Vanguard Specialized Funds - Vanguard Dividend Appreciation ETF

ARCA-VIG

ARCA:VIG

Top 20 Holdings out of 317

Ticker
Company
% Portfolio
Market Value
Shares
Chg. Shares %
Chg. Shares
% Owned
Broadcom Inc. Website

AVGO

Broadcom Inc.

4.8%$5.04B25.7M

0.5%

123.5K0.5%
Apple Inc. Website

AAPL

Apple Inc.

4.5%$4.72B21.4M

0.5%

102.7K0.1%
JPMorgan Chase & Co. Website

JPM

JPMorgan Chase & Co.

3.7%$3.82B15.5M

0.5%

75.5K0.6%
Microsoft Corporation Website

MSFT

Microsoft Corporation

3.5%$3.64B9.1M

0.5%

43.8K0.1%
Visa Inc. Website

V

Visa Inc.

3.1%$3.20B9.2M

0.5%

45.6K0.5%
Exxon Mobil Corporation Website

XOM

Exxon Mobil Corporation

2.8%$2.92B24.4M

0.5%

119.4K0.6%
UnitedHealth Group Incorporated Website

UNH

UnitedHealth Group Incorporated

2.6%$2.67B5.1M

0.5%

24.2K0.6%
Mastercard Incorporated Website

MA

Mastercard Incorporated

2.4%$2.51B4.5M

0.5%

21.4K0.5%
Costco Wholesale Corporation Website

COST

Costco Wholesale Corporation

2.2%$2.25B2.4M

0.5%

11.9K0.5%
The Procter & Gamble Company Website

PG

The Procter & Gamble Company

2.2%$2.25B13.0M

0.5%

58.2K0.6%
Johnson & Johnson Website

JNJ

Johnson & Johnson

2.1%$2.23B13.3M

0.5%

61.8K0.6%
AbbVie Inc. Website

ABBV

AbbVie Inc.

2.0%$2.12B9.7M

0.5%

46.1K0.6%
Walmart Inc. Website

WMT

Walmart Inc.

2.0%$2.11B23.9M

0.5%

112.7K0.3%
The Home Depot, Inc. Website

HD

The Home Depot, Inc.

1.9%$2.02B5.5M

0.5%

26.9K0.6%
Bank of America Corporation Website

BAC

Bank of America Corporation

1.5%$1.61B36.8M

0.5%

179.9K0.5%
The Coca-Cola Company Website

KO

The Coca-Cola Company

1.5%$1.54B21.4M

0.5%

104.0K0.5%
Oracle Corporation Website

ORCL

Oracle Corporation

1.3%$1.39B8.8M

0.5%

43.4K0.3%
Cisco Systems, Inc. Website

CSCO

Cisco Systems, Inc.

1.3%$1.37B21.9M

0.5%

107.2K0.6%
International Business Machines Corporation Website

IBM

International Business Machines Corporation

1.2%$1.28B5.1M

0.5%

24.9K0.5%
Abbott Laboratories Website

ABT

Abbott Laboratories

1.2%$1.24B9.6M

0.5%

46.1K0.6%