Investing  »  Vanguard ETFs  »  Vanguard ETF profile

Vanguard Dividend Appreciation Fund

as of:
Stock Holdings

181 Holdings
1-50 of 181 |   Next>

Holding Shares Market Value
Microsoft Corp.22,917,877$1,011,824,270
Johnson & Johnson9,803,500$955,449,110
International Business Machines Corp.5,738,226$933,379,841
Procter & Gamble Co.11,804,914$923,616,471
Coca-Cola Co.23,208,979$910,488,246
Wal-Mart Stores Inc.11,973,688$849,293,690
PepsiCo Inc.8,605,855$803,270,506
CVS Health Corp.6,532,599$685,138,983
Medtronic plc8,273,209$613,044,787
QUALCOMM Inc.9,576,395$599,769,619
United Technologies Corp.5,266,450$584,207,299
3M Co.3,685,000$568,595,500
Walgreens Boots Alliance Inc.6,327,782$534,317,912
NIKE Inc. Class B3,984,830$430,441,337
Abbott Laboratories8,760,349$429,957,929
Lowe's Cos. Inc.5,573,235$373,239,548
Costco Wholesale Corp.2,557,336$345,393,800
Colgate-Palmolive Co.5,266,046$344,452,069
Lockheed Martin Corp.1,832,175$340,601,333
Texas Instruments Inc.6,079,167$313,137,892
Target Corp.3,716,726$303,396,343
Monsanto Co.2,807,582$299,260,165
Caterpillar Inc.3,519,078$298,488,196
FedEx Corp.1,644,761$280,267,274
EOG Resources Inc.3,184,066$278,764,978
General Dynamics Corp.1,925,736$272,857,534
TJX Cos. Inc.3,999,440$264,642,945
NextEra Energy Inc.2,574,526$252,380,784
Yum! Brands Inc.2,514,510$226,507,061
Automatic Data Processing Inc.2,758,570$221,320,071
Emerson Electric Co.3,977,951$220,497,824
Stryker Corp.2,198,919$210,150,689
Illinois Tool Works Inc.2,202,888$202,203,090
Praxair Inc.1,676,641$200,442,432
Ecolab Inc.1,737,374$196,444,878
ACE Ltd.1,900,404$193,233,079
Deere & Co.1,970,948$191,280,503
CSX Corp.5,750,787$187,763,196
Northrop Grumman Corp.1,151,894$182,724,945
PPG Industries Inc.1,579,757$181,229,723
Archer-Daniels-Midland Co.3,682,389$177,564,798
Franklin Resources Inc.3,610,074$177,001,928
VF Corp.2,507,311$174,859,869
Raytheon Co.1,784,220$170,714,170
Air Products & Chemicals Inc.1,243,979$170,213,647
Cardinal Health Inc.1,916,596$160,323,255
McGraw Hill Financial Inc.1,587,883$159,502,847
Becton Dickinson and Co.1,120,162$158,670,947
Aflac Inc.2,548,118$158,492,940
Norfolk Southern Corp.1,784,731$155,914,100
181 Holdings
1-50 of 181 |   Next>