Vanguard High Dividend Yield Fund
as of:
Stock Holdings

416 Holdings
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Holding Shares Market Value
JPMorgan Chase & Co.10,782,419$1,641,407,644
Johnson & Johnson9,386,791$1,542,719,101
Procter & Gamble Co.8,674,414$1,174,775,888
Home Depot Inc.3,823,913$1,167,249,443
Bank of America Corp.27,533,251$1,065,261,481
Intel Corp.14,604,061$934,659,904
Comcast Corp. Class A16,131,479$872,874,329
Verizon Communications Inc.14,750,294$857,729,596
Exxon Mobil Corp.15,063,748$841,009,051
Cisco Systems Inc.15,116,080$781,652,497
AT&T Inc.25,384,301$768,382,791
Coca-Cola Co.13,760,555$725,318,854
Chevron Corp.6,854,815$718,316,064
Pfizer Inc.19,795,742$717,199,733
PepsiCo Inc.4,940,593$698,846,880
Merck & Co. Inc.8,992,978$693,268,674
AbbVie Inc.6,271,104$678,658,875
Walmart Inc.4,960,678$673,808,893
Broadcom Inc.1,405,865$651,843,366
Texas Instruments Inc.3,267,329$617,492,508
McDonald's Corp.2,649,908$593,950,379
Eli Lilly & Co.2,998,411$560,163,143
Citigroup Inc.7,411,595$539,193,536
QUALCOMM Inc.4,006,269$531,191,207
Wells Fargo & Co.13,508,646$527,782,799
NextEra Energy Inc.6,968,098$526,857,890
Linde plc1,869,353$523,680,549
Amgen Inc.2,073,681$515,952,570
Bristol-Myers Squibb Co.8,059,281$508,782,410
Philip Morris International Inc.5,539,009$491,531,659
Caterpillar Inc.1,927,104$446,837,604
United Parcel Service Inc. Class B2,549,589$433,404,634
International Business Machines Corp.3,162,386$421,419,558
Raytheon Technologies Corp.5,075,411$392,177,008
Morgan Stanley4,975,181$386,372,556
3M Co.1,999,991$385,358,266
Target Corp.1,778,968$352,360,192
CVS Health Corp.4,652,823$350,031,874
Altria Group Inc.6,620,009$338,679,660
Lockheed Martin Corp.880,558$325,366,181
BlackRock Inc.424,004$319,682,056
Mondelez International Inc. Class A4,971,672$290,991,962
Gilead Sciences Inc.4,469,676$288,875,160
Automatic Data Processing Inc.1,529,533$288,271,085
Truist Financial Corp.4,796,014$279,703,536
US Bancorp4,832,974$267,311,792
PNC Financial Services Group Inc.1,507,901$264,500,914
CME Group Inc.1,262,992$257,940,856
ConocoPhillips4,837,135$256,223,041
Chubb Ltd.1,599,453$252,665,590
416 Holdings
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