Vanguard 500 Index Fund

as of:
Stock Holdings

510 Holdings
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Holding Shares Market Value
Apple Inc.81,860,505$12,505,010,744
Microsoft Corp.120,611,470$8,423,505,065
Amazon.com Inc.6,182,591$6,149,328,660
Facebook Inc. Class A36,815,319$5,576,048,216
Johnson & Johnson42,333,980$5,429,332,935
Exxon Mobil Corp.64,696,057$5,208,032,589
Berkshire Hathaway Inc. Class B28,101,751$4,644,657,405
JPMorgan Chase & Co.55,732,942$4,578,461,185
Alphabet Inc. Class A4,622,022$4,562,351,696
Alphabet Inc. Class C4,639,748$4,476,707,255
General Electric Co.136,127,028$3,727,158,027
AT&T Inc.95,841,551$3,692,774,960
Wells Fargo & Co.70,260,823$3,593,138,488
Procter & Gamble Co.39,897,542$3,514,574,475
Bank of America Corp.156,420,970$3,505,393,938
Comcast Corp. Class A73,849,669$3,078,792,701
Chevron Corp.29,538,841$3,056,679,267
Pfizer Inc.92,858,234$3,031,821,340
Verizon Communications Inc.63,598,549$2,966,236,325
Home Depot Inc.19,003,699$2,917,257,833
Philip Morris International Inc.24,204,728$2,899,726,414
Merck & Co. Inc.42,838,348$2,789,204,838
Visa Inc. Class A28,997,932$2,761,473,064
Coca-Cola Co.60,289,197$2,741,349,788
Intel Corp.73,775,510$2,664,033,666
UnitedHealth Group Inc.15,010,284$2,629,501,551
Citigroup Inc.43,231,048$2,617,207,646
PepsiCo Inc.22,265,734$2,602,196,333
Cisco Systems Inc.78,152,992$2,464,163,838
Walt Disney Co.22,699,094$2,450,140,206
Altria Group Inc.30,254,721$2,282,416,152
Oracle Corp.46,823,863$2,125,335,142
International Business Machines Corp.13,392,342$2,044,073,159
McDonald's Corp.12,778,326$1,928,121,610
3M Co.9,300,396$1,901,651,970
Wal-Mart Stores Inc.23,500,786$1,847,161,780
Mastercard Inc. Class A14,701,455$1,806,514,790
Medtronic plc21,368,192$1,800,911,222
Amgen Inc.11,492,922$1,784,161,211
Boeing Co.8,885,686$1,667,221,264
AbbVie Inc.24,872,212$1,642,063,436
Honeywell International Inc.11,874,321$1,579,165,950
Schlumberger Ltd.21,750,784$1,513,637,059
Broadcom Ltd.6,259,137$1,498,938,129
Starbucks Corp.22,742,980$1,446,680,958
Priceline Group Inc.768,581$1,442,695,709
United Technologies Corp.11,696,095$1,418,502,402
Bristol-Myers Squibb Co.26,094,351$1,407,790,236
Union Pacific Corp.12,694,950$1,400,252,985
Celgene Corp.12,141,020$1,389,054,098
510 Holdings
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