C000031349 Holdings — Vanguard Dividend Appreciation Index Fund

All 341 reported holdings of Vanguard Dividend Appreciation Index Fund (C000031349) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Broadcom Inc4.63%$6.06B
Apple Inc4.45%$5.83B
Microsoft Corp4.34%$5.68B
JPMorgan Chase & Co4.07%$5.33B
Eli Lilly & Co3.93%$5.14B
ExxonMobil Holdings Corp2.78%$3.65B
Johnson & Johnson2.67%$3.49B
Visa Inc2.45%$3.20B
Walmart Inc2.11%$2.76B
Mastercard Inc2.00%$2.62B
Cisco Systems Inc1.98%$2.59B
AbbVie Inc1.92%$2.51B
Costco Wholesale Corp1.83%$2.39B
Bank of America Corp1.75%$2.29B
UnitedHealth Group Inc1.63%$2.13B
Caterpillar Inc1.62%$2.12B
Lam Research Corp1.58%$2.07B
Coca-Cola Co/The1.47%$1.92B
Procter & Gamble Co/The1.45%$1.90B
Home Depot Inc/The1.43%$1.87B
Merck & Co Inc1.39%$1.82B
Goldman Sachs Group Inc/The1.24%$1.62B
Morgan Stanley1.09%$1.43B
Texas Instruments Inc1.08%$1.42B
KLA Corp1.03%$1.35B
Linde PLC0.96%$1.25B
Oracle Corp0.95%$1.25B
International Business Machines Corp0.91%$1.19B
Amgen Inc0.90%$1.18B
Amphenol Corp0.85%$1.12B
McDonald's Corp0.83%$1.09B
PepsiCo Inc0.82%$1.08B
Abbott Laboratories0.80%$1.04B
NextEra Energy Inc0.78%$1.03B
Analog Devices Inc0.78%$1.01B
Union Pacific Corp0.75%$981.32M
Gilead Sciences Inc0.70%$914.69M
Eaton Corp PLC0.70%$912.18M
BlackRock Funding Inc/DE0.68%$890.65M
QUALCOMM Inc0.67%$880.27M
Chubb Ltd0.55%$715.69M
S&P Global Inc0.54%$706.66M
Danaher Corp0.53%$694.92M
Starbucks Corp0.52%$678.69M
Lockheed Martin Corp0.51%$668.97M
Lowe's Cos Inc0.50%$658.51M
Stryker Corp0.49%$635.81M
Medtronic PLC0.47%$620.29M
Bank of New York Mellon Corp/The0.46%$607.11M
Automatic Data Processing Inc0.46%$602.64M
McKesson Corp0.44%$582.30M
Accenture PLC0.44%$576.35M
General Dynamics Corp0.42%$550.63M
CME Group Inc0.42%$549.02M
PNC Financial Services Group Inc/The0.42%$548.18M
CSX Corp0.40%$529.87M
Marsh & McLennan Cos Inc0.40%$517.09M
Cummins Inc0.38%$495.14M
Intuit Inc0.38%$494.56M
Intercontinental Exchange Inc0.37%$487.88M
Phillips 660.37%$480.19M
Emerson Electric Co0.36%$474.78M
Waste Management Inc0.36%$473.57M
Mondelez International Inc0.35%$452.55M
Elevance Health Inc0.35%$451.74M
Travelers Cos Inc/The0.34%$450.40M
Sherwin-Williams Co/The0.34%$442.34M
Honeywell International Inc0.33%$435.69M
Aon PLC0.33%$435.69M
Illinois Tool Works Inc0.32%$425.06M
Colgate-Palmolive Co0.32%$413.36M
Northrop Grumman Corp0.31%$409.79M
Motorola Solutions Inc0.31%$409.25M
Moody's Corp0.31%$406.65M
Ecolab Inc0.30%$397.88M
Cintas Corp0.30%$393.73M
American Electric Power Co Inc0.30%$393.59M
Allstate Corp/The0.29%$384.63M
Air Products and Chemicals Inc0.28%$371.54M
Honeywell Aerospace Inc0.28%$370.60M
Arthur J Gallagher & Co0.28%$362.54M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.27%$357.74M
