Vanguard High Dividend Yield Index Fund
as of:
Stock Holdings

557 Holdings
1-50 of 557 |   Next>

Holding Shares Market Value
AT&T Inc.28,857,302$487,399,831
Bank of America Corp.27,785,136$1,028,327,883
Pfizer Inc.22,776,987$583,546,407
Walmart Inc.17,266,949$1,024,793,423
Intel Corp.17,012,400$518,367,828
Verizon Communications Inc.16,963,699$669,896,474
Cisco Systems Inc.16,350,174$768,131,175
Exxon Mobil Corp.16,127,187$1,907,362,406
Comcast Corp. Class A15,880,417$605,202,692
Ford Motor Co.15,805,316$192,034,589
Coca-Cola Co.15,709,075$970,349,563
Wells Fargo & Co.14,519,941$861,322,900
JPMorgan Chase & Co.11,639,443$2,231,746,801
Merck & Co. Inc.10,241,031$1,323,346,026
Johnson & Johnson9,717,161$1,405,004,309
Procter & Gamble Co.9,494,514$1,549,504,685
NextEra Energy Inc.8,275,198$554,190,010
Bristol-Myers Squibb Co.8,206,069$360,574,672
Kinder Morgan Inc./DE7,919,045$144,760,143
Citigroup Inc.7,709,241$472,807,751
Altria Group Inc.7,194,294$315,182,020
AbbVie Inc.7,114,921$1,157,170,751
Abbott Laboratories6,979,092$739,574,379
Chevron Corp.6,728,108$1,085,041,977
Philip Morris International Inc.6,254,604$593,812,104
RTX Corp.5,797,459$588,558,038
Huntington Bancshares Inc./OH5,758,062$77,561,095
Schlumberger Ltd.5,741,319$272,597,826
PepsiCo Inc.5,555,062$977,190,956
Mondelez International Inc. Class A5,480,348$394,256,235
US Bancorp5,459,379$221,814,569
Medtronic plc5,353,866$429,594,208
Truist Financial Corp.5,340,962$200,553,123
Hewlett Packard Enterprise Co.5,238,278$89,050,726
CVS Health Corp.5,161,312$349,472,436
Gilead Sciences Inc.5,038,154$328,487,641
Williams Cos. Inc.4,904,862$188,150,506
ConocoPhillips4,830,479$606,804,772
Viatris Inc.4,828,582$55,866,694
Morgan Stanley4,714,662$428,279,896
Newmont Goldcorp Corp.4,645,497$188,792,998
QUALCOMM Inc.4,498,160$746,019,836
Starbucks Corp.4,480,070$396,441,394
Southern Co.4,393,957$322,955,840
Home Depot Inc.4,032,214$1,347,646,563
Baker Hughes Co. Class A4,031,321$131,501,691
Exelon Corp.4,002,651$150,419,625
CNH Industrial NV3,930,830$44,811,462
Keurig Dr Pepper Inc.3,834,650$129,227,705
KeyCorp3,760,232$54,485,762
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