Vanguard Global Advisers, Llc Portfolio Stock Holdings

According to the SEC 13F filed on August 13, 2026, Vanguard Global Advisers, Llc disclosed 3159 stock positions valued at approximately $214.60B as of quarter-end June 30, 2026. The largest holdings include VANGUARD INDEX FDS, VANGUARD INDEX FDS, and NVIDIA CORPORATION.

Report Period
June 30, 2026
No. of Stocks
3159
Portfolio Value
$214.60B
Holdings by Sector
Vanguard Global Advisers, Llc Portfolio Holdings in Q2 2026
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
VANGUARD INDEX FDSVOOOther13.21%41,269,848+1,669,536+4.22%$28,344,544,305
VANGUARD INDEX FDSVTIOther6.70%38,839,412+1,923,761+5.21%$14,372,136,016
NVIDIA CORPORATIONNVDATechnology4.86%52,159,704-916,964-1.73%$10,436,635,174
APPLE INCAAPLTechnology4.27%31,661,076-432,673-1.35%$9,161,448,952
MICROSOFT CORPMSFTTechnology2.79%16,025,402-220,087-1.35%$5,977,795,453
AMAZON COM INCAMZNConsumer Cyclical2.34%21,106,461-247,367-1.16%$5,030,513,915
ALPHABET INCGOOGLCommunication Services2.11%12,662,116-86,304-0.68%$4,525,060,394
BROADCOM INCAVGOTechnology1.80%10,214,768-151,290-1.46%$3,858,628,613
ALPHABET INCGOOGCommunication Services1.68%10,191,006-43,647-0.43%$3,600,788,150
VANGUARD INTL EQUITY INDEX FVWOOther1.58%56,892,979+3,639,325+6.83%$3,395,941,916
MICRON TECHNOLOGY INCMUTechnology1.31%2,436,338-34,779-1.41%$2,812,240,590
META PLATFORMS INCMETACommunication Services1.24%4,740,899-43,992-0.92%$2,670,500,998
TESLA INCTSLAConsumer Cyclical1.19%6,083,324-72,858-1.18%$2,558,646,075
VANGUARD SPECIALIZED FUNDSVIGOther1.18%10,667,534+39,692+0.37%$2,524,151,895
ROYAL BK CDARYFinancial Services1.04%10,742,367+894,918+9.09%$2,224,443,419
ELI LILLY & COLLYHealthcare0.95%1,707,634-27,594-1.59%$2,048,187,448
ADVANCED MICRO DEVICES INCAMDTechnology0.95%3,520,635-52,692-1.47%$2,045,172,078
BERKSHIRE HATHAWAY INC DELBRK-BFinancial Services0.92%3,928,567-47,965-1.21%$1,965,815,642
JPMORGAN CHASE & COJPMFinancial Services0.82%5,358,320-102,007-1.87%$1,753,938,886
TORONTO DOMINION BK ONTTDFinancial Services0.73%12,842,706+1,021,369+8.64%$1,561,493,252
VANGUARD TAX-MANAGED FDSVEAOther0.70%21,202,907+222,154+1.06%$1,510,707,124
INTEL CORPINTCTechnology0.66%10,182,666-143,429-1.39%$1,421,805,654
VANGUARD INDEX FDSVVOther0.64%4,017,275+12,938+0.32%$1,381,581,045
JOHNSON & JOHNSONJNJHealthcare0.62%5,244,145-62,211-1.17%$1,331,855,506
VANGUARD BD INDEX FDSBNDOther0.61%17,950,234+916,931+5.38%$1,317,726,678
EXXON MOBIL CORPXOMEnergy0.58%9,089,256-159,168-1.72%$1,242,683,080
APPLIED MATLS INCAMATTechnology0.58%1,715,723-24,147-1.39%$1,240,467,729
VISA INCVFinancial Services0.57%3,580,028-98,788-2.69%$1,228,271,807
LAM RESEARCH CORPLRCXOther0.55%2,705,819-35,013-1.28%$1,172,512,547
WALMART INCWMTConsumer Defensive0.50%9,441,918-126,758-1.32%$1,069,391,633
Showing 30 of 3,159 holdings in the latest reporting period.