Vanguard 500 Index Fund

as of:
Stock Holdings

510 Holdings
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Holding Shares Market Value
Bank of America Corp.151,615,677$3,741,874,908
General Electric Co.132,730,645$3,956,700,527
Microsoft Corp.116,662,546$7,464,069,693
AT&T Inc.92,140,753$3,850,562,068
Pfizer Inc.91,050,476$3,106,642,241
Apple Inc.80,007,211$10,960,187,835
Cisco Systems Inc.75,316,887$2,574,331,198
Comcast Corp. Class A71,522,327$2,676,365,476
Intel Corp.71,103,721$2,573,954,700
Wells Fargo & Co.67,819,808$3,925,410,487
Exxon Mobil Corp.62,218,223$5,059,585,894
Verizon Communications Inc.61,166,728$3,035,704,711
Ford Motor Co.58,562,220$733,784,617
Coca-Cola Co.58,241,734$2,443,823,159
JPMorgan Chase & Co.53,688,440$4,865,246,433
Oracle Corp.44,968,195$1,915,195,425
Citigroup Inc.42,756,923$2,557,291,565
Merck & Co. Inc.41,368,275$2,724,928,274
Johnson & Johnson40,819,422$4,988,541,563
Procter & Gamble Co.40,151,147$3,656,564,957
Facebook Inc. Class A35,122,040$4,760,441,302
Altria Group Inc.29,262,405$2,192,339,383
Kinder Morgan Inc./DE28,808,463$613,908,347
Chevron Corp.28,324,686$3,186,527,175
Visa Inc. Class A28,021,473$2,464,208,336
Berkshire Hathaway Inc. Class B26,961,396$4,621,722,502
Abbott Laboratories25,823,328$1,164,115,626
HP Inc.25,666,561$445,828,165
Bristol-Myers Squibb Co.25,075,365$1,422,023,949
Hewlett Packard Enterprise Co.24,992,645$570,332,159
AbbVie Inc.24,382,972$1,507,842,988
US Bancorp23,972,484$1,318,486,620
Philip Morris International Inc.23,276,442$2,545,278,933
Mondelez International Inc. Class A23,172,921$1,017,754,690
Wal-Mart Stores Inc.22,594,611$1,602,635,758
QUALCOMM Inc.22,159,285$1,251,556,417
Walt Disney Co.21,968,767$2,418,541,559
Starbucks Corp.21,837,095$1,241,875,593
Morgan Stanley21,636,577$988,142,472
PepsiCo Inc.21,519,041$2,375,271,746
Schlumberger Ltd.20,875,254$1,677,535,411
General Motors Co.20,813,772$766,779,360
Medtronic plc20,601,487$1,666,866,313
Boston Scientific Corp.20,434,260$501,661,083
NIKE Inc. Class B20,049,079$1,146,005,356
Freeport-McMoRan Inc.19,880,751$266,402,063
Gilead Sciences Inc.19,767,224$1,393,193,948
ConocoPhillips18,590,680$884,358,648
Regions Financial Corp.18,471,946$282,066,615
Home Depot Inc.18,277,710$2,648,622,956
510 Holdings
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