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Vanguard Dividend Appreciation Fund

as of:
Stock Holdings

179 Holdings
1-50 of 179 |   Next>

Holding Shares Market Value
Microsoft Corp.22,565,413$1,251,929,113
Johnson & Johnson9,652,674$991,522,673
Coca-Cola Co.22,852,109$981,726,603
Procter & Gamble Co.11,623,398$923,014,035
PepsiCo Inc.8,473,512$846,673,319
International Business Machines Corp.5,650,034$777,557,679
Wal-Mart Stores Inc.11,789,576$722,701,009
CVS Health Corp.6,432,126$628,868,959
Medtronic plc8,145,899$626,582,551
3M Co.3,628,411$546,583,833
Walgreens Boots Alliance Inc.6,230,522$530,560,101
United Technologies Corp.5,185,548$498,175,596
NIKE Inc. Class B7,846,959$490,434,938
QUALCOMM Inc.9,429,161$471,316,613
Lowe's Cos. Inc.5,487,575$417,275,203
Costco Wholesale Corp.2,518,006$406,657,969
Lockheed Martin Corp.1,803,934$391,724,268
Abbott Laboratories8,625,588$387,375,157
Colgate-Palmolive Co.5,185,046$345,427,765
Texas Instruments Inc.5,985,703$328,076,381
TJX Cos. Inc.3,937,919$279,237,836
Monsanto Co.2,764,381$272,346,816
Target Corp.3,659,645$265,726,823
NextEra Energy Inc.2,534,946$263,355,540
General Dynamics Corp.1,896,179$260,459,147
FedEx Corp.1,619,487$241,287,368
Caterpillar Inc.3,464,969$235,479,293
Automatic Data Processing Inc.2,716,137$230,111,127
EOG Resources Inc.3,135,087$221,932,809
Raytheon Co.1,756,725$218,764,964
ACE Ltd.1,871,232$218,653,459
Northrop Grumman Corp.1,134,205$214,149,246
Stryker Corp.2,165,096$201,224,022
Illinois Tool Works Inc.2,169,024$201,025,144
Ecolab Inc.1,710,629$195,661,745
Emerson Electric Co.3,916,825$187,341,740
Yum! Brands Inc.2,475,782$180,855,875
Chubb Corp.1,319,719$175,047,528
Becton Dickinson and Co.1,102,923$169,949,405
Praxair Inc.1,650,811$169,043,046
Cardinal Health Inc.1,887,187$168,469,183
Air Products & Chemicals Inc.1,224,871$159,367,966
McGraw Hill Financial Inc.1,563,446$154,124,507
PPG Industries Inc.1,555,448$153,709,371
VF Corp.2,468,703$153,676,762
Aflac Inc.2,508,889$150,282,451
Norfolk Southern Corp.1,757,324$148,652,037
Deere & Co.1,940,732$148,019,630
Kellogg Co.2,038,303$147,308,158
CSX Corp.5,662,328$146,937,412
179 Holdings
1-50 of 179 |   Next>