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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Northrop Grumman Corp Holding Co | NYSE:NOC | NYSE | Common Stock |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
-7.61 | -1.56% | 480.45 | 488.35 | 477.71 | 487.56 | 1,371,948 | 23:20:27 |
DJ CFA SOURCE: SEC 13F-HR FILER: The Vanguard Group, Inc. QUARTER ENDED: 09/30/2013 SEC RECEIVED: 11/07/2013
The following sets forth up to 200 of the largest holdings of The Vanguard Group, Inc. as of Sep. 30, according to a Form 13F filed with the Securities and Exchange Commission.
As of Sep. 30, The Vanguard Group, Inc. held 9,905 positions valued at $1,019,093,671,149.
Up to 200 of the largest holdings of The Vanguard Group, Inc. are listed below in order of dollar value as of Sep. 30.
Company Name Value Holdings Change APPLE INC COM $20,962.062M 43,968,668 (535,667) EXXON MOBIL CORP COM $19,347.346M 224,864,557 2,725,853 CHEVRON CORP COM $12,346.818M 101,619,899 1,804,167 MICROSOFT CORP COM $12,200.229M 366,593,433 8,647,366 JOHNSON & JOHNSON COM $11,861.150M 136,822,586 4,225,966 GENERAL ELECTRIC CO COM $11,730.264M 491,011,461 4,428,947 GOOGLE INC CL A $11,715.053M 13,374,722 552,318 PROCTER & GAMBLE CO COM $10,814.403M 143,066,586 2,906,020 INTERNATIONAL BUSINESS MACHINE $10,204.159M 55,104,002 495,201 WELLS FARGO & CO COM $10,102.070M 244,483,782 3,430,298 JPMORGAN CHASE & CO INC COM $9,409,140,366 182,030,187 3,117,657 PFIZER INC COM $9,237,382,484 321,579,895 3,864,740 BERKSHIRE HATHAWAY INC CL B $8,707,197,045 76,708,634 2,788,415 AT&T INC COM $8,686,611,569 256,848,361 2,165,976 COCA COLA CO COM $8,169,435,391 215,666,193 3,339,641 BANK OF AMERICA CORP COM $6,844,562,060 495,982,758 9,271,521 PEPSICO INC COM $6,818,694,410 85,769,741 1,858,507 PHILIP MORRIS INTERNATIONAL IN $6,807,386,369 78,616,311 360,464 MERCK & CO INC COM $6,730,210,626 141,364,251 (1,576,036) CITIGROUP INC COM $6,649,327,259 137,071,269 2,505,118 WAL MART STORES INC COM $6,637,001,327 89,737,714 1,602,960 VERIZON COMMUNICATIONS INC CO $6,471,978,091 138,660,484 3,278,020 CISCO SYSTEMS INC COM $6,077,984,155 259,399,264 4,555,382 SCHLUMBERGER NV COM $5,724,029,809 64,780,781 1,099,740 INTEL CORP COM $5,696,743,280 248,538,165 5,340,277 ORACLE CORP COM $5,659,465,135 170,619,992 (1,478,394) QUALCOMM INC COM $5,570,994,972 82,753,936 979,067 MCDONALDS CORP COM $5,460,287,331 56,753,844 1,064,143 AMAZON.COM INC COM $5,452,952,141 17,441,633 459,810 SIMON PROPERTY GROUP INC COM $5,431,177,439 36,640,204 (167,119) HOME DEPOT INC COM $5,240,568,582 69,091,214 (119,320) UNITED TECHNOLOGIES CORP COM $5,239,151,703 48,591,650 1,216,026 COMCAST CORP CL A $5,162,192,968 114,422,985 1,434,729 WALT DISNEY CO COM $5,032,207,840 78,030,824 (2,132,655) VISA INC CL A $4,755,172,067 24,883,161 570,574 GILEAD SCIENCES INC COM $4,620,138,881 73,487,178 1,437,584 3M CO COM $4,517,950,310 37,835,611 1,045,233 OCCIDENTAL PETROLEUM CORP COM $4,218,542,407 45,098,807 1,128,045 CONOCOPHILLIPS COM $4,216,063,989 60,654,064 1,504,123 BOEING CO COM $4,213,298,433 35,857,859 983,119 AMGEN INC COM $4,071,882,314 36,380,454 755,914 BRISTOL MYERS SQUIBB CO COM $3,642,442,825 78,704,469 1,855,562 ABBVIE INC COM $3,604,347,649 80,580,095 3,060,527 AMERICAN EXPRESS CO COM $3,598,839,067 47,654,119 (284,718) UNION PACIFIC CORP COM $3,452,881,054 22,227,894 190,378 MASTERCARD INC CL A $3,423,689,959 5,088,870 58,189 UNITEDHEALTH GROUP INC COM $3,371,278,638 47,078,322 794,935 ALTRIA GROUP INC COM $3,330,376,907 96,954,204 1,955,029 AMERICAN INTERNATIONAL GROUP $3,313,429,025 68,135,493 1,375,922 UNITED PARCEL SERVICE INC CL $3,304,470,334 36,165,813 919,283 CVS CAREMARK CORP COM $3,247,821,909 57,230,342 1,471,543 ABBOTT LABS COM $3,151,783,735 94,961,848 1,825,769 FORD MOTOR CO COM $3,132,497,616 185,684,506 1,491,877 EBAY INC COM $3,132,433,405 56,141,830 898,359 MONSANTO CO COM $3,096,456,570 29,668,071 314,683 CELGENE CORP COM $3,085,408,111 