Comfort Systems USA Inc0.26%$343.94M
Cencora Inc0.26%$342.73M
TE Connectivity PLC0.26%$339.70M
WW Grainger Inc0.26%$339.69M
Nucor Corp0.25%$331.53M
Aflac Inc0.25%$330.41M
Sempra0.25%$327.51M
Fastenal Co0.24%$309.90M
Cardinal Health Inc0.23%$304.82M
Rockwell Automation Inc0.23%$302.25M
MetLife Inc0.22%$293.97M
L3Harris Technologies Inc0.22%$292.03M
Fifth Third Bancorp0.22%$289.73M
State Street Corp0.22%$288.38M
NIKE Inc0.22%$283.07M
Entergy Corp0.21%$278.81M
Ameriprise Financial Inc0.21%$277.63M
Xcel Energy Inc0.21%$276.21M
Becton Dickinson & Co0.20%$258.20M
Republic Services Inc0.18%$238.24M
Nasdaq Inc0.18%$238.10M
MSCI Inc0.18%$235.71M
Sysco Corp0.18%$230.62M
Microchip Technology Inc0.17%$227.45M
Roper Technologies Inc0.17%$223.81M
Agilent Technologies Inc0.17%$221.25M
Hartford Financial Services Group Inc/The0.17%$220.11M
Public Service Enterprise Group Inc0.17%$216.20M
Archer-Daniels-Midland Co0.17%$216.16M
DR Horton Inc0.16%$213.47M
Vulcan Materials Co0.15%$197.17M
Steel Dynamics Inc0.15%$192.71M
Cboe Global Markets Inc0.14%$183.70M
Zoetis Inc0.14%$183.33M
Casey's General Stores Inc0.14%$182.14M
Martin Marietta Materials Inc0.14%$178.41M
ResMed Inc0.13%$173.16M
Ameren Corp0.13%$171.63M
DTE Energy Co0.13%$166.98M
Sunbelt Rentals Holdings Inc0.13%$166.94M
Raymond James Financial Inc0.13%$164.17M
Atmos Energy Corp0.12%$163.18M
Xylem Inc/NY0.12%$157.31M
Dover Corp0.12%$155.90M
Cincinnati Financial Corp0.12%$155.51M
Williams-Sonoma Inc0.12%$152.33M
American Water Works Co Inc0.11%$148.24M
Quest Diagnostics Inc0.11%$145.94M
Hubbell Inc0.11%$141.28M
PPG Industries Inc0.11%$139.38M
West Pharmaceutical Services Inc0.10%$136.29M
Church & Dwight Co Inc0.10%$132.47M
Texas Pacific Land Corp0.10%$131.97M
Veralto Corp0.10%$130.86M
Kroger Co/The0.10%$127.57M
Steris PLC0.10%$126.74M
Principal Financial Group Inc0.10%$126.46M
CMS Energy Corp0.10%$125.83M
Expeditors International of Washington Inc0.09%$124.24M
W R Berkley Corp0.09%$120.71M
NiSource Inc0.09%$120.52M
Snap-on Inc0.09%$120.29M
Reliance Inc0.09%$117.29M
Brown & Brown Inc0.09%$116.11M
RB Global Inc0.09%$115.67M
JB Hunt Transport Services Inc0.09%$114.54M
HEICO Corp0.09%$112.96M
CDW Corp/DE0.08%$106.84M
Alliant Energy Corp0.08%$103.43M
Constellation Brands Inc0.08%$102.76M
Broadridge Financial Solutions Inc0.08%$100.74M
ITT Inc0.08%$99.13M
CH Robinson Worldwide Inc0.08%$98.52M
IDEX Corp0.07%$96.51M
Tyson Foods Inc0.07%$92.52M
Royal Gold Inc0.07%$91.43M
Tractor Supply Co0.07%$91.30M
Nordson Corp0.07%$89.29M
Reinsurance Group of America Inc0.07%$87.79M
BWX Technologies Inc0.07%$87.45M
Carlisle Cos Inc0.06%$82.21M
Masco Corp0.06%$81.59M
HEICO Corp0.06%$81.20M
Lincoln Electric Holdings Inc0.06%$81.00M
Globe Life Inc0.06%$80.06M
