Filed: 5/9/2025ACC: 0001752724-25-099331
📋 What this filing means
VANGUARD GROUP INC filed this quarterly 13F‑HR report disclosing 4280 equity positions with a total reported market value of $5.53T. This filing provides a transparent view of the manager's long equity holdings as of the quarter end.
4280
Positions
$5.53T
Total AUM (reported)
59.95B
Total Shares
Allocation by class
COM$4.32T78.1%
CL A$360.13B6.5%
COM NEW$161.85B2.9%
COM CL A$101.20B1.8%
SHS$87.27B1.6%
CL B NEW$80.28B1.5%
CAP STK CL A$78.84B1.4%
Portfolio Concentration
Top 3$808.37B14.6%
4–10$639.77B11.6%
11–25$641.77B11.6%
Rest$3.44T62.2%
Top 3 weight
14.6%
Top 10 weight
26.2%
Voting Authority Distribution
Total shares with voting rights: 59.95B
Sole
Full voting authority
8.16M
shares
% of voting shares0.0%
Shared
Joint voting authority
1.56B
shares
% of voting shares2.6%
None
No voting authority
58.39B
shares
% of voting shares97.4%
Investment Discretion (by position count)
Sole1237
Shared0
Other3043
Dominant voting typeNone · 97.4% of voting shares
Institutional Holdings4280
Rows:
APPLE INC
DFNDShares1.40B
TypeSH
Market value$311.16B
5.63%
Sole
78.39K
Shared
19.40M
None
1.38B
MICROSOFT CORP
SOLEShares691.39M
TypeSH
Market value$259.54B
4.69%
Sole
25.60K
Shared
9.51M
None
681.85M
NVIDIA CORPORATION
DFNDShares2.19B
TypeSH
Market value$237.68B
4.30%
Sole
59.38K
Shared
31.41M
None
2.16B
AMAZON COM INC
DFNDShares832.27M
TypeSH
Market value$158.35B
2.86%
Sole
36.75K
Shared
12.27M
None
819.97M
META PLATFORMS INC
SOLEShares191.06M
TypeSH
Market value$110.12B
1.99%
Sole
1.97K
Shared
2.80M
None
188.26M
BERKSHIRE HATHAWAY INC DEL
DFNDShares150.61M
TypeSH
Market value$80.21B
1.45%
Sole
11.30K
Shared
1.88M
None
148.71M
BROADCOM INC
SOLEShares477.22M
TypeSH
Market value$79.90B
1.44%
Sole
15.46K
Shared
5.99M
None
471.21M
ALPHABET INC
DFNDShares509.83M
TypeSH
Market value$78.84B
1.43%
Sole
23.66K
Shared
7.60M
None
502.20M
JPMORGAN CHASE & CO.
DFNDShares272.80M
TypeSH
Market value$66.92B
1.21%
Sole
16.01K
Shared
3.37M
None
269.41M
ELI LILLY & CO
DFNDShares79.22M
TypeSH
Market value$65.43B
1.18%
Sole
6.69K
Shared
1.05M
None
78.17M
ALPHABET INC
DFNDShares411.57M
TypeSH
Market value$64.30B
1.16%
Sole
29.80K
Shared
6.31M
None
405.23M
TESLA INC
DFNDShares246.89M
TypeSH
Market value$63.98B
1.16%
Sole
750.00
Shared
3.70M
None
243.18M
VISA INC
DFNDShares161.08M
TypeSH
Market value$56.45B
1.02%
Sole
6.17K
Shared
2.27M
None
158.81M
EXXON MOBIL CORP
SOLEShares429.95M
TypeSH
Market value$51.13B
0.92%
Sole
24.51K
Shared
5.12M
None
424.80M
UNITEDHEALTH GROUP INC
SOLEShares90.73M
TypeSH
Market value$47.52B
0.86%
Sole
13.55K
Shared
1.10M
None
89.61M
MASTERCARD INCORPORATED
DFNDShares77.54M
TypeSH
Market value$42.50B
0.77%
Sole
3.46K
Shared
1.07M
None
76.47M
COSTCO WHSL CORP NEW
DFNDShares42.64M
TypeSH
Market value$40.33B
0.73%
Sole
7.81K
Shared
584.28K
None
42.05M
PROCTER AND GAMBLE CO
DFNDShares230.02M
TypeSH
Market value$39.20B
0.71%
Sole
15.32K
Shared
2.88M
None
227.13M
JOHNSON & JOHNSON
DFNDShares233.96M
