Vanguard Dividend Appreciation Fund

as of:
Stock Holdings

178 Holdings
1-50 of 178 |   Next>

Holding Shares Market Value
Microsoft Corp.18,865,446$1,613,750,251
Johnson & Johnson9,876,638$1,379,963,861
PepsiCo Inc.10,934,356$1,311,247,972
3M Co.5,172,740$1,217,507,814
Medtronic plc11,913,142$961,986,217
Union Pacific Corp.7,060,507$946,813,989
Texas Instruments Inc.8,673,453$905,855,431
United Technologies Corp.6,992,105$891,982,835
Accenture plc Class A5,718,520$875,448,227
Abbott Laboratories14,992,932$855,646,629
Lockheed Martin Corp.2,518,829$808,670,050
NIKE Inc. Class B11,498,165$719,210,221
Costco Wholesale Corp.3,811,024$709,307,787
Lowe's Cos. Inc.7,547,346$701,450,337
Walgreens Boots Alliance Inc.9,365,467$680,120,214
CVS Health Corp.8,899,502$645,213,895
Chubb Ltd.4,040,863$590,491,310
Colgate-Palmolive Co.7,659,830$577,934,174
FedEx Corp.2,312,129$576,968,671
General Dynamics Corp.2,626,804$534,423,274
Illinois Tool Works Inc.3,006,730$501,672,901
Stryker Corp.3,235,261$500,947,813
Raytheon Co.2,541,050$477,336,243
Northrop Grumman Corp.1,514,838$464,918,931
Becton Dickinson and Co.2,163,623$463,145,139
Automatic Data Processing Inc.3,894,906$456,444,034
CSX Corp.8,038,135$442,177,806
TJX Cos. Inc.5,656,430$432,490,638
S&P Global Inc.2,241,653$379,736,018
Ecolab Inc.2,530,893$339,595,223
Sherwin-Williams Co.809,559$331,951,572
Waste Management Inc.3,815,263$329,257,197
Travelers Cos. Inc.2,426,081$329,073,627
Air Products & Chemicals Inc.1,887,850$309,758,428
Aflac Inc.3,481,950$305,645,571
Sysco Corp.4,686,896$284,635,194
Analog Devices Inc.3,166,978$281,956,051
Ross Stores Inc.3,419,799$274,438,870
PPG Industries Inc.2,230,650$260,584,533
Roper Technologies Inc.883,936$228,939,424
Ameriprise Financial Inc.1,336,596$226,512,924
Stanley Black & Decker Inc.1,323,829$224,640,543
Kroger Co.8,139,718$223,435,259
Franklin Resources Inc.4,904,807$212,525,287
Kellogg Co.3,046,542$207,103,925
Republic Services Inc. Class A2,943,296$198,996,243
Archer-Daniels-Midland Co.4,955,315$198,609,025
Best Buy Co. Inc.2,723,076$186,449,014
Edison International2,826,292$178,734,706
Nucor Corp.2,766,510$175,894,706
178 Holdings
1-50 of 178 |   Next>