VEIRX
VANGUARD EQUITY INCOME FUND
VANGUARD FENWAY FUNDS

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
214
Top-10 weight
21.75%
Effective holdings ?
86
Crowding ?
1187.3

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 BROADCOM INC 11,231,188 $3.48B 5.56%
2 MERCK & CO 13,145,851 $1.58B 2.53%
3 JOHNSON&JOHNSON 6,000,464 $1.47B 2.34%
4 BANK OF AMERICA CORPORATION 27,062,414 $1.32B 2.11%
5 CISCO SYSTEMS INC 14,531,373 $1.13B 1.80%
6 Vanguard Market Liquidity Fund 1,050,291,143 $1.05B 1.68%
7 DIAMONDBACK ENERGY INC 5,053,309 $999.49M 1.60%
8 HONEYWELL INTL INC 3,964,213 $896.03M 1.43%
9 GILEAD SCIENCES INC 6,096,560 $849.68M 1.36%
10 M&T BANK CORP 3,880,060 $802.09M 1.28%
11 UNILEVER PLC-ADR 14,061,353 $801.08M 1.28%
12 T-MOBILE US INC 3,762,704 $790.28M 1.26%
13 EXXON MOBIL CORP 4,595,671 $779.70M 1.25%
14 CONOCOPHILLIPS 5,694,032 $751.61M 1.20%
15 HUNTINGTON BANCSHARES INC 47,196,827 $738.63M 1.18%
16 PHILIP MORRIS INTL INC 4,390,053 $725.85M 1.16%
17 MARSH & MCLENNAN 4,087,471 $708.97M 1.13%
18 AMERICAN INTERNATIONAL GROUP 9,356,064 $704.04M 1.13%
19 CROWN CASTLE INC 8,569,335 $696.77M 1.11%
20 AUTOMATIC DATA PROCESSING INC 3,383,209 $687.40M 1.10%
21 KEURIG DR PEPPER INC 25,846,090 $680.53M 1.09%
22 JPMORGAN CHASE and CO 2,275,933 $669.49M 1.07%
23 TARGA RESOURCES CORP 2,594,116 $650.42M 1.04%
24 AMERICAN ELECTRIC POWER CO INC 4,662,253 $611.13M 0.98%
25 ELEVANCE HEALTH INC 2,085,163 $610.43M 0.98%
26 DOMINION ENERGY INC 9,867,313 $610.00M 0.98%
27 SEMPRA ENERGY 6,204,826 $602.92M 0.96%
28 FERGUSON ENTERPRISES INC 2,532,321 $590.69M 0.94%
29 WALT DISNEY CO/T 6,085,803 $586.55M 0.94%
30 DICKS SPORTING GOODS INC 2,844,826 $564.10M 0.90%
31 PROGRESSIVE CORP OHIO 2,835,404 $562.09M 0.90%
32 TE CONNECTIVITY 2,684,927 $561.20M 0.90%
33 L3HARRIS TECHNOLOGIES INC 1,618,615 $558.66M 0.89%
34 LILLY ELI and CO 602,371 $554.04M 0.89%
35 ZOETIS INC CL A 4,675,498 $552.69M 0.88%
36 MICROSOFT CORP 1,483,311 $549.08M 0.88%
37 ARES MANAGEMENT CORP CL A 5,004,375 $545.98M 0.87%
38 NXP SEMICONDUCTO 2,768,514 $545.01M 0.87%
39 REGIONS FINANCIAL CORP 20,793,648 $543.13M 0.87%
40 PPG INDUSTRIES INC 5,065,897 $541.44M 0.87%
41 PFIZER INC 19,175,311 $538.44M 0.86%
42 NASDAQ INC 6,335,486 $537.82M 0.86%
43 AVERY DENNISON CORP 3,059,094 $528.24M 0.84%
44 MARATHON PETROLEUM CORP 2,124,211 $518.69M 0.83%
45 ARCHER DANIELS MIDLAND CO 6,967,261 $506.45M 0.81%
46 AMERICAN WATER WRKS COMPANY 3,708,683 $504.71M 0.81%
47 EATON CORP PLC 1,373,713 $491.34M 0.79%
48 RAYMOND JAMES FINANCIAL INC. 3,372,198 $488.26M 0.78%
49 SUN COMMUNITIES INC - REIT 3,806,525 $479.47M 0.77%
50 PPL CORPORATION 12,328,591 $470.95M 0.75%
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