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VANGUARD DIVIDEND GROWTH FUND (VDIGX) is an MF managed by Vanguard. Its largest position is Broadcom Inc. (AVGO), representing 6.49% of fund assets.

VANGUARD DIVIDEND GROWTH FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
VDIGX
Type:
MF
Manager:
Vanguard
Total Assets:
—
Report Date:
Apr 30, 2026
Filing Date:
Jun 26, 2026
Showing 50 out of 59 holdings
Holding Weight Market Value Shares
-
Broadcom Inc.
6.49% $2,397,400,673.20 5,743,240
-
MICROSOFT CORP
5.19% $1,915,036,417.22 4,696,249
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ELI LILLY & Co
3.88% $1,432,651,143.80 1,532,903
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TEXAS INSTRUMENTS INC
3.68% $1,357,308,898.48 4,828,906
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Apple Inc.
3.43% $1,267,771,078.80 4,672,088
-
Mastercard Inc
3.37% $1,245,275,182.80 2,476,090
-
VISA INC.
3.19% $1,177,106,604.80 3,568,720
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KLA CORP
2.75% $1,014,978,955.20 579,872
-
WELLS FARGO & COMPANY/MN
2.74% $1,010,170,881.00 12,284,700
-
BlackRock, Inc.
2.71% $999,338,860.80 937,818
-
NORTHROP GRUMMAN CORP /DE/
2.52% $928,733,754.96 1,602,702
-
HOME DEPOT, INC.
2.50% $922,121,244.00 2,804,505
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LINDE PLC
2.47% $912,151,975.56 1,820,154
-
HONEYWELL INTERNATIONAL INC
2.44% $900,867,355.07 4,203,179
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MARSH & MCLENNAN COMPANIES, INC.
2.33% $859,345,033.74 5,123,994
-
TJX COMPANIES INC /DE/
2.29% $844,986,582.00 5,390,664
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Merck & Co., Inc.
2.11% $777,507,027.76 7,121,332
-
STRYKER CORP
2.08% $766,754,462.81 2,433,137
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NIKE, Inc.
2.02% $746,725,010.56 16,833,296
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Chubb Ltd
2.00% $737,696,631.00 2,255,953
-
AMERICAN EXPRESS CO
1.98% $730,231,265.40 2,260,428
-
AUTOMATIC DATA PROCESSING INC
1.95% $721,078,163.50 3,402,275
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DANAHER CORP /DE/
1.91% $705,559,228.35 3,942,773
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CATERPILLAR INC
1.85% $684,217,765.79 768,689
-
S&P Global Inc.
1.80% $666,050,259.28 1,544,536
-
JOHNSON & JOHNSON
1.71% $631,863,166.40 2,749,024
-
Trane Technologies plc
1.69% $623,229,578.52 1,265,338
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AMPHENOL CORP /DE/
1.67% $617,420,638.80 4,192,440
-
COCA COLA CO
1.66% $611,762,314.24 7,767,424
-
Alphabet Inc.
1.65% $609,488,568.00 1,583,910
-
MCDONALDS CORP
1.56% $575,363,883.27 1,959,753
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CANADIAN NATIONAL RAILWAY CO
1.56% $574,723,389.37 5,116,835
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QUALCOMM INC/DE
1.49% $549,914,545.08 3,062,226
-
ExxonMobil Holdings Corp
1.39% $514,162,895.73 3,331,581
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AMETEK INC/
1.36% $503,248,428.00 2,136,936
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KROGER CO
1.33% $491,571,384.99 7,221,557
-
PROCTER & GAMBLE Co
1.30% $479,117,286.63 3,257,307
-
Elevance Health, Inc.
1.29% $477,649,124.92 1,268,926
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MARRIOTT INTERNATIONAL INC /MD/
1.05% $387,101,616.02 1,070,258
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UNILEVER PLC
1.02% $375,237,860.25 6,434,658
-
DEERE & CO
1.01% $374,248,330.33 634,459
-
ABBOTT LABORATORIES
1.01% $372,344,679.56 4,101,164
-
Meta Platforms, Inc.
1.00% $369,066,785.49 603,139
-
COLGATE PALMOLIVE CO
0.81% $298,209,513.36 3,493,551
-
Zoetis Inc.
0.76% $281,075,206.90 2,444,770
-
PEPSICO INC
0.75% $276,420,982.59 1,744,091
-
American Water Works Company, Inc.
0.70% $258,106,991.72 2,009,866
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Walmart Inc.
0.61% $224,785,236.46 1,703,822
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INTUIT INC.
0.52% $192,948,525.00 496,650
-
Accenture plc
0.49% $182,150,346.21 1,019,251
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