20,017,310 68,289 US BANCORP/DE COM $3,084,612,634 84,325,113 1,240,247 TWENTY FIRST CENTURY FOX INC $3,018,374,110 90,073,832 1,182,869 GOLDMAN SACHS GROUP INC COM $3,018,327,532 19,077,982 (114,060) COLGATE PALMOLIVE CO COM $3,001,635,006 50,617,791 967,033 HONEYWELL INTERNATIONAL INC C $3,000,324,551 36,131,076 417,770 FACEBOOK INC CL A $2,949,460,343 58,719,099 12,558,990 NIKE INC CL B $2,933,247,510 40,380,610 1,326,464 MEDTRONIC INC COM $2,874,291,119 53,977,298 551,848 CATERPILLAR INC COM $2,848,813,145 34,158,431 168,122 PUBLIC STORAGE INC COM $2,780,082,997 17,315,995 23,854 BIOGEN IDEC INC COM $2,773,045,270 11,517,882 169,709 TIME WARNER INC COM $2,731,951,511 41,512,711 315,760 LOWES COS INC COM $2,721,732,344 57,167,241 460,118 STARBUCKS CORP COM $2,687,196,190 34,912,254 693,038 EOG RESOURCES INC COM $2,623,786,508 15,499,684 378,470 DU PONT E I DE NEMOURS & CO C $2,622,520,003 44,783,470 491,556 WALGREEN CO COM $2,590,249,366 48,145,899 1,204,618 MONDELEZ INTERNATIONAL INC CL $2,566,629,569 81,685,165 1,411,650 EMC CORP/MA COM $2,563,641,136 100,298,949 936,100 EMERSON ELECTRIC CO COM $2,525,583,975 39,035,301 596,158 ELI LILLY & CO COM $2,486,586,415 49,405,651 1,065,947 PRICELINE COM INC COM $2,465,012,527 2,438,313 42,088 EXPRESS SCRIPTS HOLDING CO CO $2,445,795,873 39,575,985 1,023,781 COSTCO WHOLESALE CORP COM $2,442,632,583 21,208,931 327,201 HEALTH CARE REIT INC COM $2,401,282,731 38,494,433 237,305 DUKE ENERGY CORP COM $2,343,024,782 35,085,726 628,629 ACCENTURE PLC CL A $2,329,028,996 31,627,227 270,692 ANADARKO PETROLEUM CORP COM $2,326,248,906 25,016,119 851,295 DOW CHEMICAL CO COM $2,296,143,475 59,795,403 2,506,394 PROLOGIS INC COM $2,209,775,626 58,739,384 112,994 TJX COMPANIES INC COM $2,203,276,114 39,072,107 476,327 HCP INC COM $2,189,671,561 53,471,833 (319,166) TEXAS INSTRUMENTS INCORPORATED $2,180,045,123 54,108,839 661,341 EQUITY RESIDENTIAL SBI $2,175,723,854 40,614,595 576,276 TARGET CORP COM $2,165,337,457 33,843,974 313,910 METLIFE INC COM $2,138,592,172 45,550,419 1,444,699 VENTAS INC COM $2,134,440,710 34,706,353 (59,595) AVALONBAY COMMUNITIES INC COM $2,119,900,725 16,680,311 (371) HALLIBURTON CO COM $2,003,625,071 41,612,151 (929,327) PRAXAIR INC COM $1,998,736,118 16,627,037 323,545 AUTOMATIC DATA PROCESSING INC $1,993,888,701 27,547,509 566,667 DANAHER CORP COM $1,955,115,976 28,204,212 948,228 BOSTON PROPERTIES INC COM $1,918,302,220 17,944,829 (33,629) HEWLETT PACKARD CO COM $1,903,730,660 90,697,030 1,814,236 PNC FINANCIAL SERVICES GROUP $1,868,737,626 25,793,480 1,252,162 LOCKHEED MARTIN CORP COM $1,845,200,034 14,466,484 398,869 CAPITAL ONE FINANCIAL CORP CO $1,835,832,856 26,706,908 585,147 KIMBERLY CLARK CORP COM $1,799,480,833 19,098,714 371,648 SOUTHERN CO COM $1,785,066,398 43,347,897 939,834 DOMINION RESOURCES INC/VA COM $1,777,265,468 28,445,350 565,099 ILLINOIS TOOL WORKS INC COM $1,768,514,591 23,187,552 497,439 VIACOM INC CL B $1,762,128,256 21,083,133 277,695 PRUDENTIAL FINANCIAL INC COM $1,704,368,700 21,856,485 388,719 BAXTER INTERNATIONAL INC COM $1,695,782,358 25,814,924 (183,336) MORGAN STANLEY COM $1,693,891,530 62,853,118 456,851 NEXTERA ENERGY INC COM $1,680,079,292 20,959,073 369,642 GENERAL DYNAMICS CORP COM $1,678,496,281 19,178,431 1,249,813 VORNADO REALTY TRUST SBI $1,673,574,665 19,909,287 12,731 PHILLIPS 66 COM $1,668,320,876 28,853,699 (11,961) LYONDELLBASELL INDUSTRIES ORD $1,655,146,730 22,602,031 3,143,364 AFLAC INC COM $1,651,249,017 26,637,345 674,348 FREEPORT MCMORAN COPPER CL B $1,647,503,683 49,803,618 1,199,178 NATIONAL OILWELL VARCO INC CO $1,621,937,591 20,764,788 394,694 ACE LTD ORD $1,621,173,998 17,327,640 389,947 APACHE CORP COM $1,588,879,445 18,661,962 653,867 BANK OF NEW YORK MELLON CORP $1,586,689,279 52,556,783 703,717 BLACKROCK INC CL A $1,586,301,914 5,861,732 161,447 HOST HOTELS & RESORTS (MARRIOT $1,584,034,359 89,645,408 1,228,073
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