Vanguard PRIMECAP Fund
as of:
Stock Holdings

173 Holdings
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Holding Shares Market Value
Eli Lilly & Co.12,848,118$7,489,424,945
Adobe Inc.4,342,557$2,590,769,506
Amgen Inc.8,962,995$2,581,521,820
Biogen Inc.9,194,061$2,379,147,165
Microsoft Corp.6,223,002$2,340,097,672
Intel Corp.45,928,118$2,307,887,930
FedEx Corp.8,545,658$2,161,795,104
KLA Corp.3,544,660$2,060,510,858
Micron Technology Inc.23,601,774$2,014,175,393
Texas Instruments Inc.10,716,972$1,826,815,047
AstraZeneca plc ADR25,729,688$1,732,894,487
Alphabet Inc. Class A11,151,190$1,557,709,731
Boston Scientific Corp.25,766,344$1,489,552,347
Siemens AG7,802,676$1,463,854,900
Tesla Inc.5,729,100$1,423,566,768
Wells Fargo & Co.27,696,647$1,363,228,965
Sony Corp. ADR13,221,000$1,251,896,490
Ross Stores Inc.7,604,700$1,052,414,433
Thermo Fisher Scientific Inc.1,799,547$955,181,552
Oracle Corp.8,889,770$937,248,451
Alphabet Inc. Class C6,431,620$906,408,207
NVIDIA Corp.1,723,900$853,709,758
Novartis AG ADR8,223,585$830,335,377
Alibaba Group Holding Ltd. ADR10,400,417$806,136,322
TJX Cos. Inc.8,168,600$766,296,366
Intuit Inc.1,176,600$735,410,298
Southwest Airlines Co.25,401,478$733,594,685
NetApp Inc.8,262,241$728,399,167
Hess Corp.4,778,200$688,825,312
Bristol-Myers Squibb Co.13,008,723$667,477,577
BioMarin Pharmaceutical Inc.6,826,903$658,249,987
Baidu Inc. ADR5,347,948$636,887,127
Visa Inc. Class A2,331,400$606,979,990
Splunk Inc.3,929,808$598,706,249
Airbus SE3,689,594$569,999,517
Pioneer Natural Resources Co.2,221,500$499,570,920
Mattel Inc.26,455,838$499,486,221
United Airlines Holdings Inc.12,098,403$499,180,108
Marsh & McLennan Cos. Inc.2,630,516$498,403,867
Analog Devices Inc.2,491,400$494,692,384
Raymond James Financial Inc.4,254,903$474,421,685
JPMorgan Chase & Co.2,739,000$465,903,900
Amazon.com Inc.3,063,500$465,468,190
Roche Holding AG1,557,113$452,642,731
Delta Air Lines Inc.11,156,900$448,842,087
BeiGene Ltd. ADR2,275,590$410,425,412
QUALCOMM Inc.2,794,406$404,154,940
Walt Disney Co.4,438,605$400,761,645
Caterpillar Inc.1,347,100$398,297,057
HP Inc.13,042,216$392,440,279
173 Holdings
1-50 of 173 |   Next>

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