Vanguard Group — Holdings Treemap

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Latest 13F portfolio (Vanguard-group): area = position value, color = quarter-over-quarter change: NEW ADD REDUCE HOLD

NVIDIA CORPORATION — $422.74B (7.62%) — ADD NVDA APPLE INC — $387.75B (6.99%) — ADD AAPL MICROSOFT CORP — $347.21B (6.26%) — ADD MSFT AMAZON COM INC — $195.14B (3.52%) — REDUCE BROADCOM INC — $167.06B (3.01%) — ADD ALPHABET INC — $165.57B (2.98%) — ADD ALPHABET INC — $132.11B (2.38%) — ADD META PLATFORMS INC. CLASS A — $132.02B (2.38%) — ADD TESLA INC — $116.44B (2.1%) — ADD ELI LILLY & CO — $88.09B (1.59%) — ADD JPMORGAN CHASE & CO — $85.63B (1.54%) — HOLD BERKSHIRE HATHAWAY INC DEL — $78.97B (1.42%) — ADD VISA INC — $56.46B (1.02%) — ADD EXXON MOBIL CORP — $51.72B (0.93%) — HOLD JOHNSON & JOHNSON — $49.74B (0.9%) — ADD WALMART INC — $49.02B (0.88%) — ADD MASTERCARD INCORPORATED — $45.61B (0.82%) — ADD ABBVIE INC — $41.31B (0.74%) — ADD PALANTIR TECHNOLOGIES INC — $38.30B (0.69%) — ADD COSTCO WHOLESALE CORPORATION — $37.62B (0.68%) — HOLD NETFLIX INC. — $36.57B (0.66%) — ADD BANK OF AMER CORP — $35.81B (0.65%) — ADD HOME DEPOT INC — $34.28B (0.62%) — ADD ORACLE CORP — $34.07B (0.61%) — ADD PROCTER & GAMBLE CO — $34.03B (0.61%) — ADD ADVANCED MICRO DEVICES INC — $33.95B (0.61%) — ADD CISCO SYS INC — $30.73B (0.55%) — ADD MICRON TECHNOLOGY INC — $30.43B (0.55%) — ADD UNITEDHEALTH GROUP INCORPORATED — $30.24B (0.55%) — ADD INTERNATIONAL BUSINESS MACHS — $28.80B (0.52%) — ADD GE AEROSPACE — $28.56B (0.51%) — ADD CHEVRON CORPORATION — $27.89B (0.5%) — HOLD WELLS FARGO & CO — $27.63B (0.5%) — REDUCE MERCK & CO INC — $26.77B (0.48%) — ADD CATERPILLAR INC — $26.57B (0.48%) — ADD COCA COLA CO — $26.20B (0.47%) — ADD GOLDMAN SACHS GROUP INC — $25.50B (0.46%) — ADD VANGUARD INDEX FDS — $24.50B (0.44%) — ADD SALESFORCE INC — $23.80B (0.43%) — HOLD PHILIP MORRIS INTL INC — $23.30B (0.42%) — ADD RTX CORPORATION — $22.92B (0.41%) — ADD LAM RESEARCH CORP — $22.46B (0.4%) — HOLD MCDONALDS CORP — $22.11B (0.4%) — ADD ABBOTT LABORATORIES — $22.00B (0.4%) — ADD MORGAN STANLEY — $21.25B (0.38%) — ADD VANGUARD TOTAL STOCK MKT ETF — $21.00B (0.38%) — ADD PEPSICO INC — $19.88B (0.36%) — ADD THERMO FISHER SCIENTIFIC INC — $19.78B (0.36%) — ADD APPLIED MATLS INC — $19.73B (0.36%) — HOLD QUALCOMM INC — $19.52B (0.35%) — ADD LINDE PLC — $19.17B (0.35%) — ADD INTUIT — $19.16B (0.35%) — ADD CITIGROUP INC — $19.05B (0.34%) — ADD INTUITIVE SURGICAL INC — $19.04B (0.34%) — HOLD DISNEY WALT CO — $18.13B (0.33%) — ADD AMGEN INC — $17.95B (0.32%) — ADD ACCENTURE