Vanguard 500 Index Fund

as of:
Stock Holdings

505 Holdings
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Holding Shares Market Value
Denbury Resources Inc.3,384$24,669
Diamond Offshore Drilling Inc.756,422$20,264,545
Allegheny Technologies Inc.1,221,773$36,665,408
QEP Resources Inc.1,816,532$37,874,692
Noble Corp. plc2,721,263$38,859,636
Genworth Financial Inc. Class A5,585,388$40,829,186
Fossil Group Inc.498,690$41,116,991
Joy Global Inc.1,094,981$42,901,356
Owens-Illinois Inc.1,846,585$43,062,362
Cablevision Systems Corp. Class A2,466,678$45,140,207
GameStop Corp. Class A1,220,146$46,316,742
Patterson Cos. Inc.963,466$47,007,506
Assurant Inc.774,425$47,557,439
FLIR Systems Inc.1,571,815$49,166,373
Windstream Holdings Inc.6,775,219$50,136,621
First Solar Inc.845,688$50,563,686
Urban Outfitters Inc.1,124,771$51,345,796
TECO Energy Inc.2,647,991$51,371,025
Discovery Communications Inc. Class A1,671,054$51,401,621
Dun & Bradstreet Corp.404,448$51,914,945
People's United Financial Inc.3,465,063$52,668,958
Pitney Bowes Inc.2,266,695$52,859,327
Avery Dennison Corp.1,017,429$53,832,168
AutoNation Inc.842,745$54,213,786
Tenet Healthcare Corp.1,107,344$54,824,601
Ensco plc Class A2,633,892$55,496,104
Transocean Ltd.3,828,211$56,159,855
Ryder System Inc.596,062$56,560,323
Hudson City Bancorp Inc.5,410,883$56,706,054
Legg Mason Inc.1,114,447$61,517,474
Zions Bancorporation2,281,103$61,589,781
Newfield Exploration Co.1,807,398$63,421,596
Integrys Energy Group Inc.893,997$64,385,664
Garmin Ltd.1,358,332$64,547,937
Apartment Investment & Management Co.1,644,020$64,708,627
PerkinElmer Inc.1,270,485$64,972,603
Jacobs Engineering Group Inc.1,442,287$65,133,681
Allegion plc1,079,217$66,015,704
AGL Resources Inc.1,345,014$66,779,945
NASDAQ OMX Group Inc.1,328,437$67,670,581
Quanta Services Inc.2,376,746$67,808,563
Total System Services Inc.1,851,193$70,623,013
Leggett & Platt Inc.1,556,078$71,719,635
Xylem Inc./NY2,049,101$71,759,517
Teradata Corp.1,631,459$72,012,600
CONSOL Energy Inc.2,587,995$72,179,181
Comcast Corp.1,338,634$75,050,515
Scripps Networks Interactive Inc. Class A1,095,130$75,082,113
Pepco Holdings Inc.2,843,180$76,282,519
Iron Mountain Inc.2,102,699$76,706,460
505 Holdings
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