Vanguard 500 Index Fund

as of:
Stock Holdings

508 Holdings
1-50 of 508 |   Next>

Holding Shares Market Value
Apple Inc.77,947,003$9,027,821,887
Microsoft Corp.113,658,975$7,062,768,707
Exxon Mobil Corp.60,615,771$5,471,179,490
Johnson & Johnson39,768,304$4,581,706,304
JPMorgan Chase & Co.52,306,428$4,513,521,672
Amazon.com Inc.5,765,107$4,323,080,786
Berkshire Hathaway Inc. Class B26,227,976$4,274,635,528
General Electric Co.129,315,198$4,086,360,257
Facebook Inc. Class A34,217,885$3,936,767,669
AT&T Inc.89,768,284$3,817,845,119
Wells Fargo & Co.66,073,771$3,641,325,520
Alphabet Inc. Class A4,328,192$3,429,875,750
Alphabet Inc.4,338,297$3,348,384,391
Procter & Gamble Co.39,117,176$3,288,972,158
Bank of America Corp.147,714,160$3,264,482,936
Chevron Corp.27,595,116$3,247,945,153
Verizon Communications Inc.59,591,701$3,181,004,999
Pfizer Inc.88,706,323$2,881,181,371
Intel Corp.69,273,914$2,512,564,861
Citigroup Inc.41,656,820$2,475,664,813
Comcast Corp. Class A34,840,084$2,405,707,800
Home Depot Inc.17,806,958$2,387,556,929
Merck & Co. Inc.40,303,465$2,372,664,985
Coca-Cola Co.56,741,562$2,352,505,161
Walt Disney Co.21,402,585$2,230,577,409
UnitedHealth Group Inc.13,913,539$2,226,722,782
Cisco Systems Inc.73,377,992$2,217,482,918
PepsiCo Inc.20,964,669$2,193,533,317
Visa Inc. Class A27,300,101$2,129,953,880
International Business Machines Corp.12,648,515$2,099,527,005
Philip Morris International Inc.22,677,509$2,074,765,298
Altria Group Inc.28,508,817$1,927,766,206
Schlumberger Ltd.20,337,952$1,707,371,070
Oracle Corp.43,810,611$1,684,517,993
Amgen Inc.10,874,522$1,589,963,862
3M Co.8,792,077$1,570,001,190
Wal-Mart Stores Inc.22,012,467$1,521,501,719
AbbVie Inc.23,755,510$1,487,570,036
McDonald's Corp.12,139,317$1,477,597,665
Mastercard Inc. Class A13,914,035$1,436,624,114
Medtronic plc20,070,973$1,429,655,407
Bristol-Myers Squibb Co.24,429,744$1,427,674,239
QUALCOMM Inc.21,588,941$1,407,598,953
Gilead Sciences Inc.19,258,427$1,379,095,957
Celgene Corp.11,331,851$1,311,661,753
Boeing Co.8,390,148$1,306,178,241
Goldman Sachs Group Inc.5,405,851$1,294,431,022
Honeywell International Inc.11,140,592$1,290,637,583
Union Pacific Corp.12,046,779$1,249,010,047
CVS Health Corp.15,589,031$1,230,130,436
508 Holdings
1-50 of 508 |   Next>