PLC IRELAND — $17.73B (0.32%) — ADD NEXTERA ENERGY INC — $17.34B (0.31%) — ADD WELLTOWER INC — $17.15B (0.31%) — ADD AMPHENOL CORP — $17.10B (0.31%) — ADD AMERICAN EXPRESS CO — $17.06B (0.31%) — HOLD APPLOVIN CORP — $16.93B (0.31%) — ADD KLA CORP — $16.86B (0.3%) — HOLD TEXAS INSTRS INC — $16.75B (0.3%) — HOLD AT&T INC — $16.50B (0.3%) — ADD GE VERNOVA INC — $16.35B (0.29%) — ADD BOOKING HOLDINGS INC. — $16.06B (0.29%) — ADD S&P GLOBAL INC — $15.87B (0.29%) — HOLD TJX COS INC NEW — $15.78B (0.28%) — ADD PROLOGIS INC. — $15.74B (0.28%) — ADD UBER TECHNOLOGIES INC — $15.73B (0.28%) — ADD SERVICENOW INC — $15.62B (0.28%) — ADD VERIZON COMMUNICATIONS INC. — $15.45B (0.28%) — ADD BOEING CO — $15.41B (0.28%) — ADD BLACKROCK INC — $15.05B (0.27%) — ADD SCHWAB CHARLES CORP — $15.04B (0.27%) — REDUCE INTEL CORP — $14.93B (0.27%) — ADD GILEAD SCIENCES INC — $14.86B (0.27%) — ADD ADOBE INC — $14.45B (0.26%) — HOLD DANAHER CORP DEL — $13.96B (0.25%) — HOLD ANALOG DEVICES INC — $13.80B (0.25%) — ADD CAPITAL ONE FINL CORP — $13.79B (0.25%) — ADD UNION PAC CORP — $13.72B (0.25%) — ADD CONSTELLATION ENERGY CORP — $13.65B (0.25%) — ADD LOWES COS INC — $13.56B (0.24%) — ADD PFIZER INC — $13.48B (0.24%) — ADD NEWMONT CORP — $13.39B (0.24%) — HOLD BOSTON SCIENTIFIC CORP — $13.32B (0.24%) — ADD ARISTA NETWORKS INC — $13.26B (0.24%) — ADD PROGRESSIVE CORP — $12.58B (0.23%) — ADD PALO ALTO NETWORKS INC — $12.51B (0.23%) — ADD MEDTRONIC PLC — $12.39B (0.22%) — ADD HONEYWELL INTL INC — $12.32B (0.22%) — ADD EATON CORP PLC — $12.09B (0.22%) — ADD STRYKER CORPORATION — $11.92B (0.21%) — HOLD ROYAL BK CDA — $11.53B (0.21%) — ADD CROWDSTRIKE HLDGS INC — $11.35B (0.2%) — ADD CONOCOPHILLIPS — $11.26B (0.2%) — HOLD AMERICAN TOWER CORP — $11.19B (0.2%) — HOLD CHUBB LIMITED — $11.18B (0.2%) — REDUCE BLACKSTONE INC — $11.05B (0.2%) — ADD COMCAST CORP NEW — $11.04B (0.2%) — ADD VERTEX PHARMACEUTICALS INCORPORATED — $10.93B (0.2%) — HOLD ROBINHOOD MKTS INC — $10.83B (0.2%) — ADD BRISTOL-MYERS SQUIBB CO — $10.72B (0.19%) — ADD AUTOMATIC DATA PROCESSING IN — $10.70B (0.19%) — HOLD DEERE & CO — $10.51B (0.19%) — ADD LOCKHEED MARTIN CORP — $10.29B (0.19%) — HOLD EQUINIX INC — $10.27B (0.19%) — ADD HOWMET AEROSPACE INC — $10.03B (0.18%) — HOLD MCKESSON CORP — $9.93B (0.18%) — ADD CRH PLC — $9.87B (0.18%) — ADD DOORDASH INC — $9.84B (0.18%) — ADD CME GROUP INC — $9.80B (0.18%) — ADD PARKER-HANNIFIN CORP — $9.79B (0.18%) — HOLD STARBUCKS CORP — $9.63B (0.17%) — ADD CVS HEALTH CORP — $9.58B (0.17%) — ADD SOUTHERN CO — $9.42B (0.17%) — ADD ALTRIA GROUP INC — $9.28B (0.17%) — ADD