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Vanguard - All fund holdings
Vanguard 500 Index Fund
Stock Holdings as of 03/31/2014

502 Holdings
1-50 of 502 |   Next>

Holding Shares Market Value
Apple Inc.8,787,441$4,716,571,082
Exxon Mobil Corp.42,570,825$4,158,318,186
Google Inc. Class A2,780,923$3,099,366,493
Microsoft Corp.74,414,992$3,050,270,522
Johnson & Johnson27,868,994$2,737,571,281
General Electric Co.98,841,552$2,559,007,781
Wells Fargo & Co.47,171,763$2,346,323,492
JPMorgan Chase & Co.37,306,034$2,264,849,324
Chevron Corp.18,807,836$2,236,439,779
Procter & Gamble Co.26,711,514$2,152,948,028
Berkshire Hathaway Inc. Class B16,206,132$2,025,280,316
Pfizer Inc.62,881,476$2,019,753,009
Verizon Communications Inc.40,796,513$1,940,690,123
International Business Machines Corp.9,643,340$1,856,246,517
AT&T Inc.51,295,348$1,798,927,854
Bank of America Corp.104,112,094$1,790,728,017
Merck & Co. Inc.28,969,574$1,644,602,716
Coca-Cola Co.37,328,120$1,443,105,119
Citigroup Inc.29,913,722$1,423,893,167
Oracle Corp.34,115,830$1,395,678,605
QUALCOMM Inc.16,659,787$1,313,790,803
Walt Disney Co.16,052,254$1,285,303,978
Philip Morris International Inc.15,616,576$1,278,529,077
Intel Corp.48,981,745$1,264,218,838
Schlumberger Ltd.12,879,268$1,255,728,630
PepsiCo Inc.14,998,633$1,252,385,856
Amazon.com Inc.3,664,815$1,233,283,544
Comcast Corp. Class A24,373,764$1,219,175,675
Wal-Mart Stores Inc.15,938,680$1,218,193,312
Cisco Systems Inc.50,747,973$1,137,262,075
Home Depot Inc.13,873,215$1,097,787,503
Visa Inc. Class A4,993,674$1,077,934,470
Gilead Sciences Inc.15,154,163$1,073,823,990
Facebook Inc. Class A16,829,671$1,013,819,381
United Technologies Corp.8,295,193$969,210,350
McDonald's Corp.9,751,882$955,976,992
Amgen Inc.7,438,008$917,403,907
CVS Caremark Corp.11,648,708$872,022,281
ConocoPhillips12,079,058$849,761,730
Boeing Co.6,737,866$845,534,804
Bristol-Myers Squibb Co.16,196,357$841,400,746
3M Co.6,202,106$841,377,700
Union Pacific Corp.4,483,051$841,289,351
American Express Co.9,002,458$810,491,294
AbbVie Inc.15,649,393$804,378,800
UnitedHealth Group Inc.9,745,076$798,998,781
US Bancorp/MN17,954,959$769,549,543
MasterCard Inc. Class A10,052,819$750,945,579
Occidental Petroleum Corp.7,829,491$746,072,197
Altria Group Inc.19,632,673$734,850,950
502 Holdings
1-50 of 502 |   Next>

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