Power Co. Inc.    547,032     52,482
  Sempra Energy (XNYS)    334,826     50,314
  Exelon Corp.  1,044,126     47,320
  Xcel Energy Inc.    580,275     41,060
  Consolidated Edison Inc.    377,612     35,911
  Waste Connections Inc. (XTSE)    273,858     33,947
  WEC Energy Group Inc.    336,184     33,834
  Public Service Enterprise Group Inc.    531,849     33,655
  Eversource Energy    367,382     31,033
  American Water Works Co. Inc.    193,558     28,796
  Republic Services Inc. Class A    218,801     28,634
  Edison International    406,041     25,678
  Ameren Corp.    274,916     24,841
  Entergy Corp.    216,631     24,401
* PG&E Corp.  2,231,718     22,273
  DTE Energy Co.    175,457     22,239
  FirstEnergy Corp.    577,895     22,185
  PPL Corp.    783,840     21,266
  CMS Energy Corp.    308,975     20,856
  CenterPoint Energy Inc.    670,427     19,831
  Evergy Inc.    244,366     15,945
  Alliant Energy Corp.    267,076     15,653
  AES Corp.    711,192     14,942
  NiSource Inc.    432,661     12,759
  Vistra Corp.    460,816     10,530
  Constellation Energy Corp.    173,331      9,925
  Avangrid Inc.     82,560      3,808
       1,171,507
Total Common Stocks (Cost $21,734,005) 34,773,983
 
48

 

Large-Cap Index Fund
    Shares Market
Value

($000)
Temporary Cash Investments (0.3%)
Money Market Fund (0.3%)
2,3 Vanguard Market Liquidity Fund, 1.417% (Cost $115,644)  1,156,831           115,648
Total Investments (100.0%) (Cost $21,849,649) 34,889,631
Other Assets and Liabilities—Net (0.0%) (308)
Net Assets (100%) 34,889,323
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 $30,874,000.
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 $32,905,000 was received for securities on loan.

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 2022 610 115,580 (176)
  
See accompanying Notes, which are an integral part of the Financial Statements.
49

 

Large-Cap Index Fund
Statement of Assets and Liabilities
As of June 30, 2022
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value1  
Unaffiliated Issuers (Cost $21,734,005) 34,773,983
Affiliated Issuers (Cost $115,644) 115,648
Total Investments in Securities 34,889,631
Investment in Vanguard 1,354
Cash Collateral Pledged—Futures Contracts 6,197
Receivables for Investment Securities Sold 662
Receivables for Accrued Income 31,635
Receivables for Capital Shares Issued 6,042
Total Assets 34,935,521
Liabilities  
Due to Custodian 4,775
Payables for Investment Securities Purchased 118
Collateral for Securities on Loan 32,905
Payables for Capital Shares Redeemed 6,848
Payables to Vanguard 613
Variation Margin Payable—Futures Contracts 939
Total Liabilities 46,198
Net Assets 34,889,323
1 Includes $30,874 of securities on loan.  
50

 

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

At June 30, 2022, net assets consisted of:  
($000s, except shares and per-share amounts) Amount
Paid-in Capital 22,427,183
Total Distributable Earnings (Loss) 12,462,140
Net Assets 34,889,323
 
Investor Shares—Net Assets  
Applicable to 378,660 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
26,358
Net Asset Value Per Share—Investor Shares $69.61
 
ETF Shares—Net Assets  
Applicable to 136,429,332 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
23,511,416
Net Asset Value Per Share—ETF Shares $172.33
 
Admiral Shares—Net Assets  
Applicable to 106,781,461 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
9,293,251
Net Asset Value Per Share—Admiral Shares $87.03
 
Institutional Shares—Net Assets  
Applicable to 5,746,232 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
2,058,298
Net Asset Value Per Share—Institutional Shares $358.20
  
See accompanying Notes, which are an integral part of the Financial Statements.
51

 

Large-Cap Index Fund
Statement of Operations
  Six Months Ended
June 30, 2022
  ($000)
Investment Income  
Income  
Dividends1 280,865
Interest2 252
Securities Lending—Net 740
Total Income 281,857
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 761
Management and Administrative—Investor Shares 24
Management and Administrative—ETF Shares 4,033
Management and Administrative—Admiral Shares 2,115
Management and Administrative—Institutional Shares 355
Marketing and Distribution—Investor Shares 1
Marketing and Distribution—ETF Shares 289
Marketing and Distribution—Admiral Shares 202
Marketing and Distribution—Institutional Shares 39
Custodian Fees 211
Shareholders’ Reports—Investor Shares
Shareholders’ Reports—ETF Shares 166
Shareholders’ Reports—Admiral Shares 31
Shareholders’ Reports—Institutional Shares 2
Trustees’ Fees and Expenses 10
Other Expenses 8
Total Expenses 8,247
Net Investment Income 273,610
Realized Net Gain (Loss)  
Investment Securities Sold2,3 (12,227)
Futures Contracts (19,587)
Foreign Currencies 1
Realized Net Gain (Loss) (31,813)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities2 (9,439,380)
Futures Contracts (3,294)
Change in Unrealized Appreciation (Depreciation) (9,442,674)
Net Increase (Decrease) in Net Assets Resulting from Operations (9,200,877)
1 Dividends are net of foreign withholding taxes of $32,000.
2 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $244,000, ($35,000), and less than $1,000, respectively. Purchases and sales are for temporary cash investment purposes.
3 Includes $391,692,000 of net gain (loss) resulting from in-kind redemptions.
  
See accompanying Notes, which are an integral part of the Financial Statements.
52

 

Large-Cap Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2022
  Year Ended
December 31,
2021
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 273,610   498,374
Realized Net Gain (Loss) (31,813)   1,005,712
Change in Unrealized Appreciation (Depreciation) (9,442,674)   7,408,096
Net Increase (Decrease) in Net Assets Resulting from Operations (9,200,877)   8,912,182
Distributions      
Investor Shares (190)   (430)
ETF Shares (180,734)   (325,818)
Admiral Shares (72,566)   (138,853)
Institutional Shares (16,111)   (30,532)
Total Distributions (269,601)   (495,633)
Capital Share Transactions      
Investor Shares (1,502)   (9,719)
ETF Shares 1,596,836   1,199,308
Admiral Shares 27,967   129,204
Institutional Shares 87,672   (150,593)
Net Increase (Decrease) from Capital Share Transactions 1,710,973   1,168,200
Total Increase (Decrease) (7,759,505)   9,584,749
Net Assets      
Beginning of Period 42,648,828   33,064,079
End of Period 34,889,323   42,648,828
  
See accompanying Notes, which are an integral part of the Financial Statements.
53

 

Large-Cap Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $89.03 $71.00 $59.72 $46.36 $49.48 $41.31
Investment Operations            
Net Investment Income1 .510 .956 .969 .918 .966 .819
Net Realized and Unrealized Gain (Loss) on Investments (19.439) 18.025 11.268 13.466 (3.184) 8.161
Total from Investment Operations (18.929) 18.981 12.237 14.384 (2.218) 8.980
Distributions            
Dividends from Net Investment Income (.491) (.951) (.957) (1.024) (.902) (.810)
Distributions from Realized Capital Gains
Total Distributions (.491) (.951) (.957) (1.024) (.902) (.810)
Net Asset Value, End of Period $69.61 $89.03 $71.00 $59.72 $46.36 $49.48
Total Return2 -21.30% 26.87% 20.89% 31.23% -4.59% 21.89%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $26 $36 $37 $30 $344 $387
Ratio of Total Expenses to Average Net Assets 0.17% 0.17% 0.17% 0.17% 0.17% 0.17%
Ratio of Net Investment Income to Average Net Assets 1.29% 1.19% 1.61% 1.75% 1.91% 1.81%
Portfolio Turnover Rate3 2% 4% 3% 5% 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.
54

 

Large-Cap Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $220.44 $175.80 $147.88 $114.77 $122.49 $102.27
Investment Operations            
Net Investment Income1 1.390 2.646 2.594 2.581 2.572 2.168
Net Realized and Unrealized Gain (Loss) on Investments (48.149) 44.617 27.890 33.204 (7.896) 20.196
Total from Investment Operations (46.759) 47.263 30.484 35.785 (5.324) 22.364
Distributions            
Dividends from Net Investment Income (1.351) (2.623) (2.564) (2.675) (2.396) (2.144)
Distributions from Realized Capital Gains
Total Distributions (1.351) (2.623) (2.564) (2.675) (2.396) (2.144)
Net Asset Value, End of Period $172.33 $220.44 $175.80 $147.88 $114.77 $122.49
Total Return -21.26% 27.02% 20.99% 31.39% -4.44% 22.03%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $23,511 $28,242 $21,540 $16,270 $12,358 $11,613
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 1.43% 1.33% 1.74% 1.93% 2.04% 1.93%
Portfolio Turnover Rate2 2% 4% 3% 5% 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.
55

 

Large-Cap Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $111.33 $88.79 $74.69 $57.96 $61.86 $51.65
Investment Operations            
Net Investment Income1 .696 1.325 1.303 1.299 1.288 1.094
Net Realized and Unrealized Gain (Loss) on Investments (24.312) 22.530 14.084 16.774 (3.983) 10.197
Total from Investment Operations (23.616) 23.855 15.387 18.073 (2.695) 11.291
Distributions            
Dividends from Net Investment Income (.684) (1.315) (1.287) (1.343) (1.205) (1.081)
Distributions from Realized Capital Gains
Total Distributions (.684) (1.315) (1.287) (1.343) (1.205) (1.081)
Net Asset Value, End of Period $87.03 $111.33 $88.79 $74.69 $57.96 $61.86
Total Return2 -21.26% 27.01% 21.03% 31.39% -4.47% 22.03%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $9,293 $11,847 $9,338 $7,546 $5,306 $5,375
Ratio of Total Expenses to Average Net Assets 0.05% 0.05% 0.05% 0.05% 0.05% 0.05%
Ratio of Net Investment Income to Average Net Assets 1.41% 1.32% 1.73% 1.92% 2.03% 1.93%
Portfolio Turnover Rate3 2% 4% 3% 5% 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.
56

 

Large-Cap Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period 
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $458.22 $365.43 $307.39 $238.57 $254.60 $212.59
Investment Operations            
Net Investment Income1 2.885 5.477 5.389 5.363 5.345 4.529
Net Realized and Unrealized Gain (Loss) on Investments (100.068) 92.764 57.981 69.016 (16.390) 41.958
Total from Investment Operations (97.183) 98.241 63.370 74.379 (11.045) 46.487
Distributions            
Dividends from Net Investment Income (2.837) (5.451) (5.330) (5.559) (4.985) (4.477)
Distributions from Realized Capital Gains
Total Distributions (2.837) (5.451) (5.330) (5.559) (4.985) (4.477)
Net Asset Value, End of Period $358.20 $458.22 $365.43 $307.39 $238.57 $254.60
Total Return -21.26% 27.03% 21.05% 31.39% -4.46% 22.03%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $2,058 $2,524 $2,149 $1,796 $1,178 $1,212
Ratio of Total Expenses to Average Net Assets 0.04% 0.04% 0.04% 0.04% 0.04% 0.04%
Ratio of Net Investment Income to Average Net Assets 1.42% 1.32% 1.74% 1.92% 2.04% 1.94%
Portfolio Turnover Rate2 2% 4% 3% 5% 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.
57

 

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.
Significant market disruptions, such as those caused by pandemics (e.g., COVID-19 pandemic), natural or environmental disasters, war (e.g., Russia’s invasion of Ukraine), acts of terrorism, or other events, can adversely affect local and global markets and normal market operations. Any such disruptions could have an adverse impact on the value of the fund’s investments and 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. Foreign Currency: Securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars using exchange rates obtained from an independent third party as of the fund’s pricing time on the valuation date. Realized gains (losses) and unrealized appreciation (depreciation) on investment securities include the effects of changes in exchange rates since the securities were purchased, combined with the effects of changes in security prices. Fluctuations in the value of other assets and liabilities resulting from changes in exchange rates are recorded as unrealized foreign currency gains (losses) until the assets or liabilities are settled in cash, at which time they are recorded as realized foreign currency gains (losses).
3. 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
58

 

Large-Cap Index Fund
clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract. Any securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. 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, 2022, 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.
4. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for 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 $4.4 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
59

 

Large-Cap Index Fund
borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes and are 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, which 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 an agreed-upon spread plus the higher of the federal funds effective rate, the overnight bank funding rate, or the Daily Simple Secured Overnight Financing Rate inclusive of an additional agreed-upon spread. However, borrowings under the uncommitted credit facility may bear interest based upon an alternate 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, 2022, the fund did not utilize the credit facilities or the Interfund Lending Program.
8. Other: Dividend income is recorded on the ex-dividend date. Non-cash dividends included in income, if any, are recorded at the fair value of the securities received. 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, 2022, the fund had contributed to Vanguard capital in the amount of $1,354,000, representing less than 0.01% of the fund’s net assets and 0.54% of Vanguard’s
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Large-Cap Index Fund
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 and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
At June 30, 2022, 100% of the market value of the fund’s investments and derivatives was determined based on Level 1 inputs.
D. As of June 30, 2022, 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 21,954,239
Gross Unrealized Appreciation 13,979,890
Gross Unrealized Depreciation (1,044,674)
Net Unrealized Appreciation (Depreciation) 12,935,216
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, 2021, the fund had available capital losses totaling $548,877,000 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, 2022; 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, 2022, the fund purchased $2,951,383,000 of investment securities and sold $1,238,583,000 of investment securities, other than temporary cash investments. Purchases and sales include $2,133,016,000 and $536,707,000, 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, 2022, such purchases were $55,050,000 and sales were $106,022,000, resulting in net realized loss of $93,550,000; these amounts, other than temporary cash investments, are included in the purchases and sales of investment securities noted above.
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Large-Cap Index Fund
F. Capital share transactions for each class of shares were:
    
  Six Months Ended
June 30, 2022
  Year Ended
December 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 4,585 57   6,179 78
Issued in Lieu of Cash Distributions 191 2   430 5
Redeemed (6,278) (79)   (16,328) (202)
Net Increase (Decrease)—Investor Shares (1,502) (20)   (9,719) (119)
ETF Shares          
Issued 2,166,487 11,286   2,640,652 12,968
Issued in Lieu of Cash Distributions  
Redeemed (569,651) (2,975)   (1,441,344) (7,375)
Net Increase (Decrease)—ETF Shares 1,596,836 8,311   1,199,308 5,593
Admiral Shares          
Issued 945,208 9,634   1,711,321 17,206
Issued in Lieu of Cash Distributions 58,810 623   112,879 1,108
Redeemed (976,051) (9,891)   (1,694,996) (17,070)
Net Increase (Decrease)—Admiral Shares 27,967 366   129,204 1,244
Institutional Shares          
Issued 276,332 692   539,667 1,322
Issued in Lieu of Cash Distributions 14,202 37   26,988 65
Redeemed (202,862) (491)   (717,248) (1,761)
Net Increase (Decrease)—Institutional Shares 87,672 238   (150,593) (374)
G. Management has determined that no events or transactions occurred subsequent to June 30, 2022, that would require recognition or disclosure in these financial statements.
62

 

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 decisions 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 periodic reports throughout the year, which included information about the portfolio’s performance relative to its peers and benchmark, as applicable, and updates, as needed, on the Portfolio Review Department’s ongoing assessment of the advisor.
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 decisions.
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.
63

 

Cost
The board concluded that each fund’s expense ratio was below the average expense ratio charged by funds in its peer group and that each fund’s advisory expenses were also 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.
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 Growth Index Fund, Vanguard Value Index Fund, and Vanguard Large-Cap 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 January 1, 2021, through December 31, 2021 (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.
65

 

This page intentionally left blank.

 

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.
© 2022 The Vanguard Group, Inc.
All rights reserved.
U.S. Patent Nos. 6,879,964.
Vanguard Marketing Corporation, Distributor.
Q03072 082022

 

 

Semiannual Report  |  June 30, 2022
Vanguard Total Stock Market Index Fund

 


 

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, 2022      
  Beginning
Account Value
12/31/2021
Ending
Account Value
6/30/2022
Expenses
Paid During
Period
Based on Actual Fund Return      
Total Stock Market Index Fund      
Investor Shares $1,000.00 $785.70 $0.62
ETF Shares 1,000.00 786.20 0.13
Admiral™ Shares 1,000.00 786.20 0.18
Institutional Shares 1,000.00 786.10 0.13
Institutional Plus Shares 1,000.00 786.20 0.09
Institutional Select Shares 1,000.00 786.30 0.04
Based on Hypothetical 5% Yearly Return      
Total Stock Market Index Fund      
Investor Shares $1,000.00 $1,024.10 $0.70
ETF Shares 1,000.00 1,024.65 0.15
Admiral Shares 1,000.00 1,024.60 0.20
Institutional Shares 1,000.00 1,024.65 0.15
Institutional Plus Shares 1,000.00 1,024.70 0.10
Institutional Select Shares 1,000.00 1,024.75 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 (181/365).
2

 

Total Stock Market Index Fund
Fund Allocation
As of June 30, 2022
Basic Materials 2.1%
Consumer Discretionary 13.8
Consumer Staples 5.8
Energy 4.5
Financials 11.2
Health Care 14.3
Industrials 12.7
Real Estate 3.7
Technology 25.8
Telecommunications 2.7
Utilities 3.4
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
As of June 30, 2022
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 (99.3%)
Basic Materials (2.1%)
Linde plc  14,798,316     4,254,960
Air Products and Chemicals Inc.   6,538,586     1,572,399
Newmont Corp.  23,411,643     1,396,973
Freeport-McMoRan Inc.  42,735,970     1,250,454
Ecolab Inc.   7,582,273     1,165,850
Dow Inc.  21,459,036     1,107,501
International Flavors & Fragrances Inc.   7,517,350       895,467
Fastenal Co.  16,963,707       846,828
Nucor Corp.   7,844,622       819,057
Albemarle Corp.   3,453,724       721,759
LyondellBasell Industries NV Class A   7,725,769       675,696
CF Industries Holdings Inc.   6,154,081       527,589
Mosaic Co.  10,679,215       504,379
International Paper Co.  10,918,437       456,718
FMC Corp.   3,711,816       397,201
Avery Dennison Corp.   2,408,626       389,884
Steel Dynamics Inc.   5,282,749       349,454
Eastman Chemical Co.   3,799,843       341,112
Celanese Corp.   2,872,852       337,876
Reliance Steel & Aluminum Co.   1,826,158       310,191
Alcoa Corp.   5,442,985       248,091
* Cleveland-Cliffs Inc.  13,893,944       213,550
Royal Gold Inc.   1,935,653       206,689
Olin Corp.   4,254,616       196,904
* RBC Bearings Inc.     851,168       157,424
Valvoline Inc.   5,243,316       151,165
Huntsman Corp.   5,259,694       149,112
Ashland Global Holdings Inc.   1,443,598       148,763
Chemours Co.   4,591,457       147,018
          Shares Market
Value

($000)
Hexcel Corp.   2,472,043       129,313
* Univar Solutions Inc.   4,982,674       123,919
Element Solutions Inc.   6,959,677       123,882
United States Steel Corp.   6,904,544       123,660
UFP Industries Inc.   1,764,367       120,224
Commercial Metals Co.   3,580,655       118,520
Balchem Corp.     852,107       110,552
Avient Corp.   2,693,401       107,952
* Livent Corp.   4,753,552       107,858
Cabot Corp.   1,667,668       106,381
Timken Co.   1,965,046       104,246
Sensient Technologies Corp.   1,244,382       100,247
Westlake Corp.     944,050        92,536
* MP Materials Corp.   2,871,188        92,108
Scotts Miracle-Gro Co.   1,146,067        90,528
* Arconic Corp.   3,121,062        87,546
Mueller Industries Inc.   1,600,678        85,300
* Ingevity Corp.   1,141,757        72,091
Innospec Inc.     732,498        70,166
Boise Cascade Co.   1,164,269        69,262
NewMarket Corp.     227,046        68,332
Stepan Co.     627,551        63,602
Hecla Mining Co.  15,897,629        62,319
Minerals Technologies Inc.     973,103        59,690
Quaker Chemical Corp.     397,514        59,436
Tronox Holdings plc Class A   3,437,134        57,744
* GCP Applied Technologies Inc.   1,624,342        50,809
Materion Corp.     606,770        44,737
GrafTech International Ltd.   5,723,610        40,466
Carpenter Technology Corp.   1,430,192        39,917
4

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Worthington Industries Inc.     887,217        39,126
Kaiser Aluminum Corp.     468,754        37,074
Compass Minerals International Inc.   1,017,920        36,024
Sylvamo Corp.     980,057        32,028
AdvanSix Inc.     789,776        26,410
*,1 Uranium Energy Corp.   8,314,150        25,608
* TimkenSteel Corp.   1,299,143        24,307
* US Silica Holdings Inc.   2,126,130        24,280
Schnitzer Steel Industries Inc. Class A     729,482        23,956
Schweitzer-Mauduit International Inc.     926,738        23,280
* Coeur Mining Inc.   7,416,303        22,546
*,1 Energy Fuels Inc.   4,396,970        21,589
Hawkins Inc.     555,530        20,016
American Vanguard Corp.     857,784        19,171
*,1 Origin Materials Inc.   3,718,023        19,036
*,1 Piedmont Lithium Inc.     499,888        18,201
Ecovyst Inc.   1,822,100        17,948
* Resolute Forest Products Inc.   1,355,417        17,295
Neenah Inc.     491,344        16,775
* Clearwater Paper Corp.     485,925        16,342
Koppers Holdings Inc.     587,127        13,293
Ryerson Holding Corp.     622,315        13,249
* LSB Industries Inc.     914,871        12,680
* Intrepid Potash Inc.     279,037        12,638
Haynes International Inc.     347,482        11,387
*,1 Amyris Inc.   6,117,706        11,318
*,1 5E Advanced Materials Inc.     922,100        11,231
* Century Aluminum Co.   1,444,160        10,643
Omega Flex Inc.      88,289         9,502
Glatfelter Corp.   1,275,904         8,778
* Northwest Pipe Co.     283,882         8,499
Tredegar Corp.     804,870         8,049
* Alto Ingredients Inc.   2,071,987         7,687
Olympic Steel Inc.     266,301         6,857
*,1 Ur-Energy Inc.   5,979,392         6,338
FutureFuel Corp.     818,795         5,961
* Unifi Inc.     422,068         5,934
* Hycroft Mining Holding Corp. Class A   4,357,713         4,837
          Shares Market
Value

($000)
* Rayonier Advanced Materials Inc.   1,782,488         4,670
*,1 Dakota Gold Corp.   1,345,100         4,506
Gold Resource Corp.   2,619,731         4,270
* Synalloy Corp.     302,356         4,251
*,1 Gatos Silver Inc.   1,369,000         3,929
Eastern Co.     163,220         3,320
*,1 NN Inc.   1,139,465         2,883
*,1 Marrone Bio Innovations Inc.   2,405,383         2,790
Northern Technologies International Corp.     243,564         2,277
*,1 Idaho Strategic Resources Inc.     276,311         2,175
*,1 Zymergen Inc.   1,572,621         1,934
* Perma-Pipe International Holdings Inc.     203,435         1,831
*,1 Westwater Resources Inc.   1,555,654         1,680
* Universal Stainless & Alloy Products Inc.     217,305         1,608
*,1 Golden Minerals Co.   4,480,131         1,601
Friedman Industries Inc.     185,959         1,514
* Ampco-Pittsburgh Corp.     357,753         1,385
Culp Inc.     270,168         1,162
* AgroFresh Solutions Inc.     636,534         1,139
United-Guardian Inc.      73,036         1,095
* United States Antimony Corp.   2,530,540         1,022
*,1 CPS Technologies Corp.     336,311         1,022
Chicago Rivet & Machine Co.      28,369           808
* US Gold Corp.     180,278           748
* Solitario Zinc Corp.   1,172,963           669
*,1 Comstock Inc.   1,025,999           636
* Paramount Gold Nevada Corp.   1,225,450           539
* Flexible Solutions International Inc.     151,258           371
* NextPlat Corp.      50,264            97
* Hycroft Mining Holding Corp. Warrants Exp. 10/6/25     155,000            47
*,2 F-star Therapeutics Inc. CVR      61,021             4
                       23,229,283
Consumer Discretionary (13.7%)
* Amazon.com Inc. 254,987,160    27,082,186
* Tesla Inc.  25,964,171    17,484,792
 
5

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Home Depot Inc.  30,303,660     8,311,385
Costco Wholesale Corp.  13,067,037     6,262,769
McDonald's Corp.  21,802,801     5,382,675
* Walt Disney Co.  53,707,617     5,069,999
Walmart Inc.  40,580,429     4,933,769
NIKE Inc. Class B  37,409,962     3,823,298
Lowe's Cos. Inc.  19,224,850     3,358,005
Starbucks Corp.  33,813,480     2,583,012
* Netflix Inc.  13,100,543     2,290,892
* Booking Holdings Inc.   1,197,824     2,094,982
Target Corp.  13,672,402     1,930,953
TJX Cos. Inc.  32,903,555     1,837,664
Dollar General Corp.   6,747,542     1,656,117
Activision Blizzard Inc.  20,740,541     1,614,858
Estee Lauder Cos. Inc. Class A   6,154,770     1,567,435
Ford Motor Co. 116,425,762     1,295,819
* AutoZone Inc.     585,314     1,257,910
* General Motors Co.  38,690,186     1,228,800
* O'Reilly Automotive Inc.   1,938,196     1,224,475
Marriott International Inc. Class A   8,686,075     1,181,393
* Uber Technologies Inc.  52,126,532     1,066,509
* Chipotle Mexican Grill Inc.     783,323     1,024,007
Electronic Arts Inc.   8,251,604     1,003,808
* Dollar Tree Inc.   6,319,453       984,887
Yum! Brands Inc.   8,407,303       954,313
* Lululemon Athletica Inc.   3,440,640       937,953
Hilton Worldwide Holdings Inc.   8,211,389       915,077
* Airbnb Inc. Class A  10,145,561       903,767
* Warner Bros Discovery Inc.  64,438,018       864,758
Ross Stores Inc.  10,367,041       728,077
* Aptiv plc   7,990,930       711,752
eBay Inc.  16,512,719       688,085
* Copart Inc.   6,311,711       685,830
Tractor Supply Co.   3,300,460       639,794
* Southwest Airlines Co.  17,495,646       631,943
DR Horton Inc.   9,342,877       618,405
* Ulta Beauty Inc.   1,539,906       593,603
* Take-Two Interactive Software Inc.   4,776,291       585,239
Genuine Parts Co.   4,176,843       555,520
* Delta Air Lines Inc.  18,884,661       547,089
* Trade Desk Inc. Class A  13,039,958       546,244
Lennar Corp. Class A   7,141,543       503,979
          Shares Market
Value

($000)
VF Corp.  10,329,513       456,255
Garmin Ltd.   4,556,964       447,722
* CarMax Inc.   4,730,481       428,014
* Expedia Group Inc.   4,465,400       423,454
Darden Restaurants Inc.   3,676,806       415,920
Domino's Pizza Inc.   1,062,204       413,951
*,1 Rivian Automotive Inc. Class A  15,806,681       406,864
Pool Corp.   1,123,265       394,524
Best Buy Co. Inc.   5,965,612       388,898
Omnicom Group Inc.   6,067,563       385,958
Paramount Global Class B  15,545,484       383,663
* NVR Inc.      92,119       368,857
* Live Nation Entertainment Inc.   4,368,491       360,750
LKQ Corp.   7,097,429       348,413
* Liberty Media Corp.-Liberty Formula One Class C   5,408,365       343,269
* United Airlines Holdings Inc.   9,648,289       341,742
* Las Vegas Sands Corp.  10,118,051       339,865
Interpublic Group of Cos. Inc.  11,610,621       319,640
Advance Auto Parts Inc.   1,789,720       309,783
Service Corp. International   4,447,591       307,417
Hasbro Inc.   3,700,036       302,959
*,1 Lucid Group Inc.  17,227,882       295,630
MGM Resorts International  10,058,071       291,181
*,1 ROBLOX Corp. Class A   8,793,007       288,938
Fox Corp. Class A   8,781,125       282,401
PulteGroup Inc.   7,018,718       278,152
* Etsy Inc.   3,751,050       274,614
* Burlington Stores Inc.   1,949,390       265,565
Vail Resorts Inc.   1,196,067       260,802
Whirlpool Corp.   1,658,439       256,842
Rollins Inc.   7,262,161       253,595
* BJ's Wholesale Club Holdings Inc.   3,982,382       248,182
* American Airlines Group Inc.  19,158,697       242,932
BorgWarner Inc.   7,053,576       235,378
Lithia Motors Inc. Class A     853,631       234,586
*,1 GameStop Corp. Class A   1,912,676       233,920
Aramark   7,593,068       232,576
* Mattel Inc.  10,392,773       232,071
 
6

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Caesars Entertainment Inc.   6,017,022       230,452
Williams-Sonoma Inc.   2,066,559       229,285
Tapestry Inc.   7,428,524       226,719
* Royal Caribbean Cruises Ltd.   6,394,669       223,238
Lear Corp.   1,761,399       221,742
*,1 Carnival Corp.  24,765,487       214,221
News Corp. Class A  13,647,783       212,632
Newell Brands Inc.  10,988,273       209,217
*,1 AMC Entertainment Holdings Inc. Class A  15,256,557       206,726
* Deckers Outdoor Corp.     804,453       205,417
Churchill Downs Inc.   1,011,619       193,755
Gentex Corp.   6,920,522       193,567
* Floor & Decor Holdings Inc. Class A   2,965,037       186,679
* Five Below Inc.   1,633,641       185,304
Nexstar Media Group Inc. Class A   1,130,189       184,085
Bath & Body Works Inc.   6,665,934       179,447
Wyndham Hotels & Resorts Inc.   2,715,820       178,484
* Capri Holdings Ltd.   4,348,065       178,314
* Wynn Resorts Ltd.   3,076,124       175,278
Nielsen Holdings plc   7,412,806       172,125
* Planet Fitness Inc. Class A   2,506,029       170,435
H&R Block Inc.   4,708,351       166,299
* Liberty Media Corp.-Liberty SiriusXM Class C   4,583,856       165,248
Polaris Inc.   1,663,645       165,167
* SiteOne Landscape Supply Inc.   1,327,783       157,834
* AutoNation Inc.   1,376,488       153,836
Macy's Inc.   8,379,075       153,505
Murphy USA Inc.     642,323       149,578
* Penn National Gaming Inc.   4,911,763       149,416
* Alaska Air Group Inc.   3,723,964       149,145
* Bright Horizons Family Solutions Inc.   1,748,345       147,770
Texas Roadhouse Inc. Class A   2,015,303       147,520
Toll Brothers Inc.   3,281,339       146,348
* Terminix Global Holdings Inc.   3,583,426       145,666
1 Sirius XM Holdings Inc.  23,213,548       142,299
Fox Corp. Class B   4,780,260       141,974
          Shares Market
Value

($000)
* Skechers USA Inc. Class A   3,989,036       141,930
TEGNA Inc.   6,570,433       137,782
*,1 Norwegian Cruise Line Holdings Ltd.  12,352,677       137,362
Leggett & Platt Inc.   3,944,693       136,407
Kohl's Corp.   3,782,903       135,012
* Light & Wonder Inc.   2,829,174       132,943
New York Times Co. Class A   4,670,884       130,318
* IAA Inc.   3,962,788       129,861
Choice Hotels International Inc.   1,153,606       128,777
Marriott Vacations Worldwide Corp.   1,099,312       127,740
*,1 DraftKings Inc. Class A  10,942,899       127,704
* Avis Budget Group Inc.     855,231       125,787
AMERCO     261,178       124,903
Harley-Davidson Inc.   3,904,161       123,606
* RH     579,900       123,090
1 Dick's Sporting Goods Inc.   1,590,439       119,871
Thor Industries Inc.   1,539,785       115,068
* Helen of Troy Ltd.     702,158       114,037
PVH Corp.   1,985,939       113,000
* Lyft Inc. Class A   8,487,640       112,716
Boyd Gaming Corp.   2,260,060       112,438
* Asbury Automotive Group Inc.     651,437       110,314
Ralph Lauren Corp.   1,196,800       107,293
* Hyatt Hotels Corp. Class A   1,445,878       106,865
Hanesbrands Inc.  10,274,366       105,723
*,1 Hertz Global Holdings Inc.   6,669,582       105,646
Tempur Sealy International Inc.   4,910,429       104,936
* YETI Holdings Inc.   2,410,000       104,281
* Ollie's Bargain Outlet Holdings Inc.   1,763,523       103,607
* Fox Factory Holding Corp.   1,246,040       100,356
*,1 Wayfair Inc. Class A   2,231,984        97,225
Wendy's Co.   5,049,420        95,333
* Hilton Grand Vacations Inc.   2,663,399        95,163
Travel + Leisure Co.   2,389,278        92,752
Academy Sports & Outdoors Inc.   2,539,144        90,241
* Grand Canyon Education Inc.     951,258        89,599
* Coty Inc. Class A  11,154,673        89,349
*,1 Chewy Inc. Class A   2,572,862        89,330
* Goodyear Tire & Rubber Co.   8,312,988        89,032
 
7

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Dorman Products Inc.     795,199        87,241
* Visteon Corp.     830,864        86,061
* Crocs Inc.   1,729,089        84,155
Warner Music Group Corp. Class A   3,451,827        84,086
* Callaway Golf Co.   4,079,642        83,225
Penske Automotive Group Inc.     784,354        82,114
* Liberty Media Corp.-Liberty SiriusXM Class A   2,229,664        80,357
World Wrestling Entertainment Inc. Class A   1,280,526        80,020
LCI Industries     712,055        79,665
Carter's Inc.   1,127,662        79,478
Papa John's International Inc.     950,798        79,411
* JetBlue Airways Corp.   9,444,288        79,049
* Peloton Interactive Inc. Class A   8,590,671        78,862
Group 1 Automotive Inc.     463,909        78,772
* Meritage Homes Corp.   1,082,189        78,459
* Taylor Morrison Home Corp. Class A   3,353,678        78,342
* Endeavor Group Holdings Inc. Class A   3,766,353        77,436
*,1 Spirit Airlines Inc.   3,202,664        76,351
* Skyline Champion Corp.   1,591,814        75,484
Columbia Sportswear Co.   1,017,577        72,838
Foot Locker Inc.   2,828,097        71,409
Signet Jewelers Ltd.   1,330,230        71,114
KB Home   2,473,196        70,387
* Madison Square Garden Sports Corp.     464,634        70,160
1 Nordstrom Inc.   3,274,637        69,193
Steven Madden Ltd.   2,119,254        68,261
* Victoria's Secret & Co.   2,437,904        68,188
* Sonos Inc.   3,773,068        68,066
*,1 Carvana Co.   2,947,980        66,565
* Chegg Inc.   3,525,565        66,210
* National Vision Holdings Inc.   2,396,692        65,909
Wingstop Inc.     881,080        65,878
Gap Inc.   7,623,655        62,819
Graham Holdings Co. Class B     109,623        62,139
          Shares Market
Value

