VPMAX Holdings — Vanguard Primecap Fund

All 170 reported holdings of Vanguard Primecap Fund (VPMAX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Eli Lilly & Co6.92%$5.01B
Micron Technology Inc5.94%$4.30B
Alphabet Inc3.79%$2.74B
AstraZeneca PLC3.27%$2.37B
KLA Corp3.02%$2.19B
Intel Corp2.85%$2.06B
NVIDIA Corp2.71%$1.96B
Amgen Inc2.68%$1.94B
FedEx Corp2.64%$1.91B
Amazon.com Inc2.40%$1.73B
Tesla Inc2.22%$1.61B
Microsoft Corp2.22%$1.61B
Biogen Inc2.12%$1.53B
Ross Stores Inc2.02%$1.46B
Charles Schwab Corp/The1.98%$1.43B
Alibaba Group Holding Ltd1.94%$1.41B
Siemens AG1.90%$1.38B
Boston Scientific Corp1.83%$1.32B
Texas Instruments Inc1.82%$1.32B
Gsk PLC1.38%$1.00B
TJX Cos Inc/The1.31%$946.86M
Southwest Airlines Co1.30%$941.24M
ConocoPhillips1.23%$893.72M
Bristol-Myers Squibb Co1.20%$866.90M
United Airlines Holdings Inc1.11%$805.75M
Novartis AG1.10%$794.33M
Alphabet Inc1.08%$783.73M
Visa Inc1.06%$767.18M
Adobe Inc1.04%$753.15M
Sony Group Corp1.02%$741.73M
Baidu Inc1.00%$727.57M
Analog Devices Inc0.98%$713.11M
BeOne Medicines Ltd0.95%$688.86M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.95%$688.61M
JPMorgan Chase & Co0.94%$679.60M
Delta Air Lines Inc0.87%$627.64M
Oracle Corp0.84%$610.26M
Thermo Fisher Scientific Inc0.83%$603.02M
Raymond James Financial Inc0.80%$579.60M
NetApp Inc0.74%$536.73M
Caterpillar Inc0.72%$521.41M
Walt Disney Co/The0.59%$429.15M
Elanco Animal Health Inc0.59%$426.87M
Wells Fargo & Co0.57%$411.64M
Royal Caribbean Cruises Ltd0.50%$365.19M
Apple Inc0.49%$352.57M
Linde PLC0.47%$338.21M
Intuit Inc0.44%$318.19M
Mattel Inc0.43%$308.67M
Cisco Systems Inc0.41%$297.43M
Telefonaktiebolaget LM Ericsson0.41%$295.30M
BioMarin Pharmaceutical Inc0.40%$292.59M
Airbus SE0.40%$287.95M
Northern Trust Corp0.39%$284.30M
TransDigm Group Inc0.39%$280.18M
Albemarle Corp0.38%$278.29M
Chevron Corp0.38%$274.69M
Booz Allen Hamilton Holding Corp0.37%$270.97M
IDEX Corp0.37%$270.91M
Glencore PLC0.37%$264.81M
HP Inc0.36%$263.29M
Roche Holding AG0.36%$262.16M
Dollar Tree Inc0.35%$251.97M
US Foods Holding Corp0.35%$250.69M
PayPal Holdings Inc0.34%$249.69M
Netflix Inc0.34%$243.54M
Norfolk Southern Corp0.33%$241.73M
CME Group Inc0.32%$232.99M
American Airlines Group Inc0.32%$229.53M
Meta Platforms Inc0.31%$226.71M
Synopsys Inc0.31%$226.59M
Danaher Corp0.31%$224.70M
Infineon Technologies AG0.30%$220.27M
Entegris Inc0.30%$213.73M
Corning Inc0.29%$211.49M
Hewlett Packard Enterprise Co0.29%$206.97M
Mastercard Inc0.28%$205.31M
Marvell Technology Inc0.28%$202.14M
Fair Isaac Corp0.28%$200.29M
Union Pacific Corp0.26%$186.21M
Sysco Corp0.25%$183.18M
Citigroup Inc0.25%$180.80M
Bank of New York Mellon Corp/The0.24%$174.11M
Carrier Global Corp0.23%$166.97M
