Vanguard Dividend Growth Fund
as of:
Stock Holdings

42 Holdings
1-42 of 42  

Holding Shares Market Value
Visa Inc. Class A6,043,711$1,686,678,866
UnitedHealth Group Inc.3,491,508$1,727,249,008
United Parcel Service Inc. Class B5,813,946$864,126,794
Union Pacific Corp.5,020,030$1,234,575,978
Texas Instruments Inc.7,655,285$1,333,627,200
TJX Cos. Inc.15,790,723$1,601,495,127
Stryker Corp.5,519,573$1,975,289,590
RTX Corp.6,727,616$656,144,388
Public Storage2,447,678$709,973,481
Procter & Gamble Co.8,895,300$1,443,262,425
Pfizer Inc.9,694,607$269,025,344
PepsiCo Inc.8,081,898$1,414,412,969
PNC Financial Services Group Inc.3,510,805$567,346,088
Northrop Grumman Corp.3,124,583$1,495,612,899
NIKE Inc. Class B12,886,541$1,211,077,123
Microsoft Corp.5,720,204$2,406,604,227
Merck & Co. Inc.6,286,719$829,532,572
Medtronic plc11,128,631$969,860,192
McDonald's Corp.4,929,505$1,389,873,935
Mastercard Inc. Class A3,274,607$1,576,952,493
Marsh & McLennan Cos. Inc.7,211,646$1,485,454,843
Lockheed Martin Corp.1,600,223$727,893,436
Linde plc3,641,248$1,690,704,271
Johnson & Johnson7,597,773$1,201,891,711
Intuit Inc.900,049$585,031,850
Honeywell International Inc.7,630,975$1,566,257,619
Home Depot Inc.2,766,834$1,061,357,522
General Dynamics Corp.4,107,211$1,160,246,035
Ecolab Inc.5,549,181$1,281,305,893
Diageo plc35,480,837$1,312,869,427
Deere & Co.1,243,987$510,955,220
Danaher Corp.7,011,772$1,750,979,704
Costco Wholesale Corp.1,385,593$1,015,127,000
Colgate-Palmolive Co.18,027,838$1,623,406,812
Coca-Cola Co.18,117,890$1,108,452,510
Chubb Ltd.4,690,942$1,215,563,800
Canadian National Railway Co.10,169,084$1,339,086,422
Automatic Data Processing Inc.4,485,014$1,120,087,396
American Tower Corp.4,504,406$890,025,582
American Express Co.7,123,107$1,621,860,233
Accenture plc Class A4,376,989$1,517,108,157
Abbott Laboratories11,670,458$1,326,464,256
42 Holdings
1-42 of 42  

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