($000)
* Liberty Media Corp.-Liberty Formula One Class A   1,071,104        62,092
Rush Enterprises Inc. Class A   1,282,824        61,832
*,1 Leslie's Inc.   4,040,583        61,336
* Gentherm Inc.     975,533        60,883
* Boot Barn Holdings Inc.     880,342        60,664
Lennar Corp. Class B   1,029,913        60,466
John Wiley & Sons Inc. Class A   1,239,209        59,185
MillerKnoll Inc.   2,245,607        58,992
* Frontdoor Inc.   2,422,117        58,325
Cracker Barrel Old Country Store Inc.     692,247        57,796
* SeaWorld Entertainment Inc.   1,277,745        56,451
* Sabre Corp.   9,635,312        56,174
Kontoor Brands Inc.   1,658,376        55,340
MDC Holdings Inc.   1,689,797        54,597
Dana Inc.   3,825,951        53,831
* TripAdvisor Inc.   2,997,856        53,362
*,1 Duolingo Inc. Class A     608,034        53,233
* KAR Auction Services Inc.   3,595,430        53,104
PriceSmart Inc.     728,211        52,162
Red Rock Resorts Inc. Class A   1,550,868        51,737
* LGI Homes Inc.     594,558        51,667
*,1 QuantumScape Corp. Class A   5,990,657        51,460
* Tri Pointe Homes Inc.   3,048,549        51,429
* Allegiant Travel Co.     453,706        51,310
* Cavco Industries Inc.     257,741        50,515
* Under Armour Inc. Class C   6,643,927        50,361
1 American Eagle Outfitters Inc.   4,468,082        49,953
* Six Flags Entertainment Corp.   2,283,648        49,555
* Stride Inc.   1,208,570        49,298
Wolverine World Wide Inc.   2,382,164        48,024
* Cinemark Holdings Inc.   3,192,003        47,944
Strategic Education Inc.     665,614        46,979
* Knowles Corp.   2,697,342        46,745
* Adtalem Global Education Inc.   1,263,234        45,438
* elf Beauty Inc.   1,471,380        45,142
* Everi Holdings Inc.   2,732,745        44,571
Winnebago Industries Inc.     917,479        44,553
* Vista Outdoor Inc.   1,581,249        44,117
 
8

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Laureate Education Inc. Class A   3,792,458        43,879
Bloomin' Brands Inc.   2,629,240        43,698
* Under Armour Inc. Class A   5,243,636        43,679
* Shake Shack Inc. Class A   1,096,339        43,283
* Madison Square Garden Entertainment Corp.     816,592        42,969
Levi Strauss & Co. Class A   2,602,031        42,465
* Coursera Inc.   2,977,521        42,221
* Tenneco Inc. Class A   2,449,073        42,026
Gray Television Inc.   2,474,662        41,797
HNI Corp.   1,192,395        41,364
* Driven Brands Holdings Inc.   1,487,340        40,961
Oxford Industries Inc.     457,619        40,609
Monro Inc.     946,808        40,599
Acushnet Holdings Corp.     972,110        40,518
Century Communities Inc.     883,312        39,722
*,1 Fisker Inc. Class A   4,633,236        39,707
Cheesecake Factory Inc.   1,480,381        39,112
* Central Garden & Pet Co. Class A     966,283        38,661
* Dave & Buster's Entertainment Inc.   1,154,658        37,850
Inter Parfums Inc.     517,949        37,841
* Sally Beauty Holdings Inc.   3,152,705        37,580
* ODP Corp.   1,233,583        37,304
*,1 Luminar Technologies Inc. Class A   5,965,697        35,377
Jack in the Box Inc.     617,405        34,612
*,1 Petco Health & Wellness Co. Inc. Class A   2,340,882        34,505
* Figs Inc. Class A   3,728,508        33,967
Sturm Ruger & Co. Inc.     518,265        32,988
* M/I Homes Inc.     831,424        32,974
* Malibu Boats Inc. Class A     609,055        32,103
* SkyWest Inc.   1,492,221        31,710
*,1 Overstock.com Inc.   1,266,300        31,670
*,1 Dutch Bros Inc. Class A     988,216        31,277
* Urban Outfitters Inc.   1,671,099        31,183
* Revolve Group Inc. Class A   1,194,870        30,959
La-Z-Boy Inc.   1,287,637        30,530
          Shares Market
Value

($000)
Dine Brands Global Inc.     466,845        30,382
* Lions Gate Entertainment Corp. Class B   3,425,633        30,248
*,1 Sweetgreen Inc. Class A   2,541,537        29,609
* iRobot Corp.     799,070        29,366
Franchise Group Inc.     834,174        29,254
Rent-A-Center Inc.   1,481,748        28,820
* Brinker International Inc.   1,302,388        28,692
Qurate Retail Inc. Class A   9,926,143        28,488
* PowerSchool Holdings Inc. Class A   2,332,948        28,112
Caleres Inc.   1,066,686        27,990
1 Dillard's Inc. Class A     125,623        27,709
1 Krispy Kreme Inc.   1,990,577        27,072
* PROG Holdings Inc.   1,589,148        26,221
* XPEL Inc.     569,732        26,168
Sinclair Broadcast Group Inc. Class A   1,245,164        25,401
* iHeartMedia Inc. Class A   3,202,219        25,265
* Abercrombie & Fitch Co. Class A   1,483,029        25,093
Buckle Inc.     896,846        24,834
Matthews International Corp. Class A     861,034        24,686
Standard Motor Products Inc.     542,712        24,417
* G-III Apparel Group Ltd.   1,205,677        24,391
* Funko Inc. Class A   1,089,382        24,315
* American Axle & Manufacturing Holdings Inc.   3,211,377        24,182
* Mister Car Wash Inc.   2,222,236        24,178
Steelcase Inc. Class A   2,241,633        24,053
*,1 ContextLogic Inc. Class A  14,970,537        23,953
1 Camping World Holdings Inc. Class A   1,106,772        23,895
* Golden Entertainment Inc.     594,281        23,504
* AMC Networks Inc. Class A     784,987        22,859
* Monarch Casino & Resort Inc.     388,782        22,810
* 2U Inc.   2,167,299        22,692
* Liberty Media Corp.-Liberty Braves Class C     940,129        22,563
 
9

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Perdoceo Education Corp.   1,894,742        22,320
Designer Brands Inc. Class A   1,708,467        22,313
* EW Scripps Co. Class A   1,778,726        22,181
*,1 Clean Energy Fuels Corp.   4,919,157        22,038
Interface Inc. Class A   1,744,651        21,878
* MarineMax Inc.     602,194        21,751
* ACV Auctions Inc. Class A   3,319,746        21,711
* Central Garden & Pet Co.     493,884        20,951
Sonic Automotive Inc. Class A     568,048        20,808
* Hawaiian Holdings Inc.   1,442,932        20,648
Arko Corp.   2,481,279        20,247
* GoPro Inc. Class A   3,657,631        20,227
* Cardlytics Inc.     902,620        20,137
News Corp. Class B   1,238,515        19,680
* Genesco Inc.     385,253        19,228
* Sleep Number Corp.     621,074        19,222
*,1 Bally's Corp.     931,391        18,423
* Cars.com Inc.   1,946,017        18,351
*,1 Life Time Group Holdings Inc.   1,423,289        18,332
*,1 Blink Charging Co.   1,095,113        18,102
Scholastic Corp.     488,093        17,557
Smith & Wesson Brands Inc.   1,335,687        17,538
* Accel Entertainment Inc. Class A   1,650,571        17,529
* Sun Country Airlines Holdings Inc.     940,020        17,240
* Chico's FAS Inc.   3,464,663        17,219
* America's Car-Mart Inc.     168,912        16,993
* Green Brick Partners Inc.     864,648        16,921
Global Industrial Co.     497,893        16,814
Big Lots Inc.     800,639        16,789
*,1 Udemy Inc.   1,642,008        16,765
A-Mark Precious Metals Inc.     516,684        16,663
1 Guess? Inc.     967,058        16,488
* Viad Corp.     577,747        15,952
Carriage Services Inc. Class A     402,058        15,942
* Thryv Holdings Inc.     702,193        15,722
* Lions Gate Entertainment Corp. Class A   1,662,398        15,477
          Shares Market
Value

($000)
Clarus Corp.     807,350        15,332
Ruth's Hospitality Group Inc.     932,005        15,154
*,1 Corsair Gaming Inc.   1,152,258        15,129
* Arlo Technologies Inc.   2,406,153        15,087
Hibbett Inc.     344,177        15,044
* QuinStreet Inc.   1,490,291        14,992
* Denny's Corp.   1,700,601        14,761
* Children's Place Inc.     378,118        14,716
* BJ's Restaurants Inc.     657,874        14,263
Winmark Corp.      71,038        13,893
Movado Group Inc.     445,639        13,784
Ethan Allen Interiors Inc.     677,482        13,692
1 European Wax Center Inc. Class A     757,510        13,347
*,1 Rover Group Inc. Class A   3,549,274        13,345
*,1 Holley Inc.   1,251,869        13,145
* Stoneridge Inc.     753,328        12,920
* TravelCenters of America Inc.     373,129        12,862
* Stagwell Inc.   2,345,757        12,737
*,1 Vuzix Corp.   1,792,261        12,725
* Sportsman's Warehouse Holdings Inc.   1,302,004        12,486
Aaron's Co. Inc.     853,131        12,413
* Zumiez Inc.     459,022        11,935
* Gannett Co. Inc.   4,063,386        11,784
*,1 Liberty Media Corp.-Liberty Braves Class A     445,381        11,201
RCI Hospitality Holdings Inc.     231,430        11,192
* Clear Channel Outdoor Holdings Inc.  10,445,735        11,177
* Lovesac Co.     401,588        11,044
* MasterCraft Boat Holdings Inc.     519,098        10,927
* Stitch Fix Inc. Class A   2,204,657        10,891
*,1 Allbirds Inc. Class A   2,751,448        10,813
* Chuy's Holdings Inc.     537,332        10,704
* Liquidity Services Inc.     795,167        10,687
Rush Enterprises Inc. Class B     213,248        10,579
* Boston Omaha Corp. Class A     504,858        10,425
* Marcus Corp.     695,300        10,270
* Beazer Homes USA Inc.     848,275        10,239
*,1 Wheels Up Experience Inc.   5,164,967        10,072
Haverty Furniture Cos. Inc.     430,730         9,984
 
10

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Shoe Carnival Inc.     460,003         9,941
* Sciplay Corp. Class A     705,371         9,854
* WW International Inc.   1,536,511         9,818
*,1 Portillo's Inc. Class A     595,958         9,744
*,1 Playstudios Inc.   2,241,786         9,595
*,1 Bed Bath & Beyond Inc.   1,884,415         9,365
* OneWater Marine Inc. Class A     282,871         9,349
*,1 Eastman Kodak Co.   1,999,566         9,278
*,1 Vizio Holding Corp. Class A   1,357,968         9,261
*,1 Frontier Group Holdings Inc.     984,399         9,224
*,1 AMMO Inc.   2,389,053         9,198
Bluegreen Vacations Holding Corp. Class A     365,934         9,134
* CarParts.com Inc.   1,312,022         9,105
* Integral Ad Science Holding Corp.     913,509         9,071
* Selectquote Inc.   3,638,849         9,024
*,1 Mullen Automotive Inc.   8,798,551         8,974
* Latham Group Inc.   1,252,545         8,680
* Angi Inc. Class A   1,879,775         8,609
Johnson Outdoors Inc. Class A     139,239         8,516
*,1 Canoo Inc.   4,601,737         8,513
* American Public Education Inc.     511,008         8,258
*,1 Poshmark Inc. Class A     793,067         8,018
* Tupperware Brands Corp.   1,214,024         7,697
* Quotient Technology Inc.   2,571,128         7,636
Kimball International Inc. Class B     983,424         7,543
* LL Flooring Holdings Inc.     802,995         7,524
* Universal Electronics Inc.     293,728         7,511
* Lindblad Expeditions Holdings Inc.     911,279         7,381
* Rush Street Interactive Inc.   1,572,928         7,346
*,1 Faraday Future Intelligent Electric Inc.   2,819,033         7,329
* Fossil Group Inc.   1,406,415         7,271
*,1 Vinco Ventures Inc.   5,262,437         7,262
Entravision Communications Corp. Class A   1,586,226         7,233
          Shares Market
Value

($000)
* 1-800-Flowers.com Inc. Class A     746,053         7,095
Rocky Brands Inc.     205,883         7,037
*,1 Lordstown Motors Corp.   4,431,521         7,002
1 Big 5 Sporting Goods Corp.     620,900         6,960
* Daily Journal Corp.      26,386         6,829
* Universal Technical Institute Inc.     945,994         6,745
* Motorcar Parts of America Inc.     508,069         6,666
Build-A-Bear Workshop Inc.     398,931         6,550
*,1 Genius Brands International Inc.   8,534,678         6,461
Cato Corp. Class A     536,537         6,229
* RealReal Inc.   2,499,234         6,223
* Hovnanian Enterprises Inc. Class A     141,347         6,048
*,1 Focus Universal Inc.     526,074         6,008
* Kura Sushi USA Inc. Class A     120,616         5,974
* Citi Trends Inc.     250,792         5,931
Superior Group of Cos. Inc.     331,545         5,885
*,1 Dream Finders Homes Inc. Class A     550,933         5,862
* ONE Group Hospitality Inc.     789,551         5,819
* Full House Resorts Inc.     952,478         5,791
* El Pollo Loco Holdings Inc.     587,328         5,779
* Noodles & Co. Class A   1,186,247         5,575
* Century Casinos Inc.     751,313         5,409
* Container Store Group Inc.     863,409         5,379
* Xponential Fitness Inc. Class A     419,364         5,267
* Destination XL Group Inc.   1,544,207         5,235
* Turtle Beach Corp.     427,215         5,225
Hooker Furnishings Corp.     333,634         5,188
*,1 Ondas Holdings Inc.     957,444         5,161
* Alta Equipment Group Inc.     568,355         5,098
* First Watch Restaurant Group Inc.     349,498         5,040
* Delta Apparel Inc.     177,059         5,023
* Lincoln Educational Services Corp.     790,909         4,991
* Snap One Holdings Corp.     531,350         4,872
 
11

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Bassett Furniture Industries Inc.     264,538         4,793
* RumbleON Inc. Class B     316,843         4,661
Tilly's Inc. Class A     658,710         4,624
*,1 F45 Training Holdings Inc.   1,129,271         4,438
1 Weber Inc. Class A     615,498         4,438
Lifetime Brands Inc.     401,793         4,436
* Lulu's Fashion Lounge Holdings Inc.     399,820         4,338
*,1 Cricut Inc. Class A     702,630         4,314
* Party City Holdco Inc.   3,179,416         4,197
* PlayAGS Inc.     787,936         4,066
*,1 ThredUp Inc. Class A   1,618,751         4,047
Weyco Group Inc.     163,787         4,005
*,1 1847 Goedeker Inc.   3,235,400         3,947
*,1 Rent the Runway Inc. Class A   1,267,437         3,891
*,1 XL Fleet Corp.   3,375,016         3,881
*,1 Outbrain Inc.     769,654         3,871
*,1 Red Robin Gourmet Burgers Inc.     476,857         3,829
* Strattec Security Corp.     115,520         3,829
* Lands' End Inc.     360,080         3,824
*,1 Lazydays Holdings Inc.     322,637         3,801
* Duluth Holdings Inc. Class B     394,810         3,766
*,1 Purple Innovation Inc. Class A   1,223,047         3,742
*,1 Urban One Inc.     872,038         3,732
* Potbelly Corp.     657,716         3,716
*,1 Owlet Inc.   2,177,118         3,701
* VOXX International Corp. Class A     391,165         3,642
* American Outdoor Brands Inc.     382,680         3,639
* Fiesta Restaurant Group Inc.     503,077         3,592
* Legacy Housing Corp.     273,001         3,563
* Lakeland Industries Inc.     231,623         3,558
Wayside Technology Group Inc.     106,412         3,537
*,1 Bowlero Corp.     327,927         3,473
* Express Inc.   1,763,494         3,456
*,1 Traeger Inc.     804,140         3,418
*,1 BARK Inc.   2,622,674         3,357
*,1 Arcimoto Inc.   1,025,319         3,353
Saga Communications Inc. Class A     134,076         3,332
* Audacy Inc. Class A   3,524,360         3,321
          Shares Market
Value

($000)
Nathan's Famous Inc.      56,557         3,313
*,1 Aterian Inc.   1,506,119         3,253
Tile Shop Holdings Inc.   1,046,763         3,214
* Barnes & Noble Education Inc.   1,095,868         3,211
*,1 Reservoir Media Inc.     489,336         3,190
* Vera Bradley Inc.     727,256         3,156
*,1 Conn's Inc.     391,363         3,139
1 Escalade Inc.     237,945         3,091
* Drive Shack Inc.   2,198,385         3,012
*,1 Nerdy Inc.   1,399,438         2,981
*,1 Redbox Entertainment Inc.     402,900         2,981
*,1 Cumulus Media Inc. Class A     374,932         2,898
1 Hamilton Beach Brands Holding Co. Class A     228,579         2,837
* Emerald Holding Inc.     690,955         2,812
* Arhaus Inc. Class A     621,273         2,796
* Lee Enterprises Inc.     144,656         2,747
* J. Jill Inc.     149,771         2,739
* Townsquare Media Inc. Class A     333,509         2,731
Acme United Corp.      85,199         2,698
* StoneMor Inc.     770,131         2,634
1 JOANN Inc.     336,080         2,605
* Superior Industries International Inc.     651,563         2,574
1 Flexsteel Industries Inc.     135,656         2,442
Marine Products Corp.     255,346         2,428
* Cooper-Standard Holdings Inc.     476,164         2,376
*,1 XpresSpa Group Inc.   3,379,216         2,333
* Biglari Holdings Inc. Class B      18,772         2,303
*,1 Solo Brands Inc. Class A     563,217         2,287
*,1 Cinedigm Corp. Class A   4,518,243         2,223
*,1 SRAX Inc. Class A     625,336         2,076
* Mesa Air Group Inc.     931,159         2,039
*,1 Revlon Inc. Class A     347,600         1,884
* Brilliant Earth Group Inc. Class A     381,195         1,811
* JAKKS Pacific Inc.     142,014         1,798
Carrols Restaurant Group Inc.     874,439         1,766
* BBQ Holdings Inc.     168,157         1,752
* Landsea Homes Corp.     262,495         1,748
*,1 Red Cat Holdings Inc.     849,136         1,732
 
12

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
1 National CineMedia Inc.   1,852,064         1,697
* Liberty TripAdvisor Holdings Inc. Class A   2,227,933         1,686
* Kewaunee Scientific Corp.      96,393         1,593
* Biglari Holdings Inc. Class A       2,695         1,584
*,1 Chicken Soup For The Soul Entertainment Inc.     211,224         1,565
* Gaia Inc. Class A     367,401         1,561
*,1 Envela Corp.     212,016         1,512
* Reading International Inc. Class A     390,307         1,409
NL Industries Inc.     140,483         1,387
* CuriosityStream Inc.     813,729         1,375
*,1 Kirkland's Inc.     386,578         1,361
Canterbury Park Holding Corp.      51,960         1,344
* Harte Hanks Inc.     102,600         1,307
Crown Crafts Inc.     207,623         1,300
CompX International Inc.      55,782         1,294
* Nautilus Inc.     727,903         1,274
*,1 CarLotz Inc.   3,153,585         1,241
* Travelzoo     204,643         1,240
FAT Brands Inc. Class A     153,984         1,147
* Zovio Inc. Class A   1,156,564         1,122
DallasNews Corp.     176,590         1,118
*,1 Shift Technologies Inc. Class A   1,602,920         1,079
* Cryptyde Inc.     526,244         1,068
* Good Times Restaurants Inc.     350,945         1,056
*,1 BurgerFi International Inc.     315,878         1,020
Ark Restaurants Corp.      55,702         1,003
*,1 Troika Media Group Inc.   1,312,215           996
* Fluent Inc.     781,681           930
*,1 LMP Automotive Holdings Inc.     195,770           930
*,1 Hall of Fame Resort & Entertainment Co.   1,530,218           908
* Live Ventures Inc.      36,093           903
* Salem Media Group Inc. Class A     419,347           889
*,1 EBET Inc.     369,532           887
*,1 Koss Corp.     124,275           864
Educational Development Corp.     202,269           854
          Shares Market
Value

($000)
*,1 Regis Corp.     776,100           838
*,1 LiveOne Inc.     946,083           810
*,2 Luby's Inc.     449,752           801
* Charles & Colvard Ltd.     610,246           757
* Marchex Inc. Class B     546,577           721
*,1 Dolphin Entertainment Inc.     220,039           695
* Vince Holding Corp.      85,410           670
*,1 Tuesday Morning Corp.   1,753,307           631
* iMedia Brands Inc.     512,961           621
* Urban One Inc. Class A     109,101           596
*,1 AYRO Inc.     711,308           596
* Aspen Group Inc.     584,353           573
*,1 InterGroup Corp.      12,233           514
* Volcon Inc.     269,584           496
* Allied Esports Entertainment Inc.     342,015           489
* Dixie Group Inc.     344,452           441
* Beasley Broadcast Group Inc. Class A     314,502           403
* FlexShopper Inc.     425,184           382
Jerash Holdings US Inc.      77,252           364
Flanigan's Enterprises Inc.      11,919           358
*,1 Sky Harbour Group Corp.      57,536           326
* HyreCar Inc.     526,051           321
* EzFill Holdings Inc.     386,132           309
* Xcel Brands Inc.     247,453           292
*,1 PARTS iD Inc.     148,893           231
* Auddia Inc.     264,100           231
*,1 Forward Industries Inc.     144,468           214
*,1 Applied UV Inc.      86,071           195
* Muscle Maker Inc.     487,573           188
*,1 Digital Media Solutions Inc.     138,956           154
* Mediaco Holding Inc. Class A      67,571           141
*,1 Amesite Inc.     292,757           135
FAT Brands Inc. Class B      16,647           128
* Unique Fabricating Inc.      83,389           113
*,1 Moving Image Technologies Inc.      78,388           102
* Stran & Co. Inc.      55,769            93
* Twin Vee PowerCats Co.      34,692            93
*,2 Zagg Inc. CVR     780,631            70
* Lottery.com Inc.      61,239            69
*,1 Digital Brands Group Inc.     296,678            58
 
13

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Grom Social Enterprises Inc.     134,277            55
* IDW Media Holdings Inc. Class B      40,047            54
*,2 SRAX Inc.     590,641            41
* Rave Restaurant Group Inc.      21,026            23
* Emerson Radio Corp.       6,500             4
                      151,987,648
Consumer Staples (5.8%)
Procter & Gamble Co.  70,738,780    10,171,529
Coca-Cola Co. 115,011,245     7,235,357
PepsiCo Inc.  40,757,436     6,792,634
Philip Morris International Inc.  45,709,277     4,513,334
CVS Health Corp.  38,666,422     3,582,831
Mondelez International Inc. Class A  40,778,944     2,531,965
Altria Group Inc.  53,389,117     2,230,063
Colgate-Palmolive Co.  24,691,859     1,978,806
McKesson Corp.   4,274,066     1,394,243
Kimberly-Clark Corp.   9,935,524     1,342,786
General Mills Inc.  17,749,334     1,339,187
Archer-Daniels-Midland Co.  16,592,401     1,287,570
Sysco Corp.  15,021,612     1,272,481
Corteva Inc.  21,383,557     1,157,706
* Monster Beverage Corp.  10,937,118     1,013,871
Constellation Brands Inc. Class A   4,319,447     1,006,690
Hershey Co.   4,301,572       925,526
Kroger Co.  19,144,445       906,107
Keurig Dr Pepper Inc.  25,091,998       888,006
Walgreens Boots Alliance Inc.  21,641,736       820,222
Kraft Heinz Co.  19,856,232       757,317
Tyson Foods Inc. Class A   8,593,343       739,543
Church & Dwight Co. Inc.   7,155,236       663,004
AmerisourceBergen Corp.   4,630,015       655,055
Brown-Forman Corp. Class B   9,265,436       650,063
McCormick & Co. Inc. (Non-Voting)   7,375,565       614,016
Kellogg Co.   7,471,210       532,996
Clorox Co.   3,627,771       511,443
Conagra Brands Inc.  14,137,169       484,057
Bunge Ltd.   4,469,144       405,307
J M Smucker Co.   3,040,368       389,198
Hormel Foods Corp.   8,044,848       381,004
          Shares Market
Value

($000)
Lamb Weston Holdings Inc.   4,260,316       304,442
Molson Coors Beverage Co. Class B   5,324,278       290,226
* Darling Ingredients Inc.   4,764,130       284,895
Campbell Soup Co.   5,775,988       277,536
* Performance Food Group Co.   4,562,703       209,793
* US Foods Holding Corp.   6,602,563       202,567
Casey's General Stores Inc.   1,092,442       202,080
Ingredion Inc.   1,859,199       163,907
Flowers Foods Inc.   5,304,303       139,609
Sanderson Farms Inc.     624,141       134,521
* Post Holdings Inc.   1,609,979       132,582
* Grocery Outlet Holding Corp.   2,562,291       109,230
Spectrum Brands Holdings Inc.   1,204,366        98,782
* Simply Good Foods Co.   2,527,317        95,457
* Hostess Brands Inc. Class A   4,086,466        86,674
* BellRing Brands Inc.   3,410,003        84,875
* Boston Beer Co. Inc. Class A     271,517        82,261
* Sprouts Farmers Market Inc.   3,235,503        81,923
WD-40 Co.     405,831        81,718
* Celsius Holdings Inc.   1,220,408        79,644
Coca-Cola Consolidated Inc.     136,100        76,747
Lancaster Colony Corp.     574,026        73,923
* TreeHouse Foods Inc.   1,660,641        69,448
* Freshpet Inc.   1,337,149        69,385
* United Natural Foods Inc.   1,714,198        67,539
Medifast Inc.     338,200        61,048
Nu Skin Enterprises Inc. Class A   1,407,134        60,929
Primo Water Corp.   4,521,307        60,495
Energizer Holdings Inc.   2,111,708        59,867
Albertsons Cos. Inc. Class A   2,238,215        59,805
* Hain Celestial Group Inc.   2,515,552        59,719
* Herbalife Nutrition Ltd.   2,865,929        58,608
Cal-Maine Foods Inc.   1,171,961        57,907
Edgewell Personal Care Co.   1,558,972        53,816
 
14

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
1 B&G Foods Inc.   2,024,201        48,135
J & J Snack Foods Corp.     343,046        47,910
* Pilgrim's Pride Corp.   1,420,069        44,349
Reynolds Consumer Products Inc.   1,590,363        43,369
Universal Corp.     704,767        42,638
MGP Ingredients Inc.     420,355        42,073
Vector Group Ltd.   3,879,087        40,730
*,1 Beyond Meat Inc.   1,698,691        40,667
* Olaplex Holdings Inc.   2,859,683        40,293
* Chefs' Warehouse Inc.   1,016,668        39,538
* Beauty Health Co.   2,896,815        37,253
Ingles Markets Inc. Class A     424,618        36,836
Weis Markets Inc.     481,664        35,903
National Beverage Corp.     702,281        34,370
Fresh Del Monte Produce Inc.   1,142,192        33,729
SpartanNash Co.   1,014,112        30,596
Andersons Inc.     912,203        30,094
Utz Brands Inc.   2,023,744        27,968
Brown-Forman Corp. Class A     394,662        26,695
Seaboard Corp.       6,801        26,405
* USANA Health Sciences Inc.     332,532        24,062
* Duckhorn Portfolio Inc.   1,039,351        21,889
*,1 Veru Inc.   1,876,315        21,202
Calavo Growers Inc.     496,532        20,715
John B Sanfilippo & Son Inc.     265,454        19,243
ACCO Brands Corp.   2,699,151        17,625
Tootsie Roll Industries Inc.     403,643        14,269
* Mission Produce Inc.   1,001,161        14,267
Turning Point Brands Inc.     456,482        12,384
*,1 22nd Century Group Inc.   5,522,465        11,763
1 PetMed Express Inc.     582,280        11,587
* Sovos Brands Inc.     716,600        11,372
*,1 Rite Aid Corp.   1,550,572        10,451
* Seneca Foods Corp. Class A     162,229         9,010
*,1 Benson Hill Inc.   3,024,692         8,288
*,1 Tattooed Chef Inc.   1,213,645         7,646
* Landec Corp.     751,182         7,489
Limoneira Co.     456,481         6,432
* Whole Earth Brands Inc.   1,037,374         6,432
*,1 Vita Coco Co. Inc.     654,853         6,411
*,1 AppHarvest Inc.   1,815,100         6,335
*,1 PLBY Group Inc.     930,659         5,956
          Shares Market
Value

($000)
*,1 GrowGeneration Corp.   1,657,947         5,952
*,1 HF Foods Group Inc.   1,044,964         5,455
* Nature's Sunshine Products Inc.     490,888         5,238
Natural Grocers by Vitamin Cottage Inc.     315,515         5,032
Village Super Market Inc. Class A     219,880         5,015
ProPhase Labs Inc.     388,369         4,925
1 Oil-Dri Corp. of America     153,584         4,707
Alico Inc.     128,257         4,570
* Vital Farms Inc.     469,787         4,111
* Honest Co. Inc.   1,363,479         3,981
*,1 AquaBounty Technologies Inc.   2,221,024         3,798
*,1 Splash Beverage Group Inc.   1,021,713         3,055
*,1 Local Bounti Corp.     856,440         2,723
Lifevantage Corp.     437,030         1,901
*,1 Blue Apron Holdings Inc. Class A     499,925         1,820
* Natural Alternatives International Inc.     162,521         1,697
Ocean Bio-Chem Inc.     124,500         1,604
*,1 BRC Inc. Class A     196,100         1,600
*,1 Barfresh Food Group Inc.     278,615         1,574
*,1 MedAvail Holdings Inc.     997,045         1,525
* Farmer Bros Co.     293,967         1,379
* Real Good Food Co. Inc. Class A     175,743         1,235
*,1 LifeMD Inc.     533,737         1,089
* Urban-Gro Inc.     224,273         1,085
* RiceBran Technologies   1,534,464         1,028
AMCON Distributing Co.       6,105           995
*,1 Alkaline Water Co. Inc.   2,518,226           990
*,1 Kaival Brands Innovations Group Inc.     602,288           952
* Rocky Mountain Chocolate Factory Inc.     133,036           917
*,1 Zevia PBC Class A     319,686           898
* Willamette Valley Vineyards Inc.     139,231           873
*,1 NewAge Inc.   3,463,651           776
* Better Choice Co. Inc.     297,634           655
* S&W Seed Co.     566,099           572
Coffee Holding Co. Inc.     230,234           562
 
15

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Bridgford Foods Corp.      39,983           527
Mannatech Inc.      30,953           515
*,1 Arcadia Biosciences Inc.     483,138           483
* MamaMancini's Holdings Inc.     332,476           465
*,1 Boxed Inc.     228,600           423
* Lifeway Foods Inc.      78,472           390
* Reed's Inc.   2,402,268           375
*,1 Greenlane Holdings Inc. Class A   1,732,911           340
*,1 Laird Superfood Inc.     174,620           334
* Nuzee Inc.     319,610           323
* Zivo Bioscience Inc.      81,788           321
* Stryve Foods Inc. Class A     316,090           278
* Eastside Distilling Inc.     341,987           236
*,1 Yield10 Bioscience Inc.      75,975           171
*,1 Guardion Health Sciences Inc.     787,758           114
*,1 Calyxt Inc.      73,912            18
* Blue Star Foods Corp.       9,131            11
* Winc Inc.       3,200             5
                       64,319,872
Energy (4.4%)
Exxon Mobil Corp. 124,203,497    10,636,787
Chevron Corp.  52,137,944     7,548,532
ConocoPhillips  38,138,209     3,425,193
EOG Resources Inc.  17,273,532     1,907,689
Pioneer Natural Resources Co.   6,776,997     1,511,812
Schlumberger NV  41,681,306     1,490,523
Marathon Petroleum Corp.  15,947,490     1,311,043
Occidental Petroleum Corp.  22,109,458     1,301,805
Valero Energy Corp.  12,034,190     1,278,994
Phillips 66  14,187,582     1,163,240
Williams Cos. Inc.  35,907,633     1,120,677
Devon Energy Corp.  19,454,738     1,072,151
Kinder Morgan Inc.  60,159,076     1,008,266
Cheniere Energy Inc.   6,746,764       897,522
Hess Corp.   8,261,338       875,206
Baker Hughes Co.  29,033,841       838,207
* Enphase Energy Inc.   3,981,880       777,422
Halliburton Co.  23,935,771       750,626
ONEOK Inc.  13,166,919       730,764
Diamondback Energy Inc.   5,236,548       634,408
Coterra Energy Inc.  22,583,114       582,418
Marathon Oil Corp.  20,863,815       469,019
          Shares Market
Value

