VANGUARD HIGH DIVIDEND YIELD INDEX FUND (VHYAX) is an ETF managed by Vanguard. Its largest position is Broadcom Inc. (AVGO), representing 8.03% of fund assets.
VANGUARD HIGH DIVIDEND YIELD INDEX FUND Portfolio Holdings
Source: SEC Form N-PORT institutional portfolio disclosures
- Ticker:
- VHYAX
- Type:
- ETF
- Manager:
- Vanguard
- Total Assets:
- —
- Report Date:
- Apr 30, 2026
- Filing Date:
- Jun 26, 2026
| Holding | Weight | Market Value | Shares |
|---|---|---|---|
|
-
Broadcom Inc.
|
8.03% | $7,596,976,794.29 | 18,199,403 |
|
-
JPMORGAN CHASE & CO
|
3.34% | $3,164,168,959.89 | 10,101,743 |
|
-
ExxonMobil Holdings Corp
|
2.72% | $2,569,406,834.72 | 16,648,784 |
|
-
JOHNSON & JOHNSON
|
2.30% | $2,179,658,356.00 | 9,482,960 |
|
-
CATERPILLAR INC
|
1.72% | $1,624,192,618.10 | 1,824,710 |
|
-
AbbVie Inc.
|
1.56% | $1,475,247,953.88 | 6,981,109 |
|
-
CISCO SYSTEMS, INC.
|
1.52% | $1,435,167,801.00 | 15,684,894 |
|
-
CHEVRON CORP
|
1.51% | $1,427,188,012.38 | 7,382,898 |
|
-
BANK OF AMERICA CORP /DE/
|
1.44% | $1,362,612,643.92 | 25,488,452 |
|
-
PROCTER & GAMBLE Co
|
1.44% | $1,361,437,239.99 | 9,255,811 |
|
-
UNITEDHEALTH GROUP INC
|
1.40% | $1,328,494,229.04 | 3,585,873 |
|
-
HOME DEPOT, INC.
|
1.36% | $1,290,096,777.60 | 3,923,652 |
|
-
COCA COLA CO
|
1.28% | $1,206,973,372.00 | 15,324,700 |
|
-
ORACLE CORP
|
1.13% | $1,070,570,397.43 | 6,633,437 |
|
-
Merck & Co., Inc.
|
1.13% | $1,069,230,419.58 | 9,793,281 |
|
-
GOLDMAN SACHS GROUP INC
|
1.07% | $1,015,703,590.40 | 1,099,520 |
|
-
Philip Morris International Inc.
|
1.07% | $1,013,490,513.34 | 6,139,762 |
|
-
TEXAS INSTRUMENTS INC
|
1.06% | $1,006,630,960.76 | 3,581,297 |
|
-
WELLS FARGO & COMPANY/MN
|
1.06% | $1,003,564,029.42 | 12,204,354 |
|
-
RTX Corp
|
0.98% | $928,274,669.37 | 5,272,191 |
|
-
LINDE PLC
|
0.98% | $927,377,109.90 | 1,850,535 |
|
-
PEPSICO INC
|
0.90% | $855,846,158.49 | 5,400,001 |
|
-
MORGAN STANLEY
|
0.90% | $852,088,628.46 | 4,470,794 |
|
-
INTERNATIONAL BUSINESS MACHINES CORP
|
0.89% | $846,805,479.16 | 3,666,142 |
|
-
CITIGROUP INC
|
0.88% | $834,060,121.74 | 6,517,113 |
|
-
MCDONALDS CORP
|
0.87% | $827,043,910.77 | 2,817,003 |
|
-
NEXTERA ENERGY INC
|
0.85% | $804,689,881.44 | 8,221,188 |
|
-
VERIZON COMMUNICATIONS INC
|
0.84% | $799,376,546.28 | 16,643,276 |
|
-
ANALOG DEVICES INC
|
0.82% | $774,755,978.08 | 1,926,008 |
|
-
QUALCOMM INC/DE
|
0.80% | $756,686,369.10 | 4,213,645 |
|
-
Walt Disney Co
|
0.77% | $726,315,570.00 | 7,000,632 |
|
-
AT&T INC.
|
0.75% | $711,659,277.42 | 27,235,334 |
|
-
AMGEN INC
|
0.71% | $675,023,031.25 | 1,949,525 |
|
-
Eaton Corp plc
|
0.71% | $668,716,395.44 | 1,544,344 |
|
-
GILEAD SCIENCES, INC.
|
0.68% | $642,108,813.92 | 4,907,588 |
|
-
BlackRock, Inc.
|
0.68% | $640,616,342.40 | 601,179 |
|
-
UNION PACIFIC CORP
|
0.67% | $635,041,746.60 | 2,356,545 |
|
-
ABBOTT LABORATORIES
|
0.65% | $619,388,355.11 | 6,822,209 |
|
-
CONOCOPHILLIPS
|
0.65% | $613,365,918.44 | 4,876,498 |
|
-
PFIZER INC
|
0.63% | $597,675,681.90 | 22,384,857 |
|
-
HONEYWELL INTERNATIONAL INC
|
0.57% | $537,121,482.17 | 2,506,049 |
|
-
LOWES COMPANIES INC
|
0.56% | $527,430,039.19 | 2,208,761 |
|
-
BRISTOL MYERS SQUIBB CO
|
0.51% | $486,591,746.28 | 8,030,892 |
|
-
ALTRIA GROUP, INC.
|
0.51% | $482,946,977.60 | 6,647,584 |
|
-
NEWMONT Corp /DE/
|
0.51% | $480,961,266.66 | 4,329,474 |
|
-
STARBUCKS CORP
|
0.50% | $472,115,813.82 | 4,482,254 |
|
-
Chubb Ltd
|
0.50% | $470,979,735.00 | 1,440,305 |
|
-
PROGRESSIVE CORP/OH/
|
0.49% | $464,767,194.24 | 2,309,058 |
|
-
CAPITAL ONE FINANCIAL CORP
|
0.49% | $463,225,106.70 | 2,421,459 |
|
-
Accenture plc
|
0.46% | $433,192,682.58 | 2,423,998 |
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