Vanguard PRIMECAP Fund
as of:
Stock Holdings

175 Holdings
1-50 of 175 |   Next>

Holding Shares Market Value
Eli Lilly & Co.14,686,358$5,043,589,064
Biogen Inc.9,005,701$2,503,855,049
Amgen Inc.9,096,655$2,199,116,346
Texas Instruments Inc.11,255,162$2,093,572,684
FedEx Corp.8,800,958$2,010,930,893
Microsoft Corp.6,841,410$1,972,378,503
AstraZeneca plc ADR26,237,488$1,821,144,042
Adobe Inc.4,462,557$1,719,735,591
KLA Corp.3,791,230$1,513,345,279
Micron Technology Inc.24,275,784$1,464,800,807
Intel Corp.41,212,418$1,346,409,696
Boston Scientific Corp.26,418,844$1,321,734,765
Tesla Inc.6,275,800$1,301,977,468
Siemens AG7,930,310$1,284,741,104
Thermo Fisher Scientific Inc.2,180,129$1,256,560,952
Sony Corp. ADR13,800,645$1,251,028,469
Alphabet Inc. Class A11,851,340$1,229,339,498
Wells Fargo & Co.29,529,657$1,103,818,579
Alibaba Group Holding Ltd. ADR9,903,277$1,011,916,844
Novartis AG ADR10,055,605$925,115,660
Oracle Corp.9,269,770$861,347,028
Ross Stores Inc.7,889,800$837,344,474
Southwest Airlines Co.25,729,948$837,252,508
Bristol-Myers Squibb Co.11,819,323$819,197,277
Baidu Inc. ADR5,414,548$817,163,584
Alphabet Inc. Class C6,833,320$710,665,280
TJX Cos. Inc.8,506,300$666,553,668
Hess Corp.4,863,510$643,636,913
BioMarin Pharmaceutical Inc.6,604,288$642,200,965
Airbus SE4,524,737$604,357,875
Intuit Inc.1,256,400$560,140,812
NetApp Inc.8,563,411$546,773,792
United Airlines Holdings Inc.12,332,333$545,705,735
NVIDIA Corp.1,874,030$520,549,313
Visa Inc. Class A2,296,700$517,813,982
Analog Devices Inc.2,595,690$511,921,982
Mattel Inc.27,302,838$502,645,248
BeiGene Ltd. ADR2,297,790$495,242,679
JPMorgan Chase & Co.3,797,800$494,891,318
Marsh & McLennan Cos. Inc.2,938,815$489,459,638
Roche Holding AG1,707,013$487,766,339
Pioneer Natural Resources Co.2,294,300$468,587,832
Caterpillar Inc.1,937,508$443,379,331
QUALCOMM Inc.3,468,196$442,472,446
Walt Disney Co.4,048,105$405,336,754
Raymond James Financial Inc.4,278,223$399,029,859
Delta Air Lines Inc.11,355,680$396,540,346
Whirlpool Corp.2,993,302$395,175,730
HP Inc.13,185,546$386,995,775
Splunk Inc.3,928,158$376,631,789
175 Holdings
1-50 of 175 |   Next>

© 1995–2023  The Vanguard Group, Inc. All rights reserved. Vanguard Marketing Corporation, Distributor of the Vanguard Funds. Your use of this site signifies that you accept our terms & conditions of use.  
Security  |  Prospectuses