Vanguard Group Inc

Basic Stats

Market Value

5.53T

Top 10 (%)

26.2%

Portfolio Size (Change from Prev.)

4280 (-17)

Avg. Holding Period

38 years

Turnover

0.1%

Industry Breakdown

Services-prepackaged Software

8.9%

Semiconductors & Related Devices

7.6%

Services-computer Programming, Data Processing, Etc.

6.1%

Electronic Computers

5.7%

Pharmaceutical Preparations

4.8%

Services-business Services, Nec

3.8%

Real Estate Investment Trusts

3.6%

National Commercial Banks

3.2%

Retail-catalog & Mail-order Houses

2.9%

Fire, Marine & Casualty Insurance

2.8%

Ticker
Company
Market Value
% Portfolio
Shares
Chg. Shares %
Chg. Shares
Quarter End Price
% Owned
Apple Inc Website

AAPL

Apple Inc

311.16B5.6%1.4B

0.4%

5.0M222.009.3%
Microsoft Corp Website

MSFT

Microsoft Corp

259.54B4.7%691.4M

1.1%

7.3M375.009.3%
Nvidia Corporation Website

NVDA

Nvidia Corporation

237.68B4.3%2.2B

0.6%

13.6M108.009.0%
Amazon Com Inc Website

AMZN

Amazon Com Inc

158.35B2.9%832.3M

1.1%

8.9M190.007.8%
Meta Platforms Inc Website

META

Meta Platforms Inc

110.12B2.0%191.1M

-0.1%

-139.5K576.007.6%
Berkshire Hathaway Inc Del Website

BRK-B

Berkshire Hathaway Inc Del

80.21B1.5%150.6M

1.7%

2.6M533.007.0%
Broadcom Inc Website

AVGO

Broadcom Inc

79.90B1.4%477.2M

0.4%

2.1M167.0010.2%
Alphabet Inc Website

GOOGL

Alphabet Inc

78.84B1.4%509.8M

2.9%

14.3M155.004.2%
Jpmorgan Chase & Co. Website

JPM

Jpmorgan Chase & Co.

66.92B1.2%272.8M

0.2%

412.5K245.009.7%
Eli Lilly & Co Website

LLY

Eli Lilly & Co

65.43B1.2%79.2M

6.7%

5.0M826.008.8%
Alphabet Inc Website

GOOG

Alphabet Inc

64.30B1.2%411.6M

2.4%

9.7M156.003.4%
Tesla Inc Website

TSLA

Tesla Inc

63.98B1.2%246.9M

1.5%

3.7M259.007.7%
Visa Inc Website

V

Visa Inc

56.45B1.0%161.1M

1.1%

1.7M350.008.3%
Exxon Mobil Corp Website

XOM

Exxon Mobil Corp

51.13B0.9%429.9M

-0.3%

-1.4M119.009.6%
Unitedhealth Group Inc Website

UNH

Unitedhealth Group Inc

47.52B0.9%90.7M

6.6%

5.6M524.009.9%

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