TypeSH
Market value$38.80B
0.70%
Sole
14.88K
Shared
2.68M
None
231.27M
WALMART INC
DFNDShares425.96M
TypeSH
Market value$37.40B
0.68%
Sole
6.59K
Shared
4.84M
None
421.11M
ABBVIE INC
DFNDShares173.92M
TypeSH
Market value$36.44B
0.66%
Sole
17.72K
Shared
2.20M
None
171.70M
NETFLIX INC
DFNDShares38M
TypeSH
Market value$35.43B
0.64%
Sole
244.00
Shared
562.40K
None
37.43M
HOME DEPOT INC
DFNDShares96.48M
TypeSH
Market value$35.36B
0.64%
Sole
8.28K
Shared
1.28M
None
95.19M
BANK AMERICA CORP
DFNDShares641.19M
TypeSH
Market value$26.76B
0.48%
Sole
11.59K
Shared
8.14M
None
633.04M
CHEVRON CORP NEW
DFNDShares156.39M
TypeSH
Market value$26.16B
0.47%
Sole
3.19K
Shared
1.88M
None
154.51M
| Issuer | Class | Shares | Type | Value / Portfolio % | Voting — Sole | Shared | None |
|---|---|---|---|---|---|---|---|
APPLE INCDFND | COM | 1.40B | SH | $311.16B 5.63% | 78.39K | 19.40M | 1.38B |
MICROSOFT CORPSOLE | COM | 691.39M | SH | $259.54B 4.69% | 25.60K | 9.51M | 681.85M |
NVIDIA CORPORATIONDFND | COM | 2.19B | SH | $237.68B 4.30% | 59.38K | 31.41M | 2.16B |
AMAZON COM INCDFND | COM | 832.27M | SH | $158.35B 2.86% | 36.75K | 12.27M | 819.97M |
META PLATFORMS INCSOLE | CL A | 191.06M | SH | $110.12B 1.99% | 1.97K | 2.80M | 188.26M |
BERKSHIRE HATHAWAY INC DELDFND | CL B NEW | 150.61M | SH | $80.21B 1.45% | 11.30K | 1.88M | 148.71M |
BROADCOM INCSOLE | COM | 477.22M | SH | $79.90B 1.44% | 15.46K | 5.99M | 471.21M |
ALPHABET INCDFND | CAP STK CL A | 509.83M | SH | $78.84B 1.43% | 23.66K | 7.60M | 502.20M |
JPMORGAN CHASE & CO.DFND | COM | 272.80M | SH | $66.92B 1.21% | 16.01K | 3.37M | 269.41M |
ELI LILLY & CODFND | COM | 79.22M | SH | $65.43B 1.18% | 6.69K | 1.05M | 78.17M |
ALPHABET INCDFND | CAP STK CL C | 411.57M | SH | $64.30B 1.16% | 29.80K | 6.31M | 405.23M |
TESLA INCDFND | COM | 246.89M | SH | $63.98B 1.16% | 750.00 | 3.70M | 243.18M |
VISA INCDFND | COM CL A | 161.08M | SH | $56.45B 1.02% | 6.17K | 2.27M | 158.81M |
EXXON MOBIL CORPSOLE | COM | 429.95M | SH | $51.13B 0.92% | 24.51K | 5.12M | 424.80M |
UNITEDHEALTH GROUP INCSOLE | COM | 90.73M | SH | $47.52B 0.86% | 13.55K | 1.10M | 89.61M |
MASTERCARD INCORPORATEDDFND | CL A | 77.54M | SH | $42.50B 0.77% | 3.46K | 1.07M | 76.47M |
COSTCO WHSL CORP NEWDFND | COM | 42.64M | SH | $40.33B 0.73% | 7.81K | 584.28K | 42.05M |
PROCTER AND GAMBLE CODFND | COM | 230.02M | SH | $39.20B 0.71% | 15.32K | 2.88M | 227.13M |
JOHNSON & JOHNSONDFND | COM | 233.96M | SH | $38.80B 0.70% | 14.88K | 2.68M | 231.27M |
WALMART INCDFND | COM | 425.96M | SH | $37.40B 0.68% | 6.59K | 4.84M | 421.11M |
ABBVIE INCDFND | COM | 173.92M | SH | $36.44B 0.66% | 17.72K | 2.20M | 171.70M |
NETFLIX INCDFND | COM | 38M | SH | $35.43B 0.64% | 244.00 | 562.40K | 37.43M |
HOME DEPOT INCDFND | COM | 96.48M | SH | $35.36B 0.64% | 8.28K | 1.28M | 95.19M |
BANK AMERICA CORPDFND | COM | 641.19M | SH | $26.76B 0.48% | 11.59K | 8.14M | 633.04M |
CHEVRON CORP NEWDFND | COM | 156.39M | SH | $26.16B 0.47% | 3.19K | 1.88M | 154.51M |
Page 1 of 172
…