StockScan > Holders > Vanguard Group

Vanguard Group's Portfolio and 13F Filing

Value: $3.33T
CIK: 0000102909
Phone: 610-669-8989
Address: Po Box 2600, Valley Forge, PA (19482-2600)
Latest 13F Filing:
Vanguard Group's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
1 Apple Inc. AAPL $151.73 1,264,936,543

1,264,936,543

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$191,928,821,669 5.77%
2 Microsoft Corporation MSFT $256.77 610,974,647

610,974,647

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$156,879,960,110 4.71%
3 General Electric Company GE $82.35 656,629,072

656,629,072

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$54,073,404,079 1.62%
4 Berkshire Hathaway Inc BRK.B $308.43 134,610,539

134,610,539

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$41,517,928,544 1.25%
5 Exxon Mobil Corporation XOM $111.73 353,122,370

353,122,370

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$39,454,362,400 1.19%
6 Johnson & Johnson JNJ $163.36 231,432,368

231,432,368

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$37,806,791,636 1.14%
7 JP Morgan Chase & Co. JPM $141.92 263,376,146

263,376,146

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$37,378,342,640 1.12%
8 UnitedHealth Group Incorporated UNH $475.24 78,566,857

78,566,857

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$37,338,113,121 1.12%
9 Visa Inc. V $229.44 143,191,304

143,191,304

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$32,853,812,790 0.99%
10 The Home Depot Inc HD $329.27 92,843,016

92,843,016

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$30,570,419,878 0.92%
11 The Procter Gamble Company PG $141.40 214,832,442

214,832,442

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$30,377,307,299 0.91%
12 Chevron Corporation CVX $169.64 161,501,973

161,501,973

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$27,397,194,700 0.82%
13 Mastercard Incorporated MA $372.97 70,099,379

70,099,379

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$26,144,965,386 0.79%
14 Merck & Company, Inc. (new) MRK $104.03 225,553,790

225,553,790

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$23,464,360,774 0.70%
15 Eli Lilly and Company LLY $337.66 68,969,548

68,969,548

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$23,288,257,578 0.70%
16 Bank of America Corporation BAC $36.37 622,744,096

622,744,096

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$22,649,202,772 0.68%
17 BROADCOM CORP COM USD1.00 AVGO $601.30 35,753,432

35,753,432

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$21,498,538,662 0.65%
18 AbbVie Inc. ABBV $145.02 144,693,566

144,693,566

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$20,983,460,941 0.63%
19 Pepsico, Inc. PEP $171.82 120,742,994

120,742,994

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$20,746,061,229 0.62%
20 Coca-Cola Company (The) KO $60.17 343,527,606

343,527,606

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$20,670,056,053 0.62%