Vanguard 500 Index Fund

as of:
Stock Holdings

506 Holdings
1-50 of 506 |   Next>

Holding Shares Market Value
Conduent Inc.4$64
AutoNation Inc.1,041,053$43,890,794
Transocean Ltd.6,157,440$50,675,731
Under Armour Inc.2,910,419$58,674,047
Chesapeake Energy Corp.12,023,805$59,758,311
Patterson Cos. Inc.1,284,760$60,319,482
Discovery Communications Inc. Class A2,378,790$61,444,146
Under Armour Inc. Class A2,914,593$63,421,544
Ralph Lauren Corp. Class A867,809$64,044,304
Murphy Oil Corp.2,554,841$65,480,575
TripAdvisor Inc.1,738,805$66,422,351
Signet Jewelers Ltd.1,076,982$68,108,342
Range Resources Corp.2,968,428$68,778,477
Bed Bath & Beyond Inc.2,285,689$69,484,946
Mallinckrodt plc1,570,105$70,356,405
CSRA Inc.2,294,571$72,852,629
FLIR Systems Inc.2,153,079$74,625,718
Navient Corp.4,486,678$74,703,189
Gap Inc.3,472,979$76,370,808
Quanta Services Inc.2,332,527$76,786,789
Nordstrom Inc.1,753,252$83,858,043
Discovery Communications Inc.3,375,207$85,088,968
NRG Energy Inc.4,990,488$85,936,203
Michael Kors Holdings Ltd.2,459,195$89,145,819
Newfield Exploration Co.3,146,406$89,546,715
Assurant Inc.865,610$89,755,101
Garmin Ltd.1,807,728$92,248,360
Helmerich & Payne Inc.1,711,480$93,001,823
People's United Financial Inc.5,422,707$95,765,006
Flowserve Corp.2,062,928$95,781,747
Robert Half International Inc.2,007,812$96,234,429
Xerox Corp.3,367,525$96,748,993
Fluor Corp.2,205,709$100,977,358
H&R Block Inc.3,267,765$101,006,616
Foot Locker Inc.2,072,212$102,118,607
CF Industries Holdings Inc.3,672,938$102,695,346
Stericycle Inc.1,346,402$102,757,401
Jacobs Engineering Group Inc.1,901,946$103,446,843
Scripps Networks Interactive Inc. Class A1,514,668$103,466,971
Staples Inc.10,319,457$103,916,932
Kohl's Corp.2,692,662$104,125,240
Apartment Investment & Management Co.2,480,390$106,582,358
Macerich Co.1,881,140$109,218,988
News Corp. Class A7,990,604$109,471,275
Leggett & Platt Inc.2,088,778$109,723,508
PulteGroup Inc.4,483,745$109,986,265
Tractor Supply Co.2,029,661$110,027,923
Macy's Inc.4,807,769$111,732,552
AES Corp./VA10,420,919$115,776,410
Envision Healthcare Corp.1,853,640$116,167,619
506 Holdings
1-50 of 506 |   Next>