Vanguard 500 Index Fund

as of:
Stock Holdings

510 Holdings
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Holding Shares Market Value
Apple Inc.80,636,099$11,583,375,621
Microsoft Corp.118,766,795$8,130,774,786
Amazon.com Inc.6,087,066$5,630,475,179
Facebook Inc. Class A36,197,660$5,438,698,415
Exxon Mobil Corp.63,730,616$5,203,604,796
Johnson & Johnson41,702,462$5,149,002,983
JPMorgan Chase & Co.54,897,903$4,776,117,561
Berkshire Hathaway Inc. Class B27,663,084$4,570,218,108
Alphabet Inc. Class A4,566,360$4,221,691,147
Alphabet Inc. Class C4,541,768$4,114,660,137
General Electric Co.134,097,159$3,887,476,639
AT&T Inc.94,394,745$3,740,863,744
Wells Fargo & Co.69,209,331$3,726,230,381
Bank of America Corp.154,074,615$3,596,101,514
Procter & Gamble Co.39,292,674$3,431,429,220
Chevron Corp.29,096,451$3,104,591,322
Pfizer Inc.91,477,006$3,102,900,044
Home Depot Inc.18,722,465$2,922,576,787
Verizon Communications Inc.62,652,903$2,876,394,777
Comcast Corp. Class A72,736,642$2,850,549,000
Philip Morris International Inc.23,843,969$2,642,865,524
Merck & Co. Inc.42,197,815$2,630,189,809
Intel Corp.72,665,020$2,626,840,473
Cisco Systems Inc.76,967,373$2,622,278,398
Visa Inc. Class A28,555,986$2,604,877,043
UnitedHealth Group Inc.14,785,431$2,585,676,173
Walt Disney Co.22,357,549$2,584,532,664
Coca-Cola Co.59,388,924$2,562,632,071
Citigroup Inc.42,583,173$2,517,517,188
PepsiCo Inc.21,935,027$2,484,799,859
Altria Group Inc.29,807,273$2,139,566,056
International Business Machines Corp.13,191,876$2,114,525,804
Oracle Corp.46,062,478$2,070,969,011
Amgen Inc.11,319,470$1,848,695,840
3M Co.9,163,521$1,794,492,317
McDonald's Corp.12,587,703$1,761,397,281
Medtronic plc21,040,726$1,748,273,923
Wal-Mart Stores Inc.23,143,734$1,739,945,922
Mastercard Inc. Class A14,480,103$1,684,325,581
Boeing Co.8,754,620$1,618,116,415
AbbVie Inc.24,494,740$1,615,183,156
Schlumberger Ltd.21,428,382$1,555,486,249
Honeywell International Inc.11,699,912$1,534,326,460
Celgene Corp.11,955,877$1,483,126,542
Bristol-Myers Squibb Co.25,705,287$1,440,781,336
Union Pacific Corp.12,508,576$1,400,460,169
Priceline Group Inc.755,760$1,395,752,683
Gilead Sciences Inc.20,086,379$1,376,921,280
United Technologies Corp.11,517,327$1,370,446,740
Broadcom Ltd.6,164,693$1,361,225,861
510 Holdings
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