VDIGX Vanguard Dividend Growth Fund

Management style

Active

Asset class

Domestic Stock - General

Category

Large Blend

Risk / reward scale

Start of Risk Scale. On a scale of 1 to 5, 1 is less risk less reward, 5 is more risk more reward
The fund risk level is a 4

Less

More

End of Risk Scale.

Expense ratio

0.29%

as of 05/24/2024

as of 03/31/2025

Investment minimum

$3,000

as of 04/25/2025

NAV price

$34.23

as of 04/25/2025

Overview

Key facts

CUSIP

921908604

Management style

Active

Asset class

Domestic Stock - General

Category

Large Blend

Inception date

05/15/1992

Fund Number

0057

Ratings

Risk / reward scale

Start of Risk Scale. On a scale of 1 to 5, 1 is less risk less reward, 5 is more risk more reward
The fund risk level is a 4

Less

More

End of Risk Scale.
Price

Minimum Investment

$3,000

NAV Price

$34.23

as of 04/25/2025

NAV change

increased$0.03 (0.09%)

as of 04/25/2025

Expense Ratio

0.29%

as of 05/24/2024

Performance

YTD returns

-3.02%

as of 04/25/2025

Product summary

This fund is designed to provide investors with some income while offering exposure to dividend-focused companies across all industries. The fund focuses on high-quality companies that have both the ability and the commitment to grow their dividends over time. One of the fund’s risks is the possibility that returns from dividend-paying stocks will trail returns from the overall stock market during any given period. Another risk is the volatility that comes with the fund’s full exposure to the stock market. An investor with a well-balanced, long-term portfolio who seeks exposure to dividend-focused companies may wish to consider this fund.

Fund management

Wellington Management Company LLP

Performance & fees

Total returns
Month-end/Quarterly Pre-Tax Toggle

as of 03/31/2025

Recent returns

Average annual

Month-end3-Month totalYTD1-yr3-yr5-yr10-yr

Since inception

05/15/1992

VDIGX2

-3.07%0.09%0.09%2.94%4.63%13.67%10.40%8.97%

Benchmark

-4.03%-0.45%-0.45%8.18%8.32%15.66%11.41%8.52%

as of 03/31/2025

Year1st Qtr2nd Qtr3rd Qtr4th QtrYear-end

Benchmark

20250.09%
20246.01%-1.57%9.65%-4.72%9.03% 17.07%
20230.13%3.47%-5.47%10.38%8.10% 14.52%
2022-2.04%-9.17%-5.50%13.11%-4.88% -9.70%
20214.26%6.56%0.71%11.57%24.84% 23.71%
2020-17.29%13.14%9.92%8.94%12.06% 15.62%
201913.84%6.29%3.47%4.58%30.95% 29.75%
2018-1.06%2.95%8.06%-8.99%0.18% -1.98%
20175.87%3.85%2.76%5.63%19.33% 22.29%
20162.86%2.66%0.81%1.01%7.53% 11.93%
20150.86%-1.54%-3.26%6.83%2.62% -1.88%

as of 12/31/2024

Year

Capital return by NAV

Income return by NAV

Total return by NAV

Benchmark

20247.15% 1.88%9.03%17.07%
20236.26% 1.85%8.10%14.52%
2022-6.49% 1.60%-4.88%-9.70%
202122.97% 1.86%24.84%23.71%
202010.09% 1.97%12.06%15.62%
201928.70% 2.25%30.95%29.75%
2018-1.78% 1.96%0.18%-1.98%
201717.04% 2.29%19.33%22.29%
20165.49% 2.04%7.53%11.93%
20150.73% 1.89%2.62%-1.88%
20149.72% 2.12%11.85%10.12%
201329.02% 2.51%31.53%29.03%
20127.91% 2.47%10.39%11.73%
20117.23% 2.19%9.43%6.32%
20109.19% 2.23%11.42%13.28%

as of 03/31/2025

1-yr3-yr5-yr10-yr

Since inception

05/15/1992

VDIGX2.94% 14.54%89.78% 168.87% 1584.59%

Benchmark

8.18%27.11%107.00%194.60%

Expense ratio

VDIGX

0.29%

Average expense ratio of similar funds3

0.75%

Historical volatility measures
as of 03/31/2025
BenchmarkR-Squared4Beta4
Dividend Growth Spliced Index10.950.89
Dow Jones U.S. Total Stock Market Index0.760.67
Fund-specific fees

Purchase fee

None

Fund family redemption fee

None

The performance data shown represent past performance, which is not a guarantee of future results. Investment returns and principal value will fluctuate so that investors' shares, when sold, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data cited.