DUKE ENERGY CORP NEW — $9.17B (0.17%) — ADD CUMMINS INC — $9.06B (0.16%) — ADD TRANSDIGM GROUP INC — $9.04B (0.16%) — HOLD GENERAL MTRS CO — $8.79B (0.16%) — REDUCE INTERCONTINENTAL EXCHANGE IN — $8.77B (0.16%) — ADD TE CONNECTIVITY PLC — $8.74B (0.16%) — HOLD SIMON PPTY GROUP INC NEW — $8.69B (0.16%) — ADD T-MOBILE US INC — $8.69B (0.16%) — HOLD CORNING INC — $8.69B (0.16%) — ADD SYNOPSYS INC — $8.67B (0.16%) — ADD MARSH & MCLENNAN COS INC — $8.64B (0.16%) — ADD WASTE MGMT INC DEL — $8.57B (0.15%) — ADD CADENCE DESIGN SYSTEM INC — $8.51B (0.15%) — ADD MOTOROLA SOLUTIONS INC — $8.50B (0.15%) — HOLD REALTY INCOME CORP — $8.48B (0.15%) — HOLD ROYAL CARIBBEAN GROUP — $8.44B (0.15%) — ADD DIGITAL RLTY TR INC — $8.39B (0.15%) — ADD GENERAL DYNAMICS CORP — $8.34B (0.15%) — ADD BANK OF NY MELLON CORP — $8.28B (0.15%) — ADD WARNER BROS DISCOVERY INC — $8.16B (0.15%) — ADD SHOPIFY INC — $8.16B (0.15%) — ADD GALLAGHER ARTHUR J & CO — $8.12B (0.15%) — ADD PNC FINL SVCS GROUP INC — $8.11B (0.15%) — ADD ELEVANCE HEALTH INC FORMERLY — $8.07B (0.15%) — HOLD WILLIAMS COS INC — $8.05B (0.15%) — ADD CENCORA INC — $7.98B (0.14%) — ADD JOHNSON CONTROLS INTERNATION — $7.91B (0.14%) — REDUCE 3M CO — $7.85B (0.14%) — ADD NORTHROP GRUMMAN CORP — $7.84B (0.14%) — ADD US BANCORP — $7.81B (0.14%) — ADD MOODYS CORP — $7.80B (0.14%) — ADD TRANE TECHNOLOGIES PLC — $7.79B (0.14%) — ADD SEAGATE TECHNOLOGY HLDNGS PL — $7.74B (0.14%) — HOLD CBRE GROUP INC — $7.69B (0.14%) — HOLD KKR & CO INC — $7.66B (0.14%) — ADD QUANTA SVCS INC — $7.63B (0.14%) — HOLD SHERWIN WILLIAMS CO — $7.53B (0.14%) — ADD NIKE INC — $7.45B (0.13%) — ADD CINTAS CORP — $7.33B (0.13%) — HOLD WESTERN DIGITAL CORP — $7.30B (0.13%) — REDUCE EMERSON ELEC CO — $7.29B (0.13%) — ADD TORONTO DOMINION BK ONT — $7.28B (0.13%) — ADD OREILLY AUTOMOTIVE INC — $7.27B (0.13%) — ADD HILTON WORLDWIDE HLDGS INC — $7.27B (0.13%) — REDUCE THE CIGNA GROUP — $7.20B (0.13%) — ADD SLB LIMITED — $7.16B (0.13%) — ADD BECTON DICKINSON & CO — $7.12B (0.13%) — ADD AON PLC — $7.12B (0.13%) — ADD CARVANA CO — $7.08B (0.13%) — ADD MONDELEZ INTL INC — $7.01B (0.13%) — ADD REGENERON PHARMACEUTICALS INC. — $7.00B (0.13%) — HOLD ROSS STORES INC — $6.97B (0.13%) — HOLD PACCAR INC — $6.95B (0.13%) — ADD ALLSTATE CORP — $6.92B (0.12%) — HOLD APOLLO GLOBAL MGMT INC — $6.91B (0.12%) — ADD L3HARRIS TECHNOLOGIES INC — $6.87B (0.12%) — ADD HCA HEALTHCARE INC — $6.87B (0.12%) — REDUCE UNITED PARCEL SVCS INC — $6.79B (0.12%) — ADD SEMPRA — $6.77B (0.12%) — ADD FEDEX CORP — $6.74B (0.12%) — HOLD IDEXX LABS INC — $6.73B (0.12%) — HOLD VISTRA