Vanguard 500 Index Fund

as of:
Stock Holdings

506 Holdings
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Holding Shares Market Value
Apple Inc.82,373,427$11,863,420,957
Microsoft Corp.121,969,818$8,407,379,555
Amazon.com Inc.6,268,600$6,068,004,800
Facebook Inc. Class A37,345,375$5,638,404,718
Johnson & Johnson42,553,380$5,629,386,640
Exxon Mobil Corp.66,945,490$5,404,509,408
JPMorgan Chase & Co.56,119,843$5,129,353,650
Berkshire Hathaway Inc. Class B28,451,496$4,818,829,878
Alphabet Inc. Class A4,707,787$4,376,735,418
Alphabet Inc. Class C4,707,690$4,278,019,134
Wells Fargo & Co.71,073,951$3,938,207,625
Bank of America Corp.157,308,184$3,816,296,544
General Electric Co.137,632,967$3,717,466,439
AT&T Inc.97,137,557$3,665,000,026
Procter & Gamble Co.40,387,811$3,519,797,729
Pfizer Inc.94,300,517$3,167,554,366
Chevron Corp.29,940,137$3,123,654,493
Comcast Corp. Class A74,806,986$2,911,487,895
Citigroup Inc.43,518,425$2,910,512,264
Home Depot Inc.18,898,755$2,899,069,017
Philip Morris International Inc.24,531,669$2,881,244,524
Verizon Communications Inc.64,470,190$2,879,238,685
UnitedHealth Group Inc.15,234,836$2,824,843,291
Merck & Co. Inc.43,227,047$2,770,421,442
Visa Inc. Class A29,164,844$2,735,079,070
Coca-Cola Co.60,738,022$2,724,100,287
PepsiCo Inc.22,566,398$2,606,193,305
Intel Corp.74,397,657$2,510,176,947
Cisco Systems Inc.79,040,446$2,473,965,960
Walt Disney Co.22,987,012$2,442,370,025
Oracle Corp.47,477,276$2,380,510,619
Altria Group Inc.30,517,925$2,272,669,875
International Business Machines Corp.13,510,067$2,078,253,607
Amgen Inc.11,636,998$2,004,240,166
McDonald's Corp.12,880,312$1,972,748,586
3M Co.9,444,656$1,966,282,933
Medtronic plc21,641,780$1,920,707,975
AbbVie Inc.25,159,195$1,824,293,229
Mastercard Inc. Class A14,824,872$1,800,480,704
Wal-Mart Stores Inc.23,350,446$1,767,161,753
Boeing Co.8,875,794$1,755,188,264
Honeywell International Inc.12,052,676$1,606,501,184
Celgene Corp.12,354,454$1,604,472,941
Broadcom Ltd.6,347,571$1,479,301,422
Gilead Sciences Inc.20,618,698$1,459,391,444
Priceline Group Inc.777,725$1,454,750,167
Bristol-Myers Squibb Co.26,063,339$1,452,249,249
Schlumberger Ltd.21,982,912$1,447,354,926
United Technologies Corp.11,783,941$1,438,937,036
Union Pacific Corp.12,770,321$1,390,815,660
506 Holdings
1-50 of 506 |   Next>