DT Midstream Inc0.06%$79.65M
Albemarle Corp0.06%$78.50M
Assurant Inc0.06%$78.27M
RPM International Inc0.06%$77.32M
RenaissanceRe Holdings Ltd0.06%$77.18M
Allegion plc0.06%$76.53M
Lennox International Inc0.06%$74.51M
Graco Inc0.06%$74.54M
Avery Dennison Corp0.06%$73.45M
McCormick & Co Inc/MD0.06%$73.15M
Dick's Sporting Goods Inc0.06%$73.02M
Huntington Ingalls Industries Inc0.06%$72.78M
Applied Industrial Technologies Inc0.06%$72.19M
Unum Group0.05%$71.62M
Evercore Inc0.05%$70.16M
Service Corp International/US0.05%$67.28M
Essential Utilities Inc0.05%$63.95M
Owens Corning0.05%$63.29M
Littelfuse Inc0.05%$63.26M
Jack Henry & Associates Inc0.05%$61.93M
Donaldson Co Inc0.05%$61.75M
Cognex Corp0.05%$61.43M
Watsco Inc0.05%$61.26M
Wintrust Financial Corp0.05%$60.88M
Domino's Pizza Inc0.05%$60.16M
Pentair PLC0.05%$59.84M
Cullen/Frost Bankers Inc0.05%$59.10M
UMB Financial Corp0.04%$58.89M
Ensign Group Inc/The0.04%$58.42M
Southstate Bank Corp.0.04%$58.08M
Zions Bancorp NA0.04%$58.01M
Primerica Inc0.04%$56.45M
Ryder System Inc0.04%$56.13M
Advanced Drainage Systems Inc0.04%$56.15M
American Financial Group Inc/OH0.04%$55.30M
Old Republic International Corp0.04%$54.78M
FactSet Research Systems Inc0.04%$54.25M
Solstice Advanced Materials Inc0.04%$54.06M
Watts Water Technologies Inc0.04%$53.75M
SEI Investments Co0.04%$53.26M
Toro Co/The0.04%$50.39M
Oshkosh Corp0.04%$50.24M
Prosperity Bancshares Inc0.04%$49.91M
Lithia Motors Inc0.04%$49.73M
Timken Co/The0.04%$49.22M
Tetra Tech Inc0.04%$48.69M
AptarGroup Inc0.04%$48.37M
Booz Allen Hamilton Holding Corp0.04%$47.57M
Hanover Insurance Group Inc/The0.04%$46.05M
Commerce Bancshares Inc/MO0.03%$45.47M
IDACORP Inc0.03%$44.80M
National Fuel Gas Co0.03%$44.26M
Simpson Manufacturing Co Inc0.03%$43.70M
First American Financial Corp0.03%$43.23M
Avnet Inc0.03%$41.23M
Chemed Corp0.03%$39.97M
MSA Safety Inc0.03%$39.06M
Houlihan Lokey Inc0.03%$38.50M
A O Smith Corp0.03%$38.09M
Enpro Inc0.03%$37.52M
GATX Corp0.03%$35.93M
Ingredion Inc0.03%$35.49M
Mobility Global Inc0.03%$34.96M
Erie Indemnity Co0.03%$34.79M
Matson Inc0.03%$34.69M
Amdocs Ltd0.03%$33.91M
Pool Corp0.03%$33.70M
Landstar System Inc0.03%$33.55M
Home BancShares Inc/AR0.03%$32.93M
MarketAxess Holdings Inc0.02%$32.64M
TXNM Energy Inc0.02%$32.65M
Selective Insurance Group Inc0.02%$32.11M
RLI Corp0.02%$31.86M
Churchill Downs Inc0.02%$31.58M
Balchem Corp0.02%$30.46M
Brown-Forman Corp0.02%$29.33M
CNO Financial Group Inc0.02%$29.10M
Brunswick Corp/DE0.02%$29.04M
UFP Industries Inc0.02%$27.72M
First Financial Bankshares Inc0.02%$25.93M
Cabot Corp0.02%$25.71M
ServisFirst Bancshares Inc0.02%$25.47M
Materion Corp0.02%$24.81M
Morningstar Inc0.02%$24.04M
United Community Banks Inc/GA0.02%$24.00M
International Bancshares Corp0.02%$23.43M
