Vanguard 500 Index Fund

as of:
Stock Holdings

511 Holdings
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Holding Shares Market Value
Apple Inc.80,050,315$11,500,028,253
Microsoft Corp.117,905,478$7,765,254,781
Amazon.com Inc.6,042,747$5,357,136,925
Exxon Mobil Corp.63,268,810$5,188,675,108
Johnson & Johnson41,400,451$5,156,426,172
Facebook Inc. Class A35,933,667$5,104,377,397
JPMorgan Chase & Co.54,501,875$4,787,444,700
Berkshire Hathaway Inc. Class B27,452,060$4,575,709,361
General Electric Co.133,130,467$3,967,287,917
AT&T Inc.93,701,429$3,893,294,375
Alphabet Inc. Class A4,529,087$3,839,759,959
Wells Fargo & Co.68,708,330$3,824,305,648
Alphabet Inc. Class C4,512,882$3,743,706,392
Bank of America Corp.152,965,758$3,608,462,231
Procter & Gamble Co.39,002,685$3,504,391,247
Pfizer Inc.90,816,373$3,106,828,120
Chevron Corp.28,885,927$3,101,481,982
Verizon Communications Inc.62,263,546$3,035,347,868
Home Depot Inc.18,585,664$2,728,933,045
Comcast Corp. Class A72,204,605$2,714,171,102
Philip Morris International Inc.23,668,956$2,672,225,132
Merck & Co. Inc.41,892,934$2,661,877,026
Intel Corp.72,148,051$2,602,380,200
Cisco Systems Inc.76,415,783$2,582,853,465
Citigroup Inc.42,280,065$2,529,193,488
Visa Inc. Class A28,348,643$2,519,343,903
Walt Disney Co.22,193,918$2,516,568,362
Coca-Cola Co.58,956,575$2,502,117,043
PepsiCo Inc.21,772,766$2,435,501,605
UnitedHealth Group Inc.14,678,230$2,407,376,502
International Business Machines Corp.13,095,856$2,280,512,364
Altria Group Inc.29,591,271$2,113,408,575
Oracle Corp.45,731,345$2,040,075,300
Amgen Inc.11,237,159$1,843,680,677
3M Co.9,097,408$1,740,607,073
Medtronic plc20,889,217$1,682,835,322
Schlumberger Ltd.21,274,592$1,661,545,635
Wal-Mart Stores Inc.22,976,161$1,656,121,685
McDonald's Corp.12,495,725$1,619,570,917
Mastercard Inc. Class A14,374,929$1,616,748,265
AbbVie Inc.24,320,754$1,584,740,331
Boeing Co.8,690,875$1,537,068,153
Celgene Corp.11,870,672$1,477,067,717
Honeywell International Inc.11,615,971$1,450,486,299
Bristol-Myers Squibb Co.25,523,892$1,387,989,247
Gilead Sciences Inc.19,944,310$1,354,617,535
Broadcom Ltd.6,119,430$1,339,910,393
Priceline Group Inc.750,275$1,335,466,992
Union Pacific Corp.12,417,795$1,315,292,846
Starbucks Corp.22,237,299$1,298,435,889
511 Holdings
1-50 of 511 |   Next>