Vanguard 500 Index Fund

as of:
Stock Holdings

506 Holdings
1-50 of 506 |   Next>

Holding Shares Market Value
Bank of America Corp.130,191,751$1,760,192,474
General Electric Co.117,638,402$3,739,724,800
Microsoft Corp.99,725,731$5,507,852,123
AT&T Inc.77,554,251$3,037,800,012
Pfizer Inc.76,256,588$2,260,245,268
Apple Inc.69,908,988$7,619,380,602
Cisco Systems Inc.63,448,116$1,806,367,863
Intel Corp.59,562,599$1,926,850,078
Wells Fargo & Co.58,246,550$2,816,803,158
Exxon Mobil Corp.52,356,691$4,376,495,801
Verizon Communications Inc.51,363,191$2,777,721,369
Ford Motor Co.49,171,420$663,814,170
Coca-Cola Co.49,128,797$2,279,084,893
JPMorgan Chase & Co.46,274,822$2,740,394,959
Oracle Corp.39,732,650$1,625,462,712
Citigroup Inc.37,175,504$1,552,077,292
Merck & Co. Inc.34,992,035$1,851,428,572
Johnson & Johnson34,789,465$3,764,220,113
Procter & Gamble Co.33,443,735$2,752,753,828
Comcast Corp. Class A30,676,112$1,873,696,921
Facebook Inc. Class A28,934,352$3,301,409,563
Altria Group Inc.24,689,570$1,547,048,456
EMC Corp./MA24,557,190$654,449,114
Visa Inc. Class A24,199,809$1,850,801,392
Chevron Corp.23,743,411$2,265,121,409
Kinder Morgan Inc./DE23,075,740$412,132,716
Berkshire Hathaway Inc. Class B22,058,520$3,129,662,818
HP Inc.21,786,544$268,410,222
Hewlett Packard Enterprise Co.21,648,528$383,828,401
Bristol-Myers Squibb Co.21,045,423$1,344,381,621
US Bancorp20,593,690$835,897,877
AbbVie Inc.20,311,995$1,160,221,154
Wal-Mart Stores Inc.19,784,581$1,355,045,953
Mondelez International Inc. Class A19,784,195$793,741,903
Philip Morris International Inc.19,534,938$1,916,572,767
Morgan Stanley19,256,718$481,610,517
Twenty-First Century Fox Inc. Class A19,128,494$533,302,413
Walt Disney Co.18,926,043$1,879,545,330
QUALCOMM Inc.18,850,487$964,013,905
Starbucks Corp.18,633,661$1,112,429,562
Abbott Laboratories18,578,754$777,149,280
PepsiCo Inc.18,224,592$1,867,656,188
Medtronic plc17,732,080$1,329,906,000
General Motors Co.17,715,770$556,806,651
Gilead Sciences Inc.17,235,862$1,583,286,283
NIKE Inc. Class B17,017,687$1,046,077,220
Boston Scientific Corp.17,006,979$319,901,275
Alcoa Inc.16,560,007$158,644,867
Regions Financial Corp.16,219,804$127,325,461
Home Depot Inc.15,986,007$2,133,012,914
506 Holdings
1-50 of 506 |   Next>