Vanguard High Dividend Yield Index Fund
as of:
Stock Holdings

440 Holdings
1-50 of 440 |   Next>

Holding Shares Market Value
Johnson & Johnson11,667,780$2,061,113,337
Exxon Mobil Corp.18,278,472$2,016,115,462
JPMorgan Chase & Co.12,936,208$1,734,745,493
Procter & Gamble Co.10,467,651$1,586,477,186
Chevron Corp.8,579,504$1,539,935,173
Home Depot Inc.4,583,460$1,447,731,676
Eli Lilly & Co.3,736,560$1,366,983,110
Pfizer Inc.25,065,425$1,284,352,377
AbbVie Inc.7,836,523$1,266,460,482
Merck & Co. Inc.11,217,481$1,244,579,517
PepsiCo Inc.6,131,704$1,107,753,645
Coca-Cola Co.17,320,190$1,101,737,286
Bank of America Corp.31,164,072$1,032,154,065
Broadcom Inc.1,752,085$979,643,286
Walmart Inc.6,303,118$893,719,101
Cisco Systems Inc.18,231,879$868,566,716
McDonald's Corp.3,275,234$863,122,416
NextEra Energy Inc.8,810,830$736,585,388
Verizon Communications Inc.18,654,003$734,967,718
Linde plc2,193,102$715,346,010
Wells Fargo & Co.16,834,528$695,097,661
Philip Morris International Inc.6,867,387$695,048,238
Bristol-Myers Squibb Co.9,438,566$679,104,824
Texas Instruments Inc.4,025,491$665,091,623
Comcast Corp. Class A19,014,573$664,939,618
Raytheon Technologies Corp.6,523,647$658,366,455
ConocoPhillips5,524,356$651,874,008
Honeywell International Inc.2,985,986$639,896,800
Amgen Inc.2,366,468$621,529,156
AT&T Inc.31,724,609$584,050,052
United Parcel Service Inc. Class B3,258,730$566,497,623
International Business Machines Corp.3,988,158$561,891,581
Caterpillar Inc.2,305,888$552,398,529
QUALCOMM Inc.4,965,306$545,885,742
CVS Health Corp.5,808,775$541,319,742
Lockheed Martin Corp.1,037,191$504,583,050
Starbucks Corp.5,081,791$504,113,667
Goldman Sachs Group Inc.1,453,454$499,087,035
Intel Corp.18,132,556$479,243,455
Gilead Sciences Inc.5,562,890$477,574,107
BlackRock Inc.664,946$471,200,684
Morgan Stanley5,480,332$465,937,827
Medtronic plc5,924,157$460,425,482
Automatic Data Processing Inc.1,850,577$442,028,822
Chubb Ltd.1,841,657$406,269,534
Mondelez International Inc. Class A6,044,113$402,840,131
Citigroup Inc.8,574,304$387,815,770
Altria Group Inc.7,945,537$363,190,496
Duke Energy Corp.3,413,326$351,538,445
Southern Co.4,820,390$344,224,050
440 Holdings
1-50 of 440 |   Next>

© 1995–2023  The Vanguard Group, Inc. All rights reserved. Vanguard Marketing Corporation, Distributor of the Vanguard Funds. Your use of this site signifies that you accept our terms & conditions of use.  
Security  |  Prospectuses