Performance data do not reflect the deduction of the $25 annual account service fee that may be applied to certain accounts. If this fee was included, performance would be lower.

Price

Closing price

Closing price as of 04/25/2025

NAV

$34.23

NAV change

increased$0.03 (0.09%)

52-week High

$42.21

as of 10/18/2024

52-week Low

$32.13

as of 04/08/2025

52-week Difference

$10.08 (31.37%)

30 day SEC yield

1.58%

 

B SEC yield footnote code

 

as of 03/31/2025

Historical prices
Chart/Table Toggle
NameDateNAV
VDIGX 04/25/2025
$34.23

This chart can’t be displayed on mobile devices. For the best viewing experience, visit this page from your desktop or laptop.

Portfolio composition

Characteristics

as of 03/31/2025

FundamentalVDIGX
Benchmark
Number of stocks 44 338
Median market cap $171.8 B $223.4 B
Earnings growth rate 13.2% 11.1%
Short-term reserves 0.8%
P/E ratio 26.5x 24.5x
P/B ratio 7.2x 4.8x
Turnover rate (Fiscal Year-end 01/31/2025) 15.6%
Return on equity 32.3% 28.0%
Foreign holdings 5.0%
Fund total net assets as of 03/31/2025 $47.4 B
Stylebox

Equity

Market Captialization Large Investment Style Blend

Weighted exposures

as of 03/31/2025

2.30%CommunicationServices
Sectors5VDIGX Benchmark Benchmark+/- Weight Communication Services2.30%0.70%1.60%Consumer Discretionary11.20%5.60%5.60%Consumer Staples12.00%11.10%0.90%Financials16.40%22.70%-6.30%Health Care16.60%17.70%-1.10%Industrials17.00%11.00%6.00%Information Technology18.50%22.00%-3.50%Materials5.00%3.40%1.60%Real Estate1.00%

Weighted equity exposures exclude any temporary cash investments and equity index futures. Some short-term fixed income securities are classified as cash and are excluded from the weighted bond exposures.

Holding details

as of 12/31/2024

Ticker Holdings Shares Market value
AAPL Apple Inc. 8,884,808 $2,224,933,619
MSFT Microsoft Corp. 4,721,390 $1,990,065,885
SYK Stryker Corp. 5,311,661 $1,912,463,543
MCD McDonald's Corp. 6,542,832 $1,896,701,568
UNH UnitedHealth Group Inc. 3,356,144 $1,697,739,004
MA Mastercard Inc. Class A 2,965,744 $1,561,671,818
DHR Danaher Corp. 6,797,445 $1,560,353,500
ACN Accenture plc Class A 4,411,006 $1,551,747,801
HON Honeywell International Inc. 6,678,706 $1,508,652,898
V Visa Inc. Class A 4,640,689 $1,466,643,352
Name

of issuer

Title of issuer Coupon/Yield Category of investment Cusip/Other id Effective maturity date Final maturity date Principal amount Amortized cost
037833100
594918104
863667101
580135101
91324P102
57636Q104
235851102
G1151C101
438516106
92826C839
Ticker Description Shares
AAPL
MSFT
SYK
MCD
UNH
MA
DHR
ACN
HON
V
Ticker Holdings Shares Market value
AAPL Apple Inc. 8,884,808 $2,224,933,619
MSFT Microsoft Corp. 4,721,390 $1,990,065,885
SYK Stryker Corp. 5,311,661 $1,912,463,543
MCD McDonald's Corp. 6,542,832 $1,896,701,568
UNH UnitedHealth Group Inc. 3,356,144 $1,697,739,004
MA Mastercard Inc. Class A 2,965,744 $1,561,671,818
DHR Danaher Corp. 6,797,445 $1,560,353,500
ACN Accenture plc Class A 4,411,006 $1,551,747,801
HON Honeywell International Inc. 6,678,706 $1,508,652,898
V Visa Inc. Class A 4,640,689 $1,466,643,352
Name

