Vanguard Dividend Appreciation Fund

as of:
Stock Holdings

188 Holdings
1-50 of 188 |   Next>

Holding Shares Market Value
Microsoft Corp.18,220,920$1,247,404,183
PepsiCo Inc.10,561,450$1,196,401,056
Johnson & Johnson9,539,102$1,177,792,924
3M Co.4,996,174$978,400,754
Medtronic plc11,506,105$956,042,264
United Technologies Corp.6,753,110$803,552,559
Walgreens Boots Alliance Inc.9,045,381$782,787,272
Union Pacific Corp.6,819,591$763,521,408
CVS Health Corp.8,595,378$708,602,962
Accenture plc Class A5,523,312$669,977,746
Texas Instruments Inc.8,376,965$663,288,089
Lockheed Martin Corp.2,432,824$655,524,427
Costco Wholesale Corp.3,680,807$653,416,859
Abbott Laboratories14,480,569$631,932,031
Lowe's Cos. Inc.7,289,325$618,717,906
NIKE Inc. Class B11,105,363$615,348,164
Chubb Ltd.3,903,234$535,718,867
Colgate-Palmolive Co.7,398,304$532,973,820
General Dynamics Corp.2,537,033$491,651,625
TJX Cos. Inc.5,462,888$429,601,512
Stryker Corp.3,124,714$426,117,248
FedEx Corp.2,233,386$423,673,324
Illinois Tool Works Inc.2,904,098$401,026,893
CSX Corp.7,763,626$394,702,746
Automatic Data Processing Inc.3,761,803$393,070,795
Raytheon Co.2,454,375$380,943,544
Northrop Grumman Corp.1,463,136$359,872,931
Becton Dickinson and Co.1,783,471$333,455,573
Ecolab Inc.2,444,649$315,579,739
S&P Global Inc.2,165,444$290,580,930
Travelers Cos. Inc.2,343,771$285,143,180
Waste Management Inc.3,684,699$268,172,393
Sherwin-Williams Co.781,913$261,690,643
Air Products & Chemicals Inc.1,823,487$256,199,924
Aflac Inc.3,363,940$251,891,827
Sysco Corp.4,526,964$239,340,587
PPG Industries Inc.2,154,449$236,644,678
Kroger Co.7,861,434$233,091,518
Analog Devices Inc.3,058,693$233,072,407
Archer-Daniels-Midland Co.4,785,625$218,942,344
Edison International2,730,274$218,340,012
Ross Stores Inc.3,302,712$214,676,280
Kellogg Co.2,942,578$208,923,038
Franklin Resources Inc.4,737,426$204,230,435
Cardinal Health Inc.2,643,530$191,893,843
Roper Technologies Inc.853,702$186,704,627
CR Bard Inc.603,615$185,599,540
Republic Services Inc. Class A2,841,918$179,012,415
Stanley Black & Decker Inc.1,278,717$174,097,320
Ameriprise Financial Inc.1,291,056$165,061,510
188 Holdings
1-50 of 188 |   Next>