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Institutional Investment Manager
VANGUARD GROUP INC
VANGUARD GROUP INC (CIK: 0000102909) incorporated in Pennsylvania, located at 100 Vanguard Blvd, Malvern, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 4,079 holdings with a total value of $1,792,632,770,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 APPLE INC 337,545,664 39,094,539,000 2.18%
2 MICROSOFT CORP 525,395,707 32,648,090,000 1.82%
3 EXXON MOBIL CORP 288,676,155 26,055,910,000 1.45%
4 JOHNSON & JOHNSON 191,188,744 22,026,854,000 1.23%
5 JPMORGAN CHASE & CO 237,846,805 20,523,801,000 1.14%
6 AMAZON COM INC 25,136,813 18,849,341,000 1.05%
7 GENERAL ELECTRIC CO 581,182,624 18,365,371,000 1.02%
8 BERKSHIRE HATHAWAY INC DEL 111,893,952 18,236,476,000 1.02%
9 FACEBOOK INC 151,218,766 17,397,718,000 0.97%
10 AT&T INC 402,773,306 17,129,948,000 0.96%
11 WELLS FARGO & CO NEW 300,638,322 16,568,178,000 0.92%
12 CHEVRON CORP NEW 131,073,154 15,427,310,000 0.86%
13 ALPHABET INC 19,220,599 15,231,364,000 0.85%
14 PROCTER AND GAMBLE CO 177,383,781 14,914,428,000 0.83%
15 ALPHABET INC 19,096,014 14,738,686,000 0.82%
16 VERIZON COMMUNICATIONS INC 268,939,405 14,355,985,000 0.80%
17 BANK AMER CORP 632,860,999 13,986,228,000 0.78%
18 PFIZER INC 402,108,792 13,060,494,000 0.73%
19 COCA COLA CO 285,883,494 11,852,730,000 0.66%
20 INTEL CORP 315,121,111 11,429,442,000 0.64%
21 PEPSICO INC 106,089,173 11,100,110,000 0.62%
22 MERCK & CO INC 184,729,642 10,875,035,000 0.61%
23 CITIGROUP INC 178,807,594 10,626,535,000 0.59%
24 COMCAST CORP NEW 149,947,297 10,353,861,000 0.58%
25 HOME DEPOT INC 77,162,511 10,345,949,000 0.58%
26 CISCO SYS INC 333,734,544 10,085,457,000 0.56%
27 UNITEDHEALTH GROUP INC 60,211,766 9,636,290,000 0.54%
28 INTERNATIONAL BUSINESS MACHS 57,862,237 9,604,553,000 0.54%
29 PHILIP MORRIS INTL INC 104,668,333 9,576,105,000 0.53%
30 DISNEY WALT CO 91,799,526 9,567,346,000 0.53%
31 VISA INC 120,956,278 9,437,008,000 0.53%
32 ALTRIA GROUP INC 129,529,993 8,758,818,000 0.49%
33 SIMON PROPERTY GROUP 44,558,083 7,916,635,000 0.44%
34 3M CO 43,987,411 7,854,833,000 0.44%
35 SCHLUMBERGER LTD 92,926,568 7,801,186,000 0.44%
36 ORACLE CORP 194,453,266 7,476,728,000 0.42%
37 MCDONALDS CORP 61,310,856 7,462,758,000 0.42%
38 WAL-MART STORES INC 102,036,399 7,052,757,000 0.39%
39 AMGEN INC 48,096,649 7,032,211,000 0.39%
40 MEDTRONIC PLC 97,909,120 6,974,066,000 0.39%
41 ABBVIE INC 109,536,763 6,859,192,000 0.38%
42 BRISTOL MYERS SQUIBB CO 114,811,204 6,709,567,000 0.37%
43 QUALCOMM INC 99,709,635 6,501,069,000 0.36%
44 MASTERCARD INCORPORATED 61,992,924 6,400,769,000 0.36%
45 GILEAD SCIENCES INC 84,495,902 6,050,751,000 0.34%
46 BOEING CO 38,801,412 6,040,604,000 0.34%
47 CVS HEALTH CORP 74,381,078 5,869,410,000 0.33%
48 CELGENE CORP 49,849,549 5,770,085,000 0.32%
49 UNITED TECHNOLOGIES CORP 52,271,957 5,730,052,000 0.32%
50 TEXAS INSTRS INC 76,095,137 5,552,663,000 0.31%
Page 1 of 82

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-17-002379, filed 2017.02.14).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.