($000)
Targa Resources Corp.   6,719,087       400,928
APA Corp.   9,967,848       347,878
EQT Corp.   9,803,104       337,227
Ovintiv Inc.   7,613,982       336,462
1 Chesapeake Energy Corp.   3,750,050       304,129
*,1 Plug Power Inc.  17,043,022       282,403
Texas Pacific Land Corp.     182,639       271,770
* Antero Resources Corp.   8,254,948       253,014
* Southwestern Energy Co.  32,909,136       205,682
NOV Inc.  11,573,981       195,716
HF Sinclair Corp.   4,284,496       193,488
* First Solar Inc.   2,832,011       192,945
* Range Resources Corp.   7,566,643       187,274
PDC Energy Inc.   2,929,711       180,499
Matador Resources Co.   3,301,499       153,817
DT Midstream Inc.   2,859,055       140,151
Murphy Oil Corp.   4,345,550       131,192
SM Energy Co.   3,585,470       122,587
Helmerich & Payne Inc.   2,800,509       120,590
ChampionX Corp.   6,002,707       119,154
Magnolia Oil & Gas Corp. Class A   5,089,667       106,832
Continental Resources Inc.   1,609,618       105,189
*,1 ChargePoint Holdings Inc.   7,417,076       101,540
Patterson-UTI Energy Inc.   6,402,767       100,908
California Resources Corp.   2,280,201        87,788
* PBF Energy Inc. Class A   3,016,006        87,524
* Denbury Inc.   1,410,908        84,640
Antero Midstream Corp.   9,209,811        83,349
Whiting Petroleum Corp.   1,153,802        78,493
Civitas Resources Inc.   1,498,593        78,361
Equitrans Midstream Corp.  12,142,423        77,226
* CNX Resources Corp.   4,593,446        75,608
* Peabody Energy Corp.   3,384,133        72,184
Cactus Inc. Class A   1,690,039        68,058
Arcosa Inc.   1,427,186        66,264
Arch Resources Inc.     455,283        65,146
Chord Energy Corp.     516,850        62,875
 
16

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
1 New Fortress Energy Inc. Class A   1,537,218        60,828
Alpha Metallurgical Resources Inc.     469,745        60,658
* NexTier Oilfield Solutions Inc.   6,122,995        58,230
* Transocean Ltd.  17,029,448        56,708
* Delek US Holdings Inc.   2,101,758        54,309
* Liberty Energy Inc. Class A   4,146,515        52,910
Enviva Inc.     888,178        50,822
* Callon Petroleum Co.   1,277,414        50,075
Northern Oil & Gas Inc.   1,933,569        48,842
Warrior Met Coal Inc.   1,520,799        46,552
* Array Technologies Inc.   4,216,459        46,423
* Tellurian Inc.  15,051,151        44,852
* Weatherford International plc   2,074,309        43,913
* Green Plains Inc.   1,507,146        40,949
* Ameresco Inc. Class A     893,874        40,725
*,1 SunPower Corp.   2,566,737        40,580
*,1 FuelCell Energy Inc.  10,238,717        38,395
* CONSOL Energy Inc.     766,531        37,851
Brigham Minerals Inc. Class A   1,485,208        36,581
Archrock Inc.   4,374,286        36,175
World Fuel Services Corp.   1,759,361        35,997
* Nabors Industries Ltd.     262,404        35,136
* Centennial Resource Development Inc. Class A   5,857,731        35,029
* Laredo Petroleum Inc.     484,748        33,419
* NOW Inc.   3,285,839        32,135
* Oceaneering International Inc.   2,965,542        31,672
*,1 Stem Inc.   4,320,625        30,936
* Noble Corp.   1,199,760        30,414
* Shoals Technologies Group Inc. Class A   1,817,962        29,960
CVR Energy Inc.     892,260        29,891
* Gulfport Energy Corp.     371,646        29,550
* Comstock Resources Inc.   2,416,688        29,194
* Talos Energy Inc.   1,818,205        28,128
1 Core Laboratories NV   1,385,507        27,447
* Dril-Quip Inc.   1,021,571        26,357
* ProPetro Holding Corp.   2,616,764        26,168
          Shares Market
Value

($000)
* Tidewater Inc.   1,118,301        23,585
* Par Pacific Holdings Inc.   1,499,354        23,375
* MRC Global Inc.   2,310,782        23,015
* Ranger Oil Corp.     618,155        20,319
*,1 Earthstone Energy Inc. Class A   1,278,456        17,451
* Diamond Offshore Drilling Inc.   2,931,400        17,266
*,1 Montauk Renewables Inc.   1,696,905        17,054
SunCoke Energy Inc.   2,447,439        16,667
* Bristow Group Inc. Class A     672,064        15,726
* RPC Inc.   2,243,403        15,502
Berry Corp.   2,012,714        15,337
* SandRidge Energy Inc.     920,016        14,417
* TETRA Technologies Inc.   3,406,248        13,829
* REX American Resources Corp.     159,051        13,488
1 Kinetik Holdings Inc. Class A     393,252        13,426
* Helix Energy Solutions Group Inc.   4,308,876        13,358
*,1 Gevo Inc.   5,623,822        13,216
* Select Energy Services Inc. Class A   1,903,133        12,979
* TPI Composites Inc.   1,021,229        12,765
*,1 EVgo Inc.   2,025,625        12,174
* W&T Offshore Inc.   2,772,648        11,978
1 Crescent Energy Co. Class A     934,596        11,664
1 VAALCO Energy Inc.   1,607,993        11,159
Solaris Oilfield Infrastructure Inc. Class A     924,192        10,055
*,1 Fluence Energy Inc. Class A   1,056,062        10,011
* DMC Global Inc.     547,995         9,880
* Oil States International Inc.   1,780,574         9,651
*,1 SilverBow Resources Inc.     325,084         9,219
Ramaco Resources Inc.     651,180         8,563
* Centrus Energy Corp. Class A     342,567         8,479
*,1 ProFrac Holding Corp. Class A     459,789         8,419
Sitio Royalties Corp.     329,389         7,635
* Newpark Resources Inc.   2,465,453         7,618
*,1 NextDecade Corp.   1,693,218         7,518
* Amplify Energy Corp.   1,044,290         6,830
*,1 Ring Energy Inc.   2,166,776         5,764
 
17

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
*,1 Solid Power Inc.     998,000         5,369
*,1 Aemetis Inc.     909,905         4,468
*,1 ESS Tech Inc.   1,588,400         4,463
*,1 Camber Energy Inc.  10,962,939         4,356
*,1 Volta Inc.   3,314,921         4,309
Evolution Petroleum Corp.     784,579         4,284
*,1 FTC Solar Inc.   1,180,200         4,272
NACCO Industries Inc. Class A     111,685         4,233
*,1 Beam Global     268,717         4,170
* Matrix Service Co.     756,599         3,828
* American Superconductor Corp.     706,925         3,662
* Ranger Energy Services Inc. Class A     357,073         3,621
* Natural Gas Services Group Inc.     320,025         3,520
*,1 Hallador Energy Co.     634,784         3,434
* SEACOR Marine Holdings Inc.     528,307         3,043
* Exterran Corp.     689,135         2,963
*,1 Empire Petroleum Corp.     234,700         2,786
Epsilon Energy Ltd.     433,717         2,555
PHX Minerals Inc.     779,043         2,368
* Forum Energy Technologies Inc.     119,145         2,338
*,1 Advent Technologies Holdings Inc.     906,752         2,285
*,1 Nabors Industries Ltd. Warrants Exp. 6/11/26      70,676         2,260
Adams Resources & Energy Inc.      67,642         2,177
*,1 American Resources Corp.   1,448,956         2,101
* Geospace Technologies Corp.     385,060         1,825
* Ideal Power Inc.     149,114         1,825
* Battalion Oil Corp.     207,283         1,768
*,1 Flotek Industries Inc.   1,758,250         1,744
*,1 Ecoark Holdings Inc.     606,969         1,590
*,1 Sunworks Inc.   1,002,214         1,583
* PrimeEnergy Resources Corp.      18,526         1,452
*,1 KLX Energy Services Holdings Inc.     293,070         1,269
* Gulf Island Fabrication Inc.     364,861         1,222
*,1 US Well Services Inc.   1,260,270         1,184
* Profire Energy Inc.     786,592         1,133
* Nine Energy Service Inc.     409,723         1,086
          Shares Market
Value

($000)
*,1 Houston American Energy Corp.     226,500         1,040
* PEDEVCO Corp.     768,132           883
* iSun Inc.     262,173           852
* Smart Sand Inc.     400,307           801
* Capstone Green Energy Corp.     315,496           779
* Mexco Energy Corp.      44,605           767
* Enservco Corp.     374,605           734
*,1 Ocean Power Technologies Inc.   1,300,479           733
* Barnwell Industries Inc.     267,900           630
* Mammoth Energy Services Inc.     231,389           509
* Independence Contract Drilling Inc.     158,897           497
US Energy Corp. Wyoming     140,626           487
* NCS Multistage Holdings Inc.      15,582           477
* Dawson Geophysical Co.     288,312           386
* MIND Technology Inc.     424,703           374
* Stabilis Solutions Inc.      67,322           270
* Superior Drilling Products Inc.     247,328           245
* Energy Services of America Corp.     101,160           208
*,1 New Concept Energy Inc.     121,740           187
Pineapple Energy Inc.      69,639           163
*,2 Pineapple Energy Inc. CVR      69,639             8
* Tidewater Inc. Class A Warrants Exp. 7/31/23       8,839             6
*,1 Tidewater Inc. Class B Warrants Exp. 7/31/23       9,555             3
*,1,2 Harvest Natural Resources Inc.      51,829            —
                       49,229,983
Financials (11.1%)
* Berkshire Hathaway Inc. Class B  49,381,847    13,482,232
JPMorgan Chase & Co.  86,593,445     9,751,288
Bank of America Corp. 201,895,310     6,285,001
Wells Fargo & Co. 111,756,788     4,377,513
S&P Global Inc.  10,021,093     3,377,710
Morgan Stanley  41,262,258     3,138,407
Goldman Sachs Group Inc.   9,688,746     2,877,751
 
18

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Charles Schwab Corp.  45,543,506     2,877,439
BlackRock Inc.   4,243,317     2,584,350
Citigroup Inc.  54,387,860     2,501,298
Chubb Ltd.  11,862,901     2,332,009
Marsh & McLennan Cos. Inc.  14,816,993     2,300,338
CME Group Inc.  10,597,924     2,169,395
Progressive Corp.  17,245,778     2,005,167
PNC Financial Services Group Inc.  12,190,949     1,923,366
Blackstone Inc.  20,662,468     1,885,037
Truist Financial Corp.  39,247,348     1,861,502
US Bancorp  39,417,641     1,814,000
Aon plc Class A   5,949,142     1,604,365
Intercontinental Exchange Inc.  16,458,422     1,547,750
Moody's Corp.   4,623,938     1,257,572
Travelers Cos. Inc.   7,073,709     1,196,376
American International Group Inc.  23,359,198     1,194,356
MetLife Inc.  17,961,855     1,127,825
Prudential Financial Inc.  11,057,139     1,057,947
Allstate Corp.   8,109,846     1,027,761
Arthur J Gallagher & Co.   6,196,420     1,010,264
Aflac Inc.  17,082,895       945,197
MSCI Inc.   2,276,973       938,454
Bank of New York Mellon Corp.  21,445,358       894,486
M&T Bank Corp.   5,292,809       843,621
Discover Financial Services   8,285,875       783,678
Ameriprise Financial Inc.   3,239,847       770,047
KKR & Co. Inc.  16,613,042       769,018
First Republic Bank   5,300,726       764,365
T. Rowe Price Group Inc.   6,701,695       761,380
* SVB Financial Group   1,736,057       685,725
Fifth Third Bancorp  20,235,065       679,898
Willis Towers Watson plc   3,288,328       649,083
Hartford Financial Services Group Inc.   9,695,083       634,349
Northern Trust Corp.   5,840,743       563,515
Cincinnati Financial Corp.   4,496,323       534,973
Citizens Financial Group Inc.  14,616,639       521,668
Nasdaq Inc.   3,396,770       518,143
Regions Financial Corp.  27,580,175       517,128
Raymond James Financial Inc.   5,750,546       514,156
          Shares Market
Value

($000)
Huntington Bancshares Inc.  42,477,412       511,003
Principal Financial Group Inc.   7,446,782       497,371
Broadridge Financial Solutions Inc.   3,459,601       493,166
* Markel Corp.     379,910       491,319
* Arch Capital Group Ltd.  10,517,961       478,462
State Street Corp.   7,697,026       474,522
KeyCorp  27,454,631       473,043
Apollo Global Management Inc.   9,329,168       452,278
* Berkshire Hathaway Inc. Class A       1,051       429,806
FactSet Research Systems Inc.   1,117,373       429,708
LPL Financial Holdings Inc.   2,238,146       412,893
W R Berkley Corp.   5,855,085       399,668
Brown & Brown Inc.   6,655,491       388,281
Loews Corp.   6,164,076       365,283
Cboe Global Markets Inc.   3,131,580       354,464
First Horizon Corp.  15,782,000       344,995
Everest Re Group Ltd.   1,161,310       325,492
* Alleghany Corp.     376,486       313,650
Ally Financial Inc.   9,048,326       303,209
American Financial Group Inc.   2,134,644       296,310
Equitable Holdings Inc.  11,215,973       292,400
Fidelity National Financial Inc.   7,848,549       290,082
Comerica Inc.   3,857,337       283,051
Signature Bank   1,558,013       279,212
Assurant Inc.   1,592,685       275,296
East West Bancorp Inc.   4,185,273       271,206
Annaly Capital Management Inc.  45,880,601       271,154
MarketAxess Holdings Inc.   1,057,980       270,853
Ares Management Corp. Class A   4,557,393       259,133
Globe Life Inc.   2,620,303       255,401
Carlyle Group Inc.   7,464,433       236,324
Reinsurance Group of America Inc.   1,979,128       232,132
First Citizens BancShares Inc. Class A     353,615       231,186
Zions Bancorp NA   4,467,487       227,395
Webster Financial Corp.   5,264,020       221,878
 
19

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Tradeweb Markets Inc. Class A   3,169,212       216,299
Invesco Ltd.  13,398,382       216,116
Western Alliance Bancorp   3,036,373       214,368
Lincoln National Corp.   4,574,648       213,956
Commerce Bancshares Inc.   3,208,863       210,662
Franklin Resources Inc.   8,828,822       205,800
RenaissanceRe Holdings Ltd.   1,303,078       203,762
Cullen/Frost Bankers Inc.   1,699,022       197,851
SEI Investments Co.   3,637,708       196,509
*,1 Coinbase Global Inc. Class A   4,101,415       192,849
Morningstar Inc.     758,302       183,380
Old Republic International Corp.   8,183,092       182,974
Voya Financial Inc.   3,012,030       179,306
Starwood Property Trust Inc.   8,574,956       179,131
Prosperity Bancshares Inc.   2,583,879       176,401
SouthState Corp.   2,224,668       171,633
Unum Group   5,035,789       171,318
AGNC Investment Corp.  15,445,510       170,982
Stifel Financial Corp.   2,981,098       167,001
First American Financial Corp.   3,004,990       159,024
First Financial Bankshares Inc.   4,012,615       157,575
Popular Inc.   2,033,461       156,434
Glacier Bancorp Inc.   3,286,875       155,864
Selective Insurance Group Inc.   1,783,936       155,095
Pinnacle Financial Partners Inc.   2,138,067       154,604
Interactive Brokers Group Inc. Class A   2,757,263       151,677
RLI Corp.   1,269,262       147,983
Kinsale Capital Group Inc.     640,677       147,125
Synovus Financial Corp.   4,061,019       146,400
Erie Indemnity Co. Class A     750,517       144,242
*,1 Robinhood Markets Inc. Class A  17,513,698       143,963
Wintrust Financial Corp.   1,774,980       142,265
United Bankshares Inc.   3,990,904       139,961
          Shares Market
Value

($000)
Hanover Insurance Group Inc.     942,960       137,908
Primerica Inc.   1,147,099       137,296
Jefferies Financial Group Inc.   4,942,605       136,515
Cadence Bank   5,678,275       133,326
Affiliated Managers Group Inc.   1,142,679       133,236
Valley National Bancorp  12,714,939       132,363
Blackstone Mortgage Trust Inc. Class A   4,753,255       131,523
Axis Capital Holdings Ltd.   2,265,701       129,349
Old National Bancorp   8,650,656       127,943
New Residential Investment Corp.  13,720,146       127,872
SLM Corp.   7,952,681       126,766
Bank OZK   3,361,332       126,151
OneMain Holdings Inc.   3,314,741       123,905
1 Blue Owl Capital Inc. Class A  12,308,874       123,458
Home BancShares Inc.   5,779,764       120,046
New York Community Bancorp Inc.  13,085,123       119,467
Houlihan Lokey Inc. Class A   1,491,995       117,763
Essent Group Ltd.   3,009,241       117,059
MGIC Investment Corp.   9,118,999       114,899
ServisFirst Bancshares Inc.   1,446,164       114,131
FNB Corp.  10,391,415       112,851
Umpqua Holdings Corp.   6,397,197       107,281
Hancock Whitney Corp.   2,419,933       107,276
*,1 SoFi Technologies Inc.  20,202,667       106,468
First Interstate BancSystem Inc. Class A   2,756,629       105,055
Independent Bank Corp. (Massachusetts)   1,312,939       104,287
White Mountains Insurance Group Ltd.      83,641       104,228
1 Lazard Ltd. Class A   3,159,022       102,384
Community Bank System Inc.   1,607,607       101,729
Assured Guaranty Ltd.   1,795,610       100,177
Radian Group Inc.   5,091,854       100,055
UMB Financial Corp.   1,142,841        98,399
 
20

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
CVB Financial Corp.   3,959,272        98,230
* Ryan Specialty Holdings Inc. Class A   2,440,120        95,628
Evercore Inc. Class A   1,019,429        95,429
United Community Banks Inc.   3,143,549        94,904
Janus Henderson Group plc   3,956,951        93,028
FirstCash Holdings Inc.   1,336,258        92,883
PacWest Bancorp   3,460,183        92,248
*,1 Credit Acceptance Corp.     194,090        91,884
Kemper Corp.   1,898,305        90,929
* Brighthouse Financial Inc.   2,206,360        90,505
Walker & Dunlop Inc.     931,898        89,779
Eastern Bankshares Inc.   4,848,081        89,496
Bank of Hawaii Corp.   1,194,880        88,899
First Hawaiian Inc.   3,782,858        85,909
BankUnited Inc.   2,410,434        85,739
Pacific Premier Bancorp Inc.   2,837,467        82,968
Cathay General Bancorp   2,111,241        82,655
Federated Hermes Inc. Class B   2,571,273        81,741
American Equity Investment Life Holding Co.   2,204,716        80,626
* Texas Capital Bancshares Inc.   1,499,740        78,946
Ameris Bancorp   1,950,110        78,355
Simmons First National Corp. Class A   3,667,402        77,969
Associated Banc-Corp   4,207,464        76,828
WSFS Financial Corp.   1,909,445        76,550
Moelis & Co. Class A   1,919,118        75,517
First Bancorp (XNYS)   5,830,720        75,275
Independent Bank Group Inc.   1,063,097        72,195
* Mr Cooper Group Inc.   1,955,642        71,850
Atlantic Union Bankshares Corp.   2,110,952        71,604
Virtu Financial Inc. Class A   2,951,226        69,088
* Enstar Group Ltd.     319,018        68,263
Artisan Partners Asset Management Inc. Class A   1,892,130        67,303
Fulton Financial Corp.   4,619,857        66,757
          Shares Market
Value

($000)
Columbia Banking System Inc.   2,324,733        66,604
* Trupanion Inc.   1,084,891        65,376
International Bancshares Corp.   1,590,554        63,749
*,1 Upstart Holdings Inc.   1,998,139        63,181
Hamilton Lane Inc. Class A     935,573        62,852
CNO Financial Group Inc.   3,434,669        62,133
First Merchants Corp.   1,739,035        61,944
1 Chimera Investment Corp.   6,996,924        61,713
BOK Financial Corp.     813,990        61,521
1 Jackson Financial Inc. Class A   2,287,275        61,185
Seacoast Banking Corp. of Florida   1,824,099        60,268
Arbor Realty Trust Inc.   4,448,727        58,323
Washington Federal Inc.   1,934,340        58,069
Navient Corp.   4,138,042        57,891
Banner Corp.   1,021,299        57,407
* Axos Financial Inc.   1,600,021        57,361
Piper Sandler Cos.     498,740        56,537
WesBanco Inc.   1,722,490        54,620
Towne Bank   2,001,642        54,345
* Genworth Financial Inc. Class A  15,181,346        53,590
Flagstar Bancorp Inc.   1,508,786        53,486
First Financial Bancorp   2,703,315        52,444
Park National Corp.     431,254        52,290
Two Harbors Investment Corp.  10,322,326        51,405
BancFirst Corp.     531,851        50,903
Sandy Spring Bancorp Inc.   1,272,435        49,714
* Focus Financial Partners Inc. Class A   1,452,936        49,487
Stock Yards Bancorp Inc.     825,508        49,382
Lakeland Financial Corp.     720,973        47,887
Trustmark Corp.   1,637,695        47,804
* Silvergate Capital Corp. Class A     883,368        47,287
Horace Mann Educators Corp.   1,225,413        47,031
Hope Bancorp Inc.   3,390,821        46,929
Cohen & Steers Inc.     723,373        45,999
PJT Partners Inc. Class A     652,524        45,859
Northwest Bancshares Inc.   3,568,914        45,682
 
21

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
NBT Bancorp Inc.   1,213,925        45,631
Renasant Corp.   1,581,483        45,563
Eagle Bancorp Inc.     955,716        45,311
* Palomar Holdings Inc.     703,565        45,310
Provident Financial Services Inc.   2,006,445        44,663
Heartland Financial USA Inc.   1,071,432        44,507
Veritex Holdings Inc.   1,515,284        44,337
* Triumph Bancorp Inc.     703,132        43,988
* Cannae Holdings Inc.   2,272,386        43,948
Apollo Commercial Real Estate Finance Inc.   4,197,357        43,820
* NMI Holdings Inc. Class A   2,539,280        42,279
FB Financial Corp.   1,057,252        41,465
TriCo Bancshares     907,145        41,402
Westamerica Bancorp     742,291        41,316
* PRA Group Inc.   1,113,812        40,498
Safety Insurance Group Inc.     415,622        40,357
Enterprise Financial Services Corp.     969,005        40,214
Stewart Information Services Corp.     801,965        39,898
* BRP Group Inc. Class A   1,650,884        39,869
* Encore Capital Group Inc.     685,552        39,604
StepStone Group Inc. Class A   1,519,616        39,556
* StoneX Group Inc.     503,390        39,300
1 Hilltop Holdings Inc.   1,440,657        38,408
PennyMac Mortgage Investment Trust   2,766,349        38,259
Argo Group International Holdings Ltd.   1,029,437        37,945
ProAssurance Corp.   1,594,213        37,671
1 Compass Diversified Holdings   1,757,592        37,648
First Bancorp (XNGS)   1,068,690        37,297
OFG Bancorp   1,443,659        36,669
Ladder Capital Corp.   3,460,731        36,476
Mercury General Corp.     822,088        36,419
Virtus Investment Partners Inc.     209,868        35,892
First Commonwealth Financial Corp.   2,669,887        35,830
First Busey Corp.   1,560,247        35,652
Capitol Federal Financial Inc.   3,867,787        35,506
* LendingClub Corp.   2,998,954        35,058
          Shares Market
Value

($000)
PennyMac Financial Services Inc.     797,464        34,857
Ready Capital Corp.   2,849,337        33,964
Southside Bancshares Inc.     897,515        33,585
City Holding Co.     420,415        33,583
1 Franklin BSP Realty Trust Inc.   2,460,530        33,168
MFA Financial Inc.   3,041,407        32,695
Live Oak Bancshares Inc.     964,117        32,674
BGC Partners Inc. Class A   9,692,523        32,664
Employers Holdings Inc.     778,955        32,630
National Bank Holdings Corp. Class A     852,175        32,613
* Open Lending Corp. Class A   3,151,327        32,238
Meta Financial Group Inc.     822,428        31,803
iStar Inc.   2,310,937        31,683
OceanFirst Financial Corp.   1,641,300        31,398
Berkshire Hills Bancorp Inc.   1,262,521        31,273
New York Mortgage Trust Inc.  11,305,464        31,203
* Customers Bancorp Inc.     918,369        31,133
S&T Bancorp Inc.   1,115,948        30,610
AMERISAFE Inc.     570,152        29,654
First Foundation Inc.   1,441,723        29,527
Dime Community Bancshares Inc.     976,198        28,944
Brookline Bancorp Inc.   2,141,840        28,508
Preferred Bank     409,833        27,877
* Bancorp Inc.   1,414,509        27,611
TPG Inc. Class A   1,142,814        27,325
1 Redwood Trust Inc.   3,537,786        27,276
Banc of California Inc.   1,542,166        27,173
German American Bancorp Inc.     791,561        27,056
QCR Holdings Inc.     500,631        27,029
Lakeland Bancorp Inc.   1,826,573        26,705
Premier Financial Corp.   1,041,700        26,407
* Enova International Inc.     911,247        26,262
Heritage Financial Corp.   1,036,767        26,085
James River Group Holdings Ltd.   1,051,256        26,050
Broadmark Realty Capital Inc.   3,792,954        25,451
 
22

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* MoneyGram International Inc.   2,544,718        25,447
KKR Real Estate Finance Trust Inc.   1,450,623        25,313
Tompkins Financial Corp.     350,250        25,253
Origin Bancorp Inc.     650,130        25,225
ConnectOne Bancorp Inc.   1,020,351        24,948
Goosehead Insurance Inc. Class A     545,944        24,933
* Columbia Financial Inc.   1,139,064        24,843
* Blucora Inc.   1,333,954        24,625
United Fire Group Inc.     714,294        24,450
1 Rocket Cos. Inc. Class A   3,316,945        24,413
Nelnet Inc. Class A     285,793        24,364
1 Claros Mortgage Trust Inc.   1,434,200        24,023
* Nicolet Bankshares Inc.     331,427        23,975
Amerant Bancorp Inc. Class A     846,216        23,796
Ellington Financial Inc.   1,572,980        23,076
Washington Trust Bancorp Inc.     473,811        22,918
Federal Agricultural Mortgage Corp. Class C     233,024        22,755
TFS Financial Corp.   1,605,671        22,046
Allegiance Bancshares Inc.     580,123        21,905
1 ARMOUR Residential REIT Inc.   3,081,000        21,690
*,1 Lemonade Inc.   1,183,492        21,611
* Metropolitan Bank Holding Corp.     310,975        21,588
Univest Financial Corp.     830,436        21,126
1 Enact Holdings Inc.     966,985        20,771
Kearny Financial Corp.   1,866,666        20,739
Peoples Bancorp Inc.     779,422        20,733
Hanmi Financial Corp.     918,817        20,618
B. Riley Financial Inc.     486,836        20,569
Victory Capital Holdings Inc. Class A     804,805        19,396
HarborOne Bancorp Inc.   1,368,579        18,873
Horizon Bancorp Inc.   1,076,412        18,751
          Shares Market
Value

($000)
First Mid Bancshares Inc.     521,337        18,596
WisdomTree Investments Inc.   3,662,568        18,569
HomeStreet Inc.     535,243        18,557
Heritage Commerce Corp.   1,681,145        17,971
Great Southern Bancorp Inc.     302,711        17,727
Brightsphere Investment Group Inc.     982,467        17,694
Community Trust Bancorp Inc.     436,138        17,637
Flushing Financial Corp.     829,044        17,625
Camden National Corp.     397,052        17,490
Cowen Inc. Class A     736,215        17,441
Old Second Bancorp Inc.   1,275,595        17,067
* MBIA Inc.   1,381,672        17,064
TrustCo Bank Corp.     545,231        16,815
Northfield Bancorp Inc.   1,272,874        16,586
Central Pacific Financial Corp.     772,162        16,563
First Bancshares Inc.     576,125        16,477
Dynex Capital Inc.   1,032,144        16,432
TPG RE Finance Trust Inc.   1,816,543        16,367
HCI Group Inc.     237,701        16,107
*,1 Marathon Digital Holdings Inc.   2,968,256        15,850
Cambridge Bancorp     187,772        15,529
*,1 Oscar Health Inc. Class A   3,618,343        15,378
Byline Bancorp Inc.     644,447        15,338
* CrossFirst Bankshares Inc.   1,158,387        15,291
Diamond Hill Investment Group Inc.      87,521        15,197
* Ambac Financial Group Inc.   1,332,545        15,124
*,1 Riot Blockchain Inc.   3,548,257        14,867
1 Orchid Island Capital Inc.   5,205,932        14,837
Granite Point Mortgage Trust Inc.   1,542,525        14,762
1 Invesco Mortgage Capital Inc.   1,001,844        14,707
Midland States Bancorp Inc.     605,594        14,558
* SiriusPoint Ltd.   2,665,000        14,444
Bank First Corp.     189,999        14,404
1 CBTX Inc.     539,023        14,333
 
23

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
*,1 CBL & Associates Properties Inc.     606,800        14,254
Peapack-Gladstone Financial Corp.     477,690        14,187
* LendingTree Inc.     319,452        13,998
* World Acceptance Corp.     124,692        13,995
Bank of Marin Bancorp     426,894        13,567
Mercantile Bank Corp.     424,074        13,549
First Financial Corp.     303,859        13,522
Farmers National Banc Corp.     895,587        13,434
Business First Bancshares Inc.     622,921        13,274
BrightSpire Capital Inc. Class A   1,758,048        13,273
First Community Bankshares Inc.     439,750        12,933
Equity Bancshares Inc. Class A     432,117        12,601
Hingham Institution For Savings      43,253        12,274
Republic Bancorp Inc. Class A     253,793        12,246
* AssetMark Financial Holdings Inc.     640,865        12,029
Arrow Financial Corp.     372,188        11,839
Financial Institutions Inc.     450,573        11,724
P10 Inc. Class A   1,053,805        11,718
* Coastal Financial Corp.     303,462        11,568
* EZCORP Inc. Class A   1,538,575        11,555
Independent Bank Corp. (Michigan)     598,641        11,542
National Western Life Group Inc. Class A      55,873        11,325
Metrocity Bankshares Inc.     554,638        11,265
Farmers & Merchants Bancorp Inc.     333,453        11,067
CNB Financial Corp.     455,730        11,024
First of Long Island Corp.     623,888        10,937
Bar Harbor Bankshares     412,183        10,659
Capital City Bank Group Inc.     378,412        10,554
HomeTrust Bancshares Inc.     417,531        10,438
1st Source Corp.     229,330        10,412
Universal Insurance Holdings Inc.     798,817        10,409
          Shares Market
Value

($000)
American National Bankshares Inc.     296,822        10,273
Waterstone Financial Inc.     600,218        10,234
* Blue Foundry Bancorp     844,405        10,124
Peoples Financial Services Corp.     179,285        10,011
Citizens & Northern Corp.     409,413         9,896
* Southern First Bancshares Inc.     226,710         9,882
Southern Missouri Bancorp Inc.     217,810         9,858
Merchants Bancorp     434,604         9,852
Mid Penn Bancorp Inc.     365,174         9,849
Capstar Financial Holdings Inc.     501,215         9,834
SmartFinancial Inc.     401,450         9,699
West Bancorp Inc.     398,357         9,696
First Internet Bancorp     263,312         9,695
Shore Bancshares Inc.     509,859         9,432
MVB Financial Corp.     302,098         9,398
Primis Financial Corp.     682,667         9,305
* Bridgewater Bancshares Inc.     573,719         9,260
* Carter Bankshares Inc.     688,089         9,083
Alerus Financial Corp.     380,671         9,064
RBB Bancorp     435,114         8,994
First Bancorp Inc.     295,916         8,916
Guaranty Bancshares Inc.     245,483         8,899
1 UWM Holdings Corp. Class A   2,484,100         8,794
Sierra Bancorp     393,731         8,556
MidWestOne Financial Group Inc.     286,575         8,517
Civista Bancshares Inc.     398,946         8,482
Summit Financial Group Inc.     304,535         8,460
Enterprise Bancorp Inc.     255,668         8,230
Macatawa Bank Corp.     924,057         8,169
*,1 Hippo Holdings Inc.   9,247,900         8,125
Amalgamated Financial Corp.     404,457         8,000
BayCom Corp.     386,727         7,998
Regional Management Corp.     211,580         7,907
1 John Marshall Bancorp Inc.     346,600         7,812
 
24

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Donegal Group Inc. Class A     455,553         7,767
1 Five Star Bancorp     293,908         7,765
* Third Coast Bancshares Inc.     351,900         7,707
PCSB Financial Corp.     400,428         7,644
Northeast Bank     204,444         7,468
Orrstown Financial Services Inc.     307,627         7,435
* Professional Holding Corp. Class A     367,867         7,376
* SWK Holdings Corp.     422,178         7,375
BCB Bancorp Inc.     430,285         7,328
1 GCM Grosvenor Inc. Class A   1,068,829         7,321
Northrim Bancorp Inc.     176,916         7,123
AFC Gamma Inc.     464,341         7,118
Blue Ridge Bankshares Inc.     462,864         7,091
South Plains Financial Inc.     292,506         7,061
Oppenheimer Holdings Inc. Class A     213,217         7,045
First Bank     503,770         7,043
ACNB Corp.     236,741         7,029
Home Bancorp Inc.     205,685         7,020
1 Colony Bankcorp Inc.     463,412         6,993
Red River Bancshares Inc.     127,746         6,909
Esquire Financial Holdings Inc.     206,705         6,883
* FVCBankcorp Inc.     360,895         6,796
Provident Bancorp Inc.     432,492         6,790
* eHealth Inc.     718,465         6,703
Tiptree Inc. Class A     630,245         6,693
PCB Bancorp     355,560         6,642
Codorus Valley Bancorp Inc.     285,570         6,428
* Oportun Financial Corp.     776,546         6,422
First Business Financial Services Inc.     205,340         6,405
Parke Bancorp Inc.     290,867         6,097
* First Western Financial Inc.     220,842         6,005
Great Ajax Corp.     625,287         5,997
* Clearwater Analytics Holdings Inc. Class A     497,034         5,984
Investors Title Co.      37,598         5,899
HBT Financial Inc.     330,067         5,898
Ames National Corp.     265,164         5,881
          Shares Market
Value

