Holdings Channel
Size ($ in 1000's)
At 12/31/2015: $1,487,143,607
At 09/30/2015: $1,385,416,974

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  12/31/2015

   EntityAmountChange
 09/30/2015 to 12/31/2015
Position Size
($ in 1000's)
APPLE INC 322,968,066 -6,370,755 $33,995,618
     AAPL322,968,066-6,370,755$33,995,618
MICROSOFT CORP 485,335,822 +20,717,514 $26,926,432
     MSFT485,335,822+20,717,514$26,926,432
EXXON MOBIL CORP 261,953,264 +5,580,067 $20,419,257
     XOM261,953,264+5,580,067$20,419,257
JOHNSON & JOHNSON 175,393,093 +3,680,649 $18,016,378
     JNJ175,393,093+3,680,649$18,016,378
GENERAL ELECTRIC CO      $17,185,638
     GE.WD551,705,886+551,705,886$17,185,638
WELLS FARGO & CO NEW 274,621,069 +4,893,739 $14,928,402
     WFC274,621,069+4,893,739$14,928,402
AMAZON COM INC 22,010,802 +612,597 $14,876,881
     AMZN22,010,802+612,597$14,876,881
JPMORGAN CHASE & CO 217,513,853 +4,179,909 $14,362,439
     JPM217,513,853+4,179,909$14,362,439
BERKSHIRE HATHAWAY INC DEL      $13,737,943
     BRK.B98,764,735+2,496,978$13,040,896
     BRK.A3,524+11$697,047
PROCTER & GAMBLE CO 172,222,198 +4,307,671 $13,676,164
     PG172,222,198+4,307,671$13,676,164
FACEBOOK INC 130,370,552 +4,279,863 $13,644,583
     FB130,370,552+4,279,863$13,644,583
ALPHABET INC 17,256,856 +558,316 $13,426,007
     GOOGL17,256,856+558,316$13,426,007
ALPHABET INC 17,492,413 +528,943 $13,274,643
     GOOG17,492,413+528,943$13,274,643
AT&T INC 358,813,013 +8,052,202 $12,346,756
     T358,813,013+8,052,202$12,346,756
PFIZER INC 367,651,919 +8,294,800 $11,867,805
     PFE367,651,919+8,294,800$11,867,805
COCA COLA CO 262,031,119 +6,298,427 $11,256,857
     KO262,031,119+6,298,427$11,256,857
VERIZON COMMUNICATIONS INC 239,647,897 +5,773,177 $11,076,527
     VZ239,647,897+5,773,177$11,076,527
CHEVRON CORP NEW 118,187,525 +3,099,462 $10,632,149
     CVX118,187,525+3,099,462$10,632,149
BANK AMER CORP 585,080,310 +11,856,256 $9,846,901
     BAC585,080,310+11,856,256$9,846,901
INTEL CORP 283,264,301 +6,429,434 $9,758,455
     INTC283,264,301+6,429,434$9,758,455
HOME DEPOT INC 73,747,144 +668,060 $9,753,059
     HD73,747,144+668,060$9,753,059
PEPSICO INC 94,648,806 +554,950 $9,457,309
     PEP94,648,806+554,950$9,457,309
DISNEY WALT CO 87,774,484 +425,678 $9,223,343
     DIS87,774,484+425,678$9,223,343
VISA INC 114,903,414 +2,667,567 $8,910,760
     V114,903,414+2,667,567$8,910,760
MERCK & CO INC NEW 167,627,208 +2,353,965 $8,854,069
     MRK167,627,208+2,353,965$8,854,069
GILEAD SCIENCES INC 85,547,536 +596,921 $8,656,555
     GILD85,547,536+596,921$8,656,555
CITIGROUP INC 163,849,049 +1,959,695 $8,479,189
     C163,849,049+1,959,695$8,479,189
PHILIP MORRIS INTL INC 94,208,305 +3,019,182 $8,281,852
     PM94,208,305+3,019,182$8,281,852
CISCO SYS INC 301,463,407 +6,597,497 $8,186,239
     CSCO301,463,407+6,597,497$8,186,239
INTERNATIONAL BUSINESS MACHS 58,796,441 +823,665 $8,091,565
