Vanguard 500 Index Fund

as of:
Stock Holdings

506 Holdings
1-50 of 506 |   Next>

Holding Shares Market Value
Conduent Inc.4$65
Lennar Corp. Class B67,996$3,514,033
Under Armour Inc.3,174,712$42,287,164
Under Armour Inc. Class A3,146,257$45,400,489
Patterson Cos. Inc.1,404,084$50,729,555
Signet Jewelers Ltd.1,034,502$58,501,088
Discovery Communications Inc. Class A2,622,237$58,685,664
Navient Corp.4,483,475$59,719,887
Chesapeake Energy Corp.15,521,320$61,464,427
TripAdvisor Inc.1,849,508$63,734,046
Range Resources Corp.3,849,697$65,675,831
Envision Healthcare Corp.2,067,279$71,445,162
Discovery Communications Inc.3,483,634$73,748,532
CSRA Inc.2,801,858$83,831,591
Mattel Inc.5,878,335$90,408,792
Assurant Inc.920,479$92,821,102
H&R Block Inc.3,574,895$93,733,747
Flowserve Corp.2,234,220$94,127,689
Nordstrom Inc.1,994,392$94,494,293
Brighthouse Financial Inc.1,635,643$95,914,106
SCANA Corp.2,435,576$96,887,213
Ralph Lauren Corp. Class A947,167$98,211,746
Stericycle Inc.1,459,829$99,253,774
Foot Locker Inc.2,120,308$99,400,039
Quanta Services Inc.2,643,592$103,390,883
Xerox Corp.3,649,193$106,373,976
Newfield Exploration Co.3,398,720$107,161,642
Leggett & Platt Inc.2,254,102$107,588,288
FLIR Systems Inc.2,368,607$110,424,458
People's United Financial Inc.5,918,855$110,682,589
Garmin Ltd.1,896,673$112,984,811
Apartment Investment & Management Co.2,683,435$117,292,944
Robert Half International Inc.2,142,290$118,982,787
Helmerich & Payne Inc.1,856,594$120,010,236
Macerich Co.1,853,048$121,708,193
AES Corp./VA11,284,428$122,210,355
Chipotle Mexican Grill Inc. Class A424,465$122,683,119
Fluor Corp.2,390,547$123,471,753
Advance Auto Parts Inc.1,262,764$125,884,943
Gap Inc.3,720,863$126,732,594
Acuity Brands Inc.720,415$126,793,040
Allegion plc1,622,860$129,114,742
Hanesbrands Inc.6,227,666$130,220,496
Macy's Inc.5,204,497$131,101,279
Kimco Realty Corp.7,272,101$131,988,633
Interpublic Group of Cos. Inc.6,638,983$133,841,897
Jacobs Engineering Group Inc.2,057,879$135,737,699
Goodyear Tire & Rubber Co.4,208,119$135,964,325
PerkinElmer Inc.1,883,234$137,702,070
Scripps Networks Interactive Inc. Class A1,641,428$140,145,123
506 Holdings
1-50 of 506 |   Next>