HoldingsChannel.com
Vanguard Group Inc. Top Holdings
As of  06/30/2023, below is a summary of the Vanguard Group Inc. top holdings by largest position size, as per the latest 13f filing made by Vanguard Group Inc.. In the Vanguard Group Inc.-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Vanguard Group Inc. in that top holding, then the share count change between reporting periods, and finally the Vanguard Group Inc. top holding position size for that row.

   EntityAmountChange
 03/31/2023 to 06/30/2023
Position Size
($ in 1000's)
APPLE INC 1,303,688,506 -6,190,382 $252,876,460
     AAPL1,303,688,506-6,190,382$252,876,460
MICROSOFT CORP 653,247,546 +3,703,243 $222,456,919
     MSFT653,247,546+3,703,243$222,456,919
AMAZON COM INC 725,913,766 +2,722,379 $94,630,119
     AMZN725,913,766+2,722,379$94,630,119
NVIDIA CORPORATION 201,392,728 -4,266,576 $85,193,152
     NVDA201,392,728-4,266,576$85,193,152
TESLA INC 222,486,933 +1,863,694 $58,240,404
     TSLA222,486,933+1,863,694$58,240,404
ALPHABET INC 486,133,391 -741,828 $58,190,167
     GOOGL486,133,391-741,828$58,190,167
META PLATFORMS INC 181,511,614 +602,310 $52,090,203
     META181,511,614+602,310$52,090,203
ALPHABET INC 413,428,897 -5,762,425 $50,012,494
     GOOG413,428,897-5,762,425$50,012,494
BERKSHIRE HATHAWAY INC DEL      $49,857,188
     BRK.B143,533,158+734,628$48,944,807
     BRK.A1,762+70$912,381
EXXON MOBIL CORP 388,243,477 -4,693,453 $41,639,113
     XOM388,243,477-4,693,453$41,639,113
JOHNSON & JOHNSON 247,478,826 +548,469 $40,962,695
     JNJ247,478,826+548,469$40,962,695
UNITEDHEALTH GROUP INC 83,897,141 -453,487 $40,324,322
     UNH83,897,141-453,487$40,324,322
JPMORGAN CHASE & CO 273,451,539 -1,922,011 $39,770,792
     JPM273,451,539-1,922,011$39,770,792
BROADCOM INC 40,531,455 +373,299 $35,158,200
     AVGO40,531,455+373,299$35,158,200
PROCTER AND GAMBLE CO 224,950,896 -502,737 $34,134,049
     PG224,950,896-502,737$34,134,049
VISA INC 141,523,414 -5,318,873 $33,608,980
     V141,523,414-5,318,873$33,608,980
LILLY ELI & CO 69,915,764 -81,618 $32,789,095
     LLY69,915,764-81,618$32,789,095
HOME DEPOT INC 94,584,177 -394,706 $29,381,629
     HD94,584,177-394,706$29,381,629
MASTERCARD INCORPORATED 74,582,325 -3,182,782 $29,333,228
     MA74,582,325-3,182,782$29,333,228
MERCK & CO INC 243,640,153 -304,970 $28,113,637
     MRK243,640,153-304,970$28,113,637
CHEVRON CORP NEW 161,466,295 +810,716 $25,406,722
     CVX161,466,295+810,716$25,406,722
PEPSICO INC 131,350,838 -33,241 $24,328,802
     PEP131,350,838-33,241$24,328,802
COCA COLA CO 369,884,918 -203,328 $22,274,470
     KO369,884,918-203,328$22,274,470
ABBVIE INC 159,297,266 -1,169,081 $21,462,121
     ABBV159,297,266-1,169,081$21,462,121
WALMART INC 136,463,094 +6,107,720 $21,449,269
     WMT136,463,094+6,107,720$21,449,269
COSTCO WHSL CORP NEW 39,777,180 +20,871 $21,415,238
     COST39,777,180+20,871$21,415,238
MCDONALDS CORP 68,187,418 -23,999 $20,347,807
     MCD68,187,418-23,999$20,347,807
CISCO SYS INC 383,925,514 +2,307,707 $19,864,306
     CSCO383,925,514+2,307,707$19,864,306
ADOBE SYSTEMS INCORPORATED 39,673,457 +451,605 $19,399,924
     ADBE39,673,457+451,605$19,399,924
PFIZER INC 508,094,084 -313,891 $18,636,891
     PFE508,094,084-313,891$18,636,891
ACCENTURE PLC IRELAND 58,249,484 +442,461 $17,974,626
     ACN58,249,484+442,461$17,974,626
SALESFORCE INC 83,198,887 +481,763 $17,576,597
     CRM83,198,887+481,763$17,576,597
BANK AMERICA CORP 609,510,482 -5,281,244 $17,486,856
     BAC609,510,482-5,281,244$17,486,856
THERMO FISHER SCIENTIFIC INC 32,580,120 -13,754 $16,998,678
     TMO32,580,120-13,754$16,998,678
ABBOTT LABS 155,737,276 +95,767 $16,978,478
     ABT155,737,276+95,767$16,978,478
LINDE PLC 43,954,621 -227,627 $16,750,227
     LIN43,954,621-227,627$16,750,227
ORACLE CORP 139,389,898 +1,288,953 $16,599,943
     ORCL139,389,898+1,288,953$16,599,943
COMCAST CORP NEW 390,360,150 -3,665,749 $16,219,464
     CMCSA390,360,150-3,665,749$16,219,464
NETFLIX INC 36,179,028 +262,924 $15,936,500
     NFLX36,179,028+262,924$15,936,500
TEXAS INSTRS INC 88,403,348 +815,705 $15,914,371
     TXN88,403,348+815,705$15,914,371
ADVANCED MICRO DEVICES INC 138,901,209 +1,208,119 $15,822,237
     AMD138,901,209+1,208,119$15,822,237
PROLOGIS INC. 120,042,838 -2,301,600 $14,720,853
     PLD120,042,838-2,301,600$14,720,853
NEXTERA ENERGY INC 196,474,019 +2,058,660 $14,578,372
     NEE196,474,019+2,058,660$14,578,372
WELLS FARGO CO NEW 330,547,688 -4,895,600 $14,107,775
     WFC330,547,688-4,895,600$14,107,775
DANAHER CORPORATION 55,917,419 +808,915 $13,420,181
     DHR55,917,419+808,915$13,420,181
DISNEY WALT CO 148,893,179 +739,440 $13,293,183
     DIS148,893,179+739,440$13,293,183
PHILIP MORRIS INTL INC 135,852,587 +319,733 $13,261,930
     PM135,852,587+319,733$13,261,930
QUALCOMM INC 110,233,998 +396,959 $13,122,255
     QCOM110,233,998+396,959$13,122,255
VERIZON COMMUNICATIONS INC 350,694,658 +1,878,264 $13,042,334
     VZ350,694,658+1,878,264$13,042,334
BRISTOL MYERS SQUIBB CO 203,744,282 -852,219 $13,029,447
     BMY203,744,282-852,219$13,029,447

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.

Size ($ in 1000's)
At 06/30/2023: $4,217,440,392
At 03/31/2023: $3,931,971,011

Combined Holding Report Includes:
VANGUARD GROUP INC
Vanguard Personalized Indexing Management LLC
VANGUARD FIDUCIARY TRUST CO
Vanguard Investments Australia Ltd.
VANGUARD ADVISERS INC
Vanguard Global Advisers LLC
Vanguard National Trust Co

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 13F Filings | www.HoldingsChannel.com

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