Vanguard 500 Index Fund

as of:
Stock Holdings

505 Holdings
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Holding Shares Market Value
Bank of America Corp.118,242,959$1,819,759,139
General Electric Co.113,132,466$2,806,816,481
Microsoft Corp.92,212,918$3,748,916,181
Pfizer Inc.68,890,079$2,396,685,848
Apple Inc.65,471,877$8,146,665,655
AT&T Inc.58,339,024$1,904,769,134
Cisco Systems Inc.57,378,732$1,579,349,598
Intel Corp.53,234,031$1,664,628,149
Wells Fargo & Co.52,701,004$2,866,934,618
Exxon Mobil Corp.47,149,531$4,007,710,135
Verizon Communications Inc.46,707,997$2,271,409,894
Ford Motor Co.44,465,988$717,681,046
Coca-Cola Co.44,170,128$1,791,098,690
JPMorgan Chase & Co.41,907,350$2,538,747,263
Oracle Corp.36,033,026$1,554,825,072
Citigroup Inc.34,101,376$1,756,902,892
Merck & Co. Inc.31,902,143$1,833,735,180
Johnson & Johnson31,253,493$3,144,101,396
Procter & Gamble Co.30,354,575$2,487,253,876
Comcast Corp. Class A27,223,688$1,537,321,661
Facebook Inc. Class A23,596,193$1,939,961,008
EMC Corp./MA22,346,721$571,182,189
Altria Group Inc.22,135,716$1,107,228,514
Visa Inc. Class A21,805,398$1,426,291,083
Chevron Corp.21,133,772$2,218,623,385
Twenty-First Century Fox Inc. Class A20,552,641$695,501,371
Hewlett-Packard Co.20,429,915$636,596,151
US Bancorp/MN20,021,066$874,319,952
Kinder Morgan Inc./DE19,153,958$805,615,473
Berkshire Hathaway Inc. Class B18,935,765$2,732,809,605
Bristol-Myers Squibb Co.18,682,751$1,205,037,440
QUALCOMM Inc.18,541,600$1,285,674,544
Mondelez International Inc. Class A18,540,665$669,132,600
AbbVie Inc.17,915,797$1,048,790,756
Wal-Mart Stores Inc.17,752,571$1,460,148,965
Walt Disney Co.17,575,364$1,843,479,930
Philip Morris International Inc.17,387,942$1,309,833,671
Morgan Stanley17,329,883$618,503,524
Abbott Laboratories16,961,340$785,818,882
Gilead Sciences Inc.16,741,367$1,642,830,344
PepsiCo Inc.16,662,324$1,593,251,421
Medtronic plc16,018,208$1,249,260,042
American International Group Inc.15,426,659$845,226,647
General Motors Co.15,204,891$570,183,413
Regions Financial Corp.15,094,528$142,643,290
Boston Scientific Corp.14,955,377$265,457,942
Home Depot Inc.14,812,829$1,682,885,503
Schlumberger Ltd.14,334,922$1,196,105,892
Corning Inc.14,290,254$324,102,961
ConocoPhillips13,841,997$861,802,733
505 Holdings
1-50 of 505 |   Next>