Vanguard 500 Index Fund

as of:
Stock Holdings

506 Holdings
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Holding Shares Market Value
Bank of America Corp.158,607,951$4,019,125,478
General Electric Co.139,953,915$3,384,085,665
Microsoft Corp.124,505,245$9,274,395,700
AT&T Inc.99,252,309$3,887,712,944
Pfizer Inc.96,468,925$3,443,940,623
Apple Inc.83,494,935$12,868,239,382
Cisco Systems Inc.80,826,462$2,718,193,917
Comcast Corp. Class A76,036,540$2,925,886,059
Intel Corp.75,959,950$2,892,554,896
Wells Fargo & Co.72,217,023$3,982,768,818
Exxon Mobil Corp.68,493,286$5,615,079,586
Verizon Communications Inc.65,942,523$3,263,495,463
Ford Motor Co.63,225,788$756,812,682
Coca-Cola Co.62,051,570$2,792,941,166
JPMorgan Chase & Co.56,883,075$5,432,902,493
Oracle Corp.48,814,128$2,360,163,089
Merck & Co. Inc.44,213,347$2,830,980,608
Citigroup Inc.44,041,544$3,203,581,911
Johnson & Johnson43,386,198$5,640,639,602
Procter & Gamble Co.41,220,373$3,750,229,536
Facebook Inc. Class A38,315,703$6,547,004,172
DowDuPont Inc.37,715,434$2,611,039,496
Kinder Morgan Inc./DE31,036,717$595,284,232
Altria Group Inc.31,013,384$1,966,868,813
Chevron Corp.30,631,266$3,599,173,755
Berkshire Hathaway Inc. Class B29,579,585$5,422,529,522
Visa Inc. Class A29,571,307$3,112,084,349
Abbott Laboratories28,084,103$1,498,567,736
HP Inc.27,006,901$539,057,744
Hewlett Packard Enterprise Co.26,552,666$390,589,717
Bristol-Myers Squibb Co.26,508,954$1,689,680,728
AbbVie Inc.25,768,024$2,289,746,613
US Bancorp25,687,856$1,376,612,203
Philip Morris International Inc.25,105,719$2,786,985,866
Walt Disney Co.24,949,318$2,459,254,275
Mondelez International Inc. Class A24,373,509$991,026,876
QUALCOMM Inc.23,883,366$1,238,113,693
Wal-Mart Stores Inc.23,660,570$1,848,836,940
Starbucks Corp.23,339,725$1,253,576,630
PepsiCo Inc.23,090,878$2,573,016,536
Morgan Stanley22,859,747$1,101,154,013
Schlumberger Ltd.22,461,577$1,566,919,612
Boston Scientific Corp.22,182,223$647,055,445
Medtronic plc21,896,430$1,702,885,361
Freeport-McMoRan Inc.21,752,459$305,404,524
NIKE Inc. Class B21,241,758$1,101,385,152
General Motors Co.21,200,507$856,076,473
Gilead Sciences Inc.21,109,926$1,710,326,205
ConocoPhillips19,670,127$984,489,856
Regions Financial Corp.19,323,078$294,290,478
506 Holdings
1-50 of 506 |   Next>