Vanguard Developed Markets Index Fund
as of:
Stock Holdings

3980 Holdings
1-50 of 3980 |   Next>

Holding Shares Market Value
Novo Nordisk A/S Class B25,736,745$3,300,536,650
ASML Holding NV3,280,842$2,857,655,072
Toyota Motor Corp.99,364,578$2,266,364,426
Nestle SA22,224,111$2,231,304,250
Samsung Electronics Co. Ltd.39,613,524$2,201,982,622
Shell plc54,061,252$1,921,801,620
AstraZeneca plc12,293,098$1,859,317,125
LVMH Moet Hennessy Louis Vuitton SE2,058,263$1,690,731,351
Novartis AG17,215,735$1,670,915,790
SAP SE9,126,273$1,647,905,027
Roche Holding AG5,764,815$1,381,331,507
HSBC Holdings plc159,007,916$1,378,272,791
TotalEnergies SE17,151,967$1,245,211,505
Siemens AG6,201,695$1,161,785,211
BHP Group Ltd.41,876,165$1,148,500,334
Royal Bank of Canada11,671,016$1,129,163,274
Unilever plc20,640,270$1,067,737,822
Commonwealth Bank of Australia14,037,293$1,028,505,945
Schneider Electric SE4,439,226$1,012,202,913
Mitsubishi UFJ Financial Group Inc.92,566,578$922,088,139
Allianz SE3,248,803$921,961,659
Sanofi SA9,054,688$894,540,288
BP plc138,761,583$894,406,803
Toronto-Dominion Bank14,766,991$876,054,302
Sony Group Corp.10,260,448$848,039,739
Airbus SE4,870,983$801,557,914
Tokyo Electron Ltd.3,652,081$801,068,403
Mitsubishi Corp.31,474,854$719,816,306
Keyence Corp.1,619,645$712,270,621
CSL Ltd.4,007,223$711,987,679
GSK plc33,462,895$694,251,708
AIA Group Ltd.94,556,556$692,565,580
Hermes International SCA284,384$680,812,516
Hitachi Ltd.7,361,937$679,217,226
Canadian Natural Resources Ltd.8,896,311$674,146,053
Shopify Inc. Class A9,439,841$662,739,718
UBS Group AG25,062,448$658,221,786
Banco Santander SA133,238,063$648,287,380
RELX plc15,766,706$647,804,639
Diageo plc18,384,688$635,368,769
Enbridge Inc.17,581,870$625,164,375
Deutsche Telekom AG26,873,146$615,544,550
Safran SA2,833,567$614,408,245
Shin-Etsu Chemical Co. Ltd.15,861,920$613,998,108
BNP Paribas SA8,524,832$613,462,779
Rio Tinto plc9,061,616$613,115,505
Cie Financiere Richemont SA4,415,284$610,311,588
Canadian Pacific Kansas City Ltd.7,728,443$606,306,501
ABB Ltd.12,442,645$604,568,677
Iberdrola SA48,770,798$598,006,856
3980 Holdings
1-50 of 3980 |   Next>

© 1995–2024  The Vanguard Group, Inc. All rights reserved. Vanguard Marketing Corporation, Distributor of the Vanguard Funds. Your use of this site signifies that you accept our terms & conditions of use.  |  Manage cookies
Security  |  Prospectuses