Vanguard Dividend Appreciation Index Fund

as of:
Stock Holdings

185 Holdings
1-50 of 185 |   Next>

Holding Shares Market Value
Johnson & Johnson9,021,188$1,011,094,751
Coca-Cola Co.22,006,040$985,870,592
PepsiCo Inc.9,401,382$967,966,291
Microsoft Corp.18,654,073$930,278,621
McDonald's Corp.5,864,386$741,786,185
Medtronic plc9,146,063$723,910,886
CVS Health Corp.7,144,894$718,061,847
3M Co.3,935,413$658,709,428
United Technologies Corp.5,440,442$567,818,932
Walgreens Boots Alliance Inc.7,016,480$556,266,534
NIKE Inc. Class B8,780,135$517,501,157
Lockheed Martin Corp.1,986,982$461,734,877
Accenture plc Class A4,084,145$461,181,653
Reynolds American Inc.9,283,917$460,482,283
Lowe's Cos. Inc.5,919,001$449,962,456
Costco Wholesale Corp.2,860,533$423,730,753
Colgate-Palmolive Co.5,806,673$411,809,249
Texas Instruments Inc.6,538,543$372,958,493
Abbott Laboratories9,582,441$372,756,955
Chubb Ltd.3,002,862$353,917,315
NextEra Energy Inc.2,995,939$352,262,508
TJX Cos. Inc.4,354,914$330,189,579
Target Corp.3,917,073$311,407,304
FedEx Corp.1,792,790$296,007,557
EOG Resources Inc.3,576,698$295,506,789
Kimberly-Clark Corp.2,347,425$293,874,136
General Dynamics Corp.2,023,913$284,400,255
Monsanto Co.2,863,687$268,270,198
Stryker Corp.2,426,068$264,465,673
Automatic Data Processing Inc.2,975,446$263,148,444
Illinois Tool Works Inc.2,366,132$247,308,117
Raytheon Co.1,944,863$245,733,440
Northrop Grumman Corp.1,176,921$242,751,725
General Mills Inc.3,859,372$236,733,878
Becton Dickinson and Co.1,377,600$222,151,776
Ecolab Inc.1,925,449$221,388,126
Praxair Inc.1,852,743$217,623,193
Yum! Brands Inc.2,658,523$211,512,090
Travelers Cos. Inc.1,918,711$210,866,339
Air Products & Chemicals Inc.1,402,770$204,650,115
PPG Industries Inc.1,734,990$191,525,546
Aflac Inc.2,731,492$188,391,003
S&P Global Inc.1,725,429$184,362,089
Kellogg Co.2,277,915$174,966,651
VF Corp.2,772,566$174,810,286
Norfolk Southern Corp.1,939,332$174,753,207
Sherwin-Williams Co.600,199$172,443,175
CSX Corp.6,265,085$170,848,868
Waste Management Inc.2,898,700$170,414,573
Sysco Corp.3,672,648$169,198,893
185 Holdings
1-50 of 185 |   Next>