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Vanguard Dividend Appreciation Fund

as of:
Stock Holdings

181 Holdings
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Holding Shares Market Value
Microsoft Corp.23,086,896$1,081,851,947
Johnson & Johnson9,875,744$988,957,004
International Business Machines Corp.5,780,611$980,680,656
Coca-Cola Co.23,380,151$957,650,985
Procter & Gamble Co.11,891,971$932,211,607
Wal-Mart Stores Inc.12,061,950$895,841,027
PepsiCo Inc.8,669,280$835,978,670
CVS Health Corp.6,580,750$673,737,185
QUALCOMM Inc.9,647,017$672,204,145
Medtronic plc8,334,135$636,061,183
United Technologies Corp.5,305,335$621,626,102
3M Co.3,712,185$590,534,390
Walgreens Boots Alliance Inc.6,374,495$547,186,651
Abbott Laboratories8,824,927$428,891,452
NIKE Inc. Class B4,014,195$408,123,206
Lowe's Cos. Inc.5,614,326$392,890,533
Costco Wholesale Corp.2,576,255$367,348,200
Colgate-Palmolive Co.5,304,927$354,316,074
Lockheed Martin Corp.1,845,680$347,356,976
Texas Instruments Inc.6,123,982$342,453,073
Monsanto Co.2,828,303$330,854,885
Caterpillar Inc.3,545,063$302,464,775
Target Corp.3,744,224$296,991,848
FedEx Corp.1,656,888$287,006,139
EOG Resources Inc.3,207,542$284,476,900
General Dynamics Corp.1,939,979$271,907,457
NextEra Energy Inc.2,593,506$265,419,404
TJX Cos. Inc.4,027,658$259,300,622
Emerson Electric Co.4,007,292$241,679,781
Automatic Data Processing Inc.2,778,915$237,625,022
Yum! Brands Inc.2,532,975$228,246,377
Stryker Corp.2,215,044$212,932,180
Illinois Tool Works Inc.2,219,132$208,221,156
Praxair Inc.1,688,985$207,508,697
ACE Ltd.1,914,454$203,851,062
Ecolab Inc.1,750,138$200,653,322
CSX Corp.5,793,116$197,429,393
Archer-Daniels-Midland Co.3,709,565$196,050,510
Deere & Co.1,985,551$186,006,418
Raytheon Co.1,797,352$185,594,568
Franklin Resources Inc.3,636,687$185,143,735
Northrop Grumman Corp.1,160,347$184,704,035
Air Products & Chemicals Inc.1,253,165$183,914,495
PPG Industries Inc.795,666$182,119,991
VF Corp.2,525,749$177,888,502
Cardinal Health Inc.1,930,706$170,230,348
McGraw Hill Financial Inc.1,599,608$165,959,330
Norfolk Southern Corp.1,797,863$165,403,396
Sherwin-Williams Co.554,975$159,932,696
Aflac Inc.2,566,904$159,712,767
181 Holdings
1-50 of 181 |   Next>