Vanguard 500 Index Fund

as of:
Stock Holdings

507 Holdings
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Holding Shares Market Value
Apple Inc.85,678,147$14,483,033,969
Microsoft Corp.127,760,539$10,627,121,634
Amazon.com Inc.6,613,689$7,309,978,178
Facebook Inc. Class A39,317,451$7,079,500,227
Johnson & Johnson44,520,134$6,206,551,881
JPMorgan Chase & Co.58,364,973$5,872,099,934
Exxon Mobil Corp.70,282,081$5,858,011,451
Berkshire Hathaway Inc. Class B30,392,906$5,681,649,848
Alphabet Inc. Class A4,940,022$5,103,240,327
Alphabet Inc. Class C5,010,906$5,094,287,476
Bank of America Corp.162,744,278$4,457,565,774
Wells Fargo & Co.74,099,674$4,159,955,698
Procter & Gamble Co.42,296,365$3,651,868,154
Chevron Corp.31,431,543$3,642,601,518
Intel Corp.77,944,093$3,545,676,791
Pfizer Inc.98,989,202$3,470,561,422
AT&T Inc.101,846,634$3,427,139,234
UnitedHealth Group Inc.16,037,077$3,371,314,327
Visa Inc. Class A30,344,076$3,337,241,478
Citigroup Inc.45,189,022$3,321,393,117
Home Depot Inc.19,551,793$3,241,296,244
Verizon Communications Inc.67,665,316$3,239,138,677
Coca-Cola Co.63,674,851$2,927,769,649
General Electric Co.143,608,719$2,895,151,775
Cisco Systems Inc.82,939,451$2,832,382,252
Comcast Corp. Class A78,026,805$2,811,305,784
DowDuPont Inc.38,700,264$2,798,416,090
Philip Morris International Inc.25,762,743$2,695,813,428
PepsiCo Inc.23,695,028$2,611,902,936
Oracle Corp.50,091,254$2,549,644,829
Walt Disney Co.25,602,454$2,504,176,026
Merck & Co. Inc.45,369,101$2,499,383,774
AbbVie Inc.26,442,002$2,386,390,681
Boeing Co.9,216,052$2,377,557,095
Mastercard Inc. Class A15,490,188$2,304,475,269
3M Co.9,902,533$2,279,464,071
McDonald's Corp.13,437,555$2,242,862,305
International Business Machines Corp.14,376,164$2,214,791,826
Amgen Inc.12,103,388$2,120,755,645
Wal-Mart Stores Inc.24,279,433$2,119,837,295
NVIDIA Corp.9,952,569$2,058,290,795
Altria Group Inc.31,823,093$2,043,679,032
Honeywell International Inc.12,669,535$1,826,440,166
Medtronic plc22,466,683$1,809,017,315
Broadcom Ltd.6,744,563$1,779,957,621
Bristol-Myers Squibb Co.27,202,311$1,677,294,496
Gilead Sciences Inc.21,662,085$1,623,789,892
Texas Instruments Inc.16,422,360$1,587,877,988
Abbott Laboratories28,851,482$1,564,615,869
Priceline Group Inc.813,786$1,555,926,281
507 Holdings
1-50 of 507 |   Next>