Vanguard PRIMECAP Fund
as of:
Stock Holdings

171 Holdings
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Holding Shares Market Value
Eli Lilly & Co.14,847,538$5,431,823,302
Biogen Inc.8,927,161$2,472,109,424
Amgen Inc.9,120,955$2,395,527,621
Microsoft Corp.8,454,730$2,027,613,349
Texas Instruments Inc.11,413,902$1,885,804,888
AstraZeneca plc ADR25,867,788$1,753,836,026
FedEx Corp.9,012,558$1,560,975,046
Adobe Inc.4,493,757$1,512,284,043
KLA Corp.4,003,140$1,509,303,874
Micron Technology Inc.24,618,314$1,230,423,334
Wells Fargo & Co.29,659,157$1,224,626,593
Boston Scientific Corp.26,465,244$1,224,546,840
Thermo Fisher Scientific Inc.2,215,749$1,220,190,817
Siemens AG7,865,849$1,084,317,179
Alphabet Inc. Class A12,239,250$1,079,869,028
Sony Corp. ADR13,792,745$1,052,110,589
Novartis AG ADR10,443,025$947,391,228
Ross Stores Inc.7,819,900$907,655,793
Intel Corp.33,582,918$887,596,523
Southwest Airlines Co.26,187,648$881,738,108
Alibaba Group Holding Ltd. ADR9,932,577$874,960,708
Bristol-Myers Squibb Co.11,934,723$858,703,320
Tesla Inc.6,324,700$779,076,546
JPMorgan Chase & Co.5,759,355$772,329,506
Hess Corp.5,097,200$722,884,904
Oracle Corp.8,462,020$691,685,515
TJX Cos. Inc.8,515,300$677,817,880
BioMarin Pharmaceutical Inc.6,374,648$659,712,322
Baidu Inc. ADR5,438,348$622,038,244
Alphabet Inc. Class C6,986,110$619,877,540
Roche Holding AG1,719,103$540,206,725
Airbus SE4,542,737$540,142,544
Pioneer Natural Resources Co.2,304,100$526,233,399
NetApp Inc.8,606,341$516,896,840
BeiGene Ltd. ADR2,297,790$505,375,933
Marsh & McLennan Cos. Inc.3,048,815$504,517,906
Intuit Inc.1,282,000$498,980,040
Mattel Inc.27,317,838$487,350,230
Caterpillar Inc.2,023,618$484,777,928
United Airlines Holdings Inc.12,389,133$467,070,314
Union Pacific Corp.2,240,900$464,023,163
Visa Inc. Class A2,208,700$458,879,512
Raymond James Financial Inc.4,259,403$455,117,211
Bank of America Corp.13,335,732$441,679,444
Analog Devices Inc.2,669,140$437,819,034
Whirlpool Corp.2,991,832$423,224,555
QUALCOMM Inc.3,516,676$386,623,359
HP Inc.13,651,726$366,821,878
Delta Air Lines Inc.10,868,560$357,140,882
Walt Disney Co.4,048,105$351,699,362
171 Holdings
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