Vanguard Dividend Appreciation Fund

as of:
Stock Holdings

186 Holdings
1-50 of 186 |   Next>

Holding Shares Market Value
Johnson & Johnson9,350,856$1,115,931,155
Microsoft Corp.19,335,752$1,111,032,310
PepsiCo Inc.9,744,922$1,040,270,424
Coca-Cola Co.22,810,160$990,645,249
Medtronic plc9,480,259$825,066,941
3M Co.4,079,145$731,145,950
McDonald's Corp.6,078,645$703,056,081
CVS Health Corp.7,406,002$691,720,587
United Technologies Corp.5,639,237$600,183,994
Walgreens Boots Alliance Inc.7,272,961$587,000,682
NIKE Inc. Class B9,100,968$524,579,796
Lockheed Martin Corp.2,059,587$500,417,853
Accenture plc Class A4,233,432$486,844,680
Costco Wholesale Corp.2,965,046$480,604,306
Reynolds American Inc.9,623,127$477,018,405
Texas Instruments Inc.6,777,438$471,303,039
Lowe's Cos. Inc.6,135,189$469,710,070
Colgate-Palmolive Co.6,018,909$447,445,695
Abbott Laboratories9,932,577$417,366,886
Chubb Ltd.3,112,659$395,089,807
NextEra Energy Inc.3,105,443$375,572,276
TJX Cos. Inc.4,513,988$349,563,231
EOG Resources Inc.3,707,341$328,062,605
General Dynamics Corp.2,097,944$319,349,036
Monsanto Co.2,968,299$316,123,844
Kimberly-Clark Corp.2,433,262$311,603,532
FedEx Corp.1,858,262$306,483,152
Illinois Tool Works Inc.2,452,566$291,487,469
Stryker Corp.2,514,665$290,846,154
Target Corp.4,060,303$284,992,668
General Mills Inc.4,000,361$283,305,566
Raytheon Co.2,015,917$282,490,449
Automatic Data Processing Inc.3,084,219$276,993,708
Northrop Grumman Corp.1,219,923$258,709,071
Becton Dickinson and Co.1,428,073$253,068,816
Yum! Brands Inc.2,755,616$249,961,927
Ecolab Inc.1,995,699$245,570,762
Travelers Cos. Inc.1,988,784$236,088,549
Praxair Inc.1,920,393$234,364,762
Air Products & Chemicals Inc.1,453,921$226,259,186
S&P Global Inc.1,788,737$220,980,569
Aflac Inc.2,831,704$210,055,803
Sysco Corp.3,806,643$197,412,506
Kellogg Co.2,361,468$194,136,284
Waste Management Inc.3,004,640$192,116,682
PPG Industries Inc.1,798,615$190,437,356
Norfolk Southern Corp.2,010,541$188,789,800
CSX Corp.6,493,607$183,639,206
VF Corp.2,874,199$178,344,048
Cardinal Health Inc.2,220,406$176,899,746
186 Holdings
1-50 of 186 |   Next>