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Holdings Channel
Size ($ in 1000's)
At 03/31/2015: $1,474,456,280
At 12/31/2014: $1,388,485,575

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  03/31/2015

   EntityAmountChange
 12/31/2014 to 03/31/2015
Position Size
($ in 1000's)
APPLE INC 326,966,007 -5,273,556 $40,684,381
     AAPL326,966,007-5,273,556$40,684,381
EXXON MOBIL CORP 251,569,659 +1,771,043 $21,383,422
     XOM251,569,659+1,771,043$21,383,422
MICROSOFT CORP 464,448,862 +36,902,892 $18,882,168
     MSFT464,448,862+36,902,892$18,882,168
JOHNSON & JOHNSON 168,895,788 +5,032,716 $16,990,917
     JNJ168,895,788+5,032,716$16,990,917
WELLS FARGO & CO NEW 276,585,781 +7,864,410 $15,046,267
     WFC276,585,781+7,864,410$15,046,267
GENERAL ELECTRIC CO 561,340,433 +21,301,378 $13,926,858
     GE561,340,433+21,301,378$13,926,858
BERKSHIRE HATHAWAY INC DEL      $13,838,628
     BRK.B90,633,364+3,250,714$13,080,206
     BRK.A3,487UNCH$758,422
PROCTER & GAMBLE CO 164,106,348 +17,066,694 $13,446,874
     PG164,106,348+17,066,694$13,446,874
JPMORGAN CHASE & CO 209,360,838 +6,599,357 $12,683,080
     JPM209,360,838+6,599,357$12,683,080
PFIZER INC 352,726,315 +8,901,551 $12,271,348
     PFE352,726,315+8,901,551$12,271,348
CHEVRON CORP NEW 112,034,299 +5,526,187 $11,761,360
     CVX112,034,299+5,526,187$11,761,360
VERIZON COMMUNICATIONS INC 231,562,553 +7,715,136 $11,260,888
     VZ231,562,553+7,715,136$11,260,888
COCA COLA CO 250,726,296 +6,221,178 $10,166,952
     KO250,726,296+6,221,178$10,166,952
FACEBOOK INC 117,300,806 +4,422,651 $9,643,885
     FB117,300,806+4,422,651$9,643,885
INTERNATIONAL BUSINESS MACHS 59,948,912 +4,906,227 $9,621,800
     IBM59,948,912+4,906,227$9,621,800
AT&T INC 290,803,754 +10,270,056 $9,494,743
     T290,803,754+10,270,056$9,494,743
MERCK & CO INC NEW 162,559,814 +6,854,660 $9,343,938
     MRK162,559,814+6,854,660$9,343,938
DISNEY WALT CO 85,600,135 +3,140,091 $8,978,598
     DIS85,600,135+3,140,091$8,978,598
PEPSICO INC 93,154,295 +49,213 $8,907,414
     PEP93,154,295+49,213$8,907,414
GOOGLE INC 15,975,876 +576,259 $8,861,818
     GOOGL15,975,876+576,259$8,861,818
GOOGLE INC 16,135,755 +648,745 $8,842,393
     GOOG16,135,755+648,745$8,842,393
BANK AMER CORP 558,380,691 +19,214,408 $8,593,478
     BAC558,380,691+19,214,408$8,593,478
INTEL CORP 269,872,382 +4,330,872 $8,438,909
     INTC269,872,382+4,330,872$8,438,909
WAL MART STORES INC 102,048,665 +2,755,473 $8,393,503
     WMT102,048,665+2,755,473$8,393,503
HOME DEPOT INC 73,043,297 +2,403,679 $8,298,449
     HD73,043,297+2,403,679$8,298,449
GILEAD SCIENCES INC 83,703,360 +2,136,738 $8,213,809
     GILD83,703,360+2,136,738$8,213,809
SIMON PPTY GROUP INC NEW 41,910,411 +1,036,914 $8,199,352
     SPG41,910,411+1,036,914$8,199,352
CITIGROUP INC 157,481,548 +5,136,669 $8,113,450
     C157,481,548+5,136,669$8,113,450
CISCO SYS INC 288,377,031 +9,986,944 $7,937,577
     CSCO288,377,031+9,986,944$7,937,577
ORACLE CORP 182,541,275 +4,619,404 $7,876,656
     ORCL182,541,275+4,619,404$7,876,656
AMAZON COM INC 20,582,837 +774,716 $7,658,874
     AMZN20,582,837+774,716$7,658,874
QUALCOMM INC 105,571,351 +3,798,827 $7,320,318
     QCOM105,571,351+3,798,827$7,320,318
COMCAST CORP NEW 129,595,722 +3,951,553 $7,318,270
     CMCSA129,595,722+3,951,553$7,318,270
VISA INC 109,138,352 +82,634,082 $7,138,740
     V109,138,352+82,634,082$7,138,740
CVS HEALTH CORP 67,238,078 -817,733 $6,939,642
     CVS67,238,078-817,733$6,939,642
AMGEN INC 42,610,539 +1,692,531 $6,811,294
     AMGN42,610,539+1,692,531$6,811,294
3M CO 40,569,275 +584,548 $6,691,901
     MMM40,569,275+584,548$6,691,901
PHILIP MORRIS INTL INC 88,681,788 +2,664,434 $6,680,400
     PM88,681,788+2,664,434$6,680,400
MEDTRONIC PLC 85,476,775 +85,476,775 $6,666,334
     MDT85,476,775+85,476,775$6,666,334
ACTAVIS PLC 21,892,495 +7,657,380 $6,515,645
     ACT21,892,495+7,657,380$6,515,645
SCHLUMBERGER LTD 75,099,149 +3,509,306 $6,266,273
     SLB75,099,149+3,509,306$6,266,273
UNITEDHEALTH GROUP INC 51,850,727 +1,769,953 $6,133,422
     UNH51,850,727+1,769,953$6,133,422
BRISTOL MYERS SQUIBB CO 94,617,911 +3,295,051 $6,102,856
     BMY94,617,911+3,295,051$6,102,856
UNITED TECHNOLOGIES CORP 50,181,498 -322,580 $5,881,271
     UTX50,181,498-322,580$5,881,271
BOEING CO 37,109,253 +830,646 $5,569,356
     BA37,109,253+830,646$5,569,356
ALTRIA GROUP INC 111,275,921 +3,508,104 $5,566,023
     MO111,275,921+3,508,104$5,566,023
BIOGEN INC 13,142,336 +411,642 $5,549,219
     BIIB13,142,336+411,642$5,549,219
ABBVIE INC 92,417,337 +3,573,940 $5,410,111
     ABBV92,417,337+3,573,940$5,410,111
MCDONALDS CORP 54,762,772 +1,335,523 $5,336,085
     MCD54,762,772+1,335,523$5,336,085
UNION PAC CORP 48,852,451 +1,213,648 $5,291,209
     UNP48,852,451+1,213,648$5,291,209

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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