Vanguard Dividend Appreciation Fund

as of:
Stock Holdings

186 Holdings
1-50 of 186 |   Next>

Holding Shares Market Value
Microsoft Corp.19,437,129$1,207,823,196
Johnson & Johnson9,399,902$1,082,962,709
PepsiCo Inc.9,796,058$1,024,961,549
Coca-Cola Co.22,929,755$950,667,642
McDonald's Corp.6,110,499$743,769,938
3M Co.4,100,620$732,247,713
Medtronic plc9,530,000$678,821,900
United Technologies Corp.5,668,768$621,410,348
Walgreens Boots Alliance Inc.7,311,008$605,059,022
CVS Health Corp.7,444,819$587,470,667
Reynolds American Inc.9,673,620$542,109,665
Lockheed Martin Corp.2,070,390$517,473,277
Accenture plc Class A4,255,646$498,463,816
Texas Instruments Inc.6,812,972$497,142,567
Costco Wholesale Corp.2,980,529$477,212,498
NIKE Inc. Class B9,148,693$465,028,065
Lowe's Cos. Inc.6,167,442$438,628,475
Chubb Ltd.3,128,920$413,392,910
Colgate-Palmolive Co.6,050,374$395,936,475
Abbott Laboratories9,984,625$383,509,446
EOG Resources Inc.3,726,731$376,772,504
NextEra Energy Inc.3,121,646$372,911,831
General Dynamics Corp.2,108,967$364,134,242
FedEx Corp.1,867,943$347,810,987
TJX Cos. Inc.4,537,646$340,913,344
Automatic Data Processing Inc.3,100,310$318,649,862
Monsanto Co.2,983,921$313,938,328
Stryker Corp.2,527,894$302,866,980
Illinois Tool Works Inc.2,465,442$301,918,027
Target Corp.4,081,473$294,804,795
Raytheon Co.2,026,467$287,758,314
Northrop Grumman Corp.1,226,304$285,213,784
Kimberly-Clark Corp.2,446,043$279,142,427
General Mills Inc.4,021,429$248,403,669
Travelers Cos. Inc.1,999,274$244,751,123
Becton Dickinson and Co.1,435,713$237,682,287
Ecolab Inc.2,006,162$235,162,310
CSX Corp.6,527,738$234,541,626
Praxair Inc.1,930,543$226,240,334
Norfolk Southern Corp.2,021,172$218,428,058
Waste Management Inc.3,020,490$214,182,946
Sysco Corp.3,826,788$211,889,252
Air Products & Chemicals Inc.1,461,401$210,178,692
Aflac Inc.2,846,724$198,131,990
S&P Global Inc.1,797,850$193,340,789
Archer-Daniels-Midland Co.4,025,333$183,756,451
Ross Stores Inc.2,744,552$180,042,611
Kellogg Co.2,373,581$174,956,656
PPG Industries Inc.1,808,135$171,338,873
Sherwin-Williams Co.625,280$168,037,747
186 Holdings
1-50 of 186 |   Next>