Vanguard Dividend Appreciation Index Fund

as of:
Stock Holdings

163 Holdings
1-50 of 163 |   Next>

Holding Shares Market Value
PepsiCo Inc.10,767,968$1,065,813,473
Coca-Cola Co.24,184,696$1,047,197,337
Wal-Mart Stores Inc.12,367,530$1,038,006,793
Johnson & Johnson10,028,837$1,028,056,081
CVS Health Corp.8,363,127$868,678,001
QUALCOMM Inc.11,960,505$867,256,218
Exxon Mobil Corp.9,596,552$849,678,714
International Business Machines Corp.4,989,280$807,964,003
3M Co.4,687,033$790,468,115
United Technologies Corp.6,473,248$789,153,664
Walgreens Boots Alliance Inc.7,709,084$640,470,699
Medtronic plc7,061,036$547,865,783
Lowe's Cos. Inc.7,284,861$539,735,351
Abbott Laboratories10,913,717$516,982,774
NIKE Inc. Class B5,004,150$486,003,048
Colgate-Palmolive Co.6,499,488$460,293,740
Texas Instruments Inc.7,668,380$450,900,744
Monsanto Co.3,712,356$447,079,033
Occidental Petroleum Corp.5,629,853$438,452,952
FedEx Corp.2,208,373$390,837,854
Caterpillar Inc.4,511,202$373,978,646
TJX Cos. Inc.5,030,159$345,270,114
Target Corp.4,476,527$343,931,569
EOG Resources Inc.3,769,110$338,164,549
General Dynamics Corp.2,420,670$335,940,583
Automatic Data Processing Inc.3,407,866$302,754,815
Emerson Electric Co.4,972,058$287,981,599
ACE Ltd.2,381,118$271,471,263
Praxair Inc.2,079,242$265,935,052
Illinois Tool Works Inc.2,683,801$265,320,567
Northrop Grumman Corp.1,532,941$254,023,653
Stryker Corp.2,672,616$253,230,366
Ecolab Inc.2,127,259$245,783,505
Franklin Resources Inc.4,461,876$240,182,785
Norfolk Southern Corp.2,190,625$239,128,625
VF Corp.3,114,791$238,779,878
Deere & Co.2,614,832$236,903,779
Air Products & Chemicals Inc.1,497,111$233,758,912
PPG Industries Inc.979,653$230,590,723
Archer-Daniels-Midland Co.4,656,543$222,955,279
Cardinal Health Inc.2,425,163$213,390,092
Sherwin-Williams Co.709,373$202,313,180
Aflac Inc.3,223,927$200,689,456
Becton Dickinson and Co.1,365,225$200,305,812
McGraw Hill Financial Inc.1,916,768$197,618,781
Chubb Corp.1,737,053$174,486,974
Ross Stores Inc.1,520,064$160,837,972
T. Rowe Price Group Inc.1,854,793$153,205,902
Parker-Hannifin Corp.1,054,843$129,418,688
Analog Devices Inc.2,210,451$129,399,802
163 Holdings
1-50 of 163 |   Next>