($000)
*,1 Ponce Financial Group Inc.     628,749         5,810
Investar Holding Corp.     262,066         5,739
FS Bancorp Inc.     199,645         5,732
Community Financial Corp.     155,233         5,725
Unity Bancorp Inc.     216,027         5,720
*,1 Citizens Inc. Class A   1,340,088         5,615
* Ocwen Financial Corp.     204,363         5,600
Manning & Napier Inc. Class A     447,715         5,583
National Bankshares Inc.     173,594         5,451
* Greenlight Capital Re Ltd. Class A     694,791         5,371
Bankwell Financial Group Inc.     172,076         5,343
1 Capital Bancorp Inc.     244,721         5,310
1 Fidelity D&D Bancorp Inc.     129,702         5,279
Crawford & Co. Class B     746,601         5,264
Timberland Bancorp Inc.     207,724         5,193
MainStreet Bancshares Inc.     225,063         5,125
Meridian Corp.     167,194         5,066
Evans Bancorp Inc.     146,463         4,978
Norwood Financial Corp.     198,755         4,822
William Penn Bancorp     410,356         4,801
Northeast Community Bancorp Inc.     404,845         4,765
Greene County Bancorp Inc.     105,184         4,764
Territorial Bancorp Inc.     226,146         4,715
Bank of Princeton     170,560         4,684
Richmond Mutual Bancorp Inc.     333,035         4,656
Chemung Financial Corp.      98,140         4,613
C&F Financial Corp.      99,227         4,561
1 Southern States Bancshares Inc.     197,192         4,435
Eagle Bancorp Montana Inc.     222,646         4,433
OP Bancorp     422,079         4,428
Penns Woods Bancorp Inc.     189,259         4,370
LCNB Corp.     291,615         4,360
* Republic First Bancorp Inc.   1,142,193         4,352
 
25

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Central Valley Community Bancorp     300,097         4,351
Nexpoint Real Estate Finance Inc.     213,897         4,336
Sachem Capital Corp.   1,059,367         4,322
1 ESSA Bancorp Inc.     253,876         4,265
Plumas Bancorp     148,640         4,242
*,1 Hagerty Inc. Class A     363,800         4,180
Medallion Financial Corp.     650,658         4,164
AG Mortgage Investment Trust Inc.     615,108         4,152
Silvercrest Asset Management Group Inc. Class A     249,318         4,091
1 First Guaranty Bancshares Inc.     167,977         4,084
1 Orange County Bancorp Inc.     107,232         4,072
Sculptor Capital Management Inc. Class A     486,498         4,062
Western New England Bancorp Inc.     541,360         4,039
*,1 Sunlight Financial Holdings Inc.   1,368,600         4,037
1 Hawthorn Bancshares Inc.     157,895         4,025
* Consumer Portfolio Services Inc.     390,029         3,998
*,1 Doma Holdings Inc.   3,869,974         3,986
First Savings Financial Group Inc.     165,222         3,955
* NI Holdings Inc.     240,510         3,952
FNCB Bancorp Inc.     493,500         3,948
Citizens Community Bancorp Inc.     282,098         3,901
ChoiceOne Financial Services Inc.     192,470         3,876
Luther Burbank Corp.     295,282         3,853
1 Finward Bancorp     101,400         3,801
* California Bancorp     198,314         3,770
* Pioneer Bancorp Inc.     382,436         3,748
Peoples Bancorp of North Carolina Inc.     137,293         3,729
Riverview Bancorp Inc.     558,880         3,677
* Root Inc. Class A   3,078,300         3,663
Salisbury Bancorp Inc.      77,320         3,651
First Financial Northwest Inc.     230,131         3,576
First Community Corp.     186,158         3,569
Greenhill & Co. Inc.     386,465         3,563
          Shares Market
Value

($000)
* Maiden Holdings Ltd.   1,833,912         3,558
First United Corp.     188,149         3,530
*,1 Bakkt Holdings Inc.   1,675,400         3,518
Seven Hills Realty Trust     324,696         3,468
1 Cherry Hill Mortgage Investment Corp.     540,434         3,459
First Northwest Bancorp     219,290         3,421
* Sterling Bancorp Inc.     588,889         3,357
*,1 MarketWise Inc.     929,154         3,345
SB Financial Group Inc.     192,368         3,320
* Trean Insurance Group Inc.     530,381         3,304
Middlefield Banc Corp.     129,280         3,258
Pzena Investment Management Inc. Class A     493,761         3,254
Federal Agricultural Mortgage Corp. Class A      35,555         3,235
1 Chicago Atlantic Real Estate Finance Inc.     213,600         3,217
Curo Group Holdings Corp.     575,636         3,183
1 CB Financial Services Inc.     137,667         3,147
Oak Valley Bancorp     182,519         3,139
* Arlington Asset Investment Corp. Class A     964,778         3,136
Westwood Holdings Group Inc.     222,721         3,074
HMN Financial Inc.     132,983         3,069
First National Corp.     167,836         3,063
Ohio Valley Banc Corp.     101,374         3,059
Partners Bancorp     320,406         2,895
BankFinancial Corp.     308,169         2,894
1 Angel Oak Mortgage Inc.     216,627         2,807
Guild Holdings Co. Class A     271,900         2,771
Summit State Bank     181,477         2,762
Prudential Bancorp Inc.     179,178         2,711
Limestone Bancorp Inc.     146,744         2,702
1 Ellington Residential Mortgage REIT     361,184         2,698
United Security Bancshares     348,691         2,657
Provident Financial Holdings Inc.     178,916         2,653
 
26

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
GAMCO Investors Inc. Class A     121,387         2,537
* Bogota Financial Corp.     223,811         2,509
Bank7 Corp.     109,773         2,507
* Security National Financial Corp. Class A     293,859         2,486
* Velocity Financial Inc.     225,504         2,478
Randolph Bancorp Inc.      92,565         2,448
Citizens Holding Co.     130,509         2,388
Landmark Bancorp Inc.      92,095         2,334
* Kingsway Financial Services Inc.     391,450         2,231
1 Union Bankshares Inc.      85,053         2,224
*,1 BM Technologies Inc.     352,423         2,076
1 TC Bancshares Inc.     151,263         2,057
* Catalyst Bancorp Inc.     151,200         2,046
Sound Financial Bancorp Inc.      53,437         2,028
*,1 NSTS Bancorp Inc.     186,636         2,021
* ACRES Commercial Realty Corp.     245,355         2,009
Heritage Insurance Holdings Inc.     757,606         2,000
* Elevate Credit Inc.     834,643         1,970
*,1 Romeo Power Inc.   4,109,562         1,844
1 Bayfirst Financial Corp.      95,510         1,810
Associated Capital Group Inc. Class A      48,920         1,753
Lument Finance Trust Inc.     736,731         1,753
* Finwise Bancorp     186,587         1,741
Auburn National Bancorp Inc.      63,021         1,704
Western Asset Mortgage Capital Corp.   1,397,650         1,691
* MetroMile Inc.   1,800,516         1,652
1 IF Bancorp Inc.      85,645         1,627
US Global Investors Inc. Class A     363,058         1,590
Cullman Bancorp Inc.     139,542         1,578
CF Bankshares Inc.      74,786         1,571
* USCB Financial Holdings Inc.     130,762         1,509
* Heritage Global Inc.     983,242         1,475
United Bancshares Inc.      51,141         1,455
* Rhinebeck Bancorp Inc.     154,020         1,446
          Shares Market
Value

($000)
1 Hennessy Advisors Inc.     138,296         1,444
Manhattan Bridge Capital Inc.     253,648         1,420
AmeriServ Financial Inc.     351,198         1,384
* Great Elm Group Inc.     643,568         1,384
* Safeguard Scientifics Inc.     370,901         1,383
* Nicholas Financial Inc.     148,305         1,382
loanDepot Inc. Class A     959,700         1,382
* Patriot National Bancorp Inc.     101,605         1,237
* Broadway Financial Corp.   1,113,701         1,181
*,1 GoHealth Inc. Class A   1,812,700         1,084
*,1 OppFi Inc.     280,326           922
* Affinity Bancshares Inc.      61,760           917
* FFBW Inc.      70,764           859
* Ashford Inc.      60,865           850
Kingstone Cos. Inc.     202,353           797
* Generations Bancorp NY Inc.      67,225           766
* Hallmark Financial Services Inc.     312,490           756
*,1 Finance of America Cos. Inc. Class A     441,495           693
Lake Shore Bancorp Inc.      49,379           691
United Insurance Holdings Corp.     437,240           682
*,1 Midwest Holding Inc.      54,219           651
*,1 Carver Bancorp Inc.     112,506           648
Mid-Southern Bancorp Inc.      33,699           471
* Oxbridge Re Holdings Ltd.     132,133           441
* Biorestorative Therapies Inc.     121,046           361
Kentucky First Federal Bancorp      44,526           355
1895 Bancorp of Wisconsin Inc.      31,035           318
*,1 Reliance Global Group Inc.     149,985           313
Oconee Federal Financial Corp.      13,431           297
* PB Bankshares Inc.      22,518           296
Village Bank & Trust Financial Corp.       5,510           257
*,1 Blackboxstocks Inc.     139,866           207
First Capital Inc.       7,533           204
* OptimumBank Holdings Inc.      48,881           196
 
27

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
*,1,2 Palisade Bio Inc. CVR     204,224           196
* First Seacoast Bancorp      18,095           193
* NeuroOne Medical Technologies Corp.     231,480           190
* LM Funding America Inc.     226,285           184
* Impac Mortgage Holdings Inc.     244,016           142
* Texas Community Bancshares Inc.       7,372           121
Atlantic American Corp.      36,081            96
* FG Financial Group Inc.      34,257            50
Cincinnati Bancorp Inc.       3,324            49
* Siebert Financial Corp.      22,140            34
* Vericity Inc.       1,936            14
* CFSB Bancorp Inc.         536             5
*,1,2 Cogent Biosciences Inc. CVR     400,874            —
                      123,414,533
Health Care (14.2%)
UnitedHealth Group Inc.  27,661,599    14,207,827
Johnson & Johnson  77,587,134    13,772,492
Pfizer Inc. 165,450,615     8,674,576
Eli Lilly & Co.  25,215,442     8,175,603
AbbVie Inc.  52,102,462     7,980,013
Merck & Co. Inc.  74,561,132     6,797,738
Thermo Fisher Scientific Inc.  11,541,426     6,270,226
Abbott Laboratories  51,622,863     5,608,824
Danaher Corp.  19,291,375     4,890,749
Bristol-Myers Squibb Co.  62,767,327     4,833,084
Amgen Inc.  15,747,839     3,831,449
Medtronic plc  39,552,065     3,549,798
Elevance Health Inc.   7,108,553     3,430,445
Cigna Corp.   9,356,323     2,465,578
Gilead Sciences Inc.  36,977,238     2,285,563
Zoetis Inc.  12,491,900     2,147,233
* Vertex Pharmaceuticals Inc.   7,540,462     2,124,827
* Intuitive Surgical Inc.  10,585,160     2,124,547
Becton Dickinson & Co.   8,404,638     2,071,995
Stryker Corp.  10,033,715     1,996,007
* Regeneron Pharmaceuticals Inc.   3,025,654     1,788,555
Humana Inc.   3,730,057     1,745,928
* Edwards Lifesciences Corp.  18,332,739     1,743,260
          Shares Market
Value

($000)
* Boston Scientific Corp.  42,147,555     1,570,839
* Centene Corp.  17,251,995     1,459,691
* Moderna Inc.   9,969,380     1,424,126
* IQVIA Holdings Inc.   5,580,091     1,210,824
HCA Healthcare Inc.   6,535,533     1,098,362
Agilent Technologies Inc.   8,814,202     1,046,863
Baxter International Inc.  14,845,328       953,515
ResMed Inc.   4,314,905       904,534
* Biogen Inc.   4,319,668       880,953
* IDEXX Laboratories Inc.   2,477,084       868,788
* Dexcom Inc.  11,578,010       862,909
* Illumina Inc.   4,632,272       854,006
* Veeva Systems Inc. Class A   4,125,268       816,968
* Seagen Inc.   4,072,984       720,674
West Pharmaceutical Services Inc.   2,184,481       660,522
Zimmer Biomet Holdings Inc.   6,179,952       649,266
Laboratory Corp. of America Holdings   2,747,873       643,992
STERIS plc   2,953,805       608,927
* Avantor Inc.  17,868,769       555,719
* Align Technology Inc.   2,324,546       550,150
* Horizon Therapeutics plc   6,780,935       540,847
* Catalent Inc.   5,024,242       539,051
1 PerkinElmer Inc.   3,720,993       529,200
* Alnylam Pharmaceuticals Inc.   3,565,094       519,969
* Hologic Inc.   7,347,931       509,212
* Molina Healthcare Inc.   1,731,543       484,157
Quest Diagnostics Inc.   3,461,072       460,253
Cooper Cos. Inc.   1,453,267       455,047
* BioMarin Pharmaceutical Inc.   5,450,933       451,719
* Insulet Corp.   2,043,076       445,268
Royalty Pharma plc Class A  10,278,817       432,121
* Incyte Corp.   5,545,907       421,323
Cardinal Health Inc.   8,036,473       420,066
Bio-Techne Corp.   1,156,692       400,956
Viatris Inc.  35,742,586       374,225
Teleflex Inc.   1,382,320       339,843
* Charles River Laboratories International Inc.   1,497,390       320,397
* ABIOMED Inc.   1,275,839       315,783
* United Therapeutics Corp.   1,336,207       314,864
* Henry Schein Inc.   4,068,109       312,187
 
28

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Bio-Rad Laboratories Inc. Class A     623,960       308,860
* Neurocrine Biosciences Inc.   2,820,626       274,955
* Jazz Pharmaceuticals plc   1,745,037       272,243
* Repligen Corp.   1,634,437       265,433
* Elanco Animal Health Inc.  13,304,638       261,170
Organon & Co.   7,476,631       252,336
DENTSPLY SIRONA Inc.   6,341,901       226,596
* Syneos Health Inc.   3,029,551       217,158
Chemed Corp.     442,237       207,582
* Exact Sciences Corp.   5,200,880       204,863
* Exelixis Inc.   9,435,071       196,438
Bruker Corp.   3,086,930       193,736
* Masimo Corp.   1,471,238       192,247
* Shockwave Medical Inc.   1,004,062       191,947
Universal Health Services Inc. Class B   1,877,389       189,072
* Envista Holdings Corp.   4,801,754       185,060
* Sarepta Therapeutics Inc.   2,457,274       184,197
* Novocure Ltd.   2,623,025       182,300
* Acadia Healthcare Co. Inc.   2,672,223       180,722
* Halozyme Therapeutics Inc.   4,067,364       178,964
* Tenet Healthcare Corp.   3,182,005       167,246
Encompass Health Corp.   2,946,213       165,135
Perrigo Co. plc   3,971,496       161,124
* HealthEquity Inc.   2,492,751       153,030
* Inspire Medical Systems Inc.     811,909       148,311
* Omnicell Inc.   1,301,937       148,095
* Alkermes plc   4,814,166       143,414
* Intra-Cellular Therapies Inc.   2,498,723       142,627
* Teladoc Health Inc.   4,278,946       142,104
* LHC Group Inc.     867,993       135,181
* QuidelOrtho Corp.   1,379,465       134,056
* DaVita Inc.   1,671,542       133,656
* Globus Medical Inc. Class A   2,342,350       131,500
* agilon health Inc.   6,021,041       131,439
* Penumbra Inc.   1,055,330       131,410
* Ionis Pharmaceuticals Inc.   3,544,794       131,228
* Lantheus Holdings Inc.   1,918,792       126,698
          Shares Market
Value

($000)
* Apellis Pharmaceuticals Inc.   2,665,085       120,515
* Medpace Holdings Inc.     792,478       118,610
*,1 Novavax Inc.   2,299,481       118,262
Premier Inc. Class A   3,308,349       118,042
* Option Care Health Inc.   4,243,477       117,926
* Ultragenyx Pharmaceutical Inc.   1,960,464       116,961
* Guardant Health Inc.   2,849,658       114,955
Ensign Group Inc.   1,560,585       114,656
* 10X Genomics Inc. Class A   2,495,705       112,931
* Integra LifeSciences Holdings Corp.   2,082,949       112,542
* Tandem Diabetes Care Inc.   1,888,883       111,803
* ICU Medical Inc.     668,162       109,839
* Arrowhead Pharmaceuticals Inc.   2,958,021       104,152
* Intellia Therapeutics Inc.   2,009,474       104,010
* Amedisys Inc.     957,948       100,699
* STAAR Surgical Co.   1,413,287       100,244
* Mirati Therapeutics Inc.   1,472,008        98,816
* Haemonetics Corp.   1,511,245        98,503
* Cytokinetics Inc.   2,395,650        94,125
* Turning Point Therapeutics Inc.   1,242,248        93,479
* Maravai LifeSciences Holdings Inc. Class A   3,289,480        93,454
* Merit Medical Systems Inc.   1,679,254        91,133
* Natera Inc.   2,559,547        90,710
* iRhythm Technologies Inc.     832,896        89,978
* Blueprint Medicines Corp.   1,769,003        89,352
* Amicus Therapeutics Inc.   8,264,428        88,760
* Prestige Consumer Healthcare Inc.   1,484,561        87,292
* R1 RCM Inc.   4,138,270        86,738
*,1 Doximity Inc. Class A   2,476,947        86,247
* Inari Medical Inc.   1,250,993        85,055
* PTC Therapeutics Inc.   2,110,295        84,538
* Karuna Therapeutics Inc.     664,410        84,054
CONMED Corp.     871,875        83,491
Patterson Cos. Inc.   2,593,796        78,592
*,1 Neogen Corp.   3,181,742        76,648
* NuVasive Inc.   1,542,846        75,846
* Denali Therapeutics Inc.   2,556,091        75,226
 
29

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Evolent Health Inc. Class A   2,445,039        75,087
* Enovis Corp.   1,355,588        74,557
* Pacira BioSciences Inc.   1,270,906        74,094
Select Medical Holdings Corp.   3,083,620        72,835
* Certara Inc.   3,301,027        70,840
* Integer Holdings Corp.     985,536        69,638
* Insmed Inc.   3,528,855        69,589
*,1 Ginkgo Bioworks Holdings Inc.  28,954,936        68,913
Owens & Minor Inc.   2,141,030        67,335
* Axonics Inc.   1,178,104        66,763
*,1 Beam Therapeutics Inc.   1,656,931        64,140
*,1 Global Blood Therapeutics Inc.   1,914,910        61,181
* Fate Therapeutics Inc.   2,448,022        60,662
* Glaukos Corp.   1,333,374        60,562
* Corcept Therapeutics Inc.   2,517,483        59,866
* Progyny Inc.   2,037,940        59,202
* BioCryst Pharmaceuticals Inc.   5,466,494        57,835
* Sotera Health Co.   2,930,476        57,408
*,1 Multiplan Corp.  10,414,716        57,177
* Vir Biotechnology Inc.   2,143,958        54,607
* Pediatrix Medical Group Inc.   2,594,588        54,512
* AtriCure Inc.   1,297,608        53,020
* Arvinas Inc.   1,256,593        52,890
* Oak Street Health Inc.   3,203,198        52,661
* Twist Bioscience Corp.   1,494,250        52,239
* ACADIA Pharmaceuticals Inc.   3,571,294        50,320
* Xencor Inc.   1,762,529        48,240
* Sage Therapeutics Inc.   1,476,428        47,689
* ChemoCentryx Inc.   1,884,650        46,702
* Iovance Biotherapeutics Inc.   4,157,971        45,904
* Nevro Corp.   1,038,275        45,508
*,1 Travere Therapeutics Inc.   1,872,945        45,381
* Apollo Medical Holdings Inc.   1,152,978        44,493
* Ironwood Pharmaceuticals Inc. Class A   3,849,446        44,384
* Dynavax Technologies Corp.   3,523,643        44,363
* Supernus Pharmaceuticals Inc.   1,508,232        43,618
          Shares Market
Value

($000)
* Embecta Corp.   1,697,119        42,971
* Harmony Biosciences Holdings Inc.     868,228        42,343
* Veracyte Inc.   2,125,758        42,303
* CorVel Corp.     286,459        42,187
* Ligand Pharmaceuticals Inc.     471,068        42,029
* Privia Health Group Inc.   1,437,057        41,847
US Physical Therapy Inc.     379,789        41,473
* Emergent BioSolutions Inc.   1,333,782        41,401
* Myriad Genetics Inc.   2,253,680        40,949
* Cerevel Therapeutics Holdings Inc.   1,535,610        40,602
* Zentalis Pharmaceuticals Inc.   1,438,841        40,431
* 1Life Healthcare Inc.   5,137,332        40,277
* Krystal Biotech Inc.     601,831        39,516
* Meridian Bioscience Inc.   1,297,385        39,466
* Addus HomeCare Corp.     472,066        39,314
* Avanos Medical Inc.   1,391,395        38,041
* Amphastar Pharmaceuticals Inc.   1,091,904        37,987
Healthcare Services Group Inc.   2,174,885        37,865
* Arcus Biosciences Inc.   1,480,054        37,505
* Celldex Therapeutics Inc.   1,391,112        37,504
* Relay Therapeutics Inc.   2,235,323        37,442
* Phreesia Inc.   1,458,839        36,486
* Agios Pharmaceuticals Inc.   1,632,717        36,197
* AdaptHealth Corp. Class A   1,981,082        35,739
* Silk Road Medical Inc.     981,327        35,710
* Surgery Partners Inc.   1,201,278        34,741
* Vericel Corp.   1,377,226        34,679
* OPKO Health Inc.  13,603,337        34,416
* Kura Oncology Inc.   1,864,148        34,170
* REVOLUTION Medicines Inc.   1,751,776        34,142
* Natus Medical Inc.   1,028,193        33,694
* CareDx Inc.   1,562,516        33,563
* IVERIC bio Inc.   3,450,345        33,192
* Axsome Therapeutics Inc.     858,432        32,878
* Fulgent Genetics Inc.     579,285        31,588
* ModivCare Inc.     373,717        31,579
 
30

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
*,1 Cassava Sciences Inc.   1,118,805        31,461
* Allogene Therapeutics Inc.   2,745,421        31,298
* Adaptive Biotechnologies Corp.   3,797,523        30,722
* Syndax Pharmaceuticals Inc.   1,567,980        30,168
*,1 PROCEPT BioRobotics Corp.     909,624        29,736
* Pacific Biosciences of California Inc.   6,603,203        29,186
* ImmunoGen Inc.   6,455,819        29,051
* Heska Corp.     304,394        28,768
* Revance Therapeutics Inc.   2,078,757        28,728
*,1 Signify Health Inc. Class A   2,074,458        28,628
* NeoGenomics Inc.   3,500,254        28,527
National HealthCare Corp.     407,961        28,516
* REGENXBIO Inc.   1,138,327        28,117
* Vaxcyte Inc.   1,284,437        27,949
* Enanta Pharmaceuticals Inc.     588,474        27,817
* Bridgebio Pharma Inc.   3,057,814        27,765
* Avid Bioservices Inc.   1,812,153        27,653
*,1 Sierra Oncology Inc.     502,514        27,633
* Innoviva Inc.   1,870,204        27,604
* NextGen Healthcare Inc.   1,580,808        27,569
* Madrigal Pharmaceuticals Inc.     378,298        27,079
*,1 MannKind Corp.   7,039,716        26,821
* Cerus Corp.   5,067,379        26,806
*,1 Warby Parker Inc. Class A   2,379,361        26,792
LeMaitre Vascular Inc.     586,826        26,730
* FibroGen Inc.   2,464,850        26,029
*,1 Lyell Immunopharma Inc.   3,983,110        25,970
* Chinook Therapeutics Inc.   1,443,297        25,243
* Crinetics Pharmaceuticals Inc.   1,351,049        25,197
* Varex Imaging Corp.   1,173,064        25,092
Atrion Corp.      39,874        25,075
* Alignment Healthcare Inc.   2,190,465        24,993
* TransMedics Group Inc.     782,268        24,602
* Aclaris Therapeutics Inc.   1,762,139        24,599
* Prometheus Biosciences Inc.     859,803        24,272
          Shares Market
Value

($000)
* RadNet Inc.   1,400,910        24,208
* Reata Pharmaceuticals Inc. Class A     787,842        23,943
* American Well Corp. Class A   5,533,256        23,904
* Editas Medicine Inc.   2,008,676        23,763
* Brookdale Senior Living Inc.   5,221,341        23,705
* Cytek Biosciences Inc.   2,177,772        23,367
*,1 Day One Biopharmaceuticals Inc.   1,269,958        22,732
* Arcutis Biotherapeutics Inc.   1,057,909        22,544
*,1 Anavex Life Sciences Corp.   2,208,051        22,103
* Health Catalyst Inc.   1,519,093        22,012
*,1 Sorrento Therapeutics Inc.  10,897,884        21,905
* SpringWorks Therapeutics Inc.     873,526        21,506
*,1 Clover Health Investments Corp. Class A  10,044,218        21,495
*,1 Cano Health Inc.   4,885,443        21,398
* Artivion Inc.   1,122,964        21,202
National Research Corp.     545,812        20,894
* Outset Medical Inc.   1,398,400        20,780
* Nektar Therapeutics   5,458,211        20,741
* Atara Biotherapeutics Inc.   2,644,849        20,603
* AngioDynamics Inc.   1,059,646        20,504
* Avidity Biosciences Inc.   1,400,247        20,346
* Agiliti Inc.     974,046        19,978
*,1 Recursion Pharmaceuticals Inc. Class A   2,412,021        19,634
* Codexis Inc.   1,819,587        19,033
* Catalyst Pharmaceuticals Inc.   2,710,113        18,998
* Replimune Group Inc.   1,080,034        18,879
* Deciphera Pharmaceuticals Inc.   1,406,706        18,498
* Rocket Pharmaceuticals Inc.   1,343,499        18,487
* Cutera Inc.     490,713        18,402
* SomaLogic Inc.   4,037,666        18,250
*,1 OrthoPediatrics Corp.     416,503        17,972
* NanoString Technologies Inc.   1,409,303        17,898
* Vanda Pharmaceuticals Inc.   1,580,624        17,229
* Alector Inc.   1,692,262        17,193
 
31

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Kymera Therapeutics Inc.     858,484        16,904
*,1 Geron Corp.  10,873,146        16,853
* Relmada Therapeutics Inc.     885,498        16,816
* Cardiovascular Systems Inc.   1,154,296        16,576
* Collegium Pharmaceutical Inc.     933,947        16,550
*,1 Invitae Corp.   6,770,166        16,519
*,1 Sana Biotechnology Inc.   2,545,521        16,368
*,1 CTI BioPharma Corp.   2,724,988        16,268
*,1 PMV Pharmaceuticals Inc.   1,137,856        16,214
* Coherus Biosciences Inc.   2,231,936        16,159
* UFP Technologies Inc.     203,026        16,155
* TG Therapeutics Inc.   3,773,314        16,037
* Gossamer Bio Inc.   1,898,257        15,888
* Morphic Holding Inc.     731,406        15,871
*,1 DocGo Inc.   2,218,700        15,842
*,1 Hims & Hers Health Inc.   3,490,673        15,813
* Quanterix Corp.     969,609        15,698
* HealthStream Inc.     721,647        15,667
* Hanger Inc.   1,090,339        15,614
* Y-mAbs Therapeutics Inc.   1,031,165        15,602
* Inogen Inc.     642,417        15,534
*,1 Cogent Biosciences Inc.   1,705,281        15,382
* Atea Pharmaceuticals Inc.   2,161,700        15,348
* BioLife Solutions Inc.   1,108,483        15,308
* Treace Medical Concepts Inc.   1,056,080        15,144
* Nurix Therapeutics Inc.   1,187,325        15,043
* iTeos Therapeutics Inc.     728,057        14,998
* Ideaya Biosciences Inc.   1,081,855        14,930
* Theravance Biopharma Inc.   1,645,524        14,908
* Castle Biosciences Inc.     672,900        14,770
*,1 Ocugen Inc.   6,502,105        14,760
*,1 23andMe Holding Co.   5,950,940        14,758
* 2seventy bio Inc.   1,108,184        14,628
* Sangamo Therapeutics Inc.   3,524,496        14,591
* Pulmonx Corp.     982,682        14,465
* Surmodics Inc.     388,090        14,449
*,1 908 Devices Inc.     694,030        14,290
          Shares Market
Value

($000)
* Agenus Inc.   7,342,543        14,245
* Community Health Systems Inc.   3,758,555        14,095
* Eagle Pharmaceuticals Inc.     314,910        13,991
* Radius Health Inc.   1,333,182        13,825
*,1 RAPT Therapeutics Inc.     754,217        13,764
* Altimmune Inc.   1,170,080        13,690
*,1 Nuvation Bio Inc.   4,178,976        13,540
* NGM Biopharmaceuticals Inc.   1,050,056        13,462
* ViewRay Inc.   5,064,514        13,421
* PetIQ Inc. Class A     798,896        13,413
* Seer Inc. Class A   1,498,596        13,412
*,1 Senseonics Holdings Inc.  12,943,615        13,332
1 SIGA Technologies Inc.   1,149,664        13,313
*,1 Point Biopharma Global Inc. Class A   1,945,226        13,247
* OptimizeRx Corp.     482,016        13,202
*,1 DICE Therapeutics Inc.     843,216        13,087
*,1 Vaxart Inc.   3,736,520        13,078
* Computer Programs & Systems Inc.     407,736        13,035
*,1 Sharecare Inc.   8,244,900        13,027
* Kezar Life Sciences Inc.   1,570,781        12,990
* GoodRx Holdings Inc. Class A   2,191,447        12,973
* Orthofix Medical Inc.     546,188        12,857
*,1 Butterfly Network Inc.   4,177,854        12,826
* Evolus Inc.   1,102,093        12,784
* Amneal Pharmaceuticals Inc.   3,989,978        12,688
*,1 MaxCyte Inc.   2,648,741        12,529
* Cara Therapeutics Inc.   1,354,313        12,365
* Zimvie Inc.     766,945        12,279
*,1 LifeStance Health Group Inc.   2,202,200        12,244
*,1 Verve Therapeutics Inc.     798,389        12,199
*,1 Bionano Genomics Inc.   8,817,496        12,168
*,1 Mirum Pharmaceuticals Inc.     624,930        12,161
* Keros Therapeutics Inc.     434,835        12,014
*,1 Bright Health Group Inc.   6,558,800        11,937
* Accolade Inc.   1,611,597        11,926
* Mersana Therapeutics Inc.   2,573,923        11,892
 
32

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
*,1 Esperion Therapeutics Inc.   1,865,500        11,865
*,1 Cullinan Oncology Inc.     922,529        11,827
* Albireo Pharma Inc.     593,770        11,792
* Alphatec Holdings Inc.   1,800,917        11,778
* SI-BONE Inc.     885,948        11,695
*,1 Inovio Pharmaceuticals Inc.   6,754,452        11,685
* ANI Pharmaceuticals Inc.     389,590        11,559
* AnaptysBio Inc.     544,680        11,057
*,1 Adicet Bio Inc.     756,118        11,039
Phibro Animal Health Corp. Class A     574,011        10,981
* Aerie Pharmaceuticals Inc.   1,445,441        10,841
*,1 Monte Rosa Therapeutics Inc.   1,107,911        10,713
*,1 Paragon 28 Inc.     673,990        10,696
*,1 ADMA Biologics Inc.   5,384,321        10,661
* Arcturus Therapeutics Holdings Inc.     651,067        10,248
*,1 Erasca Inc.   1,829,716        10,192
* Protagonist Therapeutics Inc.   1,255,025         9,927
* Anika Therapeutics Inc.     438,739         9,793
*,1 Nkarta Inc.     793,900         9,781
* Pennant Group Inc.     758,088         9,711
*,1 Intercept Pharmaceuticals Inc.     692,841         9,568
*,1 Imago Biosciences Inc.     693,290         9,283
* Ocular Therapeutix Inc.   2,307,462         9,276
*,1 Tricida Inc.     952,536         9,221
* Organogenesis Holdings Inc. Class A   1,884,061         9,194
* Inhibrx Inc.     805,703         9,145
*,1 ClearPoint Neuro Inc.     700,605         9,143
*,1 C4 Therapeutics Inc.   1,211,593         9,135
*,1 Karyopharm Therapeutics Inc.   2,008,895         9,060
*,1 Viridian Therapeutics Inc.     781,842         9,046
*,1 Arbutus Biopharma Corp.   3,300,543         8,944
*,1 ImmunityBio Inc.   2,397,295         8,918
* Generation Bio Co.   1,356,025         8,896
* Arcellx Inc.     491,720         8,890
* Bluebird Bio Inc.   2,117,029         8,764
*,1 Heron Therapeutics Inc.   3,096,070         8,638
* MiMedx Group Inc.   2,478,082         8,599
          Shares Market
Value

($000)
Utah Medical Products Inc.      96,930         8,326
* Kiniksa Pharmaceuticals Ltd. Class A     844,389         8,182
* Stoke Therapeutics Inc.     615,840         8,135
* Axogen Inc.     990,595         8,113
*,1 Kinnate Biopharma Inc.     637,863         8,043
*,1 Bioxcel Therapeutics Inc.     607,409         8,018
*,1 Nuvalent Inc. Class A     586,382         7,951
*,1 Akero Therapeutics Inc.     828,109         7,826
* Sight Sciences Inc.     863,824         7,766
*,1 Tango Therapeutics Inc.   1,700,696         7,704
* Eiger BioPharmaceuticals Inc.   1,215,424         7,657
*,1 Caribou Biosciences Inc.   1,392,175         7,559
* Berkeley Lights Inc.   1,519,989         7,554
*,1 Foghorn Therapeutics Inc.     550,850         7,492
* Akoya Biosciences Inc.     577,915         7,426
*,1 Clovis Oncology Inc.   4,080,067         7,344
*,1 Phathom Pharmaceuticals Inc.     868,958         7,334
*,1 Ventyx Biosciences Inc.     598,984         7,326
*,1 Entrada Therapeutics Inc.     600,633         7,316
* Seres Therapeutics Inc.   2,122,402         7,280
* Edgewise Therapeutics Inc.     910,498         7,248
* KalVista Pharmaceuticals Inc.     733,821         7,221
*,1 Alaunos Therapeutics Inc.   5,807,002         7,201
*,1 CinCor Pharma Inc.     380,124         7,162
* Epizyme Inc.   4,856,374         7,139
* Cymabay Therapeutics Inc.   2,398,201         7,075
*,1 Instil Bio Inc.   1,524,376         7,043
* Kodiak Sciences Inc.     918,447         7,017
*,1 EyePoint Pharmaceuticals Inc.     890,209         7,006
*,1 Cue Health Inc.   2,170,291         6,945
iRadimed Corp.     204,005         6,924
*,1 AVEO Pharmaceuticals Inc.   1,039,472         6,819
*,1 Liquidia Corp.   1,531,173         6,676
* Forma Therapeutics Holdings Inc.     960,968         6,621
 
