Holdings Channel
Size ($ in 1000's)
At 09/30/2017: $2,139,448,908
At 06/30/2017: $2,030,331,801

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  09/30/2017

   EntityAmountChange
 06/30/2017 to 09/30/2017
Position Size
($ in 1000's)
APPLE INC 344,588,690 +2,390,813 $53,108,009
     AAPL344,588,690+2,390,813$53,108,009
MICROSOFT CORP 571,934,276 +7,882,265 $42,603,386
     MSFT571,934,276+7,882,265$42,603,386
FACEBOOK INC 165,919,623 +3,388,863 $28,350,686
     FB165,919,623+3,388,863$28,350,686
AMAZON COM INC 27,361,146 +497,760 $26,303,638
     AMZN27,361,146+497,760$26,303,638
JOHNSON & JOHNSON 201,821,086 +1,370,101 $26,238,760
     JNJ201,821,086+1,370,101$26,238,760
EXXON MOBIL CORP 313,501,075 +4,089,696 $25,700,818
     XOM313,501,075+4,089,696$25,700,818
JPMORGAN CHASE & CO 251,791,483 +1,903,861 $24,048,606
     JPM251,791,483+1,903,861$24,048,606
BERKSHIRE HATHAWAY INC DEL      $23,410,109
     BRK.B122,389,425+3,060,929$22,436,430
     BRK.A3,544-1$973,679
ALPHABET INC 20,823,629 +253,153 $20,276,384
     GOOGL20,823,629+253,153$20,276,384
ALPHABET INC 20,995,893 +555,855 $20,137,371
     GOOG20,995,893+555,855$20,137,371
WELLS FARGO CO NEW 317,784,379 +3,028,919 $17,525,808
     WFC317,784,379+3,028,919$17,525,808
AT&T INC 435,170,934 +7,313,626 $17,045,646
     T435,170,934+7,313,626$17,045,646
BANK AMER CORP 663,610,321 +2,115,982 $16,815,885
     BAC663,610,321+2,115,982$16,815,885
PROCTER AND GAMBLE CO 183,618,446 +2,887,676 $16,705,607
     PG183,618,446+2,887,676$16,705,607
CHEVRON CORP NEW 141,595,511 +1,969,224 $16,637,473
     CVX141,595,511+1,969,224$16,637,473
PFIZER INC 425,035,457 +6,396,346 $15,173,766
     PFE425,035,457+6,396,346$15,173,766
GENERAL ELECTRIC CO 606,877,736 +6,639,092 $14,674,304
     GE606,877,736+6,639,092$14,674,304
VERIZON COMMUNICATIONS INC 287,628,966 +4,734,424 $14,234,758
     VZ287,628,966+4,734,424$14,234,758
VISA INC 128,011,161 +990,760 $13,471,895
     V128,011,161+990,760$13,471,895
CITIGROUP INC 184,165,462 +858,899 $13,396,195
     C184,165,462+858,899$13,396,195
HOME DEPOT INC 80,562,682 +145,372 $13,176,833
     HD80,562,682+145,372$13,176,833
INTEL CORP 338,648,682 +5,148,609 $12,895,743
     INTC338,648,682+5,148,609$12,895,743
UNITEDHEALTH GROUP INC 65,802,378 +1,223,760 $12,887,396
     UNH65,802,378+1,223,760$12,887,396
PEPSICO INC 113,799,132 +1,715,381 $12,680,637
     PEP113,799,132+1,715,381$12,680,637
MERCK & CO INC 197,072,780 +2,928,463 $12,618,570
     MRK197,072,780+2,928,463$12,618,570
PHILIP MORRIS INTL INC 113,435,495 +1,960,321 $12,592,475
     PM113,435,495+1,960,321$12,592,475
COCA COLA CO 279,636,254 +4,415,236 $12,586,429
     KO279,636,254+4,415,236$12,586,429
COMCAST CORP NEW 320,059,040 +3,213,074 $12,315,871
     CMCSA320,059,040+3,213,074$12,315,871
CISCO SYS INC 357,896,367 +5,775,673 $12,036,056
     CSCO357,896,367+5,775,673$12,036,056
DOWDUPONT INC 170,154,435 +170,154,435 $11,779,792
     DWDP170,154,435+170,154,435$11,779,792
ABBVIE INC 117,946,653 +2,025,980 $10,480,740
     ABBV117,946,653+2,025,980$10,480,740
BOEING CO 40,375,884 -36,822 $10,263,954
     BA40,375,884-36,822$10,263,954
ORACLE CORP 210,919,120 +4,477,244 $10,197,940
     ORCL210,919,120+4,477,244$10,197,940
DISNEY WALT CO 102,160,555 +3,357,506 $10,069,966
     DIS102,160,555+3,357,506$10,069,966
3M CO 47,877,787 +842,061 $10,049,547
     MMM47,877,787+842,061$10,049,547
AMGEN INC 52,511,198 +364,263 $9,790,712
     AMGN52,511,198+364,263$9,790,712
MASTERCARD INCORPORATED 66,013,793 +716,486 $9,321,147
     MA66,013,793+716,486$9,321,147
INTERNATIONAL BUSINESS MACHS 63,307,360 +1,079,320 $9,184,632
     IBM63,307,360+1,079,320$9,184,632
MCDONALDS CORP 57,906,441 +605,755 $9,072,782
     MCD57,906,441+605,755$9,072,782
ALTRIA GROUP INC 137,351,779 +1,328,418 $8,710,849
     MO137,351,779+1,328,418$8,710,849
WAL MART STORES INC 105,968,551 +294,897 $8,280,383
     WMT105,968,551+294,897$8,280,383
MEDTRONIC PLC 105,487,022 +710,986 $8,203,726
     MDT105,487,022+710,986$8,203,726
CELGENE CORP 54,511,143 +983,933 $7,948,815
     CELG54,511,143+983,933$7,948,815
BRISTOL MYERS SQUIBB CO 121,788,969 +3,127,279 $7,762,830
     BMY121,788,969+3,127,279$7,762,830
GILEAD SCIENCES INC 94,527,796 +1,685,836 $7,658,643
     GILD94,527,796+1,685,836$7,658,643
TEXAS INSTRS INC 82,140,216 +810,066 $7,363,049
     TXN82,140,216+810,066$7,363,049
SIMON PPTY GROUP INC NEW 45,345,622 -395,954 $7,301,098
     SPG45,345,622-395,954$7,301,098
HONEYWELL INTL INC 50,792,138 +1,079,125 $7,199,277
     HON50,792,138+1,079,125$7,199,277
UNION PAC CORP 61,949,079 +443,371 $7,184,234
     UNP61,949,079+443,371$7,184,234
NVIDIA CORP 40,011,804 -245,383 $7,152,910
     NVDA40,011,804-245,383$7,152,910

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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