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Holdings Channel
Size ($ in 1000's)
At 06/30/2014: $1,269,219,749
At 03/31/2014: $1,188,978,890

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

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  06/30/2014

   EntityAmountChange
 03/31/2014 to 06/30/2014
Position Size
($ in 1000's)
APPLE INC 323,102,515 +276,387,128 $30,025,916
     AAPL323,102,515+276,387,128$30,025,916
EXXON MOBIL CORP 237,108,925 +5,608,611 $23,872,127
     XOM237,108,925+5,608,611$23,872,127
JOHNSON & JOHNSON 156,359,961 +4,705,813 $16,358,380
     JNJ156,359,961+4,705,813$16,358,380
MICROSOFT CORP 386,749,214 +6,895,656 $16,127,442
     MSFT386,749,214+6,895,656$16,127,442
WELLS FARGO & CO NEW 257,490,200 +6,177,680 $13,533,685
     WFC257,490,200+6,177,680$13,533,685
GENERAL ELECTRIC CO 510,568,145 +10,578,999 $13,417,731
     GE510,568,145+10,578,999$13,417,731
CHEVRON CORP NEW 100,439,724 +2,521,191 $13,112,407
     CVX100,439,724+2,521,191$13,112,407
JPMORGAN CHASE & CO 191,974,298 +4,191,872 $11,061,560
     JPM191,974,298+4,191,872$11,061,560
BERKSHIRE HATHAWAY INC DEL      $10,992,078
     BRK.B81,610,030+1,854,479$10,328,565
     BRK.A3,494-1$663,513
PROCTER & GAMBLE CO 138,697,671 +2,970,501 $10,900,249
     PG138,697,671+2,970,501$10,900,249
VERIZON COMMUNICATIONS INC 211,710,287 +4,729,253 $10,358,984
     VZ211,710,287+4,729,253$10,358,984
INTERNATIONAL BUSINESS MACHS 53,757,918 -1,217,598 $9,744,697
     IBM53,757,918-1,217,598$9,744,697
PFIZER INC 327,984,566 +5,553,512 $9,734,583
     PFE327,984,566+5,553,512$9,734,583
COCA COLA CO 229,263,958 +4,158,911 $9,711,621
     KO229,263,958+4,158,911$9,711,621
AT&T INC 266,574,625 +4,726,098 $9,426,079
     T266,574,625+4,726,098$9,426,079
MERCK & CO INC NEW 150,630,864 +2,649,076 $8,713,995
     MRK150,630,864+2,649,076$8,713,995
GOOGLE INC 14,516,202 +368,789 $8,487,189
     GOOGL14,516,202+368,789$8,487,189
GOOGLE INC 14,624,137 +14,624,137 $8,412,973
     GOOG14,624,137+14,624,137$8,412,973
SCHLUMBERGER LTD 68,473,908 +1,463,182 $8,076,497
     SLB68,473,908+1,463,182$8,076,497
PEPSICO INC 89,472,297 +1,563,559 $7,993,455
     PEP89,472,297+1,563,559$7,993,455
INTEL CORP 256,238,401 +5,857,753 $7,917,768
     INTC256,238,401+5,857,753$7,917,768
BANK OF AMERICA CORPORATION 511,614,156 +3,673,127 $7,863,510
     BAC511,614,156+3,673,127$7,863,510
QUALCOMM INC 98,512,470 +2,296,469 $7,802,187
     QCOM98,512,470+2,296,469$7,802,187
WAL MART STORES INC 95,557,424 +2,231,493 $7,173,495
     WMT95,557,424+2,231,493$7,173,495
ORACLE CORP 174,195,941 +1,611,786 $7,060,162
     ORCL174,195,941+1,611,786$7,060,162
DISNEY WALT CO 80,325,236 +683,893 $6,887,086
     DIS80,325,236+683,893$6,887,086
CITIGROUP INC 144,431,330 +2,579,543 $6,802,716
     C144,431,330+2,579,543$6,802,716
PHILIP MORRIS INTL INC 80,580,441 +816,718 $6,793,737
     PM80,580,441+816,718$6,793,737
SIMON PPTY GROUP INC NEW 39,805,590 +1,330,521 $6,618,873
     SPG39,805,590+1,330,521$6,618,873
GILEAD SCIENCES INC 78,741,071 +1,452,837 $6,528,422
     GILD78,741,071+1,452,837$6,528,422
CISCO SYS INC 262,458,561 +4,095,266 $6,522,096
     CSCO262,458,561+4,095,266$6,522,096
FACEBOOK INC 95,802,891 +2,748,580 $6,446,576
     FB95,802,891+2,748,580$6,446,576
COMCAST CORP NEW 119,981,936 +1,793,654 $6,440,631
     CMCSA119,981,936+1,793,654$6,440,631
AMAZON COM INC 18,596,989 +376,002 $6,039,930
     AMZN18,596,989+376,002$6,039,930
HOME DEPOT INC 69,701,675 -800,653 $5,643,047
     HD69,701,675-800,653$5,643,047
CONOCOPHILLIPS 65,736,122 +2,200,268 $5,635,557
     COP65,736,122+2,200,268$5,635,557
UNITED TECHNOLOGIES CORP 48,340,468 +1,158,020 $5,580,908
     UTX48,340,468+1,158,020$5,580,908
3M CO 38,058,399 +345,166 $5,451,485
     MMM38,058,399+345,166$5,451,485
VISA INC 25,665,400 +238,478 $5,407,957
     V25,665,400+238,478$5,407,957
MCDONALDS CORP 51,367,217 +863,806 $5,174,733
     MCD51,367,217+863,806$5,174,733
CVS CAREMARK CORPORATION 66,212,084 +786,789 $4,990,405
     CVS66,212,084+786,789$4,990,405
OCCIDENTAL PETE CORP DEL 47,964,535 +880,314 $4,922,600
     OXY47,964,535+880,314$4,922,600
ABBVIE INC 85,718,309 +1,455,874 $4,837,942
     ABBV85,718,309+1,455,874$4,837,942
AMERICAN EXPRESS CO 49,975,231 +696,915 $4,741,151
     AXP49,975,231+696,915$4,741,151
UNION PAC CORP 45,948,157 +23,280,799 $4,583,329
     UNP45,948,157+23,280,799$4,583,329
AMGEN INC 38,574,841 +578,934 $4,566,104
     AMGN38,574,841+578,934$4,566,104
BOEING CO 34,684,877 -948,706 $4,412,957
     BA34,684,877-948,706$4,412,957
ALTRIA GROUP INC 101,865,581 +2,223,399 $4,272,242
     MO101,865,581+2,223,399$4,272,242
BRISTOL MYERS SQUIBB CO 84,156,909 +1,975,066 $4,082,452
     BMY84,156,909+1,975,066$4,082,452
CATERPILLAR INC DEL 36,867,527 +1,214,998 $4,006,394
     CAT36,867,527+1,214,998$4,006,394

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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