33

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
*,1 RxSight Inc.     468,338         6,594
* Joint Corp.     426,404         6,528
*,1 Amylyx Pharmaceuticals Inc.     334,925         6,451
* Viking Therapeutics Inc.   2,231,261         6,448
*,1 Zomedica Corp.  29,069,093         6,398
* Aldeyra Therapeutics Inc.   1,600,376         6,385
*,1 Lineage Cell Therapeutics Inc.   3,973,146         6,278
*,1 Rhythm Pharmaceuticals Inc.   1,511,958         6,275
* Sutro Biopharma Inc.   1,190,896         6,205
*,1 Biomea Fusion Inc.     515,522         6,176
*,1 Quantum-Si Inc.   2,632,911         6,108
* Verastem Inc.   5,204,312         6,037
*,1 Provention Bio Inc.   1,501,571         6,006
*,1 Oncology Institute Inc.   1,187,000         6,006
*,1 Xeris Biopharma Holdings Inc.   3,886,246         5,985
*,1 CareMax Inc.   1,642,830         5,963
1 Zynex Inc.     732,906         5,849
* OraSure Technologies Inc.   2,157,546         5,847
*,1 Co-Diagnostics Inc.   1,036,562         5,815
* Design Therapeutics Inc.     411,201         5,757
*,1 Pliant Therapeutics Inc.     718,287         5,753
*,1 Harrow Health Inc.     783,528         5,704
* 4D Molecular Therapeutics Inc.     808,600         5,644
*,1 Marinus Pharmaceuticals Inc.   1,164,657         5,637
* Vera Therapeutics Inc. Class A     409,785         5,577
* Rigel Pharmaceuticals Inc.   4,929,056         5,570
*,1 Dyne Therapeutics Inc.     807,332         5,546
* Apyx Medical Corp.     945,007         5,538
*,1 Celularity Inc. Class A   1,625,100         5,525
*,1 VistaGen Therapeutics Inc.   6,255,056         5,504
*,1 Aadi Bioscience Inc.     445,926         5,494
* SeaSpine Holdings Corp.     961,674         5,433
*,1 Voyager Therapeutics Inc.     907,575         5,364
*,1 CEL - SCI Corp.   1,185,498         5,335
*,1 Adagio Therapeutics Inc.   1,620,200         5,314
*,1 Century Therapeutics Inc.     625,729         5,256
          Shares Market
Value

($000)
* Inotiv Inc.     545,733         5,239
*,1 G1 Therapeutics Inc.   1,058,647         5,230
*,1 IGM Biosciences Inc.     286,115         5,159
* MacroGenics Inc.   1,747,951         5,156
*,1 Sesen Bio Inc.   6,362,488         5,156
*,1 Accuray Inc.   2,563,805         5,025
*,1 Beyond Air Inc.     749,067         5,011
*,1 Gritstone bio Inc.   2,055,190         4,974
*,1 Tarsus Pharmaceuticals Inc.     339,949         4,963
*,1 Sema4 Holdings Corp.   3,937,054         4,961
* Savara Inc.   3,255,385         4,948
* Viemed Healthcare Inc.     907,059         4,880
* Immunovant Inc.   1,248,873         4,871
* Concert Pharmaceuticals Inc.   1,153,883         4,858
*,1 XOMA Corp.     216,811         4,831
* Chimerix Inc.   2,318,360         4,822
*,1 Omeros Corp.   1,752,301         4,819
*,1 Optinose Inc.   1,313,189         4,806
*,1 Humacyte Inc.   1,480,153         4,751
*,1 Talkspace Inc.   2,783,922         4,733
*,1 DermTech Inc.     849,123         4,704
* InfuSystem Holdings Inc.     481,310         4,635
*,1 Scholar Rock Holding Corp.     844,240         4,635
*,1 Janux Therapeutics Inc.     374,211         4,569
* Convey Health Solutions Holdings Inc.     434,812         4,522
*,1 Matinas BioPharma Holdings Inc.   5,707,558         4,509
*,1 Aerovate Therapeutics Inc.     284,834         4,452
*,1 CorMedix Inc.   1,073,491         4,315
* Aura Biosciences Inc.     301,493         4,272
*,1 Tenaya Therapeutics Inc.     751,697         4,232
* Semler Scientific Inc.     150,000         4,227
*,1 Spectrum Pharmaceuticals Inc.   5,348,837         4,172
*,1 HilleVax Inc.     381,574         4,171
*,1 Absci Corp.   1,251,097         4,154
* Tactile Systems Technology Inc.     567,780         4,145
* Fulcrum Therapeutics Inc.     842,002         4,126
*,1 Atossa Therapeutics Inc.   3,779,376         4,120
* ORIC Pharmaceuticals Inc.     912,634         4,089
*,1 Assertio Holdings Inc.   1,382,248         4,078
 
34

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
*,1 Inozyme Pharma Inc.     842,985         4,021
*,1 KemPharm Inc.     899,394         4,011
* Ovid therapeutics Inc.   1,851,578         3,981
*,1 Vicarious Surgical Inc.   1,352,238         3,976
*,1 Lexicon Pharmaceuticals Inc.   2,121,674         3,946
*,1 Selecta Biosciences Inc.   3,006,164         3,938
*,1 Standard BioTools Inc.   2,459,896         3,936
* ALX Oncology Holdings Inc.     485,900         3,931
* Olema Pharmaceuticals Inc.     957,400         3,897
* Compass Therapeutics Inc.   1,467,991         3,890
*,1 Science 37 Holdings Inc.   1,879,700         3,778
* Personalis Inc.   1,090,454         3,762
*,1 Rallybio Corp.     495,505         3,741
* Kronos Bio Inc.   1,025,067         3,731
*,1 Impel Pharmaceuticals Inc.     396,809         3,698
*,1 Prelude Therapeutics Inc.     704,828         3,679
* F-star Therapeutics Inc.     576,669         3,610
*,1 Precigen Inc.   2,686,063         3,599
*,1 Singular Genomics Systems Inc.     940,051         3,591
* Avita Medical Inc.     755,807         3,590
*,1 Allakos Inc.   1,146,584         3,589
* CytomX Therapeutics Inc.   1,946,133         3,561
*,1 Outlook Therapeutics Inc.   3,489,864         3,560
* Actinium Pharmaceuticals Inc.     732,773         3,525
* Bioventus Inc. Class A     516,233         3,521
XBiotech Inc.     622,546         3,505
* Harvard Bioscience Inc.     963,445         3,468
*,1 Citius Pharmaceuticals Inc.   3,762,882         3,462
*,1 Annexon Inc.     915,149         3,450
* Talaris Therapeutics Inc.     764,850         3,449
*,1 Immuneering Corp. Class A     614,133         3,322
*,2 PDL BioPharma Inc.   2,258,201         3,320
*,1 Allovir Inc.     851,259         3,320
*,1 ContraFect Corp.   1,071,148         3,288
*,1 Puma Biotechnology Inc.   1,141,707         3,254
          Shares Market
Value

($000)
*,1 P3 Health Partners Inc.     866,984         3,225
* Apollo Endosurgery Inc.     876,959         3,201
*,1 Inmune Bio Inc.     361,452         3,195
*,1 Adverum Biotechnologies Inc.   2,661,554         3,194
* Alpine Immune Sciences Inc.     374,429         3,186
*,1 TFF Pharmaceuticals Inc.     562,689         3,179
* Otonomy Inc.   1,513,558         3,148
* Passage Bio Inc.   1,323,044         3,122
* Silverback Therapeutics Inc.     729,100         3,091
*,1 Icosavax Inc.     535,192         3,067
*,1 Durect Corp.   6,409,232         3,064
*,1 Nautilus Biotechnology Inc. Class A   1,137,499         3,060
*,1 ATI Physical Therapy Inc.   2,163,064         3,050
*,1 SmileDirectClub Inc. Class A   2,899,100         3,015
*,1 Endo International plc   6,458,450         3,008
*,1 Humanigen Inc.   1,692,661         2,996
* Athira Pharma Inc.     980,862         2,992
* Shattuck Labs Inc.     731,691         2,971
* Sensus Healthcare Inc.     385,579         2,961
*,1 Dare Bioscience Inc.   2,375,133         2,921
*,1 Asensus Surgical Inc.   7,337,446         2,921
* Aveanna Healthcare Holdings Inc.   1,284,770         2,904
*,1 MediciNova Inc.   1,146,273         2,900
* Assembly Biosciences Inc.   1,377,385         2,892
* Jounce Therapeutics Inc.     950,782         2,881
* CytoSorbents Corp.   1,302,216         2,852
* Anixa Biosciences Inc.     927,841         2,839
*,1 iCAD Inc.     695,170         2,781
*,1 Oncocyte Corp.   3,079,720         2,771
*,1 Innovage Holding Corp.     630,750         2,763
* Rezolute Inc.     841,974         2,720
*,1 Biora Therapeutics Inc.   3,875,866         2,713
* Taysha Gene Therapies Inc.     729,014         2,712
*,1 89bio Inc.     841,218         2,709
*,1 Capricor Therapeutics Inc.     767,235         2,678
*,1 Tyra Biosciences Inc.     372,899         2,666
*,1 Leap Therapeutics Inc.   2,289,511         2,633
 
35

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* BrainStorm Cell Therapeutics Inc.     951,371         2,626
*,1 PepGen Inc.     261,706         2,599
* Praxis Precision Medicines Inc.   1,056,207         2,588
* FONAR Corp.     169,673         2,577
*,1 Bright Green Corp.   1,158,400         2,572
*,1 Paratek Pharmaceuticals Inc.   1,332,372         2,571
*,1 PDS Biotechnology Corp.     700,502         2,557
* Stereotaxis Inc.   1,387,817         2,554
*,1 Akouos Inc.     538,627         2,526
* Curis Inc.   2,561,141         2,521
* Homology Medicines Inc.   1,278,035         2,518
* TCR2 Therapeutics Inc.     868,012         2,517
*,1 Cardiff Oncology Inc.   1,137,935         2,503
* NextCure Inc.     530,127         2,492
*,1 Celcuity Inc.     273,679         2,490
*,1 TherapeuticsMD Inc.     249,657         2,484
* BioAtla Inc.     866,299         2,469
* Finch Therapeutics Group Inc.     855,860         2,431
* Cue Biopharma Inc.     975,866         2,430
*,1 Vor BioPharma Inc.     488,541         2,428
*,1 Rani Therapeutics Holdings Inc. Class A     234,033         2,418
*,1 GT Biopharma Inc.     804,500         2,405
*,1 Greenwich Lifesciences Inc.     282,263         2,391
*,1 Rapid Micro Biosystems Inc. Class A     552,656         2,376
*,1 Vaxxinity Inc. Class A   1,489,274         2,338
*,1 Acumen Pharmaceuticals Inc.     491,029         2,308
*,1 Neuronetics Inc.     718,657         2,307
*,1 Ardelyx Inc.   3,888,128         2,294
* Poseida Therapeutics Inc.     888,597         2,293
*,1 Ikena Oncology Inc.     517,075         2,291
*,1 Graphite Bio Inc.     832,638         2,290
*,1 Omega Therapeutics Inc.     602,610         2,290
* scPharmaceuticals Inc.     473,934         2,284
*,1 Seelos Therapeutics Inc.   3,356,797         2,284
*,1 MEI Pharma Inc.   3,716,487         2,248
*,1 Trevena Inc.   5,425,457         2,246
*,1 Theseus Pharmaceuticals Inc.     405,973         2,245
*,1 ChromaDex Corp.   1,336,529         2,232
*,1 Forian Inc.     507,760         2,229
          Shares Market
Value

($000)
*,1 Viracta Therapeutics Inc.     573,758         2,226
*,1 Precision BioSciences Inc.   1,383,195         2,213
* Merrimack Pharmaceuticals Inc.     369,998         2,201
* Champions Oncology Inc.     267,822         2,167
* Enzo Biochem Inc.   1,040,908         2,155
*,1 PAVmed Inc.   2,295,296         2,145
* MyMD Pharmaceuticals Inc.     986,327         2,140
* KORU Medical Systems Inc.     842,318         2,131
* Satsuma Pharmaceuticals Inc.     511,816         2,119
*,1 Hookipa Pharma Inc.   1,292,935         2,107
*,1 9 Meters Biopharma Inc.   8,032,011         2,095
*,1 SQZ Biotechnologies Co.     657,886         2,092
*,1 aTyr Pharma Inc.     737,935         2,088
* Surface Oncology Inc.   1,270,553         2,084
*,1 Immunic Inc.     594,425         2,063
*,1 Adamis Pharmaceuticals Corp.   4,096,010         2,052
*,1 Oyster Point Pharma Inc.     471,778         2,043
*,1 Checkpoint Therapeutics Inc.   1,977,366         2,037
* Decibel Therapeutics Inc.     483,353         2,035
* Clearside Biomedical Inc.   1,383,654         2,034
*,1 Applied Molecular Transport Inc.     694,700         2,022
*,1 iBio Inc.   7,575,444         2,000
*,1 Evelo Biosciences Inc.     927,862         1,958
*,1 Lyra Therapeutics Inc.     346,241         1,956
* Vapotherm Inc.     762,684         1,930
* Lipocine Inc.   2,398,282         1,921
* CVRx Inc.     316,346         1,901
*,1 Pardes Biosciences Inc. Class A     615,600         1,890
* Exagen Inc.     326,266         1,873
*,1 Frequency Therapeutics Inc.   1,246,700         1,870
* Electromed Inc.     193,554         1,866
*,1 Akebia Therapeutics Inc.   5,269,064         1,860
*,1 Tela Bio Inc.     261,147         1,857
*,1 Rain Therapeutics Inc.     333,919         1,857
* LENSAR Inc.     282,930         1,842
 
36

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
*,1 Annovis Bio Inc.     161,007         1,826
*,1 Dyadic International Inc.     596,383         1,819
*,1 Conformis Inc.   5,130,275         1,815
* Tabula Rasa HealthCare Inc.     703,744         1,809
*,1 NightHawk Biosciences Inc.     705,534         1,799
*,1 Athersys Inc.   6,827,073         1,775
*,1 PLx Pharma Inc.     728,870         1,771
*,1 Fortress Biotech Inc.   2,099,871         1,764
*,1 Accelerate Diagnostics Inc.   1,775,761         1,763
* Synlogic Inc.   1,521,748         1,750
*,1 Palatin Technologies Inc.   6,167,581         1,731
* Alpha Teknova Inc.     200,207         1,682
* Magenta Therapeutics Inc.   1,377,271         1,653
* Pyxis Oncology Inc.     680,619         1,620
*,1 Infinity Pharmaceuticals Inc.   2,515,625         1,591
*,1 Oncternal Therapeutics Inc.   1,431,597         1,589
*,1 Genprex Inc.   1,127,072         1,567
*,1 Cyteir Therapeutics Inc.     523,811         1,566
*,1 Verrica Pharmaceuticals Inc.     814,672         1,564
*,1 Galectin Therapeutics Inc.   1,189,409         1,559
*,1 Syros Pharmaceuticals Inc.   1,617,578         1,557
*,1 Atreca Inc. Class A     861,960         1,543
*,1 La Jolla Pharmaceutical Co.     478,002         1,525
*,1 Eton Pharmaceuticals Inc.     575,285         1,507
*,1 Retractable Technologies Inc.     392,689         1,504
* Catalyst Biosciences Inc.     826,502         1,471
*,1 Zynerba Pharmaceuticals Inc.   1,289,801         1,470
* Lantern Pharma Inc.     256,113         1,462
*,1 Sanara Medtech Inc.      69,768         1,455
* Opiant Pharmaceuticals Inc.     120,263         1,442
* Lumos Pharma Inc.     187,322         1,442
*,1 Sientra Inc.   1,714,886         1,437
*,1 Bolt Biotherapeutics Inc.     697,404         1,423
* Harpoon Therapeutics Inc.     744,184         1,421
* Orgenesis Inc.     566,688         1,371
* Movano Inc.     562,483         1,344
          Shares Market
Value

($000)
* Astria Therapeutics Inc.     445,544         1,337
* PharmaCyte Biotech Inc.     590,900         1,335
* Codiak Biosciences Inc.     460,648         1,327
*,1 Milestone Scientific Inc.   1,447,898         1,326
*,1 SELLAS Life Sciences Group Inc.     592,271         1,321
*,1 SCYNEXIS Inc.     705,096         1,311
*,1 Invacare Corp.   1,023,221         1,310
* Pro-Dex Inc.      80,220         1,293
*,1 Evofem Biosciences Inc.   1,137,243         1,285
*,1 Novan Inc.     545,361         1,271
* Thorne HealthTech Inc.     260,095         1,259
*,1 Oragenics Inc.   3,556,869         1,233
* Context Therapeutics Inc.     573,400         1,216
*,1 Sensei Biotherapeutics Inc.     534,441         1,213
* Eyenovia Inc.     617,303         1,204
*,1 Clene Inc.     473,227         1,193
* ImmuCell Corp.     136,425         1,186
*,1 Hepion Pharmaceuticals Inc.   2,070,833         1,186
*,1 Equillium Inc.     570,835         1,164
*,1 Cortexyme Inc.     522,600         1,160
*,1 Werewolf Therapeutics Inc.     275,778         1,128
* Achieve Life Sciences Inc.     230,562         1,125
* Eledon Pharmaceuticals Inc.     459,998         1,122
*,1 IsoRay Inc.   3,609,244         1,115
* Rubius Therapeutics Inc.   1,298,772         1,105
* Biomerica Inc.     374,536         1,082
*,1 AN2 Therapeutics Inc.     139,378         1,080
*,1 Athenex Inc.   2,588,657         1,060
*,1 T2 Biosystems Inc.   6,549,709         1,058
*,1 Second Sight Medical Products Inc.     520,091         1,056
Psychemedics Corp.     165,415         1,049
*,1 Applied Genetic Technologies Corp.   1,340,980         1,033
* Molecular Templates Inc.   1,130,895         1,031
* DiaMedica Therapeutics Inc.     506,271         1,023
*,1 AIM ImmunoTech Inc.   1,311,599         1,023
*,1 Delcath Systems Inc.     255,213         1,018
 
37

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Solid Biosciences Inc.   1,640,949         1,010
* Black Diamond Therapeutics Inc.     392,280           965
* Armata Pharmaceuticals Inc.     247,561           963
* IRIDEX Corp.     373,047           959
* UpHealth Inc.   1,610,354           954
* Caladrius Biosciences Inc.   1,775,055           941
* Cocrystal Pharma Inc.   2,296,304           941
* Axcella Health Inc.     462,695           939
*,1 Pear Therapeutics Inc.     609,168           938
*,1 Aspira Women's Health Inc.   1,594,611           937
* Virios Therapeutics Inc.     220,868           934
* Avalo Therapeutics Inc.   1,844,625           922
* CareCloud Inc.     266,292           912
*,1,2 Tobira Therapeutics Inc. CVR Exp. 12/31/28     201,001           911
* Societal CDMO Inc.   1,130,309           899
*,1 Ampio Pharmaceuticals Inc.   5,318,665           894
*,1 NeuroPace Inc.     180,700           894
* Moleculin Biotech Inc.     616,108           893
* Cabaletta Bio Inc.     837,026           887
* Cidara Therapeutics Inc.   1,796,543           878
* AirSculpt Technologies Inc.     148,100           878
*,1 Candel Therapeutics Inc.     269,900           874
* Ocuphire Pharma Inc.     451,409           867
*,1 Synaptogenix Inc.     171,031           865
* Lucira Health Inc.     464,745           864
* Longboard Pharmaceuticals Inc.     278,227           860
*,1 Tonix Pharmaceuticals Holding Corp.     537,707           850
* Corvus Pharmaceuticals Inc.     853,716           845
* Processa Pharmaceuticals Inc.     299,657           842
* Minerva Surgical Inc.     355,599           836
* Protara Therapeutics Inc.     284,301           833
*,1 Aligos Therapeutics Inc.     684,900           829
*,1 enVVeno Medical Corp.     216,998           820
          Shares Market
Value

($000)
*,1 Vigil Neuroscience Inc.     316,982           818
* Biolase Inc.     175,629           804
*,1 NeuroMetrix Inc.     217,846           802
*,1 Microbot Medical Inc.     153,549           788
* Xilio Therapeutics Inc.     267,195           780
* Aptinyx Inc. Class A   1,388,650           775
*,1 ARCA biopharma Inc.     311,254           775
*,1 Enochian Biosciences Inc.     394,800           762
*,1 Immunome Inc.     230,251           739
*,1 Soligenix Inc.   1,217,959           731
*,1 Summit Therapeutics Inc.     731,303           731
* Angion Biomedica Corp.     641,473           731
* Synthetic Biologics Inc.   3,308,735           706
* Precipio Inc.     662,055           702
*,1 Longeveron Inc.     118,115           700
*,1 Gemini Therapeutics Inc. Class A     413,417           699
*,1 PhaseBio Pharmaceuticals Inc.   1,156,526           694
* ElectroCore Inc.   1,341,498           684
*,1 Sonida Senior Living Inc.      32,536           683
* Cyclerion Therapeutics Inc.   1,241,708           681
* BioCardia Inc.     457,496           677
*,1 Tyme Technologies Inc.   2,398,710           672
* Entasis Therapeutics Holdings Inc.     304,345           670
*,1 NeuBase Therapeutics Inc.     638,405           670
* Aeglea BioTherapeutics Inc.   1,313,273           663
*,1 Lucid Diagnostics Inc.     286,266           647
* Five Star Senior Living Inc.     537,058           644
* Larimar Therapeutics Inc.     328,248           643
*,1 180 Life Sciences Corp.     751,668           637
* Mustang Bio Inc.   1,080,162           632
* Daxor Corp.      47,328           624
*,1 Corbus Pharmaceuticals Holdings Inc.   2,433,477           614
* Tracon Pharmaceuticals Inc.     306,490           613
* Terns Pharmaceuticals Inc.     246,704           612
 
38

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Neoleukin Therapeutics Inc.     590,859           609
*,1 Miromatrix Medical Inc.     152,729           609
* TScan Therapeutics Inc.     189,878           597
Indaptus Therapeutics Inc.     225,897           590
* GlycoMimetics Inc.     977,976           585
*,1 Cumberland Pharmaceuticals Inc.     280,820           583
*,1 Vaccinex Inc.     534,485           577
*,1 Pulse Biosciences Inc.     374,900           574
*,1 Eliem Therapeutics Inc.     189,734           573
* Strata Skin Sciences Inc.     593,248           570
* Reneo Pharmaceuticals Inc.     214,913           570
* Predictive Oncology Inc.   1,385,931           568
* Aptevo Therapeutics Inc.     158,476           567
*,1 NanoViricides Inc.     300,189           564
*,1 IsoPlexis Corp.     257,515           556
*,1 Adial Pharmaceuticals Inc.     413,497           554
* Modular Medical Inc.     106,826           553
*,1 Sonendo Inc.     314,928           542
*,1 eFFECTOR Therapeutics Inc.     381,429           542
*,1 Surrozen Inc.     183,882           541
* Aquestive Therapeutics Inc.     841,854           539
*,1 Jasper Therapeutics Inc.     274,890           531
*,1 SAB Biotherapeutics Inc.     359,620           521
*,1 Vincerx Pharma Inc.     391,380           517
*,1 Regulus Therapeutics Inc.     249,594           517
*,1 Aytu BioPharma Inc.     741,329           512
*,1 NexImmune Inc.     315,228           508
* CASI Pharmaceuticals Inc.     176,058           504
*,1 Vivos Therapeutics Inc.     389,733           503
* Spero Therapeutics Inc.     677,888           502
* Renovacor Inc.     247,032           501
*,1 Sio Gene Therapies Inc.   1,382,708           498
* Aileron Therapeutics Inc.   1,898,647           494
*,1 Novo Integrated Sciences Inc.     255,940           479
* Alimera Sciences Inc.      87,148           477
          Shares Market
Value

($000)
* Bio-Path Holdings Inc.     121,084           469
*,1 vTv Therapeutics Inc. Class A     625,032           469
* Vyant Bio Inc.     513,412           467
*,1 Elevation Oncology Inc.     332,316           465
*,1 Jaguar Health Inc.   1,571,822           462
*,1 Yumanity Therapeutics Inc.     253,447           461
* Avrobio Inc.     493,752           454
*,1 Chembio Diagnostics Inc.     697,965           454
* Sonnet BioTherapeutics Holdings Inc.   1,620,560           454
*,1 AcelRx Pharmaceuticals Inc.   1,841,806           450
* Aziyo Biologics Inc. Class A      62,866           444
* Minerva Neurosciences Inc.     133,441           442
* UNITY Biotechnology Inc.     764,789           431
* Marker Therapeutics Inc.   1,300,503           429
*,1 Aridis Pharmaceuticals Inc.     388,959           428
* Augmedix Inc.     237,719           428
* Cryo-Cell International Inc.      72,236           426
* Imac Holdings Inc.     508,049           421
*,1 OpGen Inc.     771,353           421
*,1 NRX Pharmaceuticals Inc.     696,162           418
* Xenetic Biosciences Inc.     519,743           416
* Virpax Pharmaceuticals Inc.     247,037           415
*,1 BioSig Technologies Inc.     623,506           410
*,1 Acutus Medical Inc.     364,325           408
* Biocept Inc.     432,578           407
*,1 Eloxx Pharmaceuticals Inc.   1,519,165           406
*,1 VYNE Therapeutics Inc.   1,044,229           406
*,1 Oncorus Inc.     321,132           405
* Cellectar Biosciences Inc.     997,049           403
* Ekso Bionics Holdings Inc.     243,285           401
* ABVC BioPharma Inc.     375,142           398
* X4 Pharmaceuticals Inc.     410,213           396
* Grove Inc.      93,784           394
* Forte Biosciences Inc.     301,270           392
 
39

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Venus Concept Inc.     838,817           389
*,1 Reviva Pharmaceuticals Holdings Inc.     353,326           389
*,1 Codex DNA Inc.     215,522           388
*,1 Galera Therapeutics Inc.     296,842           386
* Graybug Vision Inc.     352,377           384
*,1 Brooklyn ImmunoTherapeutics Inc.     740,159           383
* Better Therapeutics Inc.     242,795           379
*,1 Allena Pharmaceuticals Inc.   1,972,415           377
* NantHealth Inc.     894,094           373
* Plus Therapeutics Inc.     688,832           372
*,1 Clarus Therapeutics Holdings Inc.     973,548           372
*,1 Qualigen Therapeutics Inc.     637,185           363
* Cyclo Therapeutics Inc.     176,807           354
* Inhibikase Therapeutics Inc.     475,753           353
* Acer Therapeutics Inc.     278,634           351
*,1 Eargo Inc.     464,500           349
* Onconova Therapeutics Inc.     254,696           336
* Tempest Therapeutics Inc.     154,654           329
* Aethlon Medical Inc.     292,852           328
* Navidea Biopharmaceuticals Inc.     450,277           324
* OncoSec Medical Inc.     435,534           323
*,1 Diffusion Pharmaceuticals Inc.      48,251           317
*,1 Bellicum Pharmaceuticals Inc.     265,066           313
*,1 Trevi Therapeutics Inc.     108,239           304
* Myomo Inc.     180,412           303
* Surgalign Holdings Inc.      88,716           303
*,1 Idera Pharmaceuticals Inc.     637,169           292
*,1 Organovo Holdings Inc.     162,161           287
*,1 Femasys Inc.     119,185           287
* Kintara Therapeutics Inc.   1,026,487           285
* Aravive Inc.     287,237           284
* Timber Pharmaceuticals Inc.     902,107           284
          Shares Market
Value

($000)
*,1 Marpai Inc. Class A     291,607           282
*,1 cbdMD Inc.     620,260           273
* Sera Prognostics Inc. Class A     162,603           267
* Cohbar Inc.   1,381,105           262
* Talis Biomedical Corp.     322,290           262
*,1 Kala Pharmaceuticals Inc.     858,720           258
* Bellerophon Therapeutics Inc.     209,775           258
*,1 SiNtx Technologies Inc.     594,838           257
*,2 Strongbridge Biopharma plc CVR   1,399,363           253
*,1 TransCode Therapeutics Inc.     200,117           252
* Celsion Corp.     137,780           251
*,1 Abeona Therapeutics Inc.   1,190,090           248
* AgeX Therapeutics Inc.     426,190           246
*,1 Jupiter Wellness Inc.     334,782           243
* Cyclacel Pharmaceuticals Inc.     220,333           238
* ReShape Lifesciences Inc.     411,000           237
* Pulmatrix Inc.      51,423           236
*,1 Brickell Biotech Inc.   1,853,966           234
* Hoth Therapeutics Inc.     550,481           231
* Salarius Pharmaceuticals Inc.   1,085,219           228
* Applied Therapeutics Inc.     238,916           227
* IMARA Inc.     185,653           226
* Soleno Therapeutics Inc.   1,201,052           222
*,1 Artelo Biosciences Inc.     678,172           215
* NanoVibronix Inc.     347,433           214
* TRxADE HEALTH Inc.     128,731           197
*,1 NeuroBo Pharmaceuticals Inc.     409,413           193
* IN8bio Inc.      77,511           188
*,1 Rockwell Medical Inc.     145,503           188
*,1 Metacrine Inc.     368,353           184
* BioVie Inc. Class A     126,527           183
* Biofrontera Inc.      98,114           182
*,2 Ocera Therapeutics Inc. CVR     653,477           176
*,1 Biodesix Inc.     107,416           176
*,1 Windtree Therapeutics Inc.     397,013           166
* INVO BioScience Inc.     248,469           164
 
40

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
*,1 Aditxt Inc.   1,132,345           162
*,1 Ontrak Inc.     151,444           161
*,1 Calithera Biosciences Inc.      64,259           158
*,2 Adamas Pharmaceuticals Inc. CVR   2,522,158           152
*,1 Avinger Inc.     103,661           151
* Geron Corp. Warrants Exp. 12/31/25   1,202,419           150
* ENDRA Life Sciences Inc.     640,847           149
* Cognition Therapeutics Inc.      65,944           140
* HCW Biologics Inc.      63,577           140
* GeoVax Labs Inc.     165,070           137
*,1 Hyperfine Inc. Class A      58,393           130
*,1 Panbela Therapeutics Inc.     196,590           130
*,1 Enveric Biosciences Inc.     563,792           121
* CNS Pharmaceuticals Inc.     422,266           118
* Exicure Inc.      54,676           118
* Nephros Inc.      75,316           115
* Monopar Therapeutics Inc.      52,392           114
* Sigilon Therapeutics Inc.     126,990           105
* Aprea Therapeutics Inc.     141,110           104
*,1 Phio Pharmaceuticals Corp.     141,542           102
* Protagenic Therapeutics Inc.     121,310            87
*,1 Nuvectis Pharma Inc.       7,789            87
* American Shared Hospital Services      36,338            81
* Palisade Bio Inc.     196,415            80
*,1 Lannett Co. Inc.     136,433            79
*,2 Aduro Biotech Inc. CVR     415,255            76
*,1 RA Medical Systems Inc.     237,195            74
*,2 OncoMed Pharmaceuticals Inc. CVR     255,777            67
* NovaBay Pharmaceuticals Inc.     218,047            55
* Tenax Therapeutics Inc.     178,455            54
* iSpecimen Inc.      24,676            54
* Alzamend Neuro Inc.      60,747            52
* Bone Biologics Corp.      33,461            47
* Journey Medical Corp.      10,435            39
          Shares Market
Value

($000)
* Allied Healthcare Products Inc.      21,700            35
*,1,2 Miragen Therapeutics Inc. CVR   1,753,041            35
* Immix Biopharma Inc.      12,776            33
* Lixte Biotechnology Holdings Inc.      32,745            25
* Pasithea Therapeutics Corp.      24,456            25
* Scopus Biopharma Inc.      51,089            22
*,1 Star Equity Holdings Inc.      23,050            21
* RenovoRx Inc.      10,815            21
* Unicycive Therapeutics Inc.      22,695            19
* Landos Biopharma Inc.      22,260            16
* Acurx Pharmaceuticals Inc.       3,126            12
*,2 Alexza Pharmaceuticals Inc. CVR     327,391            11
*,1,2 Oncternal Therapeutics Inc. CVR       8,933             9
* Nutriband Inc.       1,292             5
*,2 F-star Therapeutics Inc. CVR      61,021             4
*,2 Ambit Biosciences Corp. CVR     201,330            —
*,2 Biosante Pharmaceutical Inc. CVR     253,823            —
*,1,2 Synergy Pharmaceuticals LLC   5,148,145            —
* Advaxis Inc. Warrants Exp. 9/11/24     157,660            —
*,2 Lantheus Holdings Inc. CVR   2,319,511            —
*,1,2 Aerpio Pharmaceuticals Inc. CVR   1,201,352            —
* SELLAS Life Sciences Group Inc. Warrants Exp. 4/5/27      40,000            —
                      157,633,292
Industrials (12.7%)
Visa Inc. Class A  48,299,101     9,509,610
Mastercard Inc. Class A  25,605,480     8,078,017
Accenture plc Class A  19,530,930     5,422,763
 
