Vanguard Dividend Appreciation Index Fund

as of:
Stock Holdings

184 Holdings
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Holding Shares Market Value
Microsoft Corp.19,548,476$1,250,711,494
Johnson & Johnson9,453,697$1,155,336,310
PepsiCo Inc.9,852,065$1,087,470,935
Coca-Cola Co.23,061,087$967,643,211
McDonald's Corp.6,145,430$784,464,140
Medtronic plc9,584,504$775,482,219
3M Co.4,123,966$768,501,064
United Technologies Corp.5,701,221$641,672,424
Walgreens Boots Alliance Inc.7,352,819$635,136,505
CVS Health Corp.7,487,373$603,332,516
Reynolds American Inc.9,728,916$599,009,358
Lockheed Martin Corp.2,082,243$555,084,339
Costco Wholesale Corp.2,997,542$531,104,492
Abbott Laboratories11,777,674$530,937,544
NIKE Inc. Class B9,201,059$525,932,532
Texas Instruments Inc.6,851,957$524,996,945
Accenture plc Class A4,279,947$524,293,508
Lowe's Cos. Inc.6,202,590$461,286,618
Colgate-Palmolive Co.6,085,024$444,085,052
Chubb Ltd.3,146,744$434,785,618
NextEra Energy Inc.3,139,448$411,267,688
General Dynamics Corp.2,120,904$402,568,788
EOG Resources Inc.3,748,060$363,524,339
FedEx Corp.1,878,629$362,537,824
TJX Cos. Inc.4,563,562$358,011,439
Monsanto Co.3,000,836$341,585,162
Illinois Tool Works Inc.2,479,453$327,312,591
Stryker Corp.2,542,235$326,829,732
Kimberly-Clark Corp.2,459,865$326,055,106
Automatic Data Processing Inc.3,117,983$319,967,415
CSX Corp.6,564,898$318,791,447
Raytheon Co.2,037,971$314,153,230
Northrop Grumman Corp.1,233,325$304,742,274
Becton Dickinson and Co.1,443,755$264,279,353
Ecolab Inc.2,017,534$250,113,690
Norfolk Southern Corp.2,032,508$245,994,443
Travelers Cos. Inc.2,010,546$245,769,143
General Mills Inc.4,044,277$244,153,002
Target Corp.4,104,814$241,239,919
S&P Global Inc.1,808,303$234,120,989
Praxair Inc.1,941,456$230,470,242
Waste Management Inc.3,037,601$222,716,905
Aflac Inc.2,862,726$207,118,226
Air Products & Chemicals Inc.1,469,875$206,473,341
Sysco Corp.3,848,383$202,886,752
Sherwin-Williams Co.628,920$194,046,977
Archer-Daniels-Midland Co.4,048,084$190,138,505
Ross Stores Inc.2,760,515$189,316,119
PPG Industries Inc.1,818,254$186,243,757
Cardinal Health Inc.2,244,750$182,655,308
184 Holdings
1-50 of 184 |   Next>