Vanguard High Dividend Yield Index Fund
as of:
Stock Holdings

383 Holdings
1-50 of 383 |   Next>

Holding Shares Market Value
Microsoft Corp.21,646,445$1,975,671,035
JPMorgan Chase & Co.9,967,093$1,096,081,217
Johnson & Johnson7,782,615$997,342,112
Exxon Mobil Corp.12,235,718$912,906,920
Intel Corp.13,603,365$708,463,249
Wells Fargo & Co.12,772,814$669,423,182
AT&T Inc.17,753,704$632,919,548
Chevron Corp.5,454,822$622,067,901
Cisco Systems Inc.14,303,818$613,490,754
Pfizer Inc.17,070,273$605,823,989
Procter & Gamble Co.7,282,152$577,329,011
Verizon Communications Inc.11,893,116$568,728,807
Boeing Co.1,606,895$526,868,733
Coca-Cola Co.11,088,464$481,571,992
PepsiCo Inc.4,122,604$449,982,227
Philip Morris International Inc.4,478,789$445,191,627
AbbVie Inc.4,595,770$434,989,631
Merck & Co. Inc.7,900,906$430,362,350
DowDuPont Inc.6,733,401$428,984,978
International Business Machines Corp.2,443,338$374,881,349
Walmart Inc.4,143,070$368,608,938
3M Co.1,673,306$367,324,133
McDonald's Corp.2,303,090$360,157,214
Amgen Inc.2,079,234$354,467,812
Altria Group Inc.5,508,780$343,307,170
General Electric Co.25,084,098$338,133,641
Bristol-Myers Squibb Co.4,752,817$300,615,675
Texas Instruments Inc.2,825,597$293,551,272
Gilead Sciences Inc.3,752,684$282,914,847
Caterpillar Inc.1,638,301$241,452,801
Lockheed Martin Corp.713,112$240,981,938
QUALCOMM Inc.4,264,852$236,315,449
NextEra Energy Inc.1,349,653$220,438,824
Eli Lilly & Co.2,819,376$218,135,121
United Parcel Service Inc. Class B1,990,255$208,300,088
ConocoPhillips3,398,408$201,491,610
BlackRock Inc.358,606$194,264,042
Chubb Ltd.1,341,469$183,472,715
Raytheon Co.839,856$181,257,722
CME Group Inc.977,129$158,040,844
Duke Energy Corp.2,023,280$156,743,502
Automatic Data Processing Inc.1,291,265$146,532,752
Deere & Co.931,968$144,753,270
Occidental Petroleum Corp.2,202,374$143,066,215
General Motors Co.3,781,447$137,417,784
Southern Co.2,871,547$128,243,289
Prudential Financial Inc.1,222,219$126,560,777
Dominion Energy Inc.1,851,017$124,814,076
Emerson Electric Co.1,824,911$124,641,421
Ford Motor Co.11,235,255$124,486,625
383 Holdings
1-50 of 383 |   Next>