Vanguard 500 Index Fund

as of:
Stock Holdings

503 Holdings
1-50 of 503 |   Next>

Holding Shares Market Value
Diamond Offshore Drilling Inc.787,999$16,626,779
Fossil Group Inc.505,875$18,494,790
CONSOL Energy Inc.2,799,513$22,116,153
Urban Outfitters Inc.1,059,470$24,102,943
Chesapeake Energy Corp.6,317,893$28,430,519
Southwestern Energy Co.4,697,023$33,395,834
Owens-Illinois Inc.1,964,697$34,225,022
GameStop Corp. Class A1,287,178$36,092,471
Tenet Healthcare Corp.1,217,518$36,890,795
Ryder System Inc.652,579$37,086,065
Quanta Services Inc.1,954,425$39,577,106
Teradata Corp.1,624,469$42,918,471
Ensco plc Class A2,876,549$44,270,089
Murphy Oil Corp.1,974,909$44,336,707
NRG Energy Inc.3,843,329$45,235,982
Dun & Bradstreet Corp.442,075$45,944,855
Patterson Cos. Inc.1,021,716$46,191,780
FLIR Systems Inc.1,689,738$47,430,946
Discovery Communications Inc. Class A1,828,846$48,793,611
Pitney Bowes Inc.2,410,413$49,775,028
CSRA Inc.1,682,294$50,468,820
Navient Corp.4,431,933$50,745,633
Range Resources Corp.2,068,542$50,906,819
Legg Mason Inc.1,317,805$51,697,490
Transocean Ltd.4,182,312$51,777,023
Garmin Ltd.1,441,268$53,571,932
AutoNation Inc.933,683$55,703,528
First Solar Inc.925,885$61,099,151
People's United Financial Inc.3,793,403$61,263,458
Jacobs Engineering Group Inc.1,495,874$62,751,914
ONEOK Inc.2,558,976$63,104,348
Iron Mountain Inc.2,349,538$63,461,021
Scripps Networks Interactive Inc. Class A1,156,916$63,873,332
FMC Corp.1,633,839$63,932,120
Newfield Exploration Co.1,976,168$64,344,030
Assurant Inc.805,025$64,836,714
ADT Corp.2,016,769$66,513,042
Frontier Communications Corp.14,283,626$66,704,533
Flowserve Corp.1,600,165$67,334,943
Zions Bancorporation2,497,739$68,188,275
Wynn Resorts Ltd.993,591$68,746,561
PulteGroup Inc.3,877,920$69,104,534
TEGNA Inc.2,710,630$69,175,278
Gap Inc.2,801,061$69,186,207
Avery Dennison Corp.1,114,296$69,821,787
Leggett & Platt Inc.1,664,591$69,946,114
Helmerich & Payne Inc.1,317,924$70,574,830
Leucadia National Corp.4,075,893$70,879,779
PerkinElmer Inc.1,368,603$73,316,063
PVH Corp.1,009,265$74,332,367
503 Holdings
1-50 of 503 |   Next>