Vanguard 500 Index Fund

as of:
Stock Holdings

504 Holdings
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Holding Shares Market Value
Bank of America Corp.115,894,074$1,755,795,221
General Electric Co.110,667,704$2,643,851,449
Microsoft Corp.90,838,435$3,669,872,774
Pfizer Inc.69,434,984$2,169,843,250
Apple Inc.64,632,133$7,572,300,702
AT&T Inc.57,162,172$1,881,778,702
Cisco Systems Inc.56,353,175$1,485,751,459
Intel Corp.53,283,020$1,760,470,981
Wells Fargo & Co.52,023,880$2,701,079,850
Exxon Mobil Corp.46,665,712$4,079,516,543
Verizon Communications Inc.45,731,110$2,090,369,038
Coca-Cola Co.43,443,083$1,788,551,727
Ford Motor Co.42,413,579$623,903,747
JPMorgan Chase & Co.41,195,918$2,240,234,021
Oracle Corp.35,648,955$1,493,334,725
Citigroup Inc.33,385,809$1,567,463,733
Merck & Co. Inc.31,417,474$1,893,845,333
Johnson & Johnson30,846,949$3,089,013,473
Procter & Gamble Co.29,778,120$2,509,997,735
Comcast Corp. Class A27,052,904$1,437,726,583
Facebook Inc. Class A23,042,158$1,749,130,214
EMC Corp./MA22,425,259$581,486,966
Altria Group Inc.21,781,283$1,156,586,127
Chevron Corp.20,833,057$2,136,013,334
Hewlett-Packard Co.20,566,905$743,082,278
Twenty-First Century Fox Inc. Class A20,434,514$677,608,484
US Bancorp/MN19,719,573$826,447,304
Kinder Morgan Inc./DE18,724,860$768,655,503
Berkshire Hathaway Inc. Class B18,532,985$2,667,081,871
Mondelez International Inc. Class A18,513,254$652,407,071
QUALCOMM Inc.18,322,348$1,144,413,856
Bristol-Myers Squibb Co.18,280,184$1,101,746,690
AbbVie Inc.17,558,217$1,059,638,396
Wal-Mart Stores Inc.17,405,052$1,479,081,319
Walt Disney Co.17,192,293$1,563,810,971
Philip Morris International Inc.17,122,427$1,373,903,542
Morgan Stanley16,825,464$568,868,938
Gilead Sciences Inc.16,625,959$1,742,899,282
Abbott Laboratories16,594,257$742,758,943
PepsiCo Inc.16,493,087$1,546,721,699
Medtronic plc15,644,075$1,116,986,955
American International Group Inc.15,427,443$753,939,139
Regions Financial Corp.15,169,193$131,971,979
General Motors Co.14,873,313$485,167,470
Boston Scientific Corp.14,618,363$216,497,956
Home Depot Inc.14,522,894$1,516,480,591
Schlumberger Ltd.14,180,846$1,168,359,902
Corning Inc.14,126,339$335,783,078
ConocoPhillips13,565,060$854,327,479
Applied Materials Inc.13,427,055$306,673,936
504 Holdings
1-50 of 504 |   Next>

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