Vanguard 500 Index Fund

as of:
Stock Holdings

510 Holdings
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Holding Shares Market Value
Conduent Inc.4$66
Dun & Bradstreet Corp.20$2,094
Frontier Communications Corp.12,833$16,811
Urban Outfitters Inc.984$18,568
First Solar Inc.861$33,157
AutoNation Inc.1,019,843$40,304,195
Under Armour Inc.2,868,791$51,150,544
Signet Jewelers Ltd.1,083,749$52,128,327
Under Armour Inc. Class A2,868,389$54,958,333
Transocean Ltd.6,078,309$55,251,829
Ryder System Inc.834,714$55,441,704
Teradata Corp.2,054,417$56,003,407
Patterson Cos. Inc.1,285,403$56,763,396
Ralph Lauren Corp. Class A877,337$59,483,449
Chesapeake Energy Corp.11,888,869$60,157,677
Murphy Oil Corp.2,524,734$61,628,757
Discovery Communications Inc. Class A2,352,210$62,333,565
Navient Corp.4,557,387$65,763,094
Mallinckrodt plc1,553,250$66,991,673
Range Resources Corp.2,929,537$67,555,123
CSRA Inc.2,270,834$68,488,353
TripAdvisor Inc.1,781,947$68,622,779
Quanta Services Inc.2,379,022$72,940,815
Nordstrom Inc.1,773,410$74,128,538
Gap Inc.3,428,845$77,149,013
NRG Energy Inc.4,922,985$79,063,139
TEGNA Inc.3,354,340$79,632,032
FLIR Systems Inc.2,131,355$80,757,041
Bed Bath & Beyond Inc.2,346,981$80,759,616
Michael Kors Holdings Ltd.2,536,945$84,175,835
Assurant Inc.869,363$85,180,187
H&R Block Inc.3,236,005$85,883,573
Discovery Communications Inc.3,393,856$87,663,300
People's United Financial Inc.5,371,193$89,000,668
Helmerich & Payne Inc.1,694,217$89,217,467
Staples Inc.10,158,757$92,241,514
Robert Half International Inc.1,995,172$92,755,546
Garmin Ltd.1,796,262$93,477,474
Xerox Corp.13,395,768$94,708,080
CF Industries Holdings Inc.3,638,879$97,885,845
Fluor Corp.2,185,537$98,043,190
Scripps Networks Interactive Inc. Class A1,488,791$98,587,740
Flowserve Corp.2,037,354$98,811,669
Jacobs Engineering Group Inc.1,904,824$99,850,874
Envision Healthcare Corp.1,831,572$100,022,147
Newfield Exploration Co.3,099,916$100,685,272
PulteGroup Inc.4,462,418$101,163,016
Apartment Investment & Management Co.2,441,714$104,798,365
Kohl's Corp.2,751,966$105,758,053
News Corp. Class A7,906,835$105,793,452
510 Holdings
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