StockScan > Holders > Vanguard Group

Vanguard Group's Portfolio and 13F Filing

Value: $2.91T
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 $139.50 1,264,936,543

1,264,936,543

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$176,452,323,066 6.06%
2 Microsoft Corporation MSFT $233.21 610,974,647

610,974,647

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$142,485,397,427 4.89%
3 General Electric Company GE $64.22 656,629,072

656,629,072

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$42,168,719,004 1.45%
4 UnitedHealth Group Incorporated UNH $501.25 78,566,857

78,566,857

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$39,381,637,071 1.35%
5 Johnson & Johnson JNJ $159.49 231,432,368

231,432,368

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$36,911,148,372 1.27%
6 Berkshire Hathaway Inc BRK.B $267.58 134,610,539

134,610,539

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$36,019,088,026 1.24%
7 Exxon Mobil Corporation XOM $100.52 353,122,370

353,122,370

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$35,495,860,632 1.22%
8 JP Morgan Chase & Co. JPM $105.42 263,376,146

263,376,146

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$27,765,113,311 0.95%
9 The Procter Gamble Company PG $123.88 214,832,442

214,832,442

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$26,612,368,753 0.91%
10 The Home Depot Inc HD $282.47 92,843,016

92,843,016

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$26,225,366,730 0.90%
11 Visa Inc. V $182.53 143,191,304

143,191,304

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$26,136,708,719 0.90%
12 Chevron Corporation CVX $159.45 161,501,973

161,501,973

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$25,751,489,595 0.88%
13 Eli Lilly and Company LLY $325.00 68,969,548

68,969,548

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$22,414,758,252 0.77%
14 Mastercard Incorporated MA $293.29 70,099,379

70,099,379

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$20,559,096,370 0.71%
15 AbbVie Inc. ABBV $137.88 144,693,566

144,693,566

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$19,950,348,880 0.68%
16 Merck & Company, Inc. (new) MRK $87.24 225,553,790

225,553,790

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$19,677,312,640 0.68%
17 Pepsico, Inc. PEP $161.16 120,742,994

120,742,994

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$19,458,337,198 0.67%
18 Pfizer, Inc. PFE $41.95 456,203,630

456,203,630

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$19,137,742,279 0.66%
19 Bank of America Corporation BAC $30.60 622,744,096

622,744,096

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$19,055,969,338 0.65%
20 Coca-Cola Company (The) KO $54.31 343,527,606

343,527,606

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$18,655,266,644 0.64%