Zimmer Biomet Holdings Inc0.22%$162.51M
Universal Music Group NV0.21%$154.83M
Dow Inc0.21%$149.85M
Applied Materials Inc0.20%$144.06M
United Parcel Service Inc0.20%$142.16M
Otis Worldwide Corp0.19%$139.59M
Whirlpool Corp0.19%$138.54M
Stryker Corp0.19%$138.29M
Edwards Lifesciences Corp0.19%$137.96M
Burlington Stores Inc0.17%$125.53M
Advanced Micro Devices Inc0.17%$125.06M
Spotify Technology SA0.17%$124.18M
CVS Health Corp0.17%$123.62M
Broadcom Inc0.16%$116.66M
AMETEK Inc0.16%$115.75M
Progressive Corp/The0.16%$115.49M
Jabil Inc0.16%$112.76M
Marsh & McLennan Cos Inc0.15%$110.89M
Flutter Entertainment PLC0.15%$109.59M
EOG Resources Inc0.15%$107.27M
Alaska Air Group Inc0.15%$105.96M
Boeing Co/The0.14%$101.76M
General Dynamics Corp0.14%$100.51M
Autodesk Inc0.14%$99.16M
Western Digital Corp0.13%$95.75M
Palo Alto Networks Inc0.13%$94.56M
eBay Inc0.13%$94.44M
Philip Morris International Inc0.13%$93.70M
Honeywell International Inc0.12%$89.80M
JB Hunt Transport Services Inc0.12%$87.13M
Qnity Electronics Inc0.11%$82.11M
Agilent Technologies Inc0.10%$75.47M
Corteva Inc0.10%$72.93M
RTX Corp0.10%$71.49M
Bank of America Corp0.10%$71.17M
Live Nation Entertainment Inc0.10%$69.74M
Textron Inc0.10%$69.52M
nVent Electric PLC0.09%$67.87M
Alcon AG0.09%$66.48M
Okta Inc0.09%$66.25M
T-Mobile US Inc0.09%$65.80M
DuPont de Nemours Inc0.09%$65.40M
WillScot Holdings Corp0.09%$61.71M
Abbott Laboratories0.08%$59.93M
NIKE Inc0.08%$58.78M
Rockwell Automation Inc0.08%$58.72M
CSX Corp0.08%$57.97M
Welltower Inc0.08%$57.23M
Waste Management Inc0.07%$53.68M
Viking Holdings Ltd0.07%$53.46M
QUALCOMM Inc0.07%$52.14M
Keysight Technologies Inc0.07%$50.23M
Carnival Corp0.07%$49.76M
Dell Technologies Inc0.06%$44.52M
L3Harris Technologies Inc0.06%$41.11M
Deere & Co0.05%$35.05M
UnitedHealth Group Inc0.05%$34.93M
Ryanair Holdings PLC0.05%$34.83M
Marriott International Inc/MD0.04%$31.73M
Siemens Healthineers AG0.04%$30.75M
Lyft Inc0.03%$23.94M
Sony Financial Group Inc0.03%$23.20M
Salesforce Inc0.03%$22.40M
Transocean Ltd0.02%$16.77M
Gartner Inc0.02%$15.42M
Newell Brands Inc0.02%$11.88M
Ulta Beauty Inc0.02%$10.98M
Altria Group Inc0.01%$10.87M
Walmart Inc0.01%$10.51M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.01%$10.05M
Sandoz Group AG0.01%$8.32M
Tyson Foods Inc0.01%$8.20M
Exxon Mobil Corp0.01%$6.96M
SLB Ltd0.01%$6.75M
Teradyne Inc0.01%$6.31M
Uber Technologies Inc0.01%$5.92M
Bath & Body Works Inc0.01%$5.34M
Dick's Sporting Goods Inc0.01%$4.58M
Freeport-McMoRan Inc0.01%$4.41M
Xcel Energy Inc0.01%$3.97M
Illumina Inc0.00%$2.47M
Coca-Cola Co/The0.00%$2.33M
Sap SE0.00%$2.23M
Arista Networks Inc0.00%$1.96M
Nintendo Co Ltd0.00%$976.16K
Waters Corp0.00%$389.22K

VPMAX overview: performance, fees, allocation and SEC filings