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VANGUARD BALANCED INDEX FUND (VBINX) is an MF managed by Vanguard. Its largest position is NVIDIA CORP (NVDA), representing 3.85% of fund assets.

VANGUARD BALANCED INDEX FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
VBINX
Type:
MF
Manager:
Vanguard
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 28, 2026
Showing 50 out of 8138 holdings
Holding Weight Market Value Shares
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NVIDIA CORP
3.85% $2,266,652,035.20 12,996,858
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Apple Inc.
3.56% $2,097,686,271.39 8,265,441
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MICROSOFT CORP
2.63% $1,547,541,956.25 4,180,625
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AMAZON COM INC
1.92% $1,132,842,802.73 5,439,299
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APPLIED MATERIALS INC /DE
1.74% $1,023,493,915.58 10,235,963
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Alphabet Inc.
1.60% $942,906,939.52 3,278,992
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Broadcom Inc.
1.40% $826,191,447.03 2,669,353
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Alphabet Inc.
1.27% $746,159,578.08 2,601,128
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Meta Platforms, Inc.
1.20% $704,506,578.75 1,231,375
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Tesla, Inc.
1.00% $589,072,076.00 1,584,592
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ELI LILLY & Co
0.75% $439,650,060.00 478,000
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BERKSHIRE HATHAWAY INC
0.75% $439,086,168.00 916,290
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JPMORGAN CHASE & CO
0.72% $421,181,523.76 1,431,811
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ExxonMobil Holdings Corp
0.68% $398,019,645.44 2,345,984
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JOHNSON & JOHNSON
0.56% $331,639,570.08 1,356,732
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Walmart Inc.
0.52% $306,718,690.20 2,467,965
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VISA INC.
0.49% $286,046,283.04 946,421
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COSTCO WHOLESALE CORP /NEW
0.42% $248,994,903.41 249,887
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NETFLIX INC
0.39% $228,555,280.50 2,377,070
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Mastercard Inc
0.38% $224,100,507.96 448,506
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CHEVRON CORP
0.37% $220,812,783.60 1,067,244
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AbbVie Inc.
0.37% $216,529,564.16 995,584
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MICRON TECHNOLOGY INC
0.36% $214,079,072.80 633,670
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PROCTER & GAMBLE Co
0.32% $188,975,762.96 1,308,334
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ADVANCED MICRO DEVICES INC
0.32% $186,734,906.76 917,932
-
CATERPILLAR INC
0.32% $185,587,473.14 261,959
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HOME DEPOT, INC.
0.31% $184,340,213.88 560,492
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Palantir Technologies Inc.
0.30% $179,277,257.28 1,225,576
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BANK OF AMERICA CORP /DE/
0.29% $170,724,450.00 3,502,040
-
Merck & Co., Inc.
0.28% $167,433,816.22 1,391,918
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GENERAL ELECTRIC CO
0.27% $159,177,376.26 560,938
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CISCO SYSTEMS, INC.
0.26% $155,291,729.60 2,001,440
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APPLIED MATERIALS INC /DE
0.26% $152,724,418.23 446,837
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LAM RESEARCH CORP
0.26% $150,223,064.04 703,094
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COCA COLA CO
0.25% $147,309,914.70 1,937,014
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RTX Corp
0.25% $145,767,778.50 755,665
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Philip Morris International Inc.
0.25% $144,927,619.62 876,543
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ORACLE CORP
0.24% $142,779,817.15 970,565
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WELLS FARGO & COMPANY/MN
0.23% $138,295,387.21 1,737,161
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UNITEDHEALTH GROUP INC
0.23% $137,994,676.43 509,977
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GOLDMAN SACHS GROUP INC
0.23% $134,021,735.80 158,420
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GE Vernova Inc.
0.22% $132,464,320.80 151,752
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LINDE PLC
0.22% $129,347,254.32 260,907
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INTERNATIONAL BUSINESS MACHINES CORP
0.22% $128,005,189.44 528,096
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MCDONALDS CORP
0.21% $124,299,838.92 399,948
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PEPSICO INC
0.20% $119,483,542.38 769,422
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AT&T INC.
0.19% $114,254,634.26 3,941,174
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MORGAN STANLEY
0.19% $110,352,248.93 670,549
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NEXTERA ENERGY INC
0.18% $108,945,546.48 1,172,971
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KLA CORP
0.18% $108,666,802.82 73,802
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