Holdings Channel
Size ($ in 1000's)
At 06/30/2018: $2,390,611,653
At 03/31/2018: $2,286,627,689

Combined Holding Report Includes:
VANGUARD GROUP INC
VANGUARD FIDUCIARY TRUST CO
Vanguard Investments Australia Ltd.
VANGUARD ADVISERS INC

Vanguard Group Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Vanguard Group Inc. 13F filings. Link to 13F filings: SEC filings

Vanguard Group Inc. Top Holdings
As of  06/30/2018

   EntityAmountChange
 03/31/2018 to 06/30/2018
Position Size
($ in 1000's)
APPLE INC 347,890,172 -2,618,902 $64,397,950
     AAPL347,890,172-2,618,902$64,397,950
MICROSOFT CORP 569,057,510 -17,033,234 $56,114,760
     MSFT569,057,510-17,033,234$56,114,760
AMAZON COM INC 29,082,740 +555,342 $49,434,842
     AMZN29,082,740+555,342$49,434,842
FACEBOOK INC 172,907,219 -727,438 $33,599,330
     FB172,907,219-727,438$33,599,330
EXXON MOBIL CORP 326,288,519 +3,614,101 $26,993,850
     XOM326,288,519+3,614,101$26,993,850
JPMORGAN CHASE & CO 254,854,358 +376,897 $26,555,825
     JPM254,854,358+376,897$26,555,825
JOHNSON & JOHNSON 210,197,588 +2,804,652 $25,505,376
     JNJ210,197,588+2,804,652$25,505,376
BERKSHIRE HATHAWAY INC DEL      $24,979,263
     BRK.B129,013,674+2,284,596$24,080,402
     BRK.A3,187-97$898,861
ALPHABET INC 21,498,944 -109,528 $24,276,393
     GOOGL21,498,944-109,528$24,276,393
ALPHABET INC 21,753,941 -157,174 $24,269,784
     GOOG21,753,941-157,174$24,269,784
BANK AMER CORP 673,346,270 +2,225,328 $18,981,632
     BAC673,346,270+2,225,328$18,981,632
CHEVRON CORP NEW 147,974,077 +2,622,501 $18,708,363
     CVX147,974,077+2,622,501$18,708,363
WELLS FARGO CO NEW 326,326,461 +2,603,722 $18,091,539
     WFC326,326,461+2,603,722$18,091,539
INTEL CORP 355,454,620 +9,179,785 $17,669,648
     INTC355,454,620+9,179,785$17,669,648
VISA INC 132,408,848 +1,726,156 $17,537,552
     V132,408,848+1,726,156$17,537,552
AT&T INC 527,626,436 +82,625,405 $16,942,084
     T527,626,436+82,625,405$16,942,084
UNITEDHEALTH GROUP INC 68,269,044 +587,193 $16,749,127
     UNH68,269,044+587,193$16,749,127
HOME DEPOT INC 82,702,617 +305,501 $16,135,279
     HD82,702,617+305,501$16,135,279
PFIZER INC 435,172,220 -4,165,118 $15,788,048
     PFE435,172,220-4,165,118$15,788,048
CISCO SYS INC 356,814,665 -446,512 $15,353,736
     CSCO356,814,665-446,512$15,353,736
VERIZON COMMUNICATIONS INC 299,864,718 +2,573,052 $15,086,195
     VZ299,864,718+2,573,052$15,086,195
PROCTER AND GAMBLE CO 187,548,377 +2,491,460 $14,640,026
     PG187,548,377+2,491,460$14,640,026
BOEING CO 42,991,518 +171,172 $14,424,084
     BA42,991,518+171,172$14,424,084
MASTERCARD INCORPORATED 68,687,957 +1,082,514 $13,498,557
     MA68,687,957+1,082,514$13,498,557
PEPSICO INC 118,111,602 +1,808,227 $12,858,810
     PEP118,111,602+1,808,227$12,858,810
COCA COLA CO 285,137,785 +651,832 $12,506,142
     KO285,137,785+651,832$12,506,142
MERCK & CO INC 201,909,297 +2,906,059 $12,255,894
     MRK201,909,297+2,906,059$12,255,894
CITIGROUP INC 179,568,887 -1,432,370 $12,016,749
     C179,568,887-1,432,370$12,016,749
DOWDUPONT INC 178,157,919 +1,945,952 $11,744,170
     DWDP178,157,919+1,945,952$11,744,170
NETFLIX INC 29,894,283 +374,113 $11,701,520
     NFLX29,894,283+374,113$11,701,520
COMCAST CORP NEW 339,608,688 +13,754,515 $11,142,562
     CMCSA339,608,688+13,754,515$11,142,562
ABBVIE INC 117,849,682 -3,611,083 $10,918,774
     ABBV117,849,682-3,611,083$10,918,774
DISNEY WALT CO 103,175,987 +431,884 $10,813,876
     DIS103,175,987+431,884$10,813,876
WALMART INC 124,134,102 +1,439,474 $10,632,085
     WMT124,134,102+1,439,474$10,632,085
MCDONALDS CORP 64,811,331 -55,223 $10,155,287
     MCD64,811,331-55,223$10,155,287
NVIDIA CORP 42,770,905 +877,350 $10,132,427
     NVDA42,770,905+877,350$10,132,427
3M CO 48,880,206 +210,814 $9,615,713
     MMM48,880,206+210,814$9,615,713
PHILIP MORRIS INTL INC 117,374,213 +1,443,813 $9,476,795
     PM117,374,213+1,443,813$9,476,795
INTERNATIONAL BUSINESS MACHS 67,124,763 +1,782,054 $9,377,329
     IBM67,124,763+1,782,054$9,377,329
TEXAS INSTRS INC 84,717,098 +1,489,257 $9,340,061
     TXN84,717,098+1,489,257$9,340,061
MEDTRONIC PLC 108,248,569 +1,279,249 $9,267,160
     MDT108,248,569+1,279,249$9,267,160
ORACLE CORP 210,149,859 -4,871,219 $9,259,204
     ORCL210,149,859-4,871,219$9,259,204
AMGEN INC 49,334,343 +241,551 $9,106,626
     AMGN49,334,343+241,551$9,106,626
ADOBE SYS INC 36,697,946 +938,552 $8,947,327
     ADBE36,697,946+938,552$8,947,327
UNION PAC CORP 61,706,120 +167,811 $8,742,523
     UNP61,706,120+167,811$8,742,523
ACCENTURE PLC IRELAND 52,488,896 +2,895,621 $8,586,659
     ACN52,488,896+2,895,621$8,586,659
GENERAL ELECTRIC CO 629,726,110 +10,330,348 $8,570,572
     GE629,726,110+10,330,348$8,570,572
ABBOTT LABS 136,803,540 +2,711,749 $8,343,648
     ABT136,803,540+2,711,749$8,343,648
NIKE INC 101,462,302 +511,084 $8,084,515
     NKE101,462,302+511,084$8,084,515
ALTRIA GROUP INC 140,316,060 +1,527,762 $7,968,550
     MO140,316,060+1,527,762$7,968,550

See Full List: All Stocks Held By Vanguard Group Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Vanguard Group Inc.

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