41

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Raytheon Technologies Corp.  43,833,878     4,212,874
United Parcel Service Inc. Class B  21,650,555     3,952,092
Union Pacific Corp.  18,515,427     3,948,970
Honeywell International Inc.  20,069,428     3,488,267
Lockheed Martin Corp.   7,846,147     3,373,529
Caterpillar Inc.  15,725,970     2,811,174
Automatic Data Processing Inc.  12,315,896     2,586,831
Deere & Co.   8,141,460     2,438,123
* Boeing Co.  17,445,484     2,385,147
* PayPal Holdings Inc.  34,149,940     2,385,032
American Express Co.  16,652,607     2,308,384
3M Co.  16,776,410     2,171,035
General Electric Co.  32,458,060     2,066,605
Northrop Grumman Corp.   4,125,682     1,974,428
CSX Corp.  64,094,157     1,862,576
Fidelity National Information Services Inc.  18,009,594     1,650,939
Norfolk Southern Corp.   7,027,504     1,597,281
FedEx Corp.   6,878,822     1,559,498
Sherwin-Williams Co.   6,904,174     1,545,914
General Dynamics Corp.   6,955,826     1,538,977
* Fiserv Inc.  17,152,442     1,526,053
Illinois Tool Works Inc.   8,259,053     1,505,212
Eaton Corp. plc  11,767,599     1,482,600
Emerson Electric Co.  17,510,486     1,392,784
L3Harris Technologies Inc.   5,690,101     1,375,297
Capital One Financial Corp.  11,588,829     1,207,440
Paychex Inc.   9,577,755     1,090,619
Johnson Controls International plc  20,512,360       982,132
Cintas Corp.   2,564,029       957,742
* Block Inc. Class A  15,304,445       940,611
Parker-Hannifin Corp.   3,784,141       931,088
Global Payments Inc.   8,303,706       918,722
Trane Technologies plc   6,897,074       895,723
Carrier Global Corp.  25,014,704       892,024
Otis Worldwide Corp.  12,462,833       880,748
* TransDigm Group Inc.   1,529,450       820,810
Verisk Analytics Inc.   4,654,651       805,674
Cummins Inc.   4,159,683       805,023
PPG Industries Inc.   6,965,700       796,458
Old Dominion Freight Line Inc.   3,009,113       771,175
          Shares Market
Value

($000)
* Mettler-Toledo International Inc.     668,519       767,975
PACCAR Inc.   9,225,072       759,592
DuPont de Nemours Inc.  13,496,395       750,130
AMETEK Inc.   6,809,045       748,246
* Keysight Technologies Inc.   5,306,659       731,523
Rockwell Automation Inc.   3,426,865       683,008
Equifax Inc.   3,608,354       659,535
Ball Corp.   9,430,167       648,513
WW Grainger Inc.   1,355,534       615,995
* Waters Corp.   1,776,440       587,966
Fortive Corp.  10,570,233       574,809
Vulcan Materials Co.   3,920,212       557,062
Martin Marietta Materials Inc.   1,835,792       549,342
Quanta Services Inc.   4,238,786       531,289
* Teledyne Technologies Inc.   1,382,026       518,412
Dover Corp.   4,248,686       515,451
* United Rentals Inc.   2,111,839       512,987
Ingersoll Rand Inc.  11,969,109       503,660
Jacobs Engineering Group Inc.   3,791,037       481,955
Expeditors International of Washington Inc.   4,941,629       481,611
Stanley Black & Decker Inc.   4,447,875       466,404
* Zebra Technologies Corp. Class A   1,547,648       454,931
* FleetCor Technologies Inc.   2,164,871       454,861
TransUnion   5,668,963       453,460
* Trimble Inc.   7,374,549       429,420
Westinghouse Air Brake Technologies Corp.   5,113,848       419,745
Xylem Inc.   5,306,871       414,891
Synchrony Financial  14,772,164       408,007
IDEX Corp.   2,239,292       406,723
* Generac Holdings Inc.   1,881,662       396,240
JB Hunt Transport Services Inc.   2,470,939       389,099
Textron Inc.   6,342,028       387,308
Jack Henry & Associates Inc.   2,147,830       386,652
CH Robinson Worldwide Inc.   3,751,145       380,254
Packaging Corp. of America   2,761,303       379,679
Carlisle Cos. Inc.   1,525,008       363,882
Booz Allen Hamilton Holding Corp.   3,899,310       352,342
 
42

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Masco Corp.   6,960,297       352,191
Howmet Aerospace Inc.  11,099,353       349,075
Crown Holdings Inc.   3,624,712       334,090
* Bill.com Holdings Inc.   2,919,865       321,010
Nordson Corp.   1,537,229       311,197
Snap-on Inc.   1,572,761       309,881
* Fair Isaac Corp.     764,813       306,614
HEICO Corp. Class A   2,902,818       305,899
RPM International Inc.   3,819,125       300,642
Westrock Co.   7,514,577       299,381
Graco Inc.   4,987,062       296,281
Hubbell Inc. Class B   1,584,291       282,923
* Builders FirstSource Inc.   5,085,842       273,110
AECOM   4,162,564       271,482
Huntington Ingalls Industries Inc.   1,181,051       257,257
Allegion plc   2,585,779       253,148
Sealed Air Corp.   4,311,383       248,853
Toro Co.   3,084,436       233,769
Watsco Inc.     977,555       233,460
Robert Half International Inc.   3,090,921       231,479
Genpact Ltd.   5,462,127       231,376
Fortune Brands Home & Security Inc.   3,853,813       230,766
Regal Rexnord Corp.   1,979,371       224,698
Pentair plc   4,873,633       223,066
Tetra Tech Inc.   1,580,494       215,816
Owens Corning   2,867,321       213,071
* WillScot Mobile Mini Holdings Corp.   6,559,566       212,661
Knight-Swift Transportation Holdings Inc. Class A   4,584,053       212,196
Lincoln Electric Holdings Inc.   1,711,601       211,143
* Berry Global Group Inc.   3,848,293       210,271
A O Smith Corp.   3,829,591       209,402
Cognex Corp.   4,872,339       207,172
* WEX Inc.   1,325,245       206,155
* Middleby Corp.   1,605,465       201,261
AptarGroup Inc.   1,937,107       199,929
* Paylocity Holding Corp.   1,137,959       198,483
* Mohawk Industries Inc.   1,592,386       197,599
Lennox International Inc.     955,078       197,310
* Coherent Inc.     729,362       194,171
Sensata Technologies Holding plc   4,621,160       190,900
          Shares Market
Value

($000)
Advanced Drainage Systems Inc.   2,116,347       190,619
Western Union Co.  11,403,574       187,817
Graphic Packaging Holding Co.   9,085,340       186,249
Littelfuse Inc.     731,400       185,805
* Axon Enterprise Inc.   1,992,629       185,653
* FTI Consulting Inc.   1,018,727       184,237
* Trex Co. Inc.   3,332,690       181,365
* Chart Industries Inc.   1,077,913       180,421
Donaldson Co. Inc.   3,646,260       175,531
AGCO Corp.   1,754,309       173,150
MKS Instruments Inc.   1,645,203       168,847
ITT Inc.   2,456,246       165,158
Sonoco Products Co.   2,884,300       164,520
MDU Resources Group Inc.   5,995,980       161,831
* TopBuild Corp.     964,961       161,303
* WESCO International Inc.   1,498,195       160,457
Oshkosh Corp.   1,934,556       158,904
Landstar System Inc.   1,092,645       158,892
Acuity Brands Inc.   1,018,357       156,868
Woodward Inc.   1,694,714       156,744
* XPO Logistics Inc.   3,225,946       155,362
EMCOR Group Inc.   1,505,456       155,002
nVent Electric plc   4,903,297       153,620
Curtiss-Wright Corp.   1,131,160       149,381
BWX Technologies Inc.   2,696,600       148,556
* Saia Inc.     777,503       146,171
Brunswick Corp.   2,229,086       145,738
* AMN Healthcare Services Inc.   1,321,091       144,937
* Axalta Coating Systems Ltd.   6,519,399       144,144
* Euronet Worldwide Inc.   1,413,083       142,142
Valmont Industries Inc.     629,293       141,358
Exponent Inc.   1,526,274       139,608
* GXO Logistics Inc.   3,224,776       139,536
* ExlService Holdings Inc.     935,053       137,761
MSA Safety Inc.   1,101,399       133,346
* ASGN Inc.   1,430,035       129,061
Simpson Manufacturing Co. Inc.   1,273,493       128,126
Louisiana-Pacific Corp.   2,422,924       126,985
Eagle Materials Inc.   1,124,437       123,621
* MasTec Inc.   1,676,477       120,136
ManpowerGroup Inc.   1,552,244       118,607
Crane Holdings Co.   1,325,584       116,068
Maximus Inc.   1,809,795       113,130
 
43

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Flowserve Corp.   3,864,588       110,643
Allison Transmission Holdings Inc.   2,866,350       110,211
Vontier Corp.   4,766,739       109,587
Applied Industrial Technologies Inc.   1,138,873       109,525
* Kirby Corp.   1,778,855       108,226
Insperity Inc.   1,076,804       107,497
* Atkore Inc.   1,275,231       105,857
* Mercury Systems Inc.   1,623,374       104,432
Armstrong World Industries Inc.   1,385,697       103,872
Air Lease Corp. Class A   3,102,643       103,721
John Bean Technologies Corp.     937,689       103,540
* Marqeta Inc. Class A  12,727,167       103,217
Ryder System Inc.   1,434,580       101,941
Silgan Holdings Inc.   2,460,223       101,730
* Fluor Corp.   4,176,642       101,659
MSC Industrial Direct Co. Inc. Class A   1,325,378        99,549
Triton International Ltd.   1,888,137        99,410
Watts Water Technologies Inc. Class A     807,702        99,218
GATX Corp.   1,049,268        98,799
Zurn Elkay Water Solutions Corp.   3,540,090        96,432
*,1 Affirm Holdings Inc. Class A   5,326,962        96,205
HB Fuller Co.   1,568,113        94,416
Korn Ferry   1,589,243        92,208
* Aerojet Rocketdyne Holdings Inc.   2,259,708        91,744
Spirit AeroSystems Holdings Inc. Class A   3,089,618        90,526
* Welbilt Inc.   3,779,824        89,998
Comfort Systems USA Inc.   1,065,949        88,634
* API Group Corp.   5,851,868        87,602
Matson Inc.   1,195,759        87,147
* ACI Worldwide Inc.   3,314,240        85,806
* TriNet Group Inc.   1,104,242        85,711
ABM Industries Inc.   1,971,994        85,624
Franklin Electric Co. Inc.   1,160,761        85,037
Brink's Co.   1,386,274        84,161
HEICO Corp.     638,060        83,662
* Resideo Technologies Inc.   4,300,650        83,519
* Allegheny Technologies Inc.   3,675,330        83,467
          Shares Market
Value

($000)
* Beacon Roofing Supply Inc.   1,621,163        83,263
Otter Tail Corp.   1,233,433        82,800
* Summit Materials Inc. Class A   3,480,861        81,069
EVERTEC Inc.   2,128,157        78,486
UniFirst Corp.     453,297        78,049
Hillenbrand Inc.   1,904,367        78,003
ManTech International Corp. Class A     813,994        77,696
* Dycom Industries Inc.     828,235        77,059
* Meritor Inc.   2,080,941        75,601
* Bloom Energy Corp. Class A   4,541,392        74,933
Albany International Corp. Class A     928,502        73,157
Forward Air Corp.     792,116        72,843
EnerSys   1,200,792        70,799
Badger Meter Inc.     869,498        70,334
Belden Inc.   1,307,638        69,658
Esab Corp.   1,587,476        69,452
AAON Inc.   1,260,864        69,045
* Verra Mobility Corp. Class A   4,381,712        68,837
Herc Holdings Inc.     753,345        67,914
* Hub Group Inc. Class A     957,107        67,897
Moog Inc. Class A     854,386        67,830
Altra Industrial Motion Corp.   1,919,318        67,656
* SPX Corp.   1,279,718        67,620
Werner Enterprises Inc.   1,732,096        66,755
* Itron Inc.   1,330,571        65,770
* O-I Glass Inc.   4,602,154        64,430
Brady Corp. Class A   1,358,526        64,177
Helios Technologies Inc.     964,978        63,930
Federal Signal Corp.   1,788,394        63,667
Kadant Inc.     344,831        62,880
* Air Transport Services Group Inc.   2,084,861        59,898
Trinity Industries Inc.   2,464,742        59,696
* CBIZ Inc.   1,466,180        58,589
Encore Wire Corp.     556,383        57,819
Installed Building Products Inc.     692,060        57,552
* AeroVironment Inc.     696,071        57,217
Kennametal Inc.   2,437,172        56,616
* Alight Inc. Class A   8,246,004        55,661
Mueller Water Products Inc. Class A   4,662,860        54,695
McGrath RentCorp     712,105        54,120
 
44

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* GMS Inc.   1,212,693        53,965
Maxar Technologies Inc.   2,059,625        53,736
* AZEK Co. Inc. Class A   3,192,502        53,442
Terex Corp.   1,948,308        53,325
ESCO Technologies Inc.     763,301        52,187
Bread Financial Holdings Inc.   1,394,408        51,677
* Kratos Defense & Security Solutions Inc.   3,706,694        51,449
* Masonite International Corp.     667,553        51,288
EnPro Industries Inc.     617,629        50,602
Greif Inc. Class A     808,949        50,462
ICF International Inc.     527,690        50,131
* Shift4 Payments Inc. Class A   1,500,262        49,599
* Atlas Air Worldwide Holdings Inc.     793,078        48,941
ArcBest Corp.     686,324        48,297
CSW Industrials Inc.     456,693        47,053
* Cornerstone Building Brands Inc.   1,883,391        46,124
* NV5 Global Inc.     390,016        45,530
* Veritiv Corp.     410,292        44,537
Barnes Group Inc.   1,413,578        44,019
Lindsay Corp.     328,187        43,590
* Hayward Holdings Inc.   3,015,971        43,400
* CryoPort Inc.   1,386,276        42,947
Griffon Corp.   1,529,711        42,878
* MYR Group Inc.     480,567        42,352
* AAR Corp.     983,450        41,148
* Huron Consulting Group Inc.     628,301        40,833
Granite Construction Inc.   1,362,688        39,709
* CoreCivic Inc.   3,572,996        39,696
* Proto Labs Inc.     814,781        38,979
* OSI Systems Inc.     454,099        38,798
ADT Inc.   6,286,432        38,662
* Core & Main Inc. Class A   1,727,865        38,531
TTEC Holdings Inc.     557,182        37,827
* Gibraltar Industries Inc.     965,231        37,403
* Gates Industrial Corp. plc   3,455,137        37,350
* Vicor Corp.     673,691        36,871
* Flywire Corp.   2,081,369        36,695
* JELD-WEN Holding Inc.   2,448,406        35,722
*,1 Nikola Corp.   7,433,169        35,382
*,1 Legalzoom.com Inc.   3,201,651        35,186
          Shares Market
Value

($000)
TriMas Corp.   1,268,218        35,117
Kforce Inc.     572,036        35,089
Alamo Group Inc.     300,167        34,948
Primoris Services Corp.   1,587,278        34,539
*,1 Virgin Galactic Holdings Inc.   5,718,002        34,422
* Green Dot Corp. Class A   1,360,199        34,155
Enerpac Tool Group Corp. Class A   1,791,030        34,065
Patrick Industries Inc.     646,288        33,504
Greenbrier Cos. Inc.     919,276        33,085
* Evo Payments Inc. Class A   1,399,071        32,906
*,1 Hillman Solutions Corp.   3,735,933        32,278
Tennant Co.     523,760        31,033
International Seaways Inc.   1,457,984        30,909
*,1 Joby Aviation Inc.   6,206,150        30,472
Mesa Laboratories Inc.     148,560        30,297
Standex International Corp.     353,961        30,009
* Repay Holdings Corp. Class A   2,322,074        29,839
*,1 TuSimple Holdings Inc. Class A   4,106,188        29,688
* Energy Recovery Inc.   1,517,231        29,465
*,1 Enovix Corp.   3,227,120        28,754
Marten Transport Ltd.   1,706,467        28,703
AZZ Inc.     699,714        28,562
* PGT Innovations Inc.   1,692,027        28,155
* Payoneer Global Inc.   7,090,492        27,795
Deluxe Corp.   1,269,445        27,509
*,1 Proterra Inc.   5,895,417        27,355
Astec Industries Inc.     668,390        27,257
H&E Equipment Services Inc.     914,877        26,504
*,1 Rocket Lab USA Inc.   6,825,603        25,869
Apogee Enterprises Inc.     656,555        25,750
Kaman Corp.     815,171        25,474
Schneider National Inc. Class B   1,124,735        25,172
* Montrose Environmental Group Inc.     741,896        25,046
*,1 PureCycle Technologies Inc.   3,355,841        24,900
Myers Industries Inc.   1,064,279        24,191
* Great Lakes Dredge & Dock Corp.   1,839,344        24,114
 
45

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Construction Partners Inc. Class A   1,141,590        23,905
* Triumph Group Inc.   1,793,753        23,839
* Donnelley Financial Solutions Inc.     799,114        23,406
Quanex Building Products Corp.     998,720        22,721
* Cross Country Healthcare Inc.   1,085,204        22,605
* Titan International Inc.   1,496,376        22,595
Columbus McKinnon Corp.     792,497        22,483
* American Woodmark Corp.     487,146        21,926
*,1 AvidXchange Holdings Inc.   3,487,261        21,412
* ZipRecruiter Inc. Class A   1,430,967        21,207
* SP Plus Corp.     686,415        21,087
* Conduent Inc.   4,781,360        20,655
* First Advantage Corp.   1,578,471        19,999
* International Money Express Inc.     959,962        19,650
Heartland Express Inc.   1,381,733        19,220
* BlueLinx Holdings Inc.     283,621        18,949
Wabash National Corp.   1,392,656        18,912
Heidrick & Struggles International Inc.     580,340        18,780
*,1 Remitly Global Inc.   2,441,869        18,705
*,1 Mirion Technologies Inc.   3,229,881        18,604
* Sterling Infrastructure Inc.     842,196        18,461
Resources Connection Inc.     902,634        18,387
Kelly Services Inc. Class A     921,475        18,273
Douglas Dynamics Inc.     634,490        18,235
CRA International Inc.     202,089        18,051
Insteel Industries Inc.     533,587        17,966
*,1 Aurora Innovation Inc.   9,341,797        17,843
* Cimpress plc     458,443        17,833
Gorman-Rupp Co.     629,205        17,806
* Janus International Group Inc.   1,949,501        17,604
* Napco Security Technologies Inc.     844,758        17,394
Shyft Group Inc.     929,463        17,279
*,1 FARO Technologies Inc.     546,761        16,857
          Shares Market
Value

($000)
* TrueBlue Inc.     941,732        16,857
Chase Corp.     215,986        16,806
Pitney Bowes Inc.   4,633,489        16,773
* BTRS Holdings Inc.   3,290,983        16,389
* Franklin Covey Co.     349,590        16,144
* Forrester Research Inc.     334,971        16,025
Argan Inc.     426,696        15,924
*,1 Desktop Metal Inc. Class A   7,026,006        15,457
* Paya Holdings Inc.   2,334,426        15,337
* Modine Manufacturing Co.   1,447,225        15,239
Ennis Inc.     753,144        15,236
Barrett Business Services Inc.     207,068        15,089
* I3 Verticals Inc. Class A     588,059        14,713
Eagle Bulk Shipping Inc.     283,417        14,704
* DXP Enterprises Inc.     478,217        14,648
* BrightView Holdings Inc.   1,219,101        14,629
* TaskUS Inc. Class A     839,369        14,152
* Ducommun Inc.     309,233        13,309
* Thermon Group Holdings Inc.     932,760        13,105
* Titan Machinery Inc.     579,374        12,984
Cass Information Systems Inc.     374,933        12,673
*,1 CS Disco Inc.     689,476        12,438
Kronos Worldwide Inc.     666,260        12,259
*,1 Workhorse Group Inc.   4,605,908        11,975
*,1 Hyliion Holdings Corp.   3,612,900        11,634
* Transcat Inc.     203,630        11,568
*,1 Danimer Scientific Inc.   2,505,333        11,424
* Vectrus Inc.     335,324        11,220
REV Group Inc.   1,017,861        11,064
VSE Corp.     291,711        10,962
*,1 Archer Aviation Inc. Class A   3,494,180        10,762
Pactiv Evergreen Inc.   1,068,389        10,641
* Tutor Perini Corp.   1,210,073        10,624
National Presto Industries Inc.     156,902        10,299
*,1 Custom Truck One Source Inc.   1,831,243        10,255
* Radiant Logistics Inc.   1,368,861        10,157
* Manitowoc Co. Inc.     964,116        10,152
* Vishay Precision Group Inc.     340,379         9,915
*,1 Microvast Holdings Inc.   4,443,200         9,864
 
46

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Cadre Holdings Inc.     488,900         9,617
*,1 HireRight Holdings Corp.     676,654         9,615
* CIRCOR International Inc.     582,774         9,552
* Willdan Group Inc.     335,760         9,260
* Sterling Check Corp.     566,975         9,247
* Cantaloupe Inc.   1,644,546         9,209
* Advantage Solutions Inc.   2,419,639         9,195
* Babcock & Wilcox Enterprises Inc.   1,489,805         8,984
Allied Motion Technologies Inc.     388,182         8,866
* Ranpak Holdings Corp. Class A   1,252,622         8,768
Hyster-Yale Materials Handling Inc.     269,570         8,686
* Hudson Technologies Inc.   1,149,613         8,634
* Daseke Inc.   1,310,814         8,376
*,1 Aspen Aerogels Inc.     798,243         7,887
Information Services Group Inc.   1,149,523         7,771
*,1 Blade Air Mobility Inc.   1,737,835         7,751
* USA Truck Inc.     243,168         7,640
* Astronics Corp.     748,871         7,616
* Distribution Solutions Group Inc.     144,378         7,420
Covenant Logistics Group Inc. Class A     287,706         7,219
1 Perella Weinberg Partners Class A   1,232,960         7,188
Park Aerospace Corp.     561,647         7,167
* IES Holdings Inc.     235,697         7,111
* ShotSpotter Inc.     260,978         7,023
*,1 PFSweb Inc.     594,902         6,996
Miller Industries Inc.     307,701         6,976
* Infrastructure & Energy Alternatives Inc.     847,683         6,807
*,1 Hyzon Motors Inc.   2,193,000         6,447
* Velo3D Inc.   4,604,936         6,355
Powell Industries Inc.     271,733         6,350
*,1 Paymentus Holdings Inc. Class A     465,000         6,217
*,1 Acacia Research Corp.   1,231,212         6,205
*,1 AEye Inc.   3,244,500         6,197
* DHI Group Inc.   1,239,544         6,161
*,1 Skillsoft Corp.   1,716,308         6,041
United States Lime & Minerals Inc.      53,708         5,672
* AerSale Corp.     387,592         5,624
          Shares Market
Value

($000)
* Vivint Smart Home Inc.   1,564,118         5,443
* Commercial Vehicle Group Inc.     928,491         5,422
* PAM Transportation Services Inc.     196,206         5,374
*,1 Luna Innovations Inc.     909,888         5,305
* Atlanticus Holdings Corp.     150,156         5,281
* Target Hospitality Corp.     883,697         5,046
* CECO Environmental Corp.     843,032         5,041
*,1 BlackSky Technology Inc.   2,138,227         4,939
*,1 Markforged Holding Corp.   2,516,800         4,656
* Performant Financial Corp.   1,765,368         4,643
* Atlas Technical Consultants Inc. Class A     880,011         4,629
* Moneylion Inc.   3,463,658         4,572
*,1 Evolv Technologies Holdings Inc.   1,699,160         4,520
* ServiceSource International Inc.   3,062,915         4,502
LSI Industries Inc.     728,530         4,495
Greif Inc. Class B      72,063         4,489
Universal Logistics Holdings Inc.     163,933         4,477
* Concrete Pumping Holdings Inc.     737,042         4,466
*,1 Sarcos Technology & Robotics Corp.   1,585,038         4,216
*,1 Yellow Corp.   1,438,436         4,215
* Blue Bird Corp.     456,096         4,201
Hurco Cos. Inc.     168,308         4,164
*,1 Velodyne Lidar Inc.   4,327,261         4,133
* RCM Technologies Inc.     201,033         4,069
*,1 Byrna Technologies Inc.     472,114         4,055
1 Park-Ohio Holdings Corp.     249,800         3,962
*,1 Astra Space Inc.   3,043,100         3,956
*,1 Lightning eMotors Inc.   1,424,250         3,945
*,1 Hydrofarm Holdings Group Inc.   1,113,245         3,874
* L B Foster Co. Class A     298,585         3,843
* Iteris Inc.   1,300,466         3,758
* Overseas Shipholding Group Inc. Class A   1,723,796         3,534
BGSF Inc.     281,551         3,480
 
47

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Bowman Consulting Group Ltd. Class A     278,036         3,431
* DLH Holdings Corp.     217,850         3,320
*,1 Latch Inc.   2,820,819         3,216
* Gencor Industries Inc.     312,496         3,175
*,1 Momentus Inc.   1,459,433         3,152
* Mistras Group Inc.     526,942         3,130
*,1 Spire Global Inc.   2,694,292         3,125
* Twin Disc Inc.     342,500         3,103
* Quad/Graphics Inc.   1,103,900         3,036
* Karat Packaging Inc.     171,091         2,919
*,1 View Inc.   1,681,844         2,725
*,1 Xos Inc.   1,445,239         2,659
ARC Document Solutions Inc.   1,010,004         2,656
*,1 Berkshire Grey Inc.   1,800,758         2,611
* Manitex International Inc.     396,585         2,574
* INNOVATE Corp.   1,371,484         2,373
* Hill International Inc.   1,410,112         2,369
* Willis Lease Finance Corp.      62,993         2,361
*,1 BitNile Holdings Inc.   8,879,564         2,358
* Innovative Solutions & Support Inc.     320,858         2,310
* CPI Card Group Inc.     129,785         2,180
* Hudson Global Inc.      66,585         2,091
Graham Corp.     298,776         2,068
*,1 EVI Industries Inc.     205,601         2,054
* US Xpress Enterprises Inc. Class A     737,548         1,977
*,1 Energous Corp.   1,931,682         1,932
1 HireQuest Inc.     136,738         1,927
* Core Molding Technologies Inc.     209,461         1,925
*,1 Rekor Systems Inc.   1,063,950         1,873
* Orion Group Holdings Inc.     803,756         1,833
*,1 Biotricity Inc.   1,017,800         1,802
* Usio Inc.     735,621         1,788
* Smith-Midland Corp.     127,058         1,779
* Mayville Engineering Co. Inc.     223,635         1,731
* Alpha Pro Tech Ltd.     386,631         1,724
*,1 MICT Inc.   3,024,389         1,720
*,1 Redwire Corp.     554,400         1,685
* Frequency Electronics Inc.     228,179         1,666
* GEE Group Inc.   3,114,781         1,626
*,1 Aeroclean Technologies Inc.     123,000         1,611
*,1 Lightbridge Corp.     343,933         1,603
*,1 Agrify Corp.     802,166         1,580
* RF Industries Ltd.     249,088         1,544
          Shares Market
Value

($000)
* Orion Energy Systems Inc.     762,830         1,533
*,1 Orbital Energy Group Inc.   2,332,919         1,469
* Ultralife Corp.     320,851         1,460
* Paysign Inc.     898,624         1,366
*,1 IZEA Worldwide Inc.   1,456,969         1,308
* VirTra Inc.     262,879         1,293
*,1 Eos Energy Enterprises Inc.   1,055,795         1,278
*,1 Wrap Technologies Inc.     665,739         1,238
* Limbach Holdings Inc.     230,117         1,229
* Research Solutions Inc.     684,982         1,212
*,1 FreightCar America Inc.     329,338         1,199
* LS Starrett Co. Class A     164,541         1,155
* Sono-Tek Corp.     157,600         1,150
* Horizon Global Corp.     689,607         1,124
*,1 Katapult Holdings Inc.   1,000,628         1,071
* StarTek Inc.     351,627         1,016
*,1 Odyssey Marine Exploration Inc. Class B     290,463           990
*,1 AgEagle Aerial Systems Inc.   1,524,286           985
*,1 Coda Octopus Group Inc.     183,570           918
*,1 Digital Ally Inc.   1,055,808           835
* ALJ Regional Holdings Inc.     420,907           812
* Priority Technology Holdings Inc.     239,738           791
*,1 AIkido Pharma Inc.     132,561           781
Where Food Comes From Inc.      68,560           740
* LightPath Technologies Inc. Class A     592,317           729
* ClearSign Technologies Corp.     588,394           712
* Sypris Solutions Inc.     286,226           664
*,1 Broadwind Inc.     381,008           625
*,1 Fuel Tech Inc.     473,281           587
* Ballantyne Strong Inc.     226,990           547
* Air T Inc.      32,860           541
* Team Inc.     713,063           530
* Williams Industrial Services Group Inc.     381,626           530
* Espey Manufacturing & Electronics Corp.      36,520           520
*,1 Shapeways Holdings Inc.     433,187           507
 
48

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
*,1 Astrotech Corp.   1,172,756           504
* Air Industries Group     702,427           492
*,1 DSS Inc.   1,333,662           469
Taitron Components Inc. Class A     126,100           460
* Wireless Telecom Group Inc.     339,257           448
* Sidus Space Inc. Class A     134,281           443
Autoscope Technologies Corp.      79,282           433
* CompoSecure Inc.      79,739           415
* TSR Inc.      50,537           376
*,1 TOMI Environmental Solutions Inc.     447,022           318
* Pioneer Power Solutions Inc.     107,157           308
* ENGlobal Corp.     311,944           297
*,1 GreenBox POS     270,686           284
*,1 AmpliTech Group Inc.     132,700           268
* Bio-key International Inc.     138,179           245
*,1 Enjoy Technology Inc.   1,024,765           222
* Jewett-Cameron Trading Co. Ltd.      33,538           211
* SG Blocks Inc.     122,327           204
* ShiftPixy Inc.     588,101           186
* LGL Group Inc.      14,211           184
* Socket Mobile Inc.      59,999           182
*,1 Polar Power Inc.      42,978           116
* P&F Industries Inc. Class A      19,462           111
* Servotronics Inc.       8,333            94
*,1 Applied DNA Sciences Inc.     120,114            89
* Staffing 360 Solutions Inc.       8,944            52
* OLB Group Inc.      45,532            40
* Schmitt Industries Inc.       5,581            22
Ardagh Group SA Class A          37             1
* LGL Group Inc. Warrants Exp. 12/16/25       2,391             1
*,2 Patriot National Inc.     129,819            —
                      140,384,026
Real Estate (3.7%)
American Tower Corp.  13,699,578     3,501,475
Prologis Inc.  21,809,403     2,565,876
Crown Castle International Corp.  12,769,139     2,150,068
Equinix Inc.   2,683,996     1,763,439
Public Storage   4,397,997     1,375,122
Realty Income Corp.  17,717,028     1,209,364
          Shares Market
Value

($000)
Welltower Inc.  13,384,839     1,102,242
Digital Realty Trust Inc.   8,395,010     1,089,924
SBA Communications Corp.   3,179,408     1,017,570
Simon Property Group Inc.   9,687,935       919,579
AvalonBay Communities Inc.   4,120,696       800,445
Equity Residential  10,536,542       760,949
Weyerhaeuser Co.  21,947,386       726,897
* CoStar Group Inc.  11,689,346       706,153
VICI Properties Inc.  23,615,541       703,507
Alexandria Real Estate Equities Inc.   4,812,436       697,948
* CBRE Group Inc. Class A   9,157,634       674,093
Extra Space Storage Inc.   3,960,305       673,727
Invitation Homes Inc.  17,988,276       640,023
Duke Realty Corp.  11,335,606       622,892
Ventas Inc.  11,792,406       606,483
Mid-America Apartment Communities Inc.   3,402,885       594,382
Sun Communities Inc.   3,585,395       571,369
Essex Property Trust Inc.   1,927,591       504,084
WP Carey Inc.   5,686,966       471,222
UDR Inc.   9,390,427       432,335
Camden Property Trust   3,134,737       421,559
Iron Mountain Inc.   8,573,633       417,450
Healthpeak Properties Inc.  15,908,916       412,200
Boston Properties Inc.   4,157,325       369,919
Kimco Realty Corp.  18,204,074       359,895
Equity LifeStyle Properties Inc.   4,933,410       347,657
Host Hotels & Resorts Inc.  21,060,880       330,235
Gaming & Leisure Properties Inc.   6,923,667       317,519
Regency Centers Corp.   5,082,379       301,436
American Homes 4 Rent Class A   8,192,217       290,332
CubeSmart   6,612,184       282,473
Rexford Industrial Realty Inc.   4,860,376       279,909
Life Storage Inc.   2,485,324       277,511
Medical Properties Trust Inc.  17,679,181       269,961
American Campus Communities Inc.   4,105,887       264,707
 
49

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Jones Lang LaSalle Inc.   1,442,204       252,184
Americold Realty Trust Inc.   7,941,527       238,563
Lamar Advertising Co. Class A   2,566,388       225,765
Federal Realty OP LP   2,340,059       224,037
National Retail Properties Inc.   5,183,596       222,895
STORE Capital Corp.   7,842,320       204,528
Omega Healthcare Investors Inc.   6,927,342       195,282
Apartment Income REIT Corp. Class A   4,622,339       192,289
EastGroup Properties Inc.   1,228,769       189,636
Healthcare Trust of America Inc. Class A   6,752,499       188,462
First Industrial Realty Trust Inc.   3,881,252       184,282
Kilroy Realty Corp.   3,442,819       180,163
Brixmor Property Group Inc.   8,831,872       178,492
STAG Industrial Inc.   5,286,663       163,252
Rayonier Inc.   4,316,684       161,358
Agree Realty Corp.   2,216,598       159,883
* Zillow Group Inc. Class C   4,819,261       153,012
Spirit Realty Capital Inc.   3,959,610       149,594
Vornado Realty Trust   5,081,409       145,277
Independence Realty Trust Inc.   6,515,157       135,059
Cousins Properties Inc.   4,404,720       128,750
National Storage Affiliates Trust   2,555,174       127,938
Terreno Realty Corp.   2,229,229       124,235
Healthcare Realty Trust Inc.   4,458,691       121,276
* Ryman Hospitality Properties Inc.   1,540,556       117,128
Physicians Realty Trust   6,661,532       116,244
1 Phillips Edison & Co. Inc.   3,356,342       112,135
Kite Realty Group Trust   6,457,104       111,643
Douglas Emmett Inc.   4,940,018       110,558
PS Business Parks Inc.     569,363       106,556
Highwoods Properties Inc.   3,112,760       106,425
EPR Properties   2,213,954       103,901
Broadstone Net Lease Inc.   4,753,183        97,488
          Shares Market
Value

