Universe · entity

Vanguard Global Advisers, LLC

Institutional manager (13F) · CIK 1811242
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $118.6B
#IssuerValueShares
1VANGUARD INDEX FDS$23.7B39,600,312
2VANGUARD INDEX FDS$11.8B36,915,651
3NVIDIA CORPORATION$9.3B53,076,668
4APPLE INC$8.1B32,093,749
5MICROSOFT CORP$6.0B16,245,489
6AMAZON COM INC$4.4B21,353,828
7ALPHABET INC$3.7B12,748,420
8BROADCOM INC$3.2B10,366,058
9ALPHABET INC$2.9B10,234,653
10VANGUARD INTL EQUITY INDEX F$2.9B53,253,654
11META PLATFORMS INC$2.7B4,784,891
12TESLA INC$2.3B6,156,182
13VANGUARD SPECIALIZED FUNDS$2.3B10,627,842
14BERKSHIRE HATHAWAY INC DEL$1.9B3,976,532
15JPMORGAN CHASE & CO$1.6B5,460,327
16ELI LILLY & CO$1.6B1,735,228
17ROYAL BK CDA$1.6B9,847,449
18EXXON MOBIL CORP$1.6B9,248,424
19VANGUARD TAX-MANAGED FDS$1.3B20,980,753
20JOHNSON & JOHNSON$1.3B5,306,356
21VANGUARD BD INDEX FDS$1.3B17,033,303
22VANGUARD INDEX FDS$1.2B4,004,337
23WALMART INC$1.2B9,568,676
24VISA INC$1.1B3,678,816
25TORONTO DOMINION BK ONT$1.1B11,821,337
26VANGUARD CHARLOTTE FDS$981M20,417,003
27COSTCO WHOLESALE CORPORATION$968M971,143
28MASTERCARD INCORPORATED$890M1,781,140
29NETFLIX INC.$888M9,238,333
30ABBVIE INC$849M3,905,658
31CHEVRON CORPORATION$848M4,098,933
32MICRON TECHNOLOGY INC$835M2,471,117
33ENBRIDGE INC$831M15,326,783
34PROCTER & GAMBLE CO$747M5,169,531
35PALANTIR TECHNOLOGIES INC$728M4,979,993
36ADVANCED MICRO DEVICES INC$727M3,573,327
37HOME DEPOT INC$721M2,191,475
38CATERPILLAR INC$721M1,017,138
39CANADIAN NAT RES LTD MED TER$708M14,519,724
40BANK MONTREAL MEDIUM$675M4,984,278
41BANK AMERICA CORP$673M13,813,318
42CISCO SYS INC$673M8,678,769
43MERCK & CO INC$672M5,585,694
44GE AEROSPACE$651M2,292,591
45COCA COLA CO$645M8,476,644
46CANADIAN IMPERIAL BANK OF CO$627M6,619,005
47BANK NOVA SCOTIA B C$609M8,776,836
48APPLIED MATLS INC$595M1,739,870
49LAM RESEARCH CORP$586M2,740,832
50SHOPIFY INC$584M4,919,938
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.