Vanguard High Dividend Yield Index Fund
as of:
Stock Holdings

451 Holdings
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Holding Shares Market Value
Broadcom Inc.1,924,280$2,502,506,897
JPMorgan Chase & Co.12,882,696$2,396,954,418
Exxon Mobil Corp.18,070,175$1,888,694,691
Johnson & Johnson10,754,994$1,735,640,932
Home Depot Inc.4,465,140$1,699,476,935
Procter & Gamble Co.10,502,938$1,669,336,966
Merck & Co. Inc.11,336,096$1,441,384,606
AbbVie Inc.7,874,843$1,386,366,110
Chevron Corp.7,471,364$1,135,722,042
Walmart Inc.19,106,587$1,119,837,064
Bank of America Corp.30,775,467$1,062,369,121
Coca-Cola Co.17,372,891$1,042,720,918
PepsiCo Inc.6,146,080$1,016,192,867
McDonald's Corp.3,254,920$951,348,018
Wells Fargo & Co.16,387,936$911,005,362
Cisco Systems Inc.18,101,787$875,583,437
Intel Corp.18,839,729$811,050,333
QUALCOMM Inc.4,977,234$785,357,753
Comcast Corp. Class A17,812,019$763,245,014
Caterpillar Inc.2,276,409$760,229,550
Verizon Communications Inc.18,790,402$751,991,888
International Business Machines Corp.3,736,698$691,401,231
Union Pacific Corp.2,719,663$689,951,306
Texas Instruments Inc.4,050,088$677,701,225
Pfizer Inc.25,208,547$669,539,008
Amgen Inc.2,385,142$653,123,434
Philip Morris International Inc.6,923,952$622,878,722
ConocoPhillips5,344,618$601,483,310
Honeywell International Inc.2,975,890$591,398,620
RTX Corp.6,416,126$575,334,018
Goldman Sachs Group Inc.1,422,471$553,412,343
AT&T Inc.31,944,510$540,820,554
BlackRock Inc.663,117$538,013,347
Eaton Corp. plc1,777,266$513,629,874
NextEra Energy Inc.9,030,190$498,376,186
Progressive Corp.2,607,507$494,279,027
Medtronic plc5,925,205$493,925,089
United Parcel Service Inc. Class B3,236,471$479,839,190
Starbucks Corp.5,034,347$477,759,530
Citigroup Inc.8,532,701$473,479,578
Automatic Data Processing Inc.1,845,075$463,353,685
Morgan Stanley5,364,247$461,539,812
Bristol-Myers Squibb Co.9,086,009$461,114,957
Chubb Ltd.1,811,540$455,910,272
Mondelez International Inc. Class A6,069,782$443,518,971
CVS Health Corp.5,714,169$424,962,749
Lockheed Martin Corp.988,857$423,468,122
Blackstone Group LP3,179,999$406,467,472
Gilead Sciences Inc.5,577,798$402,159,236
Waste Management Inc.1,812,943$372,831,728
451 Holdings
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