Vanguard 500 Index Fund

as of:
Stock Holdings

508 Holdings
1-50 of 508 |   Next>

Holding Shares Market Value
Bank of America Corp.130,626,211$1,901,917,632
General Electric Co.118,053,674$3,630,150,476
Microsoft Corp.100,069,162$4,990,449,109
AT&T Inc.77,828,041$3,021,284,552
Pfizer Inc.76,511,119$2,502,678,702
Apple Inc.70,149,689$6,575,831,847
Cisco Systems Inc.63,660,522$1,750,027,750
Intel Corp.59,762,140$1,809,597,599
Wells Fargo & Co.58,452,072$2,921,434,559
Exxon Mobil Corp.52,541,273$4,644,648,533
Verizon Communications Inc.51,535,472$2,625,216,944
Ford Motor Co.49,332,538$668,949,215
Coca-Cola Co.49,293,454$2,208,346,739
JPMorgan Chase & Co.46,437,978$2,934,880,210
Oracle Corp.39,862,220$1,588,908,089
Citigroup Inc.37,296,319$1,726,073,643
Merck & Co. Inc.35,108,872$1,925,370,540
Johnson & Johnson34,912,147$3,912,953,436
Procter & Gamble Co.33,555,685$2,688,481,482
Comcast Corp. Class A30,778,750$1,870,116,850
Facebook Inc. Class A29,036,633$3,414,127,308
Altria Group Inc.24,770,147$1,553,335,918
EMC Corp./MA24,637,542$643,286,222
Visa Inc. Class A24,278,434$1,875,266,242
Chevron Corp.23,822,677$2,434,201,136
Kinder Morgan Inc./DE23,157,619$411,279,313
Berkshire Hathaway Inc. Class B22,141,831$3,221,193,574
HP Inc.21,839,038$267,964,996
Hewlett Packard Enterprise Co.21,730,178$362,024,765
Bristol-Myers Squibb Co.21,120,679$1,524,490,610
US Bancorp20,662,526$882,083,235
AbbVie Inc.20,384,624$1,243,462,064
Mondelez International Inc. Class A19,849,754$852,745,432
Wal-Mart Stores Inc.19,849,040$1,327,305,305
Philip Morris International Inc.19,600,423$1,923,193,505
Morgan Stanley19,331,937$523,122,215
Twenty-First Century Fox Inc. Class A19,106,994$578,177,638
Walt Disney Co.18,989,308$1,960,835,944
QUALCOMM Inc.18,912,408$955,454,852
Starbucks Corp.18,699,431$1,051,469,005
Abbott Laboratories18,640,221$725,104,597
PepsiCo Inc.18,285,605$1,882,685,891
Medtronic plc17,789,743$1,408,058,158
General Motors Co.17,785,344$565,573,939
Schlumberger Ltd.17,590,510$1,413,221,573
Gilead Sciences Inc.17,291,780$1,525,307,914
NIKE Inc. Class B17,077,925$1,006,572,900
Boston Scientific Corp.17,064,025$374,043,428
Alcoa Inc.16,650,687$185,988,174
Regions Financial Corp.16,322,577$153,105,772
508 Holdings
1-50 of 508 |   Next>