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Vanguard - All fund holdings

Funds, Stocks & ETFs  »  Vanguard ETFs  »  Vanguard ETF Profile

Vanguard Dividend Appreciation Fund
Stock Holdings as of 03/31/2014

164 Holdings
1-50 of 164 |   Next>

Holding Shares Market Value
International Business Machines Corp.4,915,274$946,141,092
Wal-Mart Stores Inc.12,180,082$930,923,667
Exxon Mobil Corp.9,445,681$922,654,120
Coca-Cola Co.23,810,743$920,523,324
PepsiCo Inc.10,613,517$886,228,670
QUALCOMM Inc.11,195,711$882,893,769
Johnson & Johnson8,488,505$833,825,846
United Technologies Corp.6,370,490$744,328,052
3M Co.4,628,761$627,937,717
CVS Caremark Corp.8,165,526$611,271,276
Occidental Petroleum Corp.5,553,496$529,192,634
Caterpillar Inc.4,442,915$441,492,464
Walgreen Co.6,613,889$436,715,091
Medtronic Inc.6,943,344$427,293,390
Colgate-Palmolive Co.6,466,748$419,497,943
Monsanto Co.3,655,199$415,851,990
Abbott Laboratories10,736,467$413,461,344
EOG Resources Inc.1,893,596$371,466,727
NIKE Inc. Class B4,919,230$363,334,328
Texas Instruments Inc.7,556,623$356,294,774
Lowe's Cos. Inc.7,146,297$349,453,923
Emerson Electric Co.4,898,003$327,186,600
TJX Cos. Inc.4,953,950$300,457,068
FedEx Corp.2,174,398$288,238,199
Praxair Inc.2,045,341$267,878,311
Target Corp.4,401,705$266,347,170
General Dynamics Corp.2,381,282$259,369,235
Automatic Data Processing Inc.3,351,499$258,936,813
Illinois Tool Works Inc.2,989,797$243,160,190
Franklin Resources Inc.4,398,034$238,285,482
Deere & Co.2,567,526$233,131,361
ACE Ltd.2,348,031$232,595,951
Ecolab Inc.2,093,867$226,116,697
Stryker Corp.2,634,843$214,660,659
Norfolk Southern Corp.2,144,260$208,357,744
Aflac Inc.3,173,575$200,062,168
Archer-Daniels-Midland Co.4,588,533$199,096,447
VF Corp.3,064,135$189,608,674
PPG Industries Inc.964,543$186,600,489
Northrop Grumman Corp.1,510,126$186,319,346
Air Products & Chemicals Inc.1,474,291$175,499,601
Cardinal Health Inc.2,390,752$167,304,825
Becton Dickinson and Co.1,340,820$156,983,206
Chubb Corp.1,707,828$152,509,040
T. Rowe Price Group Inc.1,826,543$150,415,816
McGraw Hill Financial Inc.1,871,393$142,787,286
Sherwin-Williams Co.698,554$137,705,950
Parker Hannifin Corp.1,032,627$123,615,778
WW Grainger Inc.478,565$120,914,233
Analog Devices Inc.2,178,451$115,762,886
164 Holdings
1-50 of 164 |   Next>

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