CORP — $6.71B (0.12%) — ADD PHILLIPS 66 — $6.70B (0.12%) — HOLD MARVELL TECHNOLOGY INC — $6.69B (0.12%) — REDUCE ECOLAB INC — $6.65B (0.12%) — ADD COLGATE PALMOLIVE CO — $6.63B (0.12%) — ADD ILLINOIS TOOL WKS INC — $6.62B (0.12%) — ADD FREEPORT MCMORAN INC — $6.62B (0.12%) — ADD SNOWFLAKE INC — $6.60B (0.12%) — ADD VANGUARD STAR FDS — $6.60B (0.12%) — ADD PUBLIC STORAGE — $6.58B (0.12%) — ADD CARDINAL HEALTH INC — $6.46B (0.12%) — ADD UBS GROUP AG — $6.42B (0.12%) — ADD MARRIOTT INTL INC NEW — $6.42B (0.12%) — HOLD TRAVELERS COMPANIES INC — $6.41B (0.12%) — ADD CLOUDFLARE INC — $6.39B (0.12%) — HOLD AUTODESK INC — $6.36B (0.11%) — HOLD CSX CORP — $6.35B (0.11%) — ADD AFLAC INC — $6.30B (0.11%) — ADD DOMINION ENERGY INC — $6.27B (0.11%) — ADD MARATHON PETE CORP — $6.23B (0.11%) — HOLD CROWN CASTLE INC — $6.20B (0.11%) — ADD VERTIV HOLDINGS CO — $6.20B (0.11%) — REDUCE FORD MOTOR COMPANY — $6.19B (0.11%) — ADD VALERO ENERGY CORP — $6.13B (0.11%) — REDUCE AUTOZONE INC. — $6.09B (0.11%) — HOLD FASTENAL CO — $6.08B (0.11%) — HOLD AMERICAN ELEC PWR CO INC — $6.05B (0.11%) — ADD UNITED RENTALS INC — $6.01B (0.11%) — REDUCE NORFOLK SOUTHN CORP — $6.01B (0.11%) — ADD ZOETIS INC — $6.01B (0.11%) — ADD AMERIPRISE FINL INC — $6.01B (0.11%) — REDUCE EDWARDS LIFESCIENCES CORP — $5.97B (0.11%) — HOLD COINBASE GLOBAL INC — $5.97B (0.11%) — ADD TRUIST FINL CORP — $5.89B (0.11%) — ADD ELECTRONIC ARTS INC — $5.88B (0.11%) — ADD VENTAS INC — $5.88B (0.11%) — ADD FORTINET INC — $5.86B (0.11%) — REDUCE VANGUARD BD INDEX FDS — $5.84B (0.11%) — ADD NASDAQ INC — $5.82B (0.1%) — HOLD AMERICAN INTL GROUP INC — $5.80B (0.1%) — REDUCE KINDER MORGAN INC DEL — $5.78B (0.1%) — ADD XCEL ENERGY INC — $5.73B (0.1%) — ADD METLIFE INC — $5.73B (0.1%) — ADD WW GRAINGER INC — $5.72B (0.1%) — REDUCE EXELON CORP — $5.72B (0.1%) — HOLD ONEOK INC NEW — $5.70B (0.1%) — HOLD DATADOG INC — $5.70B (0.1%) — HOLD TARGET CORP — $5.69B (0.1%) — HOLD EOG RES INC — $5.65B (0.1%) — ADD TAKE-TWO INTERACTIVE SOFTWAR — $5.60B (0.1%) — ADD AMETEK INC — $5.58B (0.1%) — HOLD ROPER TECHNOLOGIES INC — $5.55B (0.1%) — ADD BAKER HUGHES COMPANY CLASS A — $5.53B (0.1%) — REDUCE ROCKWELL AUTOMATION INC — $5.53B (0.1%) — ADD AIR PRODUCTS AND CHEMICALS I — $5.51B (0.1%) — ADD MONOLITHIC PWR SYS INC — $5.47B (0.1%) — REDUCE WASTE CONNECTIONS INC — $5.46B (0.1%) — REDUCE PUBLIC SVC ENTERPRISE GROUP — $5.42B (0.1%) — ADD ENTERGY CORP NEW — $5.41B (0.1%) — ADD CORTEVA INC — $5.40B (0.1%) — HOLD ALNYLAM PHARMACEUTICALS INC — $5.39B (0.1%) — HOLD MSCI INC — $5.37B (0.1%) — REDUCE WORKDAY INC — $5.37B (0.1%) — ADD CHIPOTLE MEXICAN GRILL INC — $5.35B (0.1%) — ADD TOTALENERGIES SE — $5.34B (0.1%) — NEW AXON ENTERPRISE INC — $5.32B (0.1%) — ADD YUM BRANDS INC — $5.31B (0.1%) — HOLD PAYPAL HLDGS INC — $5.28B (0.1%) — ADD MONSTER BEVERAGE CORP NEW — $5.21B (0.09%) — ADD TARGA RES CORP — $5.20B (0.09%) — REDUCE AIRBNB INC — $5.20B (0.09%) — HOLD DELTA AIR LINES INC — $5.17B (0.09%) — HOLD ROBLOX CORP — $5.14B (0.09%) — ADD FAIR ISAAC CORP — $5.07B (0.09%) — REDUCE HARTFORD INSURANCE GROUP INC — $5.07B (0.09%) — HOLD EBAY INC. — $5.02B (0.09%) — ADD COGNIZANT TECHNOLOGY SOLUTIO — $5.00B (0.09%) — HOLD CARRIER GLOBAL CORPORATION — $4.90B (0.09%) — HOLD VULCAN MATLS CO — $4.87B (0.09%) — REDUCE KROGER CO — $4.82B (0.09%) — ADD ENBRIDGE INC — $4.80B (0.09%) — ADD PRUDENTIAL FINL INC — $4.79B (0.09%) — HOLD PAYCHEX INC — $4.75B (0.09%) — ADD STATE STR CORP — $4.72B (0.09%) — REDUCE COSTAR GROUP INC — $4.71B (0.08%) — HOLD D.R. HORTON INC. — $4.71B (0.08%) — REDUCE MICROCHIP TECHNOLOGY INC. — $4.68B (0.08%) — ADD AGILENT TECHNOLOGIES INC — $4.64B (0.08%) — HOLD NUCOR CORP — $4.63B (0.08%) — ADD MARTIN MARIETTA MATLS INC — $4.59B (0.08%) — REDUCE SYSCO CORP — $4.59B (0.08%) — ADD RESMED INC — $4.55B (0.08%) — REDUCE CONSOLIDATED EDISON INC — $4.53B (0.08%) — ADD KEURIG DR PEPPER INC — $4.51B (0.08%) — ADD EXTRA SPACE STORAGE INC — $4.49B (0.08%) — HOLD VICI PPTYS INC — $4.46B (0.08%) — ADD IQVIA HLDGS INC — $4.43B (0.08%) — ADD VANGUARD INTL EQUITY INDEX F — $4.37B (0.08%) — ADD KEYSIGHT TECHNOLOGIES INC — $4.37B (0.08%) — HOLD BLOCK INC — $4.37B (0.08%) — REDUCE WEC ENERGY GROUP INC — $4.33B (0.08%) — ADD FERGUSON ENTERPRISES INC — $4.32B (0.08%) — ADD BANK MONTREAL MEDIUM — $4.29B (0.08%) — ADD GE HEALTHCARE TECHNOLOGIES INC — $4.29B (0.08%) — ADD COPART INC — $4.25B (0.08%) — HOLD OTIS WORLDWIDE CORP — $4.25B (0.08%) — HOLD PG&E CORP — $4.25B (0.08%) — ADD WABTEC — $4.24B (0.08%) — HOLD BROOKFIELD CORP — $4.23B (0.08%) — ADD BANK NOVA SCOTIA B C — $4.22B (0.08%) — ADD ARES MANAGEMENT CORPORATION — $4.21B (0.08%) — ADD EQT CORP — $4.20B (0.08%) — REDUCE EXPEDIA GROUP INC — $4.19B (0.08%) — REDUCE UNITED AIRLS HLDGS INC — $4.18B (0.08%) — HOLD FIDELITY NATL INFORMATION SV — $4.17B (0.08%) — HOLD HEWLETT PACKARD ENTERPRISE CO. — $4.16B (0.07%) — ADD AVALONBAY CMNTYS INC — $4.13B (0.07%) — HOLD CHENIERE ENERGY INC — $4.12B (0.07%) — ADD KIMBERLY-CLARK CORP — $4.12B (0.07%) — ADD VANGUARD CHARLOTTE FDS — $4.11B (0.07%) — ADD

Showing top 300 of 4328 reported positions ($5,547.78B in shown blocks). Click any block for the stock page; hover for details.