Vanguard Fiduciary Trust Co Portfolio Stock Holdings

According to the SEC 13F filed on August 13, 2026, Vanguard Fiduciary Trust Co disclosed 3299 stock positions valued at approximately $454.36B as of quarter-end June 30, 2026. The largest holdings include NVIDIA CORPORATION, APPLE INC, and MICROSOFT CORP.

Report Period
June 30, 2026
No. of Stocks
3299
Portfolio Value
$454.36B
Holdings by Sector
Vanguard Fiduciary Trust Co Portfolio Holdings in Q2 2026
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
NVIDIA CORPORATIONNVDATechnology6.08%137,996,403-269,282-0.19%$27,611,700,276
APPLE INCAAPLTechnology5.32%83,474,159-720,509-0.86%$24,154,082,648
MICROSOFT CORPMSFTTechnology3.46%42,199,414-432,430-1.01%$15,741,225,411
AMAZON COM INCAMZNConsumer Cyclical2.88%54,976,870-687,933-1.24%$13,103,187,195
ALPHABET INCGOOGLCommunication Services2.65%33,694,019+479,248+1.44%$12,041,231,570
BROADCOM INCAVGOTechnology2.26%27,188,049-51,090-0.19%$10,270,285,510
ALPHABET INCGOOGCommunication Services2.11%27,117,328+476,261+1.79%$9,581,365,503
MICRON TECHNOLOGY INCMUTechnology1.65%6,480,515+146,307+2.31%$7,480,393,659
META PLATFORMS INCMETACommunication Services1.56%12,567,743+34,821+0.28%$7,079,283,955
TESLA INCTSLAConsumer Cyclical1.50%16,205,509+19,321+0.12%$6,816,037,085
ELI LILLY & COLLYHealthcare1.21%4,592,311-27,178-0.59%$5,508,155,583
ADVANCED MICRO DEVICES INCAMDTechnology1.20%9,369,499+61,515+0.66%$5,442,835,665
BERKSHIRE HATHAWAY INC DELBRK-BFinancial Services1.13%10,224,113-21,033-0.21%$5,116,043,904
JPMORGAN CHASE & COJPMFinancial Services1.01%13,967,087-135,288-0.96%$4,571,846,588
INTEL CORPINTCTechnology0.80%25,934,476+93,682+0.36%$3,621,230,884
JOHNSON & JOHNSONJNJHealthcare0.76%13,517,070-47,419-0.35%$3,432,930,268
APPLIED MATLS INCAMATTechnology0.73%4,560,642+61,332+1.36%$3,297,344,166
VISA INCVFinancial Services0.72%9,535,367-165,514-1.71%$3,271,489,064
EXXON MOBIL CORPXOMEnergy0.70%23,275,574-243,197-1.03%$3,182,236,477
LAM RESEARCH CORPLRCXOther0.69%7,186,297-20,876-0.29%$3,114,038,079
CATERPILLAR INCCATIndustrials0.62%2,645,238+18,517+0.70%$2,816,913,946
WALMART INCWMTConsumer Defensive0.61%24,665,951-66,213-0.27%$2,793,665,610
CISCO SYS INCCSCOTechnology0.57%21,861,047-68,385-0.31%$2,567,798,580
ROYAL BK CDARYFinancial Services0.57%12,398,792+88,826+0.72%$2,567,442,657
ABBVIE INCABBVHealthcare0.55%9,939,791-259,605-2.55%$2,501,249,007
MASTERCARD INCORPORATEDMAFinancial Services0.52%4,622,826-59,622-1.27%$2,374,283,433
COSTCO WHOLESALE CORPORATIONCOSTConsumer Defensive0.52%2,516,516-44,674-1.74%$2,354,125,222
KLA CORPKLACTechnology0.50%7,507,104+6,750,664+892.43%$2,264,968,348
GE AEROSPACEGEIndustrials0.49%5,993,085-14,947-0.25%$2,239,795,657
UNITEDHEALTH GROUP INCUNHHealthcare0.47%5,098,687-582-0.01%$2,119,167,278
Showing 30 of 3,299 holdings in the latest reporting period.