($000)
Hannon Armstrong Sustainable Infrastructure Capital Inc.   2,557,486        96,826
Sabra Health Care REIT Inc.   6,844,956        95,624
Apple Hospitality REIT Inc.   6,401,905        93,916
LXP Industrial Trust   8,460,574        90,867
Innovative Industrial Properties Inc.     822,758        90,396
SL Green Realty Corp.   1,890,435        87,244
* Equity Commonwealth   3,167,944        87,214
Corporate Office Properties Trust   3,324,996        87,082
JBG SMITH Properties   3,660,310        86,530
PotlatchDeltic Corp.   1,941,102        85,777
* DigitalBridge Group Inc.  17,561,462        85,700
Park Hotels & Resorts Inc.   6,192,637        84,034
Essential Properties Realty Trust Inc.   3,881,799        83,420
National Health Investors Inc.   1,292,926        78,364
* Howard Hughes Corp.   1,136,800        77,359
Outfront Media Inc.   4,337,620        73,523
SITE Centers Corp.   5,344,005        71,984
* Cushman & Wakefield plc   4,675,800        71,259
Kennedy-Wilson Holdings Inc.   3,498,827        66,268
Uniti Group Inc.   6,953,160        65,499
*,1 Opendoor Technologies Inc.  13,792,524        64,963
Pebblebrook Hotel Trust   3,868,924        64,108
Four Corners Property Trust Inc.   2,377,120        63,208
* Sunstone Hotel Investors Inc.   6,347,504        62,967
Hudson Pacific Properties Inc.   4,054,961        60,176
Washington REIT   2,587,334        55,136
Retail Opportunity Investments Corp.   3,455,287        54,524
RLJ Lodging Trust   4,929,999        54,378
CareTrust REIT Inc.   2,899,260        53,462
Macerich Co.   6,037,733        52,589
Easterly Government Properties Inc. Class A   2,709,162        51,582
* DiamondRock Hospitality Co.   6,242,243        51,249
 
50

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Urban Edge Properties   3,305,987        50,284
Brandywine Realty Trust   5,120,662        49,363
* Xenia Hotels & Resorts Inc.   3,382,673        49,150
InvenTrust Properties Corp.   1,897,447        48,935
Piedmont Office Realty Trust Inc. Class A   3,673,893        48,201
St. Joe Co.   1,140,046        45,100
LTC Properties Inc.   1,172,557        45,014
Acadia Realty Trust   2,826,521        44,150
Global Net Lease Inc.   3,081,212        43,630
Newmark Group Inc. Class A   4,339,021        41,958
*,1 WeWork Inc.   8,300,101        41,667
Tanger Factory Outlet Centers Inc.   2,923,232        41,568
NexPoint Residential Trust Inc.     649,147        40,578
American Assets Trust Inc.   1,353,784        40,207
Paramount Group Inc.   5,507,357        39,818
Alexander & Baldwin Inc.   2,123,709        38,121
* Zillow Group Inc. Class A   1,187,702        37,781
Centerspace     450,753        36,759
Empire State Realty Trust Inc. Class A   4,926,032        34,630
* Radius Global Infrastructure Inc.   2,180,307        33,272
* Anywhere Real Estate Inc.   3,305,667        32,495
Getty Realty Corp.   1,161,115        30,770
* Veris Residential Inc.   2,304,948        30,518
Office Properties Income Trust   1,460,391        29,135
* Apartment Investment & Management Co. Class A   4,486,827        28,716
Necessity Retail REIT Inc. Class A   3,919,455        28,534
Marcus & Millichap Inc.     742,190        27,454
*,1 Compass Inc. Class A   7,563,384        27,304
Industrial Logistics Properties Trust   1,919,383        27,025
NETSTREIT Corp.   1,408,923        26,586
Armada Hoffler Properties Inc.   2,026,454        26,020
Service Properties Trust   4,911,327        25,686
          Shares Market
Value

($000)
Community Healthcare Trust Inc.     709,254        25,682
UMH Properties Inc.   1,435,073        25,343
RPT Realty   2,545,405        25,021
*,1 Redfin Corp.   3,013,140        24,828
1 eXp World Holdings Inc.   1,965,620        23,135
* GEO Group Inc.   3,469,156        22,896
* Summit Hotel Properties Inc.   3,029,258        22,023
Bluerock Residential Growth REIT Inc. Class A     830,708        21,839
Gladstone Land Corp.     965,225        21,389
Gladstone Commercial Corp.   1,127,929        21,250
Global Medical REIT Inc.   1,826,704        20,514
Safehold Inc.     562,104        19,882
Plymouth Industrial REIT Inc.   1,125,885        19,748
Universal Health Realty Income Trust     354,893        18,884
Saul Centers Inc.     400,543        18,870
Ares Commercial Real Estate Corp.   1,509,639        18,463
Orion Office REIT Inc.   1,675,026        18,358
Farmland Partners Inc.   1,324,098        18,273
City Office REIT Inc.   1,177,279        15,246
Whitestone REIT   1,399,923        15,049
CatchMark Timber Trust Inc. Class A   1,484,544        14,935
* Chatham Lodging Trust   1,389,373        14,519
RE/MAX Holdings Inc. Class A     542,864        13,311
Diversified Healthcare Trust   7,212,750        13,127
Alexander's Inc.      58,505        12,997
One Liberty Properties Inc.     486,722        12,645
RMR Group Inc. Class A     442,978        12,558
Urstadt Biddle Properties Inc. Class A     772,832        12,520
Bridge Investment Group Holdings Inc. Class A     806,505        11,727
Franklin Street Properties Corp.   2,758,628        11,503
* Hersha Hospitality Trust Class A   1,071,995        10,516
* FRP Holdings Inc.     168,398        10,163
 
51

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
1 CTO Realty Growth Inc.     164,401        10,048
Cedar Realty Trust Inc.     341,658         9,836
Douglas Elliman Inc.   1,973,467         9,453
* Tejon Ranch Co.     597,450         9,272
1 Braemar Hotels & Resorts Inc.   2,097,772         8,999
Indus Realty Trust Inc.     132,747         7,880
BRT Apartments Corp.     355,404         7,638
Postal Realty Trust Inc. Class A     503,103         7,496
* Stratus Properties Inc.     224,041         7,220
* Forestar Group Inc.     506,605         6,935
*,1 Ashford Hospitality Trust Inc.   1,059,345         6,335
Alpine Income Property Trust Inc.     327,561         5,870
* Seritage Growth Properties Class A   1,050,167         5,471
1 Urstadt Biddle Properties Inc.     265,654         4,604
1 Modiv Inc. Class C     190,758         3,373
Clipper Realty Inc.     405,295         3,129
*,1 Offerpad Solutions Inc.   1,360,320         2,966
Creative Media & Community Trust Corp.     365,744         2,597
New York City REIT Inc. Class A     399,177         2,096
* Altisource Portfolio Solutions SA     175,265         1,882
Global Self Storage Inc.     319,661         1,800
* Maui Land & Pineapple Co. Inc.     189,318         1,793
*,1 Fathom Holdings Inc.     225,495         1,768
* AMREP Corp.      90,095         1,011
* Power REIT      77,896           992
* Rafael Holdings Inc. Class B     420,549           786
CorEnergy Infrastructure Trust Inc.     307,228           774
*,2 Spirit MTA REIT   2,854,330           764
* Trinity Place Holdings Inc.     753,758           761
* Comstock Holding Cos. Inc. Class A     164,051           742
* Sotherly Hotels Inc.     337,859           588
1 Presidio Property Trust Inc. Class A     176,733           564
* Wheeler REIT Inc.     130,830           332
          Shares Market
Value

($000)
*,1 Harbor Custom Development Inc.     238,273           331
* Alset EHome International Inc.   1,041,111           306
*,1 Pennsylvania REIT      84,789           284
*,1 Avalon GloboCare Corp.     503,819           239
*,2 New York REIT Liquidating LLC      19,100           215
Generation Income Properties Inc.      32,616           207
* JW Mays Inc.       1,318            55
* Presidio Property Trust Inc. Warrants Exp. 1/24/27     110,319            20
Medalist Diversified REIT Inc.      18,356            15
                       41,294,539
Technology (25.6%)
Apple Inc. 453,344,258    61,981,227
Microsoft Corp. 220,511,857    56,634,060
* Alphabet Inc. Class A   8,897,835    19,390,696
* Alphabet Inc. Class C   7,823,086    17,112,609
* Meta Platforms Inc. Class A  67,624,180    10,904,399
NVIDIA Corp.  70,136,366    10,631,972
Broadcom Inc.  11,435,248     5,555,358
* Adobe Inc.  13,930,908     5,099,548
* Salesforce Inc.  27,841,521     4,594,965
Intel Corp. 120,549,478     4,509,756
QUALCOMM Inc.  33,020,874     4,218,086
Texas Instruments Inc.  27,182,173     4,176,541
International Business Machines Corp.  26,518,090     3,744,089
* Advanced Micro Devices Inc.  47,777,056     3,653,511
Intuit Inc.   7,901,400     3,045,516
Oracle Corp.  43,269,148     3,023,215
* ServiceNow Inc.   5,911,024     2,810,810
Applied Materials Inc.  26,046,472     2,369,708
Analog Devices Inc.  15,324,588     2,238,769
Micron Technology Inc.  32,921,676     1,819,910
Lam Research Corp.   4,090,395     1,743,122
* Palo Alto Networks Inc.   2,937,891     1,451,142
KLA Corp.   4,400,682     1,404,170
* Synopsys Inc.   4,510,761     1,369,918
Roper Technologies Inc.   3,121,933     1,232,071
* Cadence Design Systems Inc.   8,131,463     1,219,963
* Fortinet Inc.  20,115,986     1,138,163
Amphenol Corp. Class A  17,604,096     1,133,352
 
52

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Autodesk Inc.   6,414,376     1,103,016
* Snowflake Inc. Class A   7,887,034     1,096,771
Marvell Technology Inc.  25,094,316     1,092,356
TE Connectivity Ltd.   9,501,520     1,075,097
Cognizant Technology Solutions Corp. Class A  15,363,511     1,036,883
* Crowdstrike Holdings Inc. Class A   5,977,042     1,007,490
Microchip Technology Inc.  16,352,367       949,745
HP Inc.  27,452,136       899,881
* Workday Inc. Class A   5,858,756       817,765
* Datadog Inc. Class A   7,515,469       715,773
VMware Inc. Class A   6,208,405       707,634
Corning Inc.  22,425,908       706,640
* Zoom Video Communications Inc. Class A   6,311,253       681,426
* Twitter Inc.  18,030,559       674,163
* ON Semiconductor Corp.  12,813,308       644,638
CDW Corp.   3,984,845       627,852
* ANSYS Inc.   2,563,593       613,442
* Match Group Inc.   8,427,801       587,333
* Gartner Inc.   2,257,243       545,869
Hewlett Packard Enterprise Co.  38,390,612       509,060
Monolithic Power Systems Inc.   1,307,510       502,136
* MongoDB Inc.   1,907,345       494,956
* DoorDash Inc. Class A   7,578,169       486,291
* EPAM Systems Inc.   1,601,726       472,157
* Palantir Technologies Inc. Class A  51,617,478       468,171
* VeriSign Inc.   2,747,542       459,746
Skyworks Solutions Inc.   4,745,000       439,577
* Akamai Technologies Inc.   4,723,850       431,429
Seagate Technology Holdings plc   6,023,960       430,352
NetApp Inc.   6,559,583       427,947
* Twilio Inc. Class A   5,068,531       424,794
* Paycom Software Inc.   1,511,854       423,501
Teradyne Inc.   4,721,107       422,775
* Splunk Inc.   4,743,826       419,639
* Western Digital Corp.   9,241,157       414,281
* Tyler Technologies Inc.   1,223,193       406,687
Leidos Holdings Inc.   4,028,236       405,684
          Shares Market
Value

($000)
* HubSpot Inc.   1,337,719       402,185
* Okta Inc.   4,444,346       401,769
* Snap Inc. Class A  30,501,033       400,479
* Zscaler Inc.   2,495,735       373,137
SS&C Technologies Holdings Inc.   6,390,338       371,087
Entegris Inc.   4,004,607       368,944
Citrix Systems Inc.   3,728,231       362,272
NortonLifeLock Inc.  16,197,518       355,698
Dell Technologies Inc. Class C   7,680,339       354,908
* DocuSign Inc.   5,893,389       338,163
* GoDaddy Inc. Class A   4,772,174       331,952
* PTC Inc.   3,104,951       330,181
* Cloudflare Inc. Class A   7,461,988       326,462
* Pinterest Inc. Class A  16,941,251       307,653
* Qorvo Inc.   3,127,811       295,015
* Black Knight Inc.   4,367,876       285,615
* ZoomInfo Technologies Inc. Class A   8,327,011       276,790
* F5 Inc.   1,785,891       273,313
* Zendesk Inc.   3,614,648       267,737
* Dynatrace Inc.   5,904,692       232,881
* Wolfspeed Inc.   3,649,888       231,585
*,1 Unity Software Inc.   6,116,597       225,213
* Arrow Electronics Inc.   1,972,789       221,130
Bentley Systems Inc. Class B   6,511,361       216,828
* Pure Storage Inc. Class A   8,363,087       215,015
* Manhattan Associates Inc.   1,863,096       213,511
* DXC Technology Co.   7,004,443       212,305
* Ceridian HCM Holding Inc.   4,287,167       201,840
KBR Inc.   4,121,251       199,427
* Lattice Semiconductor Corp.   4,053,045       196,573
* CACI International Inc. Class A     690,560       194,586
Jabil Inc.   3,753,632       192,224
CDK Global Inc.   3,441,058       188,467
* Five9 Inc.   2,054,599       187,256
* Avalara Inc.   2,597,646       183,394
*,1 AppLovin Corp. Class A   5,302,695       182,625
* IAC/InterActiveCorp   2,357,822       179,124
* Guidewire Software Inc.   2,468,690       175,252
* Sailpoint Technologies Holdings Inc.   2,771,733       173,732
 
53

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Dropbox Inc. Class A   8,190,384       171,916
Concentrix Corp.   1,236,353       167,699
* UiPath Inc. Class A   8,880,324       161,533
* II-VI Inc.   3,145,866       160,282
* Change Healthcare Inc.   6,905,558       159,242
Azenta Inc.   2,207,568       159,166
* Aspen Technology Inc.     850,292       156,182
Science Applications International Corp.   1,651,693       153,773
* Silicon Laboratories Inc.   1,077,777       151,126
* Elastic NV   2,203,389       149,103
* Tenable Holdings Inc.   3,266,688       148,340
CMC Materials Inc.     841,270       146,793
* Rogers Corp.     552,455       144,793
* Mandiant Corp.   6,541,513       142,736
* Synaptics Inc.   1,170,063       138,126
Dolby Laboratories Inc. Class A   1,915,927       137,104
* RingCentral Inc. Class A   2,499,734       130,636
* Qualys Inc.   1,028,595       129,747
Power Integrations Inc.   1,721,944       129,163
* SentinelOne Inc. Class A   5,501,483       128,350
* Coupa Software Inc.   2,222,001       126,876
Universal Display Corp.   1,251,396       126,566
Switch Inc. Class A   3,756,669       125,848
Avnet Inc.   2,888,837       123,873
* Novanta Inc.   1,003,550       121,701
National Instruments Corp.   3,874,803       121,010
* Cirrus Logic Inc.   1,662,104       120,569
* SPS Commerce Inc.   1,064,370       120,327
TD SYNNEX Corp.   1,282,276       116,815
* Smartsheet Inc. Class A   3,600,814       113,174
* NCR Corp.   3,617,349       112,536
* Rapid7 Inc.   1,638,209       109,432
* Teradata Corp.   2,927,016       108,329
* Dun & Bradstreet Holdings Inc.   7,057,784       106,079
* Blackline Inc.   1,576,532       104,997
* Semtech Corp.   1,871,636       102,884
* Onto Innovation Inc.   1,469,945       102,514
* Box Inc. Class A   4,008,483       100,773
* Ziff Davis Inc.   1,333,341        99,374
* Nutanix Inc. Class A   6,489,816        94,946
* Varonis Systems Inc.   3,222,749        94,491
* Perficient Inc.   1,019,961        93,520
* IPG Photonics Corp.     993,076        93,478
* Toast Inc. Class A   7,082,172        91,643
          Shares Market
Value

($000)
* Procore Technologies Inc.   2,010,034        91,235
* Blackbaud Inc.   1,567,679        91,035
* Insight Enterprises Inc.   1,037,305        89,499
* FormFactor Inc.   2,304,994        89,272
* Fabrinet   1,085,168        88,007
* Alarm.com Holdings Inc.   1,404,957        86,911
* Envestnet Inc.   1,621,854        85,585
* Workiva Inc. Class A   1,275,613        84,178
* Diodes Inc.   1,271,223        82,083
* Alteryx Inc. Class A   1,693,281        81,989
Advanced Energy Industries Inc.   1,108,757        80,917
* Verint Systems Inc.   1,909,123        80,851
* New Relic Inc.   1,578,378        78,998
* CommVault Systems Inc.   1,250,485        78,656
* Altair Engineering Inc. Class A   1,472,086        77,285
Vertiv Holdings Co. Class A   8,856,302        72,799
* Upwork Inc.   3,460,937        71,572
* DigitalOcean Holdings Inc.   1,716,765        71,005
* SiTime Corp.     433,472        70,669
* NetScout Systems Inc.   2,077,632        70,328
* Rambus Inc.   3,260,418        70,066
* Bumble Inc. Class A   2,487,737        70,030
* MaxLinear Inc. Class A   2,053,434        69,776
* Sanmina Corp.   1,710,223        69,657
* Ambarella Inc.   1,063,873        69,641
Vishay Intertechnology Inc.   3,900,106        69,500
* Confluent Inc. Class A   2,962,133        68,840
* MACOM Technology Solutions Holdings Inc.   1,442,187        66,485
* Covetrus Inc.   3,094,130        64,203
* Sprout Social Inc. Class A   1,093,126        63,478
* Q2 Holdings Inc.   1,616,602        62,352
* Cargurus Inc. Class A   2,877,697        61,842
* Plexus Corp.     778,361        61,101
*,1 nCino Inc.   1,964,661        60,747
Progress Software Corp.   1,297,084        58,758
* Kyndryl Holdings Inc.   5,948,193        58,173
Pegasystems Inc.   1,205,807        57,686
*,1 E2open Parent Holdings Inc.   7,114,974        55,355
 
54

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Amkor Technology Inc.   3,253,287        55,143
* Yelp Inc. Class A   1,983,592        55,084
* PagerDuty Inc.   2,196,159        54,421
CSG Systems International Inc.     909,896        54,303
* Appian Corp.   1,141,918        54,081
* Super Micro Computer Inc.   1,298,264        52,385
* TechTarget Inc.     782,762        51,443
* Axcelis Technologies Inc.     922,090        50,567
* LiveRamp Holdings Inc.   1,930,124        49,817
* Allscripts Healthcare Solutions Inc.   3,246,526        48,146
* Appfolio Inc. Class A     531,026        48,132
* Jamf Holding Corp.   1,941,500        48,091
Xerox Holdings Corp.   3,203,042        47,565
*,1 MicroStrategy Inc. Class A     274,890        45,164
* Digital Turbine Inc.   2,564,320        44,799
*,1 Clear Secure Inc. Class A   2,192,782        43,856
* Parsons Corp.   1,078,903        43,609
* DoubleVerify Holdings Inc.   1,919,917        43,525
* Gitlab Inc. Class A     814,676        43,292
* ePlus Inc.     799,053        42,446
Xperi Holding Corp.   2,918,910        42,120
* CCC Intelligent Solutions Holdings Inc.   4,528,696        41,664
* Schrodinger Inc.   1,572,045        41,518
* Allegro MicroSystems Inc.   1,977,880        40,922
* JFrog Ltd.   1,885,547        39,728
Shutterstock Inc.     691,852        39,650
*,1 Freshworks Inc. Class A   2,963,225        38,966
*,1 C3.ai Inc. Class A   2,128,091        38,859
Methode Electronics Inc.   1,044,914        38,704
* Cohu Inc.   1,372,448        38,085
* Ultra Clean Holdings Inc.   1,277,702        38,037
* Fastly Inc. Class A   3,197,776        37,126
* Ping Identity Holding Corp.   2,001,695        36,311
* 3D Systems Corp.   3,640,600        35,314
*,1 Asana Inc. Class A   1,999,297        35,148
* Qualtrics International Inc. Class A   2,803,580        35,073
* Impinj Inc.     596,889        35,019
* KnowBe4 Inc. Class A   2,209,527        34,513
          Shares Market
Value

($000)
* TTM Technologies Inc.   2,685,890        33,574
*,1 Paycor HCM Inc.   1,288,899        33,511
* Photronics Inc.   1,719,468        33,495
* Magnite Inc.   3,673,828        32,624
*,1 Braze Inc. Class A     899,891        32,603
* Everbridge Inc.   1,160,682        32,371
* Duck Creek Technologies Inc.   2,171,999        32,254
*,1 Thoughtworks Holding Inc.   2,277,553        32,136
* PROS Holdings Inc.   1,222,366        32,063
* Zuora Inc. Class A   3,565,636        31,912
* Momentive Global Inc.   3,544,786        31,194
*,1 Squarespace Inc. Class A   1,479,555        30,952
CTS Corp.     893,653        30,429
* LivePerson Inc.   2,080,365        29,416
*,1 PAR Technology Corp.     768,043        28,794
*,1 Xometry Inc. Class A     846,590        28,725
* Veeco Instruments Inc.   1,438,679        27,910
* Cerence Inc.   1,099,198        27,733
* Agilysys Inc.     584,756        27,641
A10 Networks Inc.   1,890,715        27,188
* Model N Inc.   1,025,934        26,243
* BigCommerce Holdings Inc.   1,598,218        25,891
* Avid Technology Inc.     989,439        25,676
*,1 Olo Inc. Class A   2,543,987        25,109
*,1 Matterport Inc.   6,631,980        24,273
* Eventbrite Inc. Class A   2,359,900        24,236
* NeoPhotonics Corp.   1,510,454        23,759
* Domo Inc. Class B     851,505        23,672
* Vimeo Inc.   3,899,740        23,476
Simulations Plus Inc.     475,505        23,457
* SMART Global Holdings Inc.   1,409,472        23,073
* Consensus Cloud Solutions Inc.     527,795        23,054
*,1 Sprinklr Inc. Class A   2,253,792        22,786
* Unisys Corp.   1,893,140        22,774
* ScanSource Inc.     729,003        22,701
Benchmark Electronics Inc.     998,405        22,524
* Ichor Holdings Ltd.     841,111        21,852
* Informatica Inc. Class A   1,044,700        21,698
* CEVA Inc.     645,444        21,661
* Grid Dynamics Holdings Inc.   1,284,205        21,600
* Sumo Logic Inc.   2,880,824        21,577
* Alpha & Omega Semiconductor Ltd.     643,290        21,447
 
55

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* ACM Research Inc. Class A   1,180,335        19,865
*,1 Definitive Healthcare Corp. Class A     862,655        19,781
* PDF Solutions Inc.     917,193        19,729
* PubMatic Inc. Class A   1,239,766        19,700
*,1 MicroVision Inc.   4,946,023        18,993
*,1 Amplitude Inc. Class A   1,320,075        18,864
*,1 IonQ Inc.   4,077,322        17,859
* N-able Inc.   1,847,475        16,627
* Yext Inc.   3,472,823        16,600
*,1 AvePoint Inc.   3,738,637        16,226
*,1 Expensify Inc. Class A     900,782        16,025
*,1 Zeta Global Holdings Corp. Class A   3,465,672        15,665
PC Connection Inc.     342,772        15,099
Hackett Group Inc.     781,605        14,827
*,1 ForgeRock Inc. Class A     690,411        14,789
* Alkami Technology Inc.   1,064,651        14,788
*,1 HashiCorp Inc. Class A     497,000        14,632
American Software Inc. Class A     896,586        14,489
* Kimball Electronics Inc.     681,124        13,691
*,1 Rackspace Technology Inc.   1,858,887        13,328
*,1 SmartRent Inc. Class A   2,873,494        12,988
* nLight Inc.   1,254,482        12,821
*,1 Samsara Inc. Class A   1,133,300        12,659
*,1 UserTesting Inc.   2,520,465        12,653
* OneSpan Inc.   1,054,580        12,550
SolarWinds Corp.   1,220,652        12,512
* ChannelAdvisor Corp.     852,833        12,434
1 Ebix Inc.     733,193        12,391
*,1 Blend Labs Inc. Class A   5,185,785        12,238
*,1 Cyxtera Technologies Inc.   1,051,306        11,922
*,1 indie Semiconductor Inc. Class A   2,059,378        11,738
*,1 Couchbase Inc.     712,816        11,704
* Mitek Systems Inc.   1,254,254        11,589
*,1 Tucows Inc. Class A     259,269        11,540
*,1 EngageSmart Inc.     717,478        11,537
* Upland Software Inc.     781,656        11,350
* Bandwidth Inc. Class A     600,402        11,300
* Telos Corp.   1,372,473        11,090
          Shares Market
Value

($000)
*,1 Aeva Technologies Inc.   3,506,640        10,976
*,1 SEMrush Holdings Inc. Class A     822,251        10,632
* ON24 Inc.   1,069,030        10,145
* Vertex Inc. Class A     882,712        10,001
*,1 Nextdoor Holdings Inc.   2,923,476         9,677
* GTY Technology Holdings Inc.   1,455,833         9,114
* Edgio Inc.   3,619,157         8,360
* Rimini Street Inc.   1,358,208         8,163
*,1 EverCommerce Inc.     865,323         7,823
*,1 MeridianLink Inc.     461,628         7,709
*,3 Asure Software Inc.   1,298,125         7,399
*,1 Credo Technology Group Holding Ltd.     623,000         7,277
* CyberOptics Corp.     206,767         7,224
* Brightcove Inc.   1,108,617         7,006
* Benefitfocus Inc.     896,728         6,977
* Identiv Inc.     599,960         6,948
* TrueCar Inc.   2,670,121         6,916
NVE Corp.     145,801         6,797
* AXT Inc.   1,158,144         6,787
*,1 WM Technology Inc.   2,029,022         6,675
* Intapp Inc.     453,545         6,640
* MediaAlpha Inc. Class A     664,368         6,544
*,1 Digimarc Corp.     459,882         6,503
*,1 Groupon Inc.     574,821         6,495
* eGain Corp.     657,552         6,411
*,1 NerdWallet Inc. Class A     778,876         6,176
*,1 Porch Group Inc.   2,387,382         6,112
*,1 Atomera Inc.     650,154         6,098
*,1 Veritone Inc.     912,209         5,957
*,1 Ouster Inc.   3,370,627         5,460
*,1 Red Violet Inc.     279,113         5,314
1 Vivid Seats Inc. Class A     705,200         5,268
* Avaya Holdings Corp.   2,336,076         5,233
* Computer Task Group Inc.     609,679         5,219
* Immersion Corp.     963,156         5,143
* Aehr Test Systems     682,904         5,122
* Diebold Nixdorf Inc.   2,208,183         5,013
*,1 Vroom Inc.   3,812,440         4,766
* comScore Inc.   2,294,162         4,726
* Planet Labs PBC   1,069,100         4,629
* EverQuote Inc. Class A     518,854         4,587
Richardson Electronics Ltd.     309,653         4,540
*,1 Skillz Inc. Class A   3,538,218         4,387
*,1 Cleanspark Inc.   1,104,591         4,330
 
56

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Innodata Inc.     846,031         4,095
*,1 Enfusion Inc. Class A     394,747         4,030
*,1 CoreCard Corp.     163,539         3,992
*,1 NextNav Inc.   1,714,500         3,892
* Daktronics Inc.   1,236,889         3,723
*,1 Smith Micro Software Inc.   1,434,565         3,543
*,1 Beachbody Co. Inc.   2,768,838         3,323
* Intevac Inc.     685,231         3,317
*,1 IronNet Inc.   1,497,547         3,310
*,1 Alpine 4 Holdings Inc.   4,393,029         3,117
*,1 1stdibs.com Inc.     541,124         3,079
*,1 Transphorm Inc.     793,700         3,024
*,1 Phunware Inc.   2,796,147         3,020
* EMCORE Corp.     959,683         2,946
*,1 KULR Technology Group Inc.   1,895,666         2,938
* Quantum Corp.   2,068,619         2,937
* AstroNova Inc.     243,410         2,916
* SecureWorks Corp. Class A     263,152         2,858
* QuickLogic Corp.     317,339         2,691
* Everspin Technologies Inc.     503,798         2,640
* Pixelworks Inc.   1,380,829         2,637
* Weave Communications Inc.     862,644         2,622
*,1 Kopin Corp.   2,313,242         2,591
*,1 VirnetX Holding Corp.   2,158,195         2,525
*,1 Arteris Inc.     330,165         2,301
* Issuer Direct Corp.      88,197         2,246
*,1 Park City Group Inc.     502,970         2,213
*,1 KORE Group Holdings Inc.     719,616         2,209
* Loyalty Ventures Inc.     590,671         2,109
* Terawulf Inc.   1,732,783         2,079
* inTEST Corp.     301,891         2,059
* Amtech Systems Inc.     268,244         1,958
* Viant Technology Inc. Class A     358,428         1,821
*,1 Backblaze Inc. Class A     343,197         1,795
*,1 SkyWater Technology Inc.     296,973         1,788
* Mastech Digital Inc.     119,793         1,780
* Steel Connect Inc.   1,313,081         1,760
* Synchronoss Technologies Inc.   1,517,620         1,745
*,1 Cipher Mining Inc.   1,253,825         1,718
*,1 Verb Technology Co. Inc.   3,198,586         1,669
* GSI Technology Inc.     460,392         1,588
*,1 Exela Technologies Inc.  12,439,896         1,423
          Shares Market
Value

($000)
* Research Frontiers Inc.     799,655         1,391
*,1 Quantum Computing Inc.     576,947         1,373
*,1 Nuvve Holding Corp.     290,743         1,361
* One Stop Systems Inc.     325,113         1,281
* Inuvo Inc.   2,536,959         1,256
*,1 eMagin Corp.   1,850,738         1,203
* Key Tronic Corp.     270,500         1,193
* LiveVox Holdings Inc.     717,689         1,191
* CSP Inc.     129,793         1,181
* Zedge Inc. Class B     407,694         1,174
*,1 BuzzFeed Inc.     740,107         1,140
* Streamline Health Solutions Inc.     895,999         1,138
* Aware Inc.     478,176         1,138
*,1 Ipsidy Inc.     569,849         1,106
* Intellicheck Inc.     522,431         1,055
*,1 Boxlight Corp. Class A   1,524,589         1,037
* NetSol Technologies Inc.     324,880         1,035
*,1 Intrusion Inc.     257,983         1,009
* TransAct Technologies Inc.     247,478         1,000
* AudioEye Inc.     162,397           976
*,1 NextPlay Technologies Inc.   2,778,238           971
* OMNIQ Corp.     175,600           966
*,1 Soluna Holdings Inc.     227,288           925
*,1 Remark Holdings Inc.   1,733,422           764
*,1 Greenidge Generation Holdings Inc.     294,977           749
* Peraso Inc.     368,905           708
*,1 SeaChange International Inc.   1,152,825           696
* SigmaTron International Inc.      98,274           694
* GSE Systems Inc.     541,861           677
*,1 Flux Power Holdings Inc.     280,974           674
* Rubicon Technology Inc.      72,664           668
*,1 Inpixon   3,857,401           656
* CVD Equipment Corp.     165,470           654
*,1 DecisionPoint Systems Inc.     160,700           643
* Crown ElectroKinetics Corp.     638,989           582
* Data I/O Corp.     180,859           555
* WidePoint Corp.     231,461           553
* CYNGN Inc.     479,651           552
 
57

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
* Super League Gaming Inc.     487,161           497
*,1 Glimpse Group Inc.     118,109           470
* Trio-Tech International     104,880           454
* RealNetworks Inc.     675,168           426
*,1 Creatd Inc.     554,557           410
*,1 Waitr Holdings Inc.   2,622,672           400
* BSQUARE Corp.     304,286           383
* BTCS Inc.     249,293           371
* Qumu Corp.     450,282           362
*,1 iPower Inc.     309,711           328
* Duos Technologies Group Inc.      73,218           280
* PetVivo Holdings Inc.     173,200           274
SilverSun Technologies Inc.      99,500           270
* Bridgeline Digital Inc.     200,736           241
*,1 LogicMark Inc.     195,563           213
* Alfi Inc.     181,838           211
* Kubient Inc.     318,146           210
*,1 American Virtual Cloud Technologies Inc.     775,634           194
* CynergisTek Inc.     158,445           190
*,1 VerifyMe Inc.      84,041           165
* WiSA Technologies Inc.     242,859           151
* Recruiter.com Group Inc.     147,281           150
*,1 Akerna Corp.     510,481            71
* Nortech Systems Inc.       5,000            70
* Sigma Labs Inc.      54,433            70
* Creative Realities Inc.     104,180            64
*,1 Data Storage Corp.      24,445            60
*,1 Paltalk Inc.      28,954            58
* T Stamp Inc. Class A      17,276            29
* WaveDancer Inc.      17,693            24
* Oblong Inc.      52,533            16
*,2 Ikonics Corp. CVR       7,226            —
                      284,440,686
Telecommunications (2.6%)
Verizon Communications Inc. 117,617,766     5,969,102
Comcast Corp. Class A 131,799,828     5,171,825
Cisco Systems Inc. 109,879,078     4,685,244
AT&T Inc. 211,099,158     4,424,638
* T-Mobile US Inc.  18,485,029     2,486,976
* Charter Communications Inc. Class A   2,369,708     1,110,279
Motorola Solutions Inc.   4,934,251     1,034,219
* Arista Networks Inc.   6,823,906       639,673
          Shares Market
Value