Brady Corp0.02%$23.31M
Independent Bank Corp0.02%$22.92M
Graham Holdings Co0.02%$22.77M
Franklin Electric Co Inc0.02%$22.52M
Mueller Water Products Inc0.02%$22.35M
Badger Meter Inc0.02%$22.19M
Thor Industries Inc0.02%$22.31M
Otter Tail Corp0.02%$21.01M
Kadant Inc0.02%$20.55M
Standex International Corp0.02%$20.33M
Dolby Laboratories Inc0.02%$20.09M
Silgan Holdings Inc0.02%$19.84M
Assured Guaranty Ltd0.01%$19.48M
Community Financial System Inc0.01%$19.28M
Power Integrations Inc0.01%$19.14M
American States Water Co0.01%$18.99M
Griffon Corp0.01%$18.79M
Avient Corp0.01%$18.85M
Towne Bank/Portsmouth VA0.01%$18.43M
Exponent Inc0.01%$18.35M
Chesapeake Utilities Corp0.01%$18.04M
HNI Corp0.01%$17.78M
WD-40 Co0.01%$17.29M
California Water Service Group0.01%$16.97M
BOK Financial Corp0.01%$17.00M
HB Fuller Co0.01%$17.05M
MGE Energy Inc0.01%$16.99M
McGrath RentCorp0.01%$16.00M
National HealthCare Corp0.01%$15.98M
ABM Industries Inc0.01%$15.86M
NBT Bancorp Inc0.01%$15.49M
First Merchants Corp0.01%$15.08M
Hawkins Inc0.01%$15.11M
Enterprise Financial Services Corp0.01%$13.72M
H2O America0.01%$13.64M
Andersons Inc/The0.01%$13.51M
BancFirst Corp0.01%$13.29M
Westlake Corp0.01%$13.28M
Stock Yards Bancorp Inc0.01%$13.21M
Quaker Chemical Corp0.01%$12.46M
Marzetti Company/The0.01%$12.27M
Innospec Inc0.01%$11.98M
LeMaitre Vascular Inc0.01%$12.05M
Horace Mann Educators Corp0.01%$11.90M
City Holding Co0.01%$11.58M
National Bank Holdings Corp0.01%$10.94M
German American Bancorp Inc0.01%$10.81M
Nelnet Inc0.01%$10.70M
TriCo Bancshares0.01%$10.39M
Dillard's Inc0.01%$10.06M
Worthington Enterprises Inc0.01%$9.87M
Alamo Group Inc0.01%$9.74M
Gorman-Rupp Co/The0.01%$9.58M
1st Source Corp0.01%$9.16M
Lakeland Financial Corp0.01%$8.83M
Bank First Corp0.01%$8.78M
Tennant Co0.01%$8.10M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.01%$7.96M
Westamerica BanCorp0.01%$7.99M
Stepan Co0.01%$7.83M
First Mid Bancshares Inc0.01%$7.14M
Brown-Forman Corp0.01%$7.21M
Lindsay Corp0.01%$6.52M
Middlesex Water Co0.00%$6.04M
Mercantile Bank Corp0.00%$5.87M
Oil-Dri Corp of America0.00%$5.75M
Republic Bancorp Inc/KY0.00%$5.42M
First Community Bankshares Inc0.00%$5.09M
Apogee Enterprises Inc0.00%$4.75M
Tootsie Roll Industries Inc0.00%$4.47M
Independent Bank Corp/MI0.00%$4.45M
Capital City Bank Group Inc0.00%$4.06M
Southern Missouri Bancorp Inc0.00%$4.05M
Cass Information Systems Inc0.00%$3.62M
Civista Bancshares Inc0.00%$3.42M
Northrim BanCorp Inc0.00%$3.34M
First Business Financial Services Inc0.00%$3.32M
York Water Co/The0.00%$2.84M
Home Bancorp Inc0.00%$2.79M
Unity Bancorp Inc0.00%$2.21M
Investar Holding Corp0.00%$2.07M
Shoe Station Group Inc0.00%$1.54M

C000031349 overview: performance, fees, allocation and SEC filings