Vanguard Dividend Appreciation Fund

as of:
Stock Holdings

185 Holdings
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Holding Shares Market Value
Microsoft Corp.18,634,682$1,393,315,173
Johnson & Johnson9,755,742$1,291,367,569
PepsiCo Inc.10,801,326$1,250,037,458
3M Co.5,109,553$1,043,983,869
Medtronic plc11,767,362$948,684,724
United Technologies Corp.6,906,407$826,835,046
Lockheed Martin Corp.2,488,058$759,828,033
Abbott Laboratories14,809,327$754,387,117
Walgreens Boots Alliance Inc.9,250,767$753,937,511
Accenture plc Class A5,648,747$738,630,158
Union Pacific Corp.6,974,469$734,411,586
Texas Instruments Inc.8,567,179$709,533,765
CVS Health Corp.8,790,444$679,852,939
NIKE Inc. Class B11,357,478$599,788,413
Costco Wholesale Corp.3,764,408$590,033,310
Chubb Ltd.3,991,848$564,527,144
Lowe's Cos. Inc.7,454,774$550,833,251
Colgate-Palmolive Co.7,566,339$542,052,526
General Dynamics Corp.2,594,558$522,414,253
FedEx Corp.2,284,040$489,652,495
Raytheon Co.2,510,103$456,863,847
Stryker Corp.3,195,647$451,768,616
Automatic Data Processing Inc.3,847,244$409,616,069
Illinois Tool Works Inc.2,970,064$408,413,501
Northrop Grumman Corp.1,496,352$407,321,978
TJX Cos. Inc.5,586,916$403,934,027
CSX Corp.7,939,859$398,580,922
Becton Dickinson and Co.1,824,017$363,781,950
S&P Global Inc.2,214,691$341,793,262
Ecolab Inc.2,500,165$333,271,995
Waste Management Inc.3,768,510$290,589,806
Travelers Cos. Inc.2,397,081$290,478,276
Aflac Inc.3,440,483$284,011,872
Sherwin-Williams Co.799,704$271,315,576
Air Products & Chemicals Inc.1,864,694$271,070,567
Analog Devices Inc.3,128,282$261,743,355
Sysco Corp.4,630,036$243,863,996
PPG Industries Inc.2,203,560$229,875,379
Edison International2,792,491$223,901,928
Franklin Resources Inc.4,845,346$209,464,308
Archer-Daniels-Midland Co.4,893,837$202,213,345
Roper Technologies Inc.873,004$201,367,103
CR Bard Inc.617,254$198,021,256
Ross Stores Inc.3,377,431$197,410,842
Kellogg Co.3,009,125$196,977,323
Republic Services Inc. Class A2,906,211$189,601,206
Stanley Black & Decker Inc.1,307,590$188,292,960
Ameriprise Financial Inc.1,320,256$182,868,659
Cardinal Health Inc.2,703,276$182,362,999
Kroger Co.8,039,150$175,816,211
185 Holdings
1-50 of 185 |   Next>