VIG
Vanguard Dividend Appreciation ETFVanguardDividendHoldings as of Jul 31, 2026StaleSource: Vanguard
These holdings are from Jul 31, 2026, more than 45 days old: this fund's source has not published newer holdings. Weights and share counts will have moved since.
Positions
333
333 identified
Top 10 weight
33.4%
of the fund
Concentration (HHI)
175
0 to 10,000; higher is more concentrated
Identified weight
99.6%
of net assets, with a usable identifier
Sector Allocation
Percent of the fund, for holdings that are companies we cover. 4.2% of the reported weight is not classified (holdings outside our coverage, cash and futures).
Top 10 holdings
- 4.63%
- 4.45%
- 4.34%
- 4.07%
- 3.93%
- 2.78%
- 2.67%
- 2.45%
- 2.11%
- 2.00%
Holdings333 positions
| # | |||||
|---|---|---|---|---|---|
| 1 | AVGO | Broadcom Inc. | 4.63% | 15,566,653 | $6.1B |
| 2 | AAPL | Apple Inc. | 4.45% | 18,862,838 | $5.8B |
| 3 | MSFT | Microsoft Corp. | 4.34% | 12,220,245 | $5.7B |
| 4 | JPM | JPMorgan Chase & Co. | 4.07% | 15,160,531 | $5.3B |
| 5 | LLY | Eli Lilly & Co. | 3.93% | 4,475,796 | $5.1B |
| 6 | XOM | ExxonMobil Holdings Corp. | 2.78% | 23,451,892 | $3.6B |
| 7 | JNJ | Johnson & Johnson | 2.67% | 13,619,903 | $3.5B |
| 8 | V | Visa Inc. Class A | 2.45% | 8,745,550 | $3.2B |
| 9 | WMT | Walmart Inc. | 2.11% | 24,804,699 | $2.8B |
| 10 | MA | Mastercard Inc. Class A | 2.00% | 4,565,250 | $2.6B |
| 11 | CSCO | Cisco Systems Inc. | 1.98% | 22,348,281 | $2.6B |
| 12 | ABBV | AbbVie Inc. | 1.92% | 9,996,424 | $2.5B |
| 13 | COST | Costco Wholesale Corp. | 1.83% | 2,510,169 | $2.4B |
| 14 | BAC | Bank of America Corp. | 1.75% | 36,939,952 | $2.3B |
| 15 | UNH | UnitedHealth Group Inc. | 1.63% | 5,138,234 | $2.1B |
| 16 | CAT | Caterpillar Inc. | 1.62% | 2,606,004 | $2.1B |
| 17 | LRCX | Lam Research Corp. | 1.58% | 7,075,661 | $2.1B |
| 18 | KO | Coca-Cola Co. | 1.47% | 21,908,953 | $1.9B |
| 19 | PG | Procter & Gamble Co. | 1.45% | 13,175,110 | $1.9B |
| 20 | HD | Home Depot Inc. | 1.43% | 5,635,483 | $1.9B |
| 21 | MRK | Merck & Co. Inc. | 1.39% | 13,974,148 | $1.8B |
| 22 | GS | Goldman Sachs Group Inc. | 1.24% | 1,587,953 | $1.6B |
| 23 | MS | Morgan Stanley | 1.09% | 6,782,381 | $1.4B |
| 24 | TXN | Texas Instruments Inc. | 1.08% | 5,149,253 | $1.4B |
| 25 | KLAC | KLA Corp. | 1.03% | 7,390,866 | $1.4B |
| 26 | LIN | Linde plc | 0.96% | 2,615,941 | $1.3B |
| 27 | ORCL | Oracle Corp. | 0.95% | 9,600,785 | $1.2B |
| 28 | IBM | International Business Machines Corp. | 0.91% | 5,317,817 | $1.2B |
| 29 | AMGN | Amgen Inc. | 0.90% | 3,053,644 | $1.2B |
| 30 | APH | Amphenol Corp. Class A | 0.85% | 6,960,596 | $1.1B |
| 31 | MCD | McDonald's Corp. | 0.83% | 4,020,007 | $1.1B |
| 32 | PEP | PepsiCo Inc. | 0.82% | 7,733,128 | $1.1B |
| 33 | ABT | Abbott Laboratories | 0.80% | 9,855,078 | $1.0B |
| 34 | ADI | Analog Devices Inc. | 0.78% | 2,762,229 | $1.0B |
| 35 | NEE | NextEra Energy Inc. | 0.78% | 11,798,735 | $1.0B |
| 36 | UNP | Union Pacific Corp. | 0.75% | 3,359,190 | $981.3M |
| 37 | ETN | Eaton Corp. plc | 0.70% | 2,196,975 | $912.2M |
| 38 | GILD | Gilead Sciences Inc. | 0.70% | 7,024,740 | $914.7M |
| 39 | BLK | Blackrock Inc. | 0.68% | 816,820 | $890.7M |
| 40 | QCOM | QUALCOMM Inc. | 0.67% | 5,963,470 | $880.3M |
| 41 | CB | Chubb Ltd. | 0.55% | 2,040,872 | $715.7M |
| 42 | SPGI | S&P Global Inc. | 0.54% | 1,715,485 | $706.7M |
| 43 | DHR | Danaher Corp. | 0.53% | 3,564,034 | $694.9M |
| 44 | SBUX | Starbucks Corp. | 0.52% | 6,448,365 | $678.7M |
| 45 | LMT | Lockheed Martin Corp. | 0.51% | 1,147,972 | $669.0M |
| 46 | LOW | Lowe's Cos. Inc. | 0.50% | 3,168,810 | $658.5M |
| 47 | SYK | Stryker Corp. | 0.49% | 1,952,131 | $635.8M |
| 48 | MDT | Medtronic plc | 0.47% | 7,264,159 | $620.3M |
| 49 | ADP | Automatic Data Processing Inc. | 0.46% | 2,261,663 | $602.6M |
| 50 | BNY | Bank of New York Mellon Corp. | 0.46% | 3,883,487 | $607.1M |
Showing 50 of 333 positions (the largest 100 are loaded).
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