Vanguard Dividend Appreciation Index Fund

as of:
Stock Holdings

181 Holdings
1-50 of 181 |   Next>

Holding Shares Market Value
Microsoft Corp.22,835,588$1,066,421,960
Johnson & Johnson9,768,292$978,880,541
Coca-Cola Co.23,125,650$950,001,702
International Business Machines Corp.5,717,644$926,201,152
Procter & Gamble Co.11,762,562$902,188,505
Wal-Mart Stores Inc.11,930,673$858,769,843
PepsiCo Inc.8,574,939$826,195,373
CVS Health Corp.6,509,202$732,089,949
Medtronic plc8,243,495$646,207,573
QUALCOMM Inc.9,542,075$614,414,209
Walgreens Boots Alliance Inc.6,305,088$609,260,653
3M Co.3,671,860$555,699,292
United Technologies Corp.5,247,616$526,388,361
NIKE Inc. Class B3,970,520$457,483,314
Abbott Laboratories8,728,827$442,464,241
Lowe's Cos. Inc.5,553,301$385,176,957
Lockheed Martin Corp.1,825,529$378,067,056
Costco Wholesale Corp.2,548,016$370,226,725
Colgate-Palmolive Co.5,247,115$356,908,762
Target Corp.3,703,164$303,103,973
Texas Instruments Inc.6,057,351$302,746,403
General Dynamics Corp.1,918,690$286,095,866
Monsanto Co.2,797,283$285,015,165
FedEx Corp.1,638,817$280,926,010
TJX Cos. Inc.3,984,770$278,216,641
Caterpillar Inc.3,506,192$275,691,877
NextEra Energy Inc.2,565,040$269,842,208
EOG Resources Inc.3,172,292$244,869,219
Stryker Corp.2,190,803$224,053,423
Yum! Brands Inc.2,505,258$219,861,442
Automatic Data Processing Inc.2,748,365$219,237,076
ACE Ltd.1,893,460$205,951,644
Emerson Electric Co.3,963,365$205,104,139
Ecolab Inc.1,730,970$200,463,636
Northrop Grumman Corp.1,147,682$198,560,463
Illinois Tool Works Inc.2,194,860$196,374,124
Raytheon Co.1,777,630$193,921,657
VF Corp.2,498,089$192,577,681
Praxair Inc.1,670,473$190,667,788
Deere & Co.1,963,726$185,709,568
CSX Corp.5,729,657$179,223,671
Air Products & Chemicals Inc.1,239,407$176,627,892
Archer-Daniels-Midland Co.3,668,861$173,977,389
PPG Industries Inc.1,573,966$170,586,435
Becton Dickinson and Co.1,116,070$169,810,051
Chubb Corp.1,335,390$166,029,039
Franklin Resources Inc.3,596,832$163,835,698
Aflac Inc.2,538,734$162,605,913
Cardinal Health Inc.1,909,586$162,276,618
McGraw Hill Financial Inc.1,582,063$160,974,910
181 Holdings
1-50 of 181 |   Next>