VWNDX Holdings — Vanguard Windsor Fund

All 140 reported holdings of Vanguard Windsor Fund (VWNDX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Amazon.com Inc2.40%$580.87M
Alphabet Inc2.32%$563.17M
Tyson Foods Inc1.93%$468.39M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund1.73%$420.16M
Morgan Stanley1.61%$390.88M
SLB Ltd1.52%$368.44M
Wells Fargo & Co1.51%$365.67M
Chubb Ltd1.50%$364.96M
Microsoft Corp1.49%$360.17M
Merck & Co Inc1.47%$357.39M
MetLife Inc1.42%$344.98M
ASML Holding NV1.33%$322.45M
PPG Industries Inc1.26%$305.19M
Raymond James Financial Inc1.22%$295.49M
Reliance Inc1.14%$276.38M
Dick's Sporting Goods Inc1.12%$270.46M
Prologis Inc1.11%$270.35M
Walt Disney Co/The1.11%$268.72M
Dover Corp1.10%$266.63M
M&T Bank Corp1.10%$266.29M
Magna International Inc1.07%$259.15M
NXP Semiconductors NV1.06%$258.12M
UnitedHealth Group Inc1.06%$256.86M
Sempra1.06%$256.72M
CVS Health Corp1.06%$256.42M
Emerson Electric Co1.06%$255.90M
Voya Financial Inc1.05%$253.48M
KKR & Co Inc1.04%$252.52M
Skyworks Solutions Inc1.02%$247.80M
Boeing Co/The1.02%$246.19M
Citigroup Inc1.01%$245.02M
Humana Inc0.98%$237.62M
Northrop Grumman Corp0.93%$226.59M
Canadian Natural Resources Ltd0.93%$226.41M
James Hardie Industries PLC0.92%$224.28M
Constellation Brands Inc0.92%$223.32M
NVIDIA Corp0.92%$222.04M
Deere & Co0.90%$217.91M
Equinix Inc0.90%$217.25M
PACCAR Inc0.89%$215.98M
Exxon Mobil Corp0.88%$213.45M
Bank of America Corp0.88%$212.27M
ConocoPhillips0.86%$208.76M
Airbnb Inc0.84%$204.23M
Kroger Co/The0.84%$204.23M
Ally Financial Inc0.84%$202.65M
Bristol-Myers Squibb Co0.81%$196.72M
AstraZeneca PLC0.81%$195.37M
Capital One Financial Corp0.79%$191.24M
Corebridge Financial Inc0.77%$186.73M
Tradeweb Markets Inc0.77%$186.00M
Global Payments Inc0.76%$185.39M
Fresenius Medical Care AG0.76%$185.18M
Baxter International Inc0.76%$183.53M
Canadian National Railway Co0.76%$183.18M
Dynatrace Inc0.75%$183.05M
Unilever PLC0.75%$182.50M
Advanced Micro Devices Inc0.75%$181.76M
Agilent Technologies Inc0.75%$181.41M
Valero Energy Corp0.72%$174.65M
Hyatt Hotels Corp0.71%$172.84M
Dollar General Corp0.70%$170.85M
Pinnacle Financial Partners Inc0.70%$170.75M
CDW Corp/DE0.70%$169.80M
Lear Corp0.70%$169.68M
Keurig Dr Pepper Inc0.70%$168.85M
CACI International Inc0.70%$168.72M
Exelon Corp0.69%$168.21M
EchoStar Corp0.69%$167.65M
Shin-Etsu Chemical Co Ltd0.69%$166.53M
Shell PLC0.68%$164.88M
TransUnion0.68%$164.34M
Haleon PLC0.66%$159.29M
Steris PLC0.65%$158.45M
Builders FirstSource Inc0.64%$154.59M
Cognizant Technology Solutions Corp0.63%$151.61M
Techtronic Industries Co Ltd0.62%$151.54M
Halliburton Co0.62%$151.07M
Equitable Holdings Inc0.62%$150.18M
SS&C Technologies Holdings Inc0.62%$149.32M
Eversource Energy0.61%$148.35M
Williams Cos Inc/The0.61%$147.53M
KeyCorp0.59%$143.89M
Roper Technologies Inc0.59%$141.92M
Icon PLC0.58%$141.69M
Amdocs Ltd0.58%$141.46M
Everest Group Ltd0.58%$141.31M
Waters Corp0.58%$141.15M
Delta Air Lines Inc0.57%$138.77M
UDR Inc0.57%$137.14M
UBS Group AG0.55%$134.27M
Cooper Cos Inc/The0.55%$133.49M
AvalonBay Communities Inc0.54%$131.02M
Becton Dickinson & Co0.53%$127.66M
Cardinal Health Inc0.52%$125.37M
HCA Healthcare Inc0.50%$121.25M
Morningstar Inc0.48%$116.31M
MongoDB Inc0.47%$115.15M
Nutrien Ltd0.45%$109.51M
MACOM Technology Solutions Holdings Inc0.45%$108.81M
Medtronic PLC0.45%$108.11M
Pfizer Inc0.44%$107.66M
Pool Corp0.44%$107.43M
Mohawk Industries Inc0.44%$106.15M
Charles River Laboratories International Inc0.42%$102.92M
NIKE Inc0.41%$99.04M
Archer-Daniels-Midland Co0.39%$93.88M
PVH Corp0.38%$92.08M
NOV Inc0.37%$89.68M
Accenture PLC0.37%$88.55M
Westinghouse Air Brake Technologies Corp0.36%$86.62M
Okta Inc0.36%$86.62M
Cigna Group/The0.36%$86.62M
Snowflake Inc0.35%$84.96M
Live Nation Entertainment Inc0.35%$84.39M
JPMorgan Chase & Co0.34%$82.91M
Zscaler Inc0.31%$75.96M
Booz Allen Hamilton Holding Corp0.29%$71.17M
Elevance Health Inc0.28%$68.87M
Dow Inc0.28%$67.25M
Centene Corp0.28%$66.78M
Flutter Entertainment PLC0.24%$59.05M
Genuine Parts Co0.22%$52.23M
Newell Brands Inc0.20%$48.41M
Cisco Systems Inc0.18%$43.51M
Target Corp0.17%$42.11M
Johnson & Johnson0.17%$41.20M
Jazz Pharmaceuticals PLC0.17%$40.93M
Broadcom Inc0.17%$40.54M
Bank of America Securities, LLC0.16%$40.00M
Bank of America Securities, LLC0.16%$40.00M
CBRE Group Inc0.16%$37.78M
TE Connectivity PLC0.14%$34.74M
Bank of America Securities, LLC0.13%$32.70M
Leidos Holdings Inc0.13%$32.45M
General Dynamics Corp0.13%$32.07M
JP Morgan Securities LLC0.12%$30.00M
Nomura Securities International, Inc.0.12%$30.00M
American International Group Inc0.12%$28.57M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund0.09%$22.88M

VWNDX overview: performance, fees, allocation and SEC filings