Vanguard PRIMECAP Fund
as of:
Stock Holdings

163 Holdings
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Holding Shares Market Value
Eli Lilly & Co.18,347,208$4,239,122,408
Microsoft Corp.11,421,468$3,219,940,259
Adobe Inc.4,996,957$2,876,848,084
Biogen Inc.9,169,553$2,594,891,803
Texas Instruments Inc.12,703,192$2,441,680,534
Amgen Inc.9,506,255$2,021,505,126
FedEx Corp.8,988,058$1,970,991,239
Alphabet Inc. Class A715,637$1,913,269,832
Tesla Inc.2,404,700$1,864,796,756
Micron Technology Inc.25,959,974$1,842,638,955
Sony Corp. ADR14,912,157$1,648,986,321
AstraZeneca plc ADR26,685,968$1,602,759,238
KLA Corp.4,477,240$1,497,681,552
Alibaba Group Holding Ltd. ADR9,597,317$1,420,882,782
Thermo Fisher Scientific Inc.2,485,129$1,419,828,752
Southwest Airlines Co.27,252,878$1,401,615,516
Siemens AG8,547,564$1,397,962,901
Wells Fargo & Co.29,880,027$1,386,732,053
Charles Schwab Corp.16,835,216$1,226,277,133
Boston Scientific Corp.28,110,044$1,219,694,809
JPMorgan Chase & Co.7,309,275$1,196,455,225
Intel Corp.21,885,787$1,166,074,731
Alphabet Inc. Class C390,661$1,041,232,670
Novartis AG ADR11,382,725$930,879,251
Bank of America Corp.21,111,032$896,163,308
Ross Stores Inc.7,941,200$864,399,620
Amazon.com Inc.256,480$842,547,059
NetApp Inc.9,363,871$840,501,061
Baidu Inc. ADR5,366,078$825,034,493
Intuit Inc.1,452,700$783,746,177
Marsh & McLennan Cos. Inc.4,844,515$733,604,906
Telefonaktiebolaget LM Ericsson ADR62,505,426$700,060,771
Roche Holding AG1,761,013$642,716,868
Airbus SE4,844,239$642,229,420
United Airlines Holdings Inc.13,081,203$622,272,827
Whirlpool Corp.3,002,832$612,157,332
NVIDIA Corp.2,877,560$596,115,330
Oracle Corp.6,639,900$578,534,487
TJX Cos. Inc.8,624,500$569,044,510
QUALCOMM Inc.4,273,586$551,207,122
Bristol-Myers Squibb Co.8,796,513$520,489,674
Union Pacific Corp.2,606,600$510,919,666
Mattel Inc.27,518,338$510,740,353
Caterpillar Inc.2,616,968$502,379,347
Walt Disney Co.2,877,425$486,773,987
BioMarin Pharmaceutical Inc.6,200,439$479,231,930
Hess Corp.6,033,900$471,307,929
Analog Devices Inc.2,755,160$461,434,197
Elanco Animal Health Inc.13,943,419$444,655,632
American Airlines Group Inc.21,210,513$435,239,727
163 Holdings
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