of issuer

Title of issuer Coupon/Yield Category of investment Cusip/Other id Effective maturity date Final maturity date Principal amount Amortized cost
037833100
594918104
863667101
580135101
91324P102
57636Q104
235851102
G1151C101
438516106
92826C839
Ticker Description Shares
AAPL
MSFT
SYK
MCD
UNH
MA
DHR
ACN
HON
V
Ticker Holdings Shares Market value
AAPL Apple Inc. 8,884,808 $2,224,933,619
MSFT Microsoft Corp. 4,721,390 $1,990,065,885
SYK Stryker Corp. 5,311,661 $1,912,463,543
MCD McDonald's Corp. 6,542,832 $1,896,701,568
UNH UnitedHealth Group Inc. 3,356,144 $1,697,739,004
MA Mastercard Inc. Class A 2,965,744 $1,561,671,818
DHR Danaher Corp. 6,797,445 $1,560,353,500
ACN Accenture plc Class A 4,411,006 $1,551,747,801
HON Honeywell International Inc. 6,678,706 $1,508,652,898
V Visa Inc. Class A 4,640,689 $1,466,643,352
Name

of issuer

Title of issuer Coupon/Yield Category of investment Cusip/Other id Effective maturity date Final maturity date Principal amount Amortized cost
037833100
594918104
863667101
580135101
91324P102
57636Q104
235851102
G1151C101
438516106
92826C839
Ticker Description Shares
AAPL
MSFT
SYK
MCD
UNH
MA
DHR
ACN
HON
V

Distributions

Realized/Unrealized gains

as of 03/31/2025

Realized gain

$1.10

% of NAV

increased3.11%

Unrealized gains of NAV

$15.80

% of NAV

increased44.73%

Fiscal year end

01/31/2025

Distribution schedule

Semi-Annually

How your fund can affect your taxes

A fund's capital gains and losses can reveal the tax implications of holding a particular fund in a taxable account. This is true of both realized and unrealized capital gains and losses.

These tax implications don't apply to investors holding a fund in a tax-deferred account, such as an IRA or employer-sponsored retirement plan.

Learn about realized and unrealized gains and losses

How your fund can affect your taxes

A fund's capital gains and losses can reveal the tax implications of holding a particular fund in a taxable account. This is true of both realized and unrealized capital gains and losses.

These tax implications don't apply to investors holding a fund in a tax-deferred account, such as an IRA or employer-sponsored retirement plan.

Learn about realized and unrealized gains and losses
Dividend income and capital gains
Type$/Share Payable date Record date Reinvest date Reinvest price
Dividend$0.04630003/31/202503/27/202503/28/2025$34.94
ST Cap Gain$0.02304003/31/202503/27/202503/28/2025$34.94
LT Cap Gain$0.83431503/31/202503/27/202503/28/2025$34.94
Dividend$0.34130012/31/202412/27/202412/30/2024$36.19
ST Cap Gain$0.03584412/31/202412/27/202412/30/2024$36.19
LT Cap Gain$3.23825512/31/202412/27/202412/30/2024$36.19
Dividend$0.28820007/01/202406/27/202406/28/2024$38.12
Dividend$0.04930003/28/202403/26/202403/27/2024$38.95
LT Cap Gain$0.37793403/28/202403/26/202403/27/2024$38.95
Dividend$0.33600012/28/202312/26/202312/27/2023$37.12

Fund management

Vanguard Dividend Growth Fund seeks above-average current income and long-term growth of capital and income. The advisor, Wellington Management Company LLP, invests in a diversified array of stable, well-managed companies that have a history of or a potential for growing dividends over time. Valuation is key to security selection, with the advisor preferring stocks that trade at a discount to the market or that possess an attractive risk/reward profile. The advisor is not constrained by a traditional value or growth mandate, but is permitted sufficient style latitude to search a broad investment universe for quality stocks.

