Vanguard 500 Index Fund

as of:
Stock Holdings

508 Holdings
1-50 of 508 |   Next>

Holding Shares Market Value
Conduent Inc.4$61
Entercom Communications Corp. Class A74,731$866,885
Lennar Corp. Class B67,996$3,489,555
Under Armour Inc.3,128,244$37,319,951
Under Armour Inc. Class A3,118,024$41,438,539
Discovery Communications Inc. Class A2,545,940$48,423,779
Patterson Cos. Inc.1,384,372$50,598,797
Signet Jewelers Ltd.1,014,899$53,069,069
Navient Corp.4,605,661$58,077,385
Chesapeake Energy Corp.15,318,900$62,347,923
Discovery Communications Inc.3,455,808$62,481,009
TripAdvisor Inc.1,826,242$63,224,498
Envision Healthcare Corp.2,033,314$64,923,716
Range Resources Corp.3,798,027$68,440,447
CSRA Inc.2,750,531$79,572,862
Ralph Lauren Corp. Class A932,484$88,725,853
Nordstrom Inc.1,959,246$89,047,731
Assurant Inc.907,063$91,495,445
H&R Block Inc.3,517,263$92,081,945
Flowserve Corp.2,199,992$93,675,659
Foot Locker Inc.2,199,241$94,215,484
Brighthouse Financial Inc.1,611,606$94,746,317
Stericycle Inc.1,434,061$95,092,585
Quanta Services Inc.2,542,232$96,350,593
Newfield Exploration Co.3,350,851$103,641,821
SCANA Corp.2,402,226$103,704,096
Mattel Inc.5,762,571$105,166,921
Xerox Corp.3,587,047$106,391,814
Helmerich & Payne Inc.1,828,301$107,101,873
Leggett & Platt Inc.2,223,068$107,240,800
FLIR Systems Inc.2,306,537$107,438,493
People's United Financial Inc.5,777,254$109,883,371
Fluor Corp.2,355,161$114,013,344
Garmin Ltd.1,869,884$116,082,399
Apartment Investment & Management Co.2,638,025$116,310,522
AES Corp./VA11,106,571$117,507,521
Macerich Co.1,830,444$118,521,249
Gap Inc.3,692,116$119,292,268
Robert Half International Inc.2,120,441$120,949,955
Acuity Brands Inc.708,627$121,472,840
Macy's Inc.5,115,970$121,760,086
Advance Auto Parts Inc.1,241,150$125,356,150
Hanesbrands Inc.6,136,371$128,188,790
Chipotle Mexican Grill Inc. Class A422,740$128,677,829
Interpublic Group of Cos. Inc.6,612,921$130,803,577
Scripps Networks Interactive Inc. Class A1,613,282$132,030,999
Kimco Realty Corp.7,164,405$132,684,781
Jacobs Engineering Group Inc.2,022,629$132,745,141
Allegion plc1,600,332$134,651,934
Kohl's Corp.2,831,262$135,815,638
508 Holdings
1-50 of 508 |   Next>