Vanguard Dividend Appreciation Fund

as of:
Stock Holdings

188 Holdings
1-50 of 188 |   Next>

Holding Shares Market Value
Microsoft Corp.18,151,343$1,195,447,450
Johnson & Johnson9,502,655$1,183,555,680
PepsiCo Inc.10,521,092$1,176,889,351
3M Co.4,977,000$952,249,410
Medtronic plc11,462,001$923,378,801
United Technologies Corp.6,727,214$754,860,683
Walgreens Boots Alliance Inc.9,010,787$748,345,860
Union Pacific Corp.6,793,434$719,560,529
Texas Instruments Inc.8,344,859$672,261,841
CVS Health Corp.8,562,388$672,147,458
Accenture plc Class A5,502,155$659,598,341
Lockheed Martin Corp.2,423,512$648,531,811
Abbott Laboratories14,425,114$640,619,313
NIKE Inc. Class B11,062,827$616,531,349
Costco Wholesale Corp.3,666,651$614,860,706
Lowe's Cos. Inc.7,261,364$596,956,734
Colgate-Palmolive Co.7,369,965$539,407,738
Chubb Ltd.3,888,226$529,770,793
General Dynamics Corp.2,527,169$473,086,037
FedEx Corp.2,224,738$434,157,621
TJX Cos. Inc.5,441,990$430,352,569
Stryker Corp.3,112,745$409,792,879
Automatic Data Processing Inc.3,747,386$383,694,853
Illinois Tool Works Inc.2,892,982$383,233,326
Raytheon Co.2,444,951$372,855,028
CSX Corp.7,733,823$360,009,461
Northrop Grumman Corp.1,457,529$346,658,697
Becton Dickinson and Co.1,776,529$325,886,480
Ecolab Inc.2,435,148$305,221,450
S&P Global Inc.2,157,041$282,011,540
Travelers Cos. Inc.2,334,742$281,429,801
Waste Management Inc.3,670,620$267,661,610
Analog Devices Inc.3,046,869$249,690,915
Air Products & Chemicals Inc.1,816,318$245,729,662
Aflac Inc.3,351,100$242,686,662
Sherwin-Williams Co.778,933$241,617,227
Sysco Corp.4,509,600$234,138,432
Kroger Co.7,831,371$230,947,131
PPG Industries Inc.2,146,155$225,517,967
Archer-Daniels-Midland Co.4,767,281$219,485,617
Ross Stores Inc.3,290,017$216,713,420
Edison International2,719,775$216,521,288
Cardinal Health Inc.2,633,294$214,745,126
Kellogg Co.2,931,235$212,836,973
Franklin Resources Inc.4,719,232$198,868,436
Republic Services Inc. Class A2,830,947$177,811,781
Roper Technologies Inc.850,428$175,604,878
Stanley Black & Decker Inc.1,273,726$169,239,974
Ameriprise Financial Inc.1,285,956$166,762,774
AmerisourceBergen Corp. Class A1,813,776$160,519,176
188 Holdings
1-50 of 188 |   Next>