Vanguard Dividend Appreciation Index Fund

as of:
Stock Holdings

185 Holdings
1-50 of 185 |   Next>

Holding Shares Market Value
Johnson & Johnson9,083,716$1,023,643,956
Microsoft Corp.18,783,177$995,508,381
Coca-Cola Co.22,158,378$988,263,659
PepsiCo Inc.9,466,453$957,721,050
Medtronic plc9,209,431$741,175,007
McDonald's Corp.5,904,992$720,763,324
CVS Health Corp.7,194,414$693,901,230
3M Co.3,962,592$666,983,485
United Technologies Corp.5,478,110$550,988,304
Walgreens Boots Alliance Inc.7,065,122$546,840,443
Accenture plc Class A4,112,475$489,261,151
NIKE Inc. Class B8,840,985$488,199,192
Lowe's Cos. Inc.5,959,967$477,572,156
Lockheed Martin Corp.2,000,736$472,633,865
Reynolds American Inc.9,348,179$464,604,496
Costco Wholesale Corp.2,880,314$428,504,314
Colgate-Palmolive Co.5,846,853$411,676,920
Texas Instruments Inc.6,583,817$398,979,310
Chubb Ltd.3,023,684$382,828,631
Abbott Laboratories9,648,798$382,381,865
NextEra Energy Inc.3,016,715$362,367,806
TJX Cos. Inc.4,385,030$333,788,484
Monsanto Co.2,883,515$324,308,932
Kimberly-Clark Corp.2,363,685$300,282,542
FedEx Corp.1,805,120$297,790,646
EOG Resources Inc.3,601,412$293,010,880
General Dynamics Corp.2,037,969$289,126,662
Stryker Corp.2,442,860$271,548,318
Target Corp.3,944,191$271,281,457
Automatic Data Processing Inc.2,996,060$263,173,910
Raytheon Co.1,958,249$253,926,148
Illinois Tool Works Inc.2,382,554$252,622,201
Northrop Grumman Corp.1,185,061$252,026,923
General Mills Inc.3,886,028$243,964,838
Becton Dickinson and Co.1,387,401$230,932,896
Ecolab Inc.1,938,673$227,290,023
Travelers Cos. Inc.1,932,081$220,527,725
Yum! Brands Inc.2,676,933$219,749,430
Praxair Inc.1,865,643$204,959,540
Air Products & Chemicals Inc.1,412,482$201,476,432
S&P Global Inc.1,737,689$194,291,007
Aflac Inc.2,750,926$191,079,320
PPG Industries Inc.1,746,958$188,112,437
Sysco Corp.3,698,086$177,914,917
Waste Management Inc.2,918,357$177,873,859
Sherwin-Williams Co.604,345$175,918,786
VF Corp.2,792,270$174,014,266
Kellogg Co.2,293,659$170,579,420
Cardinal Health Inc.2,156,610$170,264,360
CSX Corp.6,308,463$166,732,677
185 Holdings
1-50 of 185 |   Next>