     IBM58,796,441+823,665$8,091,565
SIMON PPTY GROUP INC NEW 41,471,502 +1,067,581 $8,063,719
     SPG41,471,502+1,067,581$8,063,719
COMCAST CORP NEW 141,619,264 +12,505,696 $7,991,575
     CMCSA141,619,264+12,505,696$7,991,575
AMGEN INC 44,916,785 +953,984 $7,291,342
     AMGN44,916,785+953,984$7,291,342
ALLERGAN PLC 23,246,431 +576,325 $7,264,510
     AGN23,246,431+576,325$7,264,510
BRISTOL MYERS SQUIBB CO 100,977,126 +2,396,947 $6,946,217
     BMY100,977,126+2,396,947$6,946,217
ORACLE CORP 189,554,553 +1,967,964 $6,924,429
     ORCL189,554,553+1,967,964$6,924,429
MEDTRONIC PLC 89,739,674 +2,935,600 $6,902,776
     MDT89,739,674+2,935,600$6,902,776
ALTRIA GROUP INC 116,217,474 +3,507,409 $6,765,019
     MO116,217,474+3,507,409$6,765,019
CVS HEALTH CORP 68,950,833 +1,086,137 $6,741,323
     CVS68,950,833+1,086,137$6,741,323
MCDONALDS CORP 55,214,277 +86,071 $6,523,015
     MCD55,214,277+86,071$6,523,015
UNITEDHEALTH GROUP INC 54,496,944 +981,470 $6,411,021
     UNH54,496,944+981,470$6,411,021
WAL MART STORES INC 101,492,685 +2,355,751 $6,221,501
     WMT101,492,685+2,355,751$6,221,501
3M CO 40,626,344 -339,206 $6,119,953
     MMM40,626,344-339,206$6,119,953
ABBVIE INC 99,619,621 +394,666 $5,901,466
     ABBV99,619,621+394,666$5,901,466
MASTERCARD INC 58,448,056 +783,195 $5,690,503
     MA58,448,056+783,195$5,690,503
CELGENE CORP 46,398,324 +808,611 $5,556,664
     CELG46,398,324+808,611$5,556,664
BOEING CO 38,296,605 +435,466 $5,537,306
     BA38,296,605+435,466$5,537,306
SCHLUMBERGER LTD 77,084,354 -160,906 $5,376,633
     SLB77,084,354-160,906$5,376,633
NIKE INC 85,903,718 +43,496,925 $5,368,982
     NKE85,903,718+43,496,925$5,368,982
QUALCOMM INC 101,454,047 -1,926,215 $5,071,181
     QCOM101,454,047-1,926,215$5,071,181

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.

Vanguard Group Inc. Top Holdings 13F Filings | www.HoldingsChannel.com | Copyright © 2013 - 2016, All Rights Reserved

Nothing in Holdings Channel is intended to be investment advice, nor does it represent the opinion of, counsel from, or recommendations by BNK Invest Inc. or any of its affiliates, subsidiaries or partners. None of the information contained herein constitutes a recommendation that any particular security, portfolio, transaction, or investment strategy is suitable for any specific person. All viewers agree that under no circumstances will BNK Invest, Inc,. its subsidiaries, partners, officers, employees, affiliates, or agents be held liable for any loss or damage caused by your reliance on information obtained. By visiting, using or viewing this site, you agree to the following Full Disclaimer & Terms of Use and Privacy Policy. Video widget and market videos powered by Market News Video. Quote and option data delayed at least 15 minutes; stock quote data powered by Ticker Technologies, and Mergent. Contact Holdings Channel; Meet Our Editorial Staff.