Vanguard Dividend Appreciation Index Fund

as of:
Stock Holdings

186 Holdings
1-50 of 186 |   Next>

Holding Shares Market Value
Microsoft Corp.19,535,467$1,262,967,942
Johnson & Johnson9,447,452$1,069,923,939
PepsiCo Inc.9,845,654$1,021,781,972
Coca-Cola Co.23,045,816$958,014,571
McDonald's Corp.6,141,476$752,760,713
Medtronic plc9,578,225$728,136,665
3M Co.4,121,327$720,490,386
United Technologies Corp.5,697,441$624,838,354
Walgreens Boots Alliance Inc.7,348,065$602,100,446
CVS Health Corp.7,482,516$589,697,086
Reynolds American Inc.9,722,530$584,615,729
Lockheed Martin Corp.2,080,863$522,983,298
Texas Instruments Inc.6,847,462$517,257,279
Costco Wholesale Corp.2,995,625$491,132,719
Accenture plc Class A4,277,189$487,043,511
NIKE Inc. Class B9,195,029$486,417,034
Lowe's Cos. Inc.6,198,582$452,992,373
Abbott Laboratories10,035,206$419,170,555
Chubb Ltd.3,144,808$413,510,804
Colgate-Palmolive Co.6,081,037$392,713,369
NextEra Energy Inc.3,137,525$388,174,593
General Dynamics Corp.2,119,559$383,809,744
EOG Resources Inc.3,745,701$380,488,308
FedEx Corp.1,877,428$355,040,409
TJX Cos. Inc.4,560,655$341,684,273
Monsanto Co.2,999,117$324,834,362
Illinois Tool Works Inc.2,477,918$315,191,170
Automatic Data Processing Inc.3,116,183$314,703,321
Stryker Corp.2,540,735$313,856,995
CSX Corp.6,560,862$304,358,388
Kimberly-Clark Corp.2,458,413$297,787,567
Raytheon Co.2,036,541$293,587,751
Northrop Grumman Corp.1,232,569$282,356,907
Target Corp.4,102,428$264,524,557
Becton Dickinson and Co.1,442,749$255,784,970
General Mills Inc.4,041,918$252,539,037
Ecolab Inc.2,016,130$242,197,697
Norfolk Southern Corp.2,031,093$238,572,184
Travelers Cos. Inc.2,009,142$236,636,745
Praxair Inc.1,940,093$229,784,615
S&P Global Inc.1,806,970$217,161,655
Waste Management Inc.3,035,345$210,956,478
Air Products & Chemicals Inc.1,468,843$205,285,498
Sysco Corp.3,845,582$201,739,232
Aflac Inc.2,860,639$200,216,124
Sherwin-Williams Co.628,457$190,931,521
Ross Stores Inc.2,758,494$182,364,038
PPG Industries Inc.1,817,008$181,718,970
Archer-Daniels-Midland Co.4,045,122$179,037,100
Kellogg Co.2,385,686$173,463,229
186 Holdings
1-50 of 186 |   Next>