Vanguard High Dividend Yield Index Fund
as of:
Stock Holdings

452 Holdings
1-50 of 452 |   Next>

Holding Shares Market Value
AT&T Inc.32,260,109$496,805,679
Bank of America Corp.31,410,907$827,363,290
Pfizer Inc.25,483,188$778,766,225
Verizon Communications Inc.18,983,743$666,898,892
Intel Corp.18,827,475$687,202,838
Cisco Systems Inc.18,494,373$964,111,664
Comcast Corp. Class A18,453,920$761,962,357
Exxon Mobil Corp.18,067,389$1,912,433,126
Ford Motor Co.17,684,889$172,427,668
Coca-Cola Co.17,573,070$992,702,724
Wells Fargo & Co.16,549,143$658,159,417
JPMorgan Chase & Co.13,018,884$1,810,406,009
Merck & Co. Inc.11,456,196$1,176,551,329
Johnson & Johnson10,870,283$1,612,497,780
Procter & Gamble Co.10,620,782$1,593,435,923
Bristol-Myers Squibb Co.9,480,803$488,545,779
NextEra Energy Inc.9,131,009$532,337,825
Kinder Morgan Inc./DE8,837,308$143,164,390
Citigroup Inc.8,760,359$345,946,577
Altria Group Inc.8,051,604$323,432,933
Chevron Corp.7,981,386$1,163,127,382
AbbVie Inc.7,958,950$1,123,644,561
Philip Morris International Inc.6,998,487$623,985,101
US Bancorp6,903,094$220,070,637
RTX Corp.6,590,430$536,395,098
Huntington Bancshares Inc./OH6,440,913$62,154,810
Walmart Inc.6,439,856$1,052,336,869
Schlumberger Ltd.6,424,562$357,591,121
PepsiCo Inc.6,215,362$1,014,844,307
Mondelez International Inc. Class A6,135,025$406,200,005
Medtronic plc5,990,718$422,705,062
Truist Financial Corp.5,966,866$169,220,320
CVS Health Corp.5,774,297$398,484,236
Gilead Sciences Inc.5,636,403$442,683,092
Williams Cos. Inc.5,487,858$188,782,315
ConocoPhillips5,468,695$649,680,966
Morgan Stanley5,422,442$384,017,342
Viatris Inc.5,366,940$47,765,766
Newmont Goldcorp Corp.5,201,388$194,896,008
Starbucks Corp.5,087,333$469,255,596
QUALCOMM Inc.5,031,357$548,367,599
Southern Co.4,917,277$330,932,742
Home Depot Inc.4,567,337$1,300,275,171
Baker Hughes Co. Class A4,562,900$157,055,018
Exelon Corp.4,482,727$174,557,389
KeyCorp4,214,648$43,073,703
Regions Financial Corp.4,184,812$60,805,318
Texas Instruments Inc.4,094,731$581,492,749
HP Inc.3,890,280$102,431,072
International Business Machines Corp.3,778,622$546,539,886
452 Holdings
1-50 of 452 |   Next>

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