HoldingsChannel.com
Vanguard Group Inc. Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
MICROSOFT CORP 613,005,516 +7,724,483 $82,118,218
     MSFT613,005,516+7,724,483$82,118,218
APPLE INC 335,113,666 -3,394,531 $66,325,697
     AAPL335,113,666-3,394,531$66,325,697
AMAZON COM INC 31,312,832 +387,740 $59,294,918
     AMZN31,312,832+387,740$59,294,918
FACEBOOK INC 180,682,575 +3,465,756 $34,871,738
     FB180,682,575+3,465,756$34,871,738
JOHNSON & JOHNSON 225,158,988 +1,627,370 $31,360,143
     JNJ225,158,988+1,627,370$31,360,143
BERKSHIRE HATHAWAY INC DEL      $30,526,701
     BRK.B139,274,396+997,774$29,689,123
     BRK.A2,631-63$837,578
JPMORGAN CHASE & CO 252,550,479 -8,614,426 $28,235,144
     JPM252,550,479-8,614,426$28,235,144
EXXON MOBIL CORP 347,643,903 +2,953,857 $26,639,953
     XOM347,643,903+2,953,857$26,639,953
VISA INC 146,976,797 +1,615,505 $25,507,824
     V146,976,797+1,615,505$25,507,824
ALPHABET INC 22,708,312 +259,979 $24,545,641
     GOOG22,708,312+259,979$24,545,641
ALPHABET INC 22,536,432 +302,354 $24,402,449
     GOOGL22,536,432+302,354$24,402,449
PROCTER AND GAMBLE CO 218,459,217 +3,786,962 $23,954,054
     PG218,459,217+3,786,962$23,954,054
CHEVRON CORP NEW 157,513,617 +1,572,940 $19,600,995
     CVX157,513,617+1,572,940$19,600,995
PFIZER INC 445,149,343 -4,845,127 $19,283,870
     PFE445,149,343-4,845,127$19,283,870
CISCO SYS INC 350,465,831 -3,511,049 $19,180,994
     CSCO350,465,831-3,511,049$19,180,994
BANK AMER CORP 655,150,889 -5,126,520 $18,999,376
     BAC655,150,889-5,126,520$18,999,376
AT&T INC 563,398,685 +6,744,699 $18,879,489
     T563,398,685+6,744,699$18,879,489
MASTERCARD INC 71,012,814 +367,442 $18,785,021
     MA71,012,814+367,442$18,785,021
VERIZON COMMUNICATIONS INC 324,299,254 +4,562,510 $18,527,217
     VZ324,299,254+4,562,510$18,527,217
DISNEY WALT CO 131,103,772 +4,142,604 $18,307,330
     DIS131,103,772+4,142,604$18,307,330
MERCK & CO INC 209,505,775 +1,694,360 $17,567,058
     MRK209,505,775+1,694,360$17,567,058
INTEL CORP 363,624,758 +2,219,241 $17,406,717
     INTC363,624,758+2,219,241$17,406,717
HOME DEPOT INC 83,324,407 -982,841 $17,328,978
     HD83,324,407-982,841$17,328,978
UNITEDHEALTH GROUP INC 70,535,500 -1,892,425 $17,211,368
     UNH70,535,500-1,892,425$17,211,368
COMCAST CORP NEW 391,492,214 +7,792,136 $16,552,290
     CMCSA391,492,214+7,792,136$16,552,290
COCA COLA CO 308,293,644 +4,225,080 $15,698,312
     KO308,293,644+4,225,080$15,698,312
WELLS FARGO CO NEW 324,144,678 +36,496 $15,338,526
     WFC324,144,678+36,496$15,338,526
PEPSICO INC 114,097,547 +838,652 $14,961,613
     PEP114,097,547+838,652$14,961,613
BOEING CO 40,214,155 +275,250 $14,638,355
     BA40,214,155+275,250$14,638,355
WALMART INC 130,107,288 +920,813 $14,375,553
     WMT130,107,288+920,813$14,375,553
MCDONALDS CORP 66,926,245 +857,084 $13,897,903
     MCD66,926,245+857,084$13,897,903
CITIGROUP INC 183,611,098 -3,250,182 $12,858,285
     C183,611,098-3,250,182$12,858,285
ABBOTT LABS 148,332,948 +2,262,152 $12,474,801
     ABT148,332,948+2,262,152$12,474,801
NETFLIX INC 32,688,805 +1,118,349 $12,007,252
     NFLX32,688,805+1,118,349$12,007,252
AMERICAN TOWER CORP NEW 57,494,934 +248,968 $11,754,838
     AMT57,494,934+248,968$11,754,838
ADOBE INC 38,052,601 +504,241 $11,212,199
     ADBE38,052,601+504,241$11,212,199
MEDTRONIC PLC 112,334,285 +640,083 $10,940,236
     MDT112,334,285+640,083$10,940,236
ORACLE CORP 180,333,620 -12,219,522 $10,273,606
     ORCL180,333,620-12,219,522$10,273,606
ACCENTURE PLC IRELAND 55,373,798 +909,318 $10,231,417
     ACN55,373,798+909,318$10,231,417
PAYPAL HLDGS INC 89,109,876 +1,274,702 $10,199,516
     PYPL89,109,876+1,274,702$10,199,516
UNION PACIFIC CORP 59,824,760 -48,402 $10,116,964
     UNP59,824,760-48,402$10,116,964
INTERNATIONAL BUSINESS MACHS 71,871,784 -73,371 $9,911,119
     IBM71,871,784-73,371$9,911,119
TEXAS INSTRS INC 86,131,319 +599,958 $9,884,431
     TXN86,131,319+599,958$9,884,431
COSTCO WHSL CORP NEW 37,343,168 +508,650 $9,868,305
     COST37,343,168+508,650$9,868,305
PHILIP MORRIS INTL INC 125,492,442 +1,295,745 $9,854,922
     PM125,492,442+1,295,745$9,854,922
HONEYWELL INTL INC 54,098,206 +345,840 $9,445,005
     HON54,098,206+345,840$9,445,005
BROADCOM INC 31,797,832 +559,961 $9,153,324
     AVGO31,797,832+559,961$9,153,324
AMGEN INC 48,972,360 -420,293 $9,024,627
     AMGN48,972,360-420,293$9,024,627
THERMO FISHER SCIENTIFIC INC 30,670,985 +378,260 $9,007,455
     TMO30,670,985+378,260$9,007,455
LINDE PLC 44,772,473 -569,445 $8,990,312
     LIN44,772,473-569,445$8,990,312

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 06/30/2019: $2,657,985,145
At 03/31/2019: $2,549,073,227

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 13F Filings | www.HoldingsChannel.com

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