Vanguard High Dividend Yield Index Fund
as of:
Stock Holdings

557 Holdings
1-50 of 557 |   Next>

Holding Shares Market Value
1st Source Corp.66,075$3,277,320
3M Co.2,214,241$213,696,399
ABM Industries Inc.252,102$11,016,857
ADT Inc.1,031,801$6,706,707
AES Corp./VA2,695,885$48,256,342
AGCO Corp.252,690$28,854,671
ALLETE Inc.231,382$13,702,442
APA Corp.1,464,701$46,050,199
AT&T Inc.28,857,302$487,399,831
AbbVie Inc.7,114,921$1,157,170,751
Abbott Laboratories6,979,092$739,574,379
Advance Auto Parts Inc.239,547$17,482,140
Aflac Inc.2,336,601$195,456,674
Air Lease Corp. Class A417,739$20,987,207
Air Products & Chemicals Inc.893,361$211,136,939
Albertsons Cos. Inc. Class A1,681,173$34,295,929
Allegiant Travel Co. Class A63,263$3,451,629
Alliance Data Systems Corp.198,962$7,343,687
Alliant Energy Corp.1,029,628$51,275,474
Allstate Corp.1,056,272$179,629,616
Ally Financial Inc.1,091,823$41,871,412
Altria Group Inc.7,194,294$315,182,020
Amdocs Ltd.461,238$38,739,380
Ameren Corp.1,061,145$78,386,781
American Electric Power Co. Inc.2,120,568$182,432,465
American Financial Group Inc./OH288,775$36,891,006
American International Group Inc.2,826,023$212,827,792
American States Water Co.148,463$10,517,119
American Water Works Co. Inc.781,645$95,610,816
Ameriprise Financial Inc.403,268$166,061,730
Amgen Inc.2,153,543$589,941,569
Analog Devices Inc.2,007,796$402,783,956
Antero Midstream Corp.1,368,139$18,935,044
Apogee Enterprises Inc.87,252$5,390,429
Apollo Global Management LLC2,101,069$227,713,858
Arch Resources Inc.72,055$11,440,893
Archer-Daniels-Midland Co.2,149,181$126,070,957
Archrock Inc.556,390$10,677,124
Ardagh Metal Packaging SA578,179$2,283,807
Ares Management Corp. Class A671,789$89,408,398
Artisan Partners Asset Management Inc. Class A245,886$10,064,114
Associated Banc-Corp606,065$12,769,790
Assurant Inc.213,394$37,215,914
Assured Guaranty Ltd.221,312$16,974,630
Atlantic Union Bankshares Corp.355,066$11,280,447
Atlantica Yield plc271,081$5,305,055
Atmos Energy Corp.604,569$71,278,685
Autoliv Inc.297,241$35,606,499
Automatic Data Processing Inc.1,667,478$403,346,253
Avangrid Inc.286,427$10,463,178
557 Holdings
1-50 of 557 |   Next>

© 1995–2024  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.  |  Manage cookies
Security  |  Prospectuses