Holdings Channel
Size ($ in 1000's)
At 06/30/2016: $1,610,198,961
At 03/31/2016: $1,543,503,172

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  06/30/2016

   EntityAmountChange
 03/31/2016 to 06/30/2016
Position Size
($ in 1000's)
APPLE INC 331,395,817 +1,408,642 $31,681,440
     AAPL331,395,817+1,408,642$31,681,440
MICROSOFT CORP 504,208,409 +8,371,988 $25,800,344
     MSFT504,208,409+8,371,988$25,800,344
EXXON MOBIL CORP 274,326,721 +6,897,006 $25,715,387
     XOM274,326,721+6,897,006$25,715,387
JOHNSON & JOHNSON 184,512,652 +3,924,090 $22,381,384
     JNJ184,512,652+3,924,090$22,381,384
GENERAL ELECTRIC CO 575,093,558 +3,276,096 $18,103,945
     GE575,093,558+575,093,558$18,103,945
AMAZON COM INC 23,795,875 +1,082,051 $17,028,804
     AMZN23,795,875+1,082,051$17,028,804
AT&T INC 384,136,905 +9,838,198 $16,598,555
     T384,136,905+9,838,198$16,598,555
BERKSHIRE HATHAWAY INC DEL      $15,964,840
     BRK.B105,006,623+2,334,819$15,203,909
     BRK.A3,507-28$760,931
FACEBOOK INC 139,483,685 +3,400,653 $15,940,195
     FB139,483,685+3,400,653$15,940,195
VERIZON COMMUNICATIONS INC 256,735,733 +6,630,874 $14,336,123
     VZ256,735,733+6,630,874$14,336,123
JPMORGAN CHASE & CO 229,636,598 +4,692,609 $14,269,618
     JPM229,636,598+4,692,609$14,269,618
PROCTER & GAMBLE CO 167,926,302 +3,029,476 $14,218,321
     PG167,926,302+3,029,476$14,218,321
WELLS FARGO & CO NEW 288,028,042 +6,247,583 $13,632,368
     WFC288,028,042+6,247,583$13,632,368
PFIZER INC 383,339,513 +6,193,821 $13,497,386
     PFE383,339,513+6,193,821$13,497,386
CHEVRON CORP NEW 124,845,759 +2,824,724 $13,087,581
     CVX124,845,759+2,824,724$13,087,581
ALPHABET INC 18,198,649 +375,941 $12,803,295
     GOOGL18,198,649+375,941$12,803,295
ALPHABET INC 18,237,076 +221,141 $12,621,879
     GOOG18,237,076+221,141$12,621,879
COCA COLA CO 273,897,295 +5,478,675 $12,415,764
     KO273,897,295+5,478,675$12,415,764
PEPSICO INC 100,515,744 +2,290,350 $10,648,637
     PEP100,515,744+2,290,350$10,648,637
PHILIP MORRIS INTL INC 99,323,022 +2,501,571 $10,103,138
     PM99,323,022+2,501,571$10,103,138
MERCK & CO INC 174,819,694 +3,242,254 $10,071,362
     MRK174,819,694+3,242,254$10,071,362
INTEL CORP 299,534,545 +5,697,051 $9,824,733
     INTC299,534,545+5,697,051$9,824,733
HOME DEPOT INC 75,511,076 -112,612 $9,642,008
     HD75,511,076-112,612$9,642,008
COMCAST CORP NEW 145,614,334 +1,297,292 $9,492,598
     CMCSA145,614,334+1,297,292$9,492,598
SIMON PPTY GROUP INC NEW 43,418,797 +923,572 $9,417,537
     SPG43,418,797+923,572$9,417,537
CISCO SYS INC 317,302,573 +6,634,140 $9,103,410
     CSCO317,302,573+6,634,140$9,103,410
DISNEY WALT CO 89,587,720 +633,253 $8,763,471
     DIS89,587,720+633,253$8,763,471
VISA INC 118,024,396 +1,207,526 $8,753,870
     V118,024,396+1,207,526$8,753,870
ALTRIA GROUP INC 125,294,855 +3,366,581 $8,640,334
     MO125,294,855+3,366,581$8,640,334
INTERNATIONAL BUSINESS MACHS 55,476,336 +1,216,940 $8,420,198
     IBM55,476,336+1,216,940$8,420,198
MEDTRONIC PLC 95,677,703 +1,489,823 $8,301,954
     MDT95,677,703+1,489,823$8,301,954
BANK AMER CORP 610,454,858 +9,325,426 $8,100,737
     BAC610,454,858+9,325,426$8,100,737
UNITEDHEALTH GROUP INC 57,213,923 +1,123,084 $8,078,605
     UNH57,213,923+1,123,084$8,078,605
BRISTOL MYERS SQUIBB CO 109,554,831 +3,595,648 $8,057,758
     BMY109,554,831+3,595,648$8,057,758
ORACLE CORP 192,375,888 +812,821 $7,873,946
     ORCL192,375,888+812,821$7,873,946
CITIGROUP INC 175,049,494 +5,872,249 $7,420,348
     C175,049,494+5,872,249$7,420,348
MCDONALDS CORP 61,525,628 -141,512 $7,403,995
     MCD61,525,628-141,512$7,403,995
3M CO 42,183,048 +822,712 $7,387,096
     MMM42,183,048+822,712$7,387,096
AMGEN INC 46,679,076 +673,247 $7,102,222
     AMGN46,679,076+673,247$7,102,222
SCHLUMBERGER LTD 88,801,969 +10,096,266 $7,022,460
     SLB88,801,969+10,096,266$7,022,460
GILEAD SCIENCES INC 82,404,496 -1,298,325 $6,874,184
     GILD82,404,496-1,298,325$6,874,184
CVS HEALTH CORP 71,544,990 +15,979 $6,849,718
     CVS71,544,990+15,979$6,849,718
WAL MART STORES INC 93,205,099 -3,890,073 $6,805,837
     WMT93,205,099-3,890,073$6,805,837
ABBVIE INC 104,083,008 +998,196 $6,443,780
     ABBV104,083,008+998,196$6,443,780
ALLERGAN PLC 24,362,503 +445,456 $5,629,931
     AGN24,362,503+445,456$5,629,931
UNITED TECHNOLOGIES CORP 51,710,590 +2,049,777 $5,302,921
     UTX51,710,590+2,049,777$5,302,921
PUBLIC STORAGE 20,714,449 +470,163 $5,294,405
     PSA20,714,449+470,163$5,294,405
MASTERCARD INC 59,998,942 +391,517 $5,283,508
     MA59,998,942+391,517$5,283,508
HONEYWELL INTL INC 44,675,101 +1,587,804 $5,196,607
     HON44,675,101+1,587,804$5,196,607
QUALCOMM INC 94,379,623 -261,803 $5,055,916
     QCOM94,379,623-261,803$5,055,916

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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