Holdings Channel
Size ($ in 1000's)
At 06/30/2015: $1,479,345,105
At 03/31/2015: $1,474,456,280

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  06/30/2015

   EntityAmountChange
 03/31/2015 to 06/30/2015
Position Size
($ in 1000's)
APPLE INC 327,508,974 +542,967 $41,077,813
     AAPL327,508,974+542,967$41,077,813
EXXON MOBIL CORP 254,198,890 +2,629,231 $21,149,349
     XOM254,198,890+2,629,231$21,149,349
MICROSOFT CORP 463,803,325 -645,537 $20,476,917
     MSFT463,803,325-645,537$20,476,917
JOHNSON & JOHNSON 169,928,015 +1,032,227 $16,561,185
     JNJ169,928,015+1,032,227$16,561,185
GENERAL ELECTRIC CO 566,382,979 +5,042,546 $15,048,797
     GE566,382,979+5,042,546$15,048,797
WELLS FARGO & CO NEW 267,398,525 -9,187,256 $15,038,493
     WFC267,398,525-9,187,256$15,038,493
JPMORGAN CHASE & CO 211,430,731 +2,069,893 $14,326,547
     JPM211,430,731+2,069,893$14,326,547
BERKSHIRE HATHAWAY INC DEL      $13,208,276
     BRK.B91,820,228+1,186,864$12,497,652
     BRK.A3,469-18$710,624
PROCTER & GAMBLE CO 166,032,526 +1,926,178 $12,990,384
     PG166,032,526+1,926,178$12,990,384
PFIZER INC 354,387,553 +1,661,238 $11,882,615
     PFE354,387,553+1,661,238$11,882,615
CHEVRON CORP NEW 113,490,816 +1,456,517 $10,948,459
     CVX113,490,816+1,456,517$10,948,459
VERIZON COMMUNICATIONS INC 232,067,599 +505,046 $10,816,670
     VZ232,067,599+505,046$10,816,670
AT&T INC 293,384,503 +2,580,749 $10,421,018
     T293,384,503+2,580,749$10,421,018
FACEBOOK INC 119,420,150 +2,119,344 $10,242,068
     FB119,420,150+2,119,344$10,242,068
COCA COLA CO 253,278,175 +2,551,879 $9,936,103
     KO253,278,175+2,551,879$9,936,103
DISNEY WALT CO 86,379,592 +779,457 $9,859,368
     DIS86,379,592+779,457$9,859,368
GILEAD SCIENCES INC 83,830,001 +126,641 $9,814,817
     GILD83,830,001+126,641$9,814,817
BANK AMER CORP 565,049,172 +6,668,481 $9,617,137
     BAC565,049,172+6,668,481$9,617,137
INTERNATIONAL BUSINESS MACHS 57,780,087 -2,168,825 $9,398,508
     IBM57,780,087-2,168,825$9,398,508
MERCK & CO INC NEW 163,925,505 +1,365,691 $9,332,279
     MRK163,925,505+1,365,691$9,332,279
AMAZON COM INC 20,903,353 +320,516 $9,073,936
     AMZN20,903,353+320,516$9,073,936
CITIGROUP INC 159,951,730 +2,470,182 $8,835,733
     C159,951,730+2,470,182$8,835,733
GOOGLE INC 16,279,196 +303,320 $8,791,416
     GOOGL16,279,196+303,320$8,791,416
PEPSICO INC 93,704,680 +550,385 $8,746,395
     PEP93,704,680+550,385$8,746,395
GOOGLE INC 16,428,312 +292,557 $8,551,101
     GOOG16,428,312+292,557$8,551,101
INTEL CORP 272,926,401 +3,054,019 $8,301,057
     INTC272,926,401+3,054,019$8,301,057
HOME DEPOT INC 72,935,037 -108,260 $8,105,271
     HD72,935,037-108,260$8,105,271
CISCO SYS INC 290,934,015 +2,556,984 $7,989,049
     CSCO290,934,015+2,556,984$7,989,049
COMCAST CORP NEW 128,104,015 -1,491,707 $7,704,176
     CMCSA128,104,015-1,491,707$7,704,176
ORACLE CORP 183,848,074 +1,306,799 $7,409,078
     ORCL183,848,074+1,306,799$7,409,078
VISA INC 110,181,317 +1,042,965 $7,398,675
     V110,181,317+1,042,965$7,398,675
PHILIP MORRIS INTL INC 89,977,891 +1,296,103 $7,213,527
     PM89,977,891+1,296,103$7,213,527
CVS HEALTH CORP 67,909,953 +671,875 $7,122,397
     CVS67,909,953+671,875$7,122,397
SIMON PPTY GROUP INC NEW 40,579,884 -1,330,527 $7,021,132
     SPG40,579,884-1,330,527$7,021,132
WAL MART STORES INC 98,575,390 -3,473,275 $6,991,952
     WMT98,575,390-3,473,275$6,991,952
ABBVIE INC 101,010,299 +8,592,962 $6,786,882
     ABBV101,010,299+8,592,962$6,786,882
ALLERGAN PLC 22,182,589 +22,182,589 $6,731,529
     AGN22,182,589+22,182,589$6,731,529
AMGEN INC 43,383,141 +772,602 $6,660,180
     AMGN43,383,141+772,602$6,660,180
QUALCOMM INC 105,389,968 -181,383 $6,600,574
     QCOM105,389,968-181,383$6,600,574
SCHLUMBERGER LTD 76,115,694 +1,016,545 $6,560,411
     SLB76,115,694+1,016,545$6,560,411
BRISTOL MYERS SQUIBB CO 97,217,842 +2,599,931 $6,468,875
     BMY97,217,842+2,599,931$6,468,875
UNITEDHEALTH GROUP INC 52,645,962 +795,235 $6,422,807
     UNH52,645,962+795,235$6,422,807
MEDTRONIC PLC 86,340,546 +863,771 $6,397,835
     MDT86,340,546+863,771$6,397,835
3M CO 40,962,737 +393,462 $6,320,551
     MMM40,962,737+393,462$6,320,551
UNITED TECHNOLOGIES CORP 50,207,736 +26,238 $5,569,544
     UTX50,207,736+26,238$5,569,544
ALTRIA GROUP INC 112,429,324 +1,153,403 $5,498,918
     MO112,429,324+1,153,403$5,498,918
BIOGEN INC 13,381,395 +239,059 $5,405,281
     BIIB13,381,395+239,059$5,405,281
MASTERCARD INC 56,149,183 +524,451 $5,248,826
     MA56,149,183+524,451$5,248,826
MCDONALDS CORP 55,209,814 +447,042 $5,248,796
     MCD55,209,814+447,042$5,248,796
CELGENE CORP 45,100,946 +336,699 $5,219,757
     CELG45,100,946+336,699$5,219,757

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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