($000)
* Liberty Broadband Corp. Class C   3,946,794       456,407
1 Lumen Technologies Inc.  30,444,125       332,145
* Roku Inc.   3,536,578       290,495
Juniper Networks Inc.   9,527,644       271,538
Cable One Inc.     176,693       227,814
* Ciena Corp.   4,494,820       205,413
* Frontier Communications Parent Inc.   7,230,835       170,214
* Lumentum Holdings Inc.   1,930,374       153,310
* Vonage Holdings Corp.   7,567,071       142,564
* DISH Network Corp. Class A   7,291,230       130,732
* Iridium Communications Inc.   3,395,705       127,543
* Viavi Solutions Inc.   6,725,172        88,974
Cogent Communications Holdings Inc.   1,278,665        77,692
* Viasat Inc.   2,092,274        64,086
* Altice USA Inc. Class A   6,376,883        58,986
InterDigital Inc.     909,582        55,303
* Calix Inc.   1,619,341        55,284
* Liberty Broadband Corp. Class A     475,097        53,947
* Plantronics Inc.   1,205,506        47,834
Telephone & Data Systems Inc.   3,016,385        47,629
* CommScope Holding Co. Inc.   5,797,855        35,483
* Extreme Networks Inc.   3,895,244        34,746
Shenandoah Telecommunications Co.   1,394,945        30,968
* Gogo Inc.   1,882,354        30,475
* Infinera Corp.   5,371,267        28,790
* WideOpenWest Inc.   1,564,045        28,481
* Harmonic Inc.   3,069,536        26,613
*,1 Globalstar Inc.  21,149,983        26,014
ADTRAN Inc.   1,358,765        23,819
* Digi International Inc.     978,389        23,697
*,1 Lightwave Logic Inc.   3,281,171        21,459
* Clearfield Inc.     341,492        21,155
* EchoStar Corp. Class A   1,045,724        20,182
* 8x8 Inc.   3,351,019        17,258
* IDT Corp. Class B     616,660        15,509
* Consolidated Communications Holdings Inc.   2,207,355        15,451
 
58

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
ATN International Inc.     324,753        15,234
* NETGEAR Inc.     801,807        14,849
* Anterix Inc.     357,668        14,689
*,1 Charge Enterprises Inc.   2,837,200        13,533
* United States Cellular Corp.     461,155        13,355
*,1 fuboTV Inc.   4,912,100        12,133
* DZS Inc.     527,247         8,578
* Ooma Inc.     658,499         7,797
*,1 AST SpaceMobile Inc.   1,224,952         7,693
* Aviat Networks Inc.     301,106         7,540
* Ribbon Communications Inc.   2,219,851         6,748
Comtech Telecommunications Corp.     719,972         6,530
*,1 Akoustis Technologies Inc.   1,586,053         5,868
Bel Fuse Inc. Class B     356,153         5,542
*,1 Inseego Corp.   2,870,125         5,425
* Cambium Networks Corp.     315,800         4,626
* CalAmp Corp.   1,045,712         4,361
* Lantronix Inc.     761,168         4,095
* Hemisphere Media Group Inc. Class A     525,973         4,013
* KVH Industries Inc.     433,378         3,770
*,1 Casa Systems Inc.     911,548         3,582
* Genasys Inc.   1,017,703         3,308
Spok Holdings Inc.     464,693         2,928
*,1 Kaltura Inc.   1,323,947         2,635
* Airgain Inc.     309,957         2,517
* Powerfleet Inc.     970,791         2,107
* PCTEL Inc.     460,492         1,883
*,1 SurgePays Inc.     290,433         1,403
*,1 Applied Optoelectronics Inc.     856,472         1,328
Network-1 Technologies Inc.     509,201         1,222
*,1 Airspan Networks Holdings Inc.     376,375         1,125
Crexendo Inc.     356,406         1,105
* TESSCO Technologies Inc.     134,755           796
* Franklin Wireless Corp.     244,162           789
*,1 Vislink Technologies Inc.   1,128,955           672
* Minim Inc.     833,030           335
* Optical Cable Corp.      92,325           333
*,1 ComSovereign Holding Corp.   1,192,821           202
*,1,2 FTE Networks Inc.      84,180           126
* ClearOne Inc.     231,050           125
          Shares Market
Value

($000)
Bel Fuse Inc. Class A       2,976            65
* ADDvantage Technologies Group Inc.      47,738            60
                       29,174,991
Utilities (3.4%)
NextEra Energy Inc.  57,926,337     4,486,974
Duke Energy Corp.  22,688,095     2,432,391
Southern Co.  31,315,842     2,233,133
Dominion Energy Inc.  23,897,699     1,907,275
Waste Management Inc.  12,239,186     1,872,351
American Electric Power Co. Inc.  15,128,607     1,451,439
Sempra Energy   9,266,337     1,392,452
Exelon Corp.  28,887,099     1,309,163
Xcel Energy Inc.  16,047,613     1,135,529
Consolidated Edison Inc.  10,448,459       993,648
Waste Connections Inc.   7,582,298       939,902
WEC Energy Group Inc.   9,306,968       936,653
Public Service Enterprise Group Inc.  14,721,811       931,596
Eversource Energy  10,176,391       859,600
American Water Works Co. Inc.   5,358,671       797,209
Republic Services Inc.   6,054,313       792,328
Edison International  11,245,143       711,143
Ameren Corp.   7,592,254       686,036
Entergy Corp.   6,000,441       675,890
* PG&E Corp.  61,832,922       617,093
DTE Energy Co.   4,851,335       614,907
FirstEnergy Corp.  15,991,195       613,902
PPL Corp.  21,692,095       588,506
CMS Energy Corp.   8,556,231       577,546
Constellation Energy Corp.   9,640,508       552,015
CenterPoint Energy Inc.  18,543,716       548,523
Atmos Energy Corp.   4,092,308       458,748
Evergy Inc.   6,764,100       441,357
Alliant Energy Corp.   7,396,253       433,494
AES Corp.  19,678,565       413,447
NiSource Inc.  11,943,639       352,218
Essential Utilities Inc.   6,942,305       318,305
Vistra Corp.  12,712,297       290,476
NRG Energy Inc.   7,002,553       267,287
Pinnacle West Capital Corp.   3,331,875       243,627
UGI Corp.   6,183,279       238,736
OGE Energy Corp.   5,892,107       227,200
National Fuel Gas Co.   2,693,626       177,914
 
59

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Southwest Gas Holdings Inc.   1,854,706       161,508
IDACORP Inc.   1,493,645       158,207
Black Hills Corp.   1,912,240       139,154
* Sunrun Inc.   5,873,614       137,208
* Clean Harbors Inc.   1,527,357       133,903
ONE Gas Inc.   1,605,222       130,328
Portland General Electric Co.   2,636,314       127,413
New Jersey Resources Corp.   2,851,159       126,962
Hawaiian Electric Industries Inc.   3,074,299       125,739
South Jersey Industries Inc.   3,591,172       122,603
PNM Resources Inc.   2,530,719       120,918
* Stericycle Inc.   2,716,285       119,109
* Evoqua Water Technologies Corp.   3,584,172       116,521
* Casella Waste Systems Inc. Class A   1,500,082       109,026
Spire Inc.   1,465,979       109,025
Avangrid Inc.   2,298,976       106,029
Ormat Technologies Inc.   1,327,809       104,034
ALLETE Inc.   1,669,162        98,113
NorthWestern Corp.   1,596,999        94,111
Avista Corp.   2,155,242        93,775
American States Water Co.   1,093,704        89,148
California Water Service Group   1,590,576        88,356
MGE Energy Inc.   1,072,748        83,492
Clearway Energy Inc. Class C   2,242,438        78,126
Chesapeake Utilities Corp.     499,325        64,688
Northwest Natural Holding Co.   1,018,076        54,060
* Sunnova Energy International Inc.   2,879,577        53,071
SJW Group     821,143        51,247
Middlesex Water Co.     518,397        45,453
Clearway Energy Inc. Class A   1,214,668        38,833
* Archaea Energy Inc. Class A   2,359,886        36,649
Unitil Corp.     473,910        27,828
York Water Co.     411,498        16,637
* Harsco Corp.   2,321,258        16,504
*,1 Vertex Energy Inc.   1,424,451        14,985
* Heritage-Crystal Clean Inc.     487,014        13,130
Artesian Resources Corp. Class A     240,799        11,840
          Shares Market
Value

($000)
*,1 Excelerate Energy Inc. Class A     539,249        10,742
Aris Water Solution Inc. Class A     616,458        10,282
Genie Energy Ltd. Class B     641,703         5,878
* Pure Cycle Corp.     550,701         5,804
Global Water Resources Inc.     433,686         5,729
RGC Resources Inc.     275,510         5,254
*,1 Altus Power Inc.     696,600         4,396
*,1 NuScale Power Corp.     434,600         4,342
Via Renewables Inc. Class A     335,374         2,569
* Advanced Emissions Solutions Inc.     447,249         2,098
* Perma-Fix Environmental Services Inc.     325,244         1,688
*,1 Charah Solutions Inc.     431,762         1,615
* Quest Resource Holding Corp.     392,752         1,606
* Sharps Compliance Corp.     524,500         1,531
*,1 Aqua Metals Inc.   1,584,330         1,283
*,1 Stronghold Digital Mining Inc. Class A     597,997           993
*,1 Cadiz Inc.     298,465           695
                       37,804,251
Total Common Stocks
(Cost $611,548,648)
1,102,913,104
Preferred Stocks (0.0%)
1,4 Meta Materials Inc. Pfd., 0.000%   3,435,816         5,308
Air T Funding Pfd., 8.000%, 6/7/24       1,727            37
Total Preferred Stocks
(Cost $36)
5,345
 
60

 

Total Stock Market Index Fund
          Shares Market
Value

($000)
Temporary Cash Investments (1.1%)
Money Market Fund (1.1%)
5,6 Vanguard Market Liquidity Fund, 1.417%
(Cost $12,109,820)
121,130,856              12,109,452
Total Investments (100.4%)
(Cost $623,658,504)
  1,115,027,901
Other Assets and Liabilities—Net (-0.4%)   (4,681,518)
Net Assets (100%)   1,110,346,383
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 $4,548,138,000.
2 Security value determined using significant unobservable inputs.
3 Considered an affiliated company of the fund as the fund owns more than 5% of the outstanding voting securities of such company.
4 Perpetual security with no stated maturity date.
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 $5,110,848,000 was received for securities on loan.
  CVR—Contingent Value Rights.
  REIT—Real Estate Investment Trust.

Derivative Financial Instruments Outstanding as of Period End

Futures Contracts
      ($000)
  Expiration Number of
Long (Short)
Contracts
Notional
Amount
Value and
Unrealized
Appreciation
(Depreciation)
Long Futures Contracts
E-mini Russell 2000 Index September 2022 3,874 330,840 (17,998)
E-mini S&P 500 Index September 2022 35,175 6,664,783 (71,448)
E-mini S&P Mid-Cap 400 Index September 2022 240 54,432 (3,148)
        (92,594)
    
61

 

Total Stock Market Index Fund
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)
ACI Worldwide Inc. 8/31/22 BANA 1,998 (1.643) (59)
DXC Technology Co. 8/31/22 BANA 6,136 (1.967) (77)
Goldman Sachs Group Inc. 8/31/23 BANA 142,180 (1.822) (12,305)
Popular Inc. 8/31/22 BANA 17,976 (1.634) (965)
Signature Bank 8/31/23 BANA 64,881 (1.942) (11,216)
State Street Corp. 8/31/23 BANA 186,662 (1.803) (26,706)
VICI Properties Inc. 8/31/22 BANA 36,020 (2.127) 1,648
VICI Properties Inc. 8/31/22 BANA 104,510 (2.119) 966
Visa Inc. Class A 8/31/22 BANA 47,738 (1.136) (3,394)
          2,614 (54,722)
1 Based on USD Overnight Bank Funding Rate as of the most recent payment date. Floating interest payment received/paid monthly.
  BANA—Bank of America, N.A.
See accompanying Notes, which are an integral part of the Financial Statements.
62

 

Total Stock Market Index Fund
Statement of Assets and Liabilities
As of June 30, 2022
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value1  
Unaffiliated Issuers (Cost $611,539,860) 1,102,911,050
Affiliated Issuers (Cost $12,118,644) 12,116,851
Total Investments in Securities 1,115,027,901
Investment in Vanguard 43,355
Cash Collateral Pledged—Futures Contracts 393,890
Cash Collateral Pledged—Over-the-Counter Swap Contracts 47,620
Receivables for Investment Securities Sold 437,544
Receivables for Accrued Income 899,614
Receivables for Capital Shares Issued 1,645,241
Unrealized Appreciation—Over-the-Counter Swap Contracts 2,614
Total Assets 1,118,497,779
Liabilities  
Due to Custodian 377,038
Payables for Investment Securities Purchased 1,837,096
Collateral for Securities on Loan 5,110,848
Payables for Capital Shares Redeemed 699,365
Payables for Distributions 1
Payables to Vanguard 13,357
Variation Margin Payable—Futures Contracts 58,969
Unrealized Depreciation—Over-the-Counter Swap Contracts 54,722
Total Liabilities 8,151,396
Net Assets 1,110,346,383
1 Includes $4,548,138 of securities on loan.  
63

 

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


At June 30, 2022, net assets consisted of:

($000s, except shares and per-share amounts) Amount
Paid-in Capital 633,164,131
Total Distributable Earnings (Loss) 477,182,252
Net Assets 1,110,346,383
 
Investor Shares—Net Assets  
Applicable to 201,413,512 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
18,480,197
Net Asset Value Per Share—Investor Shares $91.75
 
ETF Shares—Net Assets  
Applicable to 1,297,014,705 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
244,501,034
Net Asset Value Per Share—ETF Shares $188.51
 
Admiral Shares—Net Assets  
Applicable to 2,935,965,724 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
269,421,480
Net Asset Value Per Share—Admiral Shares $91.77
 
Institutional Shares—Net Assets  
Applicable to 714,483,641 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
65,575,204
Net Asset Value Per Share—Institutional Shares $91.78
 
Institutional Plus Shares—Net Assets  
Applicable to 2,734,702,386 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
470,696,509
Net Asset Value Per Share—Institutional Plus Shares $172.12
 
Institutional Select Shares—Net Assets  
Applicable to 230,732,788 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
41,671,959
Net Asset Value Per Share—Institutional Select Shares $180.61
See accompanying Notes, which are an integral part of the Financial Statements.
64

 

Total Stock Market Index Fund
Statement of Operations
  Six Months Ended
June 30, 2022
  ($000)
Investment Income  
Income  
Dividends—Unaffiliated Issuers1 8,697,624
Dividends—Affiliated Issuers
Interest—Unaffiliated Issuers 10
Interest—Affiliated Issuers 14,038
Securities Lending—Net 89,234
Total Income 8,800,906
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 8,820
Management and Administrative—Investor Shares 27,612
Management and Administrative—ETF Shares 34,640
Management and Administrative—Admiral Shares 53,645
Management and Administrative—Institutional Shares 12,233
Management and Administrative—Institutional Plus Shares 34,292
Management and Administrative—Institutional Select Shares 1,857
Marketing and Distribution—Investor Shares 1,508
Marketing and Distribution—ETF Shares 3,641
Marketing and Distribution—Admiral Shares 5,100
Marketing and Distribution—Institutional Shares 1,968
Marketing and Distribution—Institutional Plus Shares 5,958
Marketing and Distribution—Institutional Select Shares 291
Custodian Fees 1,168
Shareholders’ Reports—Investor Shares 480
Shareholders’ Reports—ETF Shares 1,192
Shareholders’ Reports—Admiral Shares 535
Shareholders’ Reports—Institutional Shares 1,189
Shareholders’ Reports—Institutional Plus Shares 848
Shareholders’ Reports—Institutional Select Shares
Trustees’ Fees and Expenses 317
Other Expenses 68
Total Expenses 197,362
Expenses Paid Indirectly (25)
Net Expenses 197,337
Net Investment Income 8,603,569
Realized Net Gain (Loss)  
Investment Securities Sold—Unaffiliated Issuers2 (397,037)
Investment Securities Sold—Affiliated Issuers (1,799)
65

 

Total Stock Market Index Fund
Statement of Operations (continued)
  Six Months Ended
June 30, 2022
  ($000)
Futures Contracts (1,043,990)
Swap Contracts (59,169)
Realized Net Gain (Loss) (1,501,995)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities—Unaffiliated Issuers (303,366,470)
Investment Securities—Affiliated Issuers (2,655)
Futures Contracts (193,642)
Swap Contracts (88,006)
Change in Unrealized Appreciation (Depreciation) (303,650,773)
Net Increase (Decrease) in Net Assets Resulting from Operations (296,549,199)
1 Dividends are net of foreign withholding taxes of $644,000.
2 Includes $9,842,360,000 of net gain (loss) resulting from in-kind redemptions.
See accompanying Notes, which are an integral part of the Financial Statements.
66

 

Total Stock Market Index Fund
Statement of Changes in Net Assets
  Six Months Ended
June 30,
2022
  Year Ended
December 31,
2021
  ($000)   ($000)
Increase (Decrease) in Net Assets      
Operations      
Net Investment Income 8,603,569   16,173,398
Realized Net Gain (Loss) (1,501,995)   25,405,131
Change in Unrealized Appreciation (Depreciation) (303,650,773)   238,495,999
Net Increase (Decrease) in Net Assets Resulting from Operations (296,549,199)   280,074,528
Distributions      
Investor Shares (129,235)   (1,676,741)
ETF Shares (1,870,034)   (3,403,927)
Admiral Shares (2,058,027)   (4,103,816)
Institutional Shares (508,333)   (2,969,898)
Institutional Plus Shares (3,584,115)   (3,559,330)
Institutional Select Shares (323,852)   (647,913)
Total Distributions (8,473,596)   (16,361,625)
Capital Share Transactions      
Investor Shares (103,928,345)   (51,574,306)
ETF Shares 12,527,436   44,386,309
Admiral Shares 2,971,393   1,876,942
Institutional Shares (155,519,309)   22,144,976
Institutional Plus Shares 285,505,129   14,016,596
Institutional Select Shares 400,022   (1,862,868)
Net Increase (Decrease) from Capital Share Transactions 41,956,326   28,987,649
Total Increase (Decrease) (263,066,469)   292,700,552
Net Assets      
Beginning of Period 1,373,412,852   1,080,712,300
End of Period 1,110,346,383   1,373,412,852
See accompanying Notes, which are an integral part of the Financial Statements.
67

 

Total Stock Market Index Fund
Financial Highlights
Investor Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $117.53 $94.71 $79.66 $62.08 $66.70 $56.06
Investment Operations            
Net Investment Income1 .613 1.284 1.284 1.279 1.275 1.086
Capital Gain Distributions Received1 .0002
Net Realized and Unrealized Gain (Loss) on Investments (25.748) 22.837 15.026 17.634 (4.703) 10.630
Total from Investment Operations (25.135) 24.121 16.310 18.913 (3.428) 11.716
Distributions            
Dividends from Net Investment Income (.645) (1.301) (1.260) (1.333) (1.192) (1.076)
Distributions from Realized Capital Gains
Total Distributions (.645) (1.301) (1.260) (1.333) (1.192) (1.076)
Net Asset Value, End of Period $91.75 $117.53 $94.71 $79.66 $62.08 $66.70
Total Return3 -21.43% 25.59% 20.87% 30.65% -5.26% 21.05%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $18,480 $133,977 $153,845 $139,686 $121,266 $126,766
Ratio of Total Expenses to Average Net Assets 0.14%4 0.14% 0.14% 0.14% 0.14% 0.14%
Ratio of Net Investment Income to Average Net Assets 1.17% 1.20% 1.62% 1.78% 1.86% 1.77%
Portfolio Turnover Rate5 2% 4% 8% 4% 3% 3%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Distribution was less than $.001 per share.
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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.14%.
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.
68

 

Total Stock Market Index Fund
Financial Highlights
ETF Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $241.49 $194.61 $163.70 $127.56 $137.06 $115.21
Investment Operations            
Net Investment Income1 1.490 2.912 2.831 2.809 2.781 2.361
Capital Gain Distributions Received1 .0002
Net Realized and Unrealized Gain (Loss) on Investments (53.013) 46.898 30.848 36.236 (9.676) 21.832
Total from Investment Operations (51.523) 49.810 33.679 39.045 (6.895) 24.193
Distributions            
Dividends from Net Investment Income (1.457) (2.930) (2.769) (2.905) (2.605) (2.343)
Distributions from Realized Capital Gains
Total Distributions (1.457) (2.930) (2.769) (2.905) (2.605) (2.343)
Net Asset Value, End of Period $188.51 $241.49 $194.61 $163.70 $127.56 $137.06
Total Return -21.38% 25.72% 20.95% 30.80% -5.13% 21.16%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $244,501 $299,088 $202,075 $138,067 $94,809 $91,862
Ratio of Total Expenses to Average Net Assets 0.03%3 0.03% 0.03% 0.03% 0.03% 0.04%
Ratio of Net Investment Income to Average Net Assets 1.43% 1.31% 1.73% 1.89% 1.97% 1.87%
Portfolio Turnover Rate4 2% 4% 8% 4% 3% 3%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Distribution was less than $.001 per share.
3 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.03%.
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.
69

 

Total Stock Market Index Fund
Financial Highlights
Admiral Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $117.56 $94.74 $79.69 $62.09 $66.72 $56.08
Investment Operations            
Net Investment Income1 .720 1.402 1.364 1.360 1.344 1.148
Capital Gain Distributions Received1 .0002
Net Realized and Unrealized Gain (Loss) on Investments (25.806) 22.833 15.025 17.646 (4.711) 10.633
Total from Investment Operations (25.086) 24.235 16.389 19.006 (3.367) 11.781
Distributions            
Dividends from Net Investment Income (.704) (1.415) (1.339) (1.406) (1.263) (1.141)
Distributions from Realized Capital Gains
Total Distributions (.704) (1.415) (1.339) (1.406) (1.263) (1.141)
Net Asset Value, End of Period $91.77 $117.56 $94.74 $79.69 $62.09 $66.72
Total Return3 -21.38% 25.71% 20.99% 30.80% -5.17% 21.17%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $269,421 $341,733 $273,622 $252,536 $185,102 $190,099
Ratio of Total Expenses to Average Net Assets 0.04%4 0.04% 0.04% 0.04% 0.04% 0.04%
Ratio of Net Investment Income to Average Net Assets 1.41% 1.30% 1.72% 1.88% 1.96% 1.87%
Portfolio Turnover Rate5 2% 4% 8% 4% 3% 3%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Distribution was less than $.001 per share.
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 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.04%.
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.
70

 

Total Stock Market Index Fund
Financial Highlights
Institutional Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $117.58 $94.75 $79.70 $62.10 $66.73 $56.09
Investment Operations            
Net Investment Income1 .692 1.416 1.374 1.365 1.354 1.153
Capital Gain Distributions Received1 .0002
Net Realized and Unrealized Gain (Loss) on Investments (25.782) 22.841 15.024 17.649 (4.715) 10.630
Total from Investment Operations (25.090) 24.257 16.398 19.014 (3.361) 11.783
Distributions            
Dividends from Net Investment Income (.710) (1.427) (1.348) (1.414) (1.269) (1.143)
Distributions from Realized Capital Gains
Total Distributions (.710) (1.427) (1.348) (1.414) (1.269) (1.143)
Net Asset Value, End of Period $91.78 $117.58 $94.75 $79.70 $62.10 $66.73
Total Return -21.39% 25.73% 21.00% 30.81% -5.16% 21.17%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $65,575 $249,282 $180,586 $152,716 $115,115 $113,557
Ratio of Total Expenses to Average Net Assets 0.03%3 0.03% 0.03% 0.03% 0.03% 0.035%
Ratio of Net Investment Income to Average Net Assets 1.33% 1.31% 1.73% 1.89% 1.97% 1.87%
Portfolio Turnover Rate4 2% 4% 8% 4% 3% 3%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Distribution was less than $.001 per share.
3 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.03%.
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.
71

 

Total Stock Market Index Fund
Financial Highlights
Institutional Plus Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $220.49 $177.69 $149.47 $116.46 $125.14 $105.18
Investment Operations            
Net Investment Income1 1.396 2.672 2.591 2.575 2.555 2.182
Capital Gain Distributions Received1 .0002
Net Realized and Unrealized Gain (Loss) on Investments (48.428) 42.823 28.172 33.100 (8.842) 19.938
Total from Investment Operations (47.032) 45.495 30.763 35.675 (6.287) 22.120
Distributions            
Dividends from Net Investment Income (1.338) (2.695) (2.543) (2.665) (2.393) (2.160)
Distributions from Realized Capital Gains
Total Distributions (1.338) (2.695) (2.543) (2.665) (2.393) (2.160)
Net Asset Value, End of Period $172.12 $220.49 $177.69 $149.47 $116.46 $125.14
Total Return -21.38% 25.74% 21.02% 30.82% -5.15% 21.19%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $470,697 $296,554 $226,288 $188,188 $135,641 $126,130
Ratio of Total Expenses to Average Net Assets 0.02%3 0.02% 0.02% 0.02% 0.02% 0.02%
Ratio of Net Investment Income to Average Net Assets 1.47% 1.32% 1.74% 1.90% 1.98% 1.89%
Portfolio Turnover Rate4 2% 4% 8% 4% 3% 3%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Distribution was less than $.001 per share.
3 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.02%.
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.
72

 

Total Stock Market Index Fund
Financial Highlights
Institutional Select Shares            
For a Share Outstanding
Throughout Each Period
Six Months
Ended
June 30,
2022
Year Ended December 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $231.36 $186.45 $156.83 $122.20 $131.31 $110.37
Investment Operations            
Net Investment Income1 1.448 2.821 2.772 2.709 2.704 2.311
Capital Gain Distributions Received1 .0002
Net Realized and Unrealized Gain (Loss) on Investments (50.788) 44.937 29.532 34.731 (9.290) 20.908
Total from Investment Operations (49.340) 47.758 32.304 37.440 (6.586) 23.219
Distributions            
Dividends from Net Investment Income (1.410) (2.848) (2.684) (2.810) (2.524) (2.279)
Distributions from Realized Capital Gains
Total Distributions (1.410) (2.848) (2.684) (2.810) (2.524) (2.279)
Net Asset Value, End of Period $180.61 $231.36 $186.45 $156.83 $122.20 $131.31
Total Return -21.37% 25.75% 21.03% 30.84% -5.14% 21.20%
Ratios/Supplemental Data            
Net Assets, End of Period (Millions) $41,672 $52,780 $44,296 $26,431 $20,262 $14,163
Ratio of Total Expenses to Average Net Assets 0.01%3 0.01% 0.01% 0.01% 0.01% 0.01%
Ratio of Net Investment Income to Average Net Assets 1.45% 1.33% 1.76% 1.91% 1.99% 1.90%
Portfolio Turnover Rate4 2% 4% 8% 4% 3% 3%
The expense ratio and net investment income ratio for the current period have been annualized.
1 Calculated based on average shares outstanding.
2 Distribution was less than $.001 per share.
3 The ratio of expenses to average net assets for the period net of reduction from custody fee offset arrangements was 0.01%.
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.
73

 

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.
Significant market disruptions, such as those caused by pandemics (e.g., COVID-19 pandemic), natural or environmental disasters, war (e.g., Russia's invasion of Ukraine), acts of terrorism, or other events, can adversely affect local and global markets and normal market operations. Any such disruptions could have an adverse impact on the value of the fund's investments and 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. Bonds 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 securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. 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.
74

 

Total Stock Market Index Fund
During the six months ended June 30, 2022, 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.
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.
The notional amounts of swap contracts are not recorded in the Statement of Assets and Liabilities. 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.
During the six months ended June 30, 2022, 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. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is
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Total Stock Market Index Fund
generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for 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 $4.4 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 and are 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, which 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 an agreed-upon spread plus the higher of the federal funds effective rate, the overnight bank funding rate, or the Daily Simple Secured Overnight Financing Rate inclusive of an additional agreed-upon spread. However, borrowings under the uncommitted credit facility may bear interest based upon an alternate 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
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Total Stock Market Index Fund
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, 2022, the fund did not utilize the credit facilities or the Interfund Lending Program.
8. Other: Dividend income is recorded on the ex-dividend date. Non-cash dividends included in income, if any, are recorded at the fair value of the securities received. 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. Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. 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, 2022, the fund had contributed to Vanguard capital in the amount of $43,355,000, representing less than 0.01% of the fund’s net assets and 17.34% 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, 2022, custodian fee offset arrangements reduced the fund’s expenses by $25,000 (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 and derivatives. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
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Total Stock Market Index Fund
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine the fair value of investments). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
The following table summarizes the market value of the fund's investments and derivatives as of June 30, 2022, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
Common Stocks 1,102,905,714 151 7,239 1,102,913,104
Preferred Stocks 5,345 5,345
Temporary Cash Investments 12,109,452 12,109,452
Total 1,115,020,511 151 7,239 1,115,027,901
Derivative Financial Instruments        
Assets        
Swap Contracts 2,614 2,614
Liabilities        
Futures Contracts1 92,594 92,594
Swap Contracts 54,722 54,722
Total 92,594 54,722 147,316
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
E.  As of June 30, 2022, 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 625,810,110
Gross Unrealized Appreciation 546,946,357
Gross Unrealized Depreciation (57,873,268)
Net Unrealized Appreciation (Depreciation) 489,073,089
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, 2021, the fund had available capital losses totaling $11,733,322,000 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, 2022; 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, 2022, the fund purchased $76,664,332,000 of investment securities and sold $37,568,319,000 of investment securities, other than temporary cash investments. Purchases and sales include $20,410,351,000 and $12,962,565,000, respectively, in connection with in-kind purchases and redemptions of the fund’s capital shares.
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Total Stock Market Index Fund
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, 2022, such purchases were $1,014,588,000 and sales were $1,085,424,000, resulting in net realized loss of $442,837,000; 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, 2022
  Year Ended
December 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 3,807,296 35,379   496,590 4,799
Issued in Lieu of Cash Distributions 129,235 1,300   1,676,741 15,550
Redeemed (107,864,876) (975,210)   (53,747,637) (504,787)
Net Increase (Decrease)—Investor Shares (103,928,345) (938,531)   (51,574,306) (484,438)
ETF Shares          
Issued 25,914,934 122,613   69,095,066 308,260
Issued in Lieu of Cash Distributions  
Redeemed (13,387,498) (64,100)   (24,708,757) (108,100)
Net Increase (Decrease)—ETF Shares 12,527,436 58,513   44,386,309 200,160
Admiral Shares          
Issued 18,385,152 175,157   37,025,893 347,554
Issued in Lieu of Cash Distributions 1,713,156 17,207   3,424,237 31,536
Redeemed (17,126,915) (163,359)   (38,573,188) (360,387)
Net Increase (Decrease)—Admiral Shares 2,971,393 29,005   1,876,942 18,703
Institutional Shares          
Issued 5,089,166 48,221   44,920,917 425,435
Issued in Lieu of Cash Distributions 416,444 4,179   2,799,517 25,726
Redeemed (161,024,919) (1,458,108)   (25,575,458) (236,871)
Net Increase (Decrease)—Institutional Shares (155,519,309) (1,405,708)   22,144,976 214,290
Institutional Plus Shares          
Issued 293,292,292 1,428,530   27,268,129 137,022
Issued in Lieu of Cash Distributions 3,554,411 19,055   3,498,917 17,171
Redeemed (11,341,574) (57,849)   (16,750,450) (82,739)
Net Increase (Decrease)—Institutional Plus Shares 285,505,129 1,389,736   14,016,596 71,454
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Total Stock Market Index Fund
  Six Months Ended
June 30, 2022
  Year Ended
December 31, 2021
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Institutional Select Shares          
Issued 3,210,912 15,897   5,779,241 28,270
Issued in Lieu of Cash Distributions 323,852 1,651   647,913 3,034
Redeemed (3,134,742) (14,943)   (8,290,022) (40,759)
Net Increase (Decrease)—Institutional Select Shares 400,022 2,605   (1,862,868) (9,455)
H.  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, 2021
Market Value
($000)
Purchases
at Cost
($000)
Proceeds
from
Securities
Sold
($000)
Realized
Net Gain
(Loss)
($000)
Change in
Unrealized
App. (Dep.)
($000)
Income
($000)
Capital Gain
Distributions
Received
($000)
Jun. 30, 2022
Market Value
($000)
Asure Software Inc. NA1 4,124 1,412 (707) (1,939) 7,399
Vanguard Market Liquidity Fund 8,612,238 NA2 NA2 (1,092) (716) 14,038 12,109,452
Total 8,612,238 4,124 1,412 (1,799) (2,655) 14,038 12,116,851
1 Not applicable—at December 31, 2021, the issuer was not an affiliated company of the fund.
2 Not applicable—purchases and sales are for temporary cash investment purposes.
I.  Management has determined that no events or transactions occurred subsequent to June 30, 2022, that would require recognition or disclosure in these financial statements.
80

 

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 periodic reports throughout the year, which included ‎information about the portfolio’s performance relative to its peers and benchmark, as ‎applicable, and updates, as needed, on the Portfolio Review Department’s ongoing ‎assessment of the advisor.‎
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 below the average expense ratio ‎charged by funds in its peer group and that the fund’s advisory expenses were also 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.‎
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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.‎
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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 January 1, 2021, through December 31, 2021 (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.
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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.
© 2022 The Vanguard Group, Inc.
All rights reserved.
U.S. Patent No. 6,879,964.
Vanguard Marketing Corporation, Distributor.
Q852 082022

 

 

 

Item 2: Code of Ethics.

 

Not applicable.

 

Item 3: Audit Committee Financial Expert.

 

Not applicable.

 

Item 4: Principal Accountant Fees and Services.

 

Not applicable.

 

Item 5: Audit Committee of Listed Registrants.

 

Not applicable.

 

 

 

 

Item 6: Investments.

 

Not applicable. The complete schedule of investments is included as part of the report to shareholders filed under Item 1 of this Form.

 

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. There were no 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)(1)Not applicable.
(a)(2)Certifications filed herewith.
(b)Certifications filed herewith.

 

 

 

 

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 22, 2022

 

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 22, 2022

 

  VANGUARD INDEX FUNDS  
   
BY: /s/ CHRISTINE BUCHANAN*  
     
  CHRISTINE BUCHANAN  
  CHIEF FINANCIAL OFFICER  

 

Date: August 22, 2022

 

* By:/s/ Anne E. Robinson  

 

Anne E. Robinson, pursuant to a Power of Attorney filed on November 29, 2021 (see File Number 33-64845), a Power of Attorney filed on October 12, 2021 (see File Number 33-23444), and a Power of Attorney filed on August 26, 2021 (see file Number 811-02652), Incorporated by Reference.