Investing  »  Vanguard ETFs  »  Vanguard ETF profile

Vanguard Dividend Appreciation Fund

as of:
Stock Holdings

186 Holdings
1-50 of 186 |   Next>

Holding Shares Market Value
Microsoft Corp.18,538,542$1,023,883,675
Coca-Cola Co.21,869,801$1,014,540,068
Johnson & Johnson8,965,196$970,034,207
PepsiCo Inc.9,343,135$957,484,475
CVS Health Corp.7,100,603$736,545,549
McDonald's Corp.5,827,834$732,442,177
Medtronic plc9,089,284$681,696,300
3M Co.3,910,949$651,681,432
Walgreens Boots Alliance Inc.6,973,064$587,410,911
United Technologies Corp.5,406,655$541,206,166
NIKE Inc. Class B8,725,708$536,369,271
Accenture plc Class A4,058,805$468,386,097
Reynolds American Inc.9,226,414$464,180,888
Costco Wholesale Corp.2,842,645$447,943,999
Lowe's Cos. Inc.5,882,254$445,580,741
Lockheed Martin Corp.1,974,589$437,371,464
Colgate-Palmolive Co.5,770,654$407,696,705
Abbott Laboratories9,522,994$398,346,839
Texas Instruments Inc.6,497,988$373,114,471
Chubb Ltd.2,984,098$355,555,277
NextEra Energy Inc.2,977,323$352,336,404
TJX Cos. Inc.4,327,818$339,084,540
Target Corp.3,892,708$320,292,014
Kimberly-Clark Corp.2,332,905$313,799,052
FedEx Corp.1,781,530$289,890,562
Automatic Data Processing Inc.2,956,815$265,255,874
General Dynamics Corp.2,011,174$264,207,928
Stryker Corp.2,410,960$258,671,898
EOG Resources Inc.3,554,426$257,980,239
Monsanto Co.2,845,796$249,690,141
General Mills Inc.3,835,396$242,972,337
Illinois Tool Works Inc.2,351,364$240,873,728
Raytheon Co.1,932,627$236,998,049
Northrop Grumman Corp.1,169,561$231,456,122
Travelers Cos. Inc.1,906,671$222,527,572
Yum! Brands Inc.2,641,903$216,239,761
Ecolab Inc.1,913,261$213,366,867
Praxair Inc.1,841,243$210,730,261
Becton Dickinson and Co.1,369,072$207,852,511
Air Products & Chemicals Inc.1,393,846$200,783,516
PPG Industries Inc.1,724,270$192,238,862
VF Corp.2,755,614$178,453,563
Cardinal Health Inc.2,128,756$174,451,554
Kellogg Co.2,263,983$173,307,899
Aflac Inc.2,714,884$171,417,776
Sysco Corp.3,649,592$170,545,434
Waste Management Inc.2,880,568$169,953,512
Sherwin-Williams Co.596,340$169,760,108
McGraw Hill Financial Inc.1,714,754$169,726,351
Norfolk Southern Corp.1,927,596$160,472,367
186 Holdings
1-50 of 186 |   Next>