 

Wellington Management Company LLP
Founded in 1928, Wellington Management Company LLP, Boston, Massachusetts, is among the nation’s oldest and most respected institutional investment managers. The firm has advised Vanguard Dividend Growth Fund since 1992.
Peter C. Fisher
Senior Managing Director, Portfolio manager.
Advised the fund since 2022. Worked in investment management since 2000. B.A., Davidson College. M.B.A., University of Chicago, Booth School of Business.

Performance & fees

1
Russell 1000 Index through January 31, 2010; NASDAQ US Dividend Achievers Select Index (formerly known as the Dividend Achievers Select Index) through September 19, 2021, S&P U.S. Dividend Growers Index thereafter. Prior to December 6, 2002, the comparative benchmark was known as the Utilities Composite Index. The index weightings were: 40% S&P Utilities Index, 40% S&P Telephone Index, and 20% Lehman Brothers Utility Bond Index through April 30, 1999; 63.75% S&P Utilities Index, 21.25% S&P Telephone Index, and 15% Lehman Brothers Utility Bond Index through March 31, 2000; 75% S&P Utilities Index and 25% S&P Telephone Index through December 31, 2001; and 75% S&P Utilities Index and 25% S&P Integrated Telecommunication Services Index through December 6, 2002.
2

Effective December 6, 2002, the fund changed its investment objective and concentration policy. Prior to making these modifications, the fund was called Vanguard Utilities Income Fund, reflecting its former policy of investing in income-producing stocks of utilities companies. The performance prior to December 6, 2002, reflects the fund's performance under its former investment objective and concentration policy.

3

Most recent data available. © 2023 Morningstar, Inc. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; (3) does not constitute investment advice offered by Morningstar; and (4) is not warranted to be accurate, complete, or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results.

4

R-squared and beta are calculated from trailing 36-month fund returns relative to the associated benchmark.

Portfolio composition

5

Sector categories are based on the Global Industry Classification Standard (“GICS”), except for the “Other” category (if applicable), which includes securities that have not been provided a GICS classification as of the effective reporting period.

© 2023 Morningstar, Inc. All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results.

Vanguard average mutual fund expense ratio: 0.09%. Industry average mutual fund expense ratio: 0.50%. All averages are asset-weighted. Industry average excludes Vanguard. Sources: Vanguard and Morningstar, Inc., as of December 31, 2023.

Total returns: Short-term total return information is provided only as a service. Historical performance—particularly short-term performance—is no guarantee of future returns. Price, yield, and return on an actual investment will fluctuate, and you may have a gain or loss when you sell. Average annual returns include changes in price and reinvestments of dividends and capital gains. Since-inception returns for less than 1 year and year-to-date returns aren't annualized. Index performance is provided as a benchmark but isn't illustrative of any particular investment. You can't invest in an index.

Standardized returns: To see quarterly fee-adjusted returns, refer to the Price & Performance details.

Expense ratios: Expense ratios are displayed on Overview. For investments that are less than 1 fiscal year old, expense ratios are estimated.

Risk: All investing is subject to risk, including the possible loss of the money you invest. Funds that concentrate on a relatively narrow market sector face the risk of higher share-price volatility. Investments in stocks or bonds issued by non-U.S. companies are subject to risks including country/regional risk and currency risk.

An investment in the fund could lose money over short or even long periods. You should expect the fund’s share price and total return to fluctuate within a wide range, like the fluctuations of the overall stock market. The fund’s performance could be hurt by:

  • Stock market risk: The chance that stock prices overall will decline. Stock markets tend to move in cycles, with periods of rising stock prices and periods of falling stock prices.
  • Manager risk: The chance that poor security selection will cause the fund to underperform relevant benchmarks or other funds with a similar investment objective.
  • Investment style risk: The chance that returns from dividend-paying large-capitalization stocks will trail returns from the overall stock market. Specific types of stocks tend to go through cycles of doing better—or worse—than the stock market in general. These periods have, in the past, lasted for as long as several years.
  • Asset concentration risk: The chance that the fund’s performance may be hurt disproportionately by the poor performance of relatively few stocks. The fund tends to invest a high percentage of assets in its ten largest holdings.