Vanguard 500 Index Fund

as of:
Stock Holdings

512 Holdings
1-50 of 512 |   Next>

Holding Shares Market Value
Apple Inc.83,653,056$13,719,101,184
Microsoft Corp.123,870,751$9,261,816,052
Facebook Inc. Class A37,924,551$6,521,885,035
Amazon.com Inc.6,365,108$6,241,624,905
Johnson & Johnson43,220,639$5,721,115,984
Berkshire Hathaway Inc. Class B28,952,307$5,244,999,936
Exxon Mobil Corp.67,985,747$5,189,352,069
JPMorgan Chase & Co.57,002,873$5,180,991,127
Alphabet Inc. Class A4,775,696$4,561,935,847
Alphabet Inc. Class C4,787,052$4,496,621,555
Bank of America Corp.159,674,418$3,814,621,846
Procter & Gamble Co.41,034,704$3,786,272,138
AT&T Inc.98,641,068$3,695,094,407
Wells Fargo & Co.72,162,054$3,685,316,098
General Electric Co.139,727,693$3,430,314,863
Chevron Corp.30,397,848$3,271,416,402
Pfizer Inc.95,749,899$3,247,836,574
Verizon Communications Inc.65,450,968$3,139,682,935
Comcast Corp. Class A75,930,529$3,083,538,783
UnitedHealth Group Inc.15,461,429$3,075,278,228
Visa Inc. Class A29,621,508$3,066,418,508
Citigroup Inc.44,174,934$3,005,220,760
Philip Morris International Inc.24,919,607$2,913,849,647
Home Depot Inc.19,181,547$2,874,738,449
Coca-Cola Co.61,698,118$2,810,349,275
Merck & Co. Inc.43,883,957$2,802,429,494
PepsiCo Inc.22,920,405$2,652,578,471
Intel Corp.75,553,493$2,649,661,000
Cisco Systems Inc.80,224,533$2,584,032,208
Oracle Corp.48,192,848$2,425,546,040
Walt Disney Co.23,338,895$2,361,896,174
Boeing Co.9,006,030$2,158,385,150
Amgen Inc.11,806,690$2,098,875,281
McDonald's Corp.13,077,098$2,091,943,367
Mastercard Inc. Class A15,048,756$2,005,999,175
Altria Group Inc.30,992,439$1,964,920,633
International Business Machines Corp.13,717,078$1,961,953,666
3M Co.9,587,875$1,958,994,620
AbbVie Inc.25,534,484$1,922,746,645
Wal-Mart Stores Inc.23,699,373$1,850,210,050
Medtronic plc21,963,500$1,770,697,370
Gilead Sciences Inc.20,965,156$1,754,993,209
Celgene Corp.12,527,486$1,740,443,630
Honeywell International Inc.12,230,881$1,691,163,916
Broadcom Ltd.6,439,648$1,623,242,071
NVIDIA Corp.9,546,363$1,617,535,747
Bristol-Myers Squibb Co.26,432,462$1,598,635,302
Priceline Group Inc.788,864$1,461,039,237
United Technologies Corp.11,955,629$1,431,327,904
Abbott Laboratories27,841,872$1,418,264,960
512 Holdings
1-50 of 512 |   Next>