Vanguard 500 Index Fund

as of:
Stock Holdings

504 Holdings
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Holding Shares Market Value
Apple Inc.65,323,785$8,391,493,421
Exxon Mobil Corp.47,165,106$4,175,998,485
Microsoft Corp.91,810,546$4,025,892,442
Johnson & Johnson31,177,040$3,195,958,370
General Electric Co.111,851,929$2,907,031,635
Wells Fargo & Co.52,580,572$2,880,889,540
Berkshire Hathaway Inc. Class B18,748,059$2,763,651,377
Procter & Gamble Co.30,096,792$2,562,139,903
JPMorgan Chase & Co.41,636,692$2,551,496,486
Pfizer Inc.70,177,993$2,408,508,720
Verizon Communications Inc.46,220,464$2,285,601,945
Chevron Corp.21,055,981$2,246,252,053
AT&T Inc.57,773,868$1,996,664,878
Coca-Cola Co.43,907,924$1,901,213,109
Merck & Co. Inc.31,753,616$1,858,856,681
Bank of America Corp.117,134,395$1,851,894,785
Facebook Inc. Class A23,288,713$1,839,109,666
Walt Disney Co.17,376,230$1,808,518,018
Intel Corp.53,853,269$1,790,621,194
Google Inc. Class A3,174,893$1,786,290,049
Google Inc. Class C3,171,967$1,771,226,373
Citigroup Inc.33,743,060$1,768,811,205
Gilead Sciences Inc.16,803,848$1,739,702,383
Home Depot Inc.14,678,295$1,684,334,351
Cisco Systems Inc.56,956,203$1,680,777,551
International Business Machines Corp.10,251,473$1,660,123,538
PepsiCo Inc.16,669,571$1,649,954,138
Comcast Corp. Class A27,356,751$1,624,443,874
Amazon.com Inc.4,228,790$1,607,616,806
Oracle Corp.36,030,475$1,578,855,415
Wal-Mart Stores Inc.17,591,271$1,476,435,375
Visa Inc. Class A5,440,132$1,475,962,213
Philip Morris International Inc.17,305,656$1,435,677,222
QUALCOMM Inc.18,518,454$1,342,773,100
Amgen Inc.8,472,532$1,336,287,747
CVS Health Corp.12,768,719$1,326,286,843
Altria Group Inc.22,014,384$1,239,189,675
Medtronic plc15,784,840$1,224,745,736
UnitedHealth Group Inc.10,690,350$1,214,744,471
Schlumberger Ltd.14,332,590$1,206,230,774
3M Co.7,137,649$1,203,764,504
Union Pacific Corp.9,903,033$1,190,938,749
United Technologies Corp.9,443,465$1,151,252,818
Bristol-Myers Squibb Co.18,475,835$1,125,547,868
Boeing Co.7,384,942$1,114,018,501
Celgene Corp.8,896,214$1,081,156,887
Biogen Idec Inc.2,630,348$1,077,364,237
AbbVie Inc.17,746,108$1,073,639,534
McDonald's Corp.10,839,813$1,072,057,506
MasterCard Inc. Class A10,914,660$983,738,306
504 Holdings
1-50 of 504 |   Next>