Vanguard Dividend Appreciation Fund

as of:
Stock Holdings

181 Holdings
1-50 of 181 |   Next>

Holding Shares Market Value
Microsoft Corp.18,635,138$1,550,070,779
Johnson & Johnson9,755,884$1,360,067,788
PepsiCo Inc.10,801,557$1,190,655,628
3M Co.5,109,698$1,176,201,383
Medtronic plc11,767,588$947,526,186
Texas Instruments Inc.8,567,293$828,371,560
United Technologies Corp.6,906,536$827,126,751
Union Pacific Corp.6,974,539$807,581,871
Accenture plc Class A5,648,811$804,164,734
Abbott Laboratories14,809,714$803,130,790
Lockheed Martin Corp.2,488,130$766,742,141
NIKE Inc. Class B11,357,729$624,561,518
Walgreens Boots Alliance Inc.9,250,957$613,060,920
Costco Wholesale Corp.3,764,438$606,375,673
CVS Health Corp.8,790,697$602,426,465
Chubb Ltd.3,991,929$602,062,732
Lowe's Cos. Inc.7,454,960$596,024,052
Colgate-Palmolive Co.7,566,412$533,053,725
General Dynamics Corp.2,594,636$526,659,215
FedEx Corp.2,284,108$515,774,427
Stryker Corp.3,195,700$494,918,059
Illinois Tool Works Inc.2,970,074$464,875,982
Raytheon Co.2,510,088$452,317,858
Automatic Data Processing Inc.3,847,295$447,286,517
Northrop Grumman Corp.1,496,393$442,229,023
CSX Corp.7,940,020$400,415,209
TJX Cos. Inc.5,587,053$389,976,299
Becton Dickinson and Co.1,824,003$380,614,706
S&P Global Inc.2,214,582$346,515,646
Ecolab Inc.2,500,128$326,666,724
Travelers Cos. Inc.2,397,010$317,483,975
Sherwin-Williams Co.799,676$315,991,971
Waste Management Inc.3,768,366$309,646,634
Air Products & Chemicals Inc.1,864,841$297,311,601
Aflac Inc.3,440,405$288,615,575
Analog Devices Inc.3,128,096$285,595,165
Sysco Corp.4,629,847$257,512,090
PPG Industries Inc.2,203,388$256,121,821
Roper Technologies Inc.873,106$225,409,776
Edison International2,792,334$223,247,103
Ross Stores Inc.3,377,718$214,451,316
Stanley Black & Decker Inc.1,307,623$211,246,496
Ameriprise Financial Inc.1,320,256$206,672,874
Franklin Resources Inc.4,845,001$204,119,892
CR Bard Inc.617,323$201,907,834
Archer-Daniels-Midland Co.4,894,384$200,033,474
Republic Services Inc. Class A2,906,398$189,119,318
Kellogg Co.3,009,336$188,173,780
Microchip Technology Inc.1,854,831$175,837,979
Cardinal Health Inc.2,703,546$167,349,497
181 Holdings
1-50 of 181 |   Next>