Vanguard 500 Index Fund

as of:
Stock Holdings

507 Holdings
1-50 of 507 |   Next>

Holding Shares Market Value
Bank of America Corp.134,716,812$1,787,692,095
General Electric Co.120,629,162$3,797,406,020
Microsoft Corp.103,112,104$5,276,246,362
AT&T Inc.80,755,088$3,489,427,352
Pfizer Inc.79,560,668$2,801,331,120
Apple Inc.71,851,023$6,868,957,799
Cisco Systems Inc.65,964,235$1,892,513,902
Intel Corp.61,946,920$2,031,858,976
Wells Fargo & Co.60,608,061$2,868,579,527
Exxon Mobil Corp.54,394,550$5,098,945,117
Verizon Communications Inc.53,473,779$2,985,975,819
Ford Motor Co.51,186,346$643,412,369
Coca-Cola Co.51,078,157$2,315,372,857
JPMorgan Chase & Co.47,969,112$2,980,800,620
Oracle Corp.40,819,565$1,670,744,795
Citigroup Inc.38,492,376$1,631,691,819
Merck & Co. Inc.36,312,917$2,091,987,148
Johnson & Johnson36,082,811$4,376,844,974
Procter & Gamble Co.34,918,872$2,956,580,892
Comcast Corp. Class A31,717,892$2,067,689,379
Facebook Inc. Class A30,327,308$3,465,804,758
Altria Group Inc.25,658,515$1,769,411,194
EMC Corp./MA25,629,028$696,340,691
Visa Inc. Class A24,984,152$1,853,074,554
Chevron Corp.24,724,325$2,591,850,990
Kinder Morgan Inc./DE24,008,677$449,442,433
Berkshire Hathaway Inc. Class B23,018,318$3,