Vanguard 500 Index Fund

as of:
Stock Holdings

504 Holdings
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Holding Shares Market Value
Diamond Offshore Drilling Inc.759,873$25,432,949
QEP Resources Inc.1,825,458$41,072,805
Allegheny Technologies Inc.1,227,957$41,738,258
Fossil Group Inc.501,123$42,084,310
Owens-Illinois Inc.1,855,111$44,355,704
Urban Outfitters Inc.1,131,049$45,287,202
Patterson Cos. Inc.967,932$45,449,247
Joy Global Inc.1,100,156$46,910,652
GameStop Corp. Class A1,225,730$47,239,634
Noble Corp. plc2,733,952$47,324,709
Assurant Inc.778,079$47,820,735
FLIR Systems Inc.1,578,923$48,772,931
Genworth Financial Inc. Class A5,611,372$49,323,960
Cablevision Systems Corp. Class A2,478,149$49,513,417
TECO Energy Inc.2,662,074$50,446,302
Hudson City Bancorp Inc.5,439,071$50,583,360
First Solar Inc.850,345$50,740,086
Pitney Bowes Inc.2,278,651$50,973,423
Dun & Bradstreet Corp.406,575$51,907,430
AutoNation Inc.847,102$52,139,128
People's United Financial Inc.3,483,503$52,635,730
Tenet Healthcare Corp.1,113,119$53,273,875
Discovery Communications Inc. Class A1,679,868$54,360,528
Avery Dennison Corp.1,022,798$56,857,341
Ryder System Inc.598,704$57,092,413
Legg Mason Inc.1,120,125$58,974,581
Garmin Ltd.1,364,825$61,676,442
Apartment Investment & Management Co.1,644,020$62,028,875
Jacobs Engineering Group Inc.1,449,186$62,112,112
Zions Bancorporation2,292,059$64,945,492
NASDAQ OMX Group Inc.1,335,830$64,961,413
PerkinElmer Inc.1,277,472$65,483,215
Integrys Energy Group Inc.898,960$65,713,976
Allegion plc1,084,492$66,316,686
Leggett & Platt Inc.1,563,186$66,388,509
AGL Resources Inc.1,352,407$67,985,500
Quanta Services Inc.2,389,511$69,080,763
Newfield Exploration Co.1,817,124$71,303,946
Teradata Corp.1,640,173$72,151,210
Ensco plc Class A2,646,775$72,204,022
PulteGroup Inc.3,744,603$72,270,838
Transocean Ltd.3,846,475$72,390,660
ADT Corp.1,933,247$72,690,087
Iron Mountain Inc.2,111,843$72,837,465
Total System Services Inc.1,861,222$73,629,942
Pepco Holdings Inc.2,855,575$74,187,839
VeriSign Inc.1,188,339$75,471,410
Xylem Inc./NY2,059,742$76,251,649
Pinnacle West Capital Corp.1,248,973$76,437,148
Scripps Networks Interactive Inc. Class A1,100,905$76,909,223
504 Holdings
1-50 of 504 |   Next>