Vanguard High Dividend Yield Fund
as of:
Stock Holdings

410 Holdings
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Holding Shares Market Value
Johnson & Johnson9,523,175$1,498,757,282
JPMorgan Chase & Co.10,939,212$1,390,045,669
Procter & Gamble Co.8,803,477$1,224,915,790
Verizon Communications Inc.14,966,669$879,291,804
Comcast Corp. Class A16,363,380$857,441,112
Bank of America Corp.27,936,620$846,758,952
Coca-Cola Co.13,960,066$765,570,019
Merck & Co. Inc.9,123,481$746,300,746
PepsiCo Inc.5,012,753$743,391,270
AT&T Inc.25,751,177$740,603,851
Pfizer Inc.20,080,622$739,167,696
Intel Corp.14,815,791$738,122,708
Walmart Inc.5,032,818$725,480,715
Cisco Systems Inc.15,334,485$686,218,204
AbbVie Inc.6,361,199$681,602,473
Exxon Mobil Corp.15,283,308$629,977,956
Broadcom Inc.1,426,190$624,457,292
QUALCOMM Inc.4,063,996$619,109,151
Chevron Corp.6,955,513$587,393,073
McDonald's Corp.2,687,938$576,777,736
NextEra Energy Inc.7,070,006$545,450,963
Texas Instruments Inc.3,315,698$544,205,513
Eli Lilly & Co.3,041,566$513,538,003
Bristol-Myers Squibb Co.8,174,331$507,053,752
Linde plc1,896,755$499,813,910
Amgen Inc.2,103,450$483,625,224
Philip Morris International Inc.5,618,142$465,125,976
Citigroup Inc.7,518,333$463,580,413
United Parcel Service Inc. Class B2,586,537$435,572,831
Wells Fargo & Co.13,559,001$409,210,650
International Business Machines Corp.3,207,488$403,758,589
Raytheon Technologies Corp.5,146,603$368,033,581
Caterpillar Inc.1,954,669$355,788,851
3M Co.2,028,478$354,557,670
Morgan Stanley4,811,842$329,755,532
CVS Health Corp.4,719,717$322,356,671
Target Corp.1,803,539$318,378,740
Lockheed Martin Corp.893,640$317,224,327
BlackRock Inc.431,284$311,188,657
Altria Group Inc.6,711,305$275,163,505
Automatic Data Processing Inc.1,551,157$273,313,863
Gilead Sciences Inc.4,533,657$264,130,857
Colgate-Palmolive Co.3,041,814$260,105,515
Chubb Ltd.1,622,515$249,737,509
Duke Energy Corp.2,652,449$242,858,230
Southern Co.3,813,132$234,240,699
CME Group Inc.1,281,323$233,264,852
Truist Financial Corp.4,859,961$232,937,931
Illinois Tool Works Inc.1,136,339$231,676,795
US Bancorp4,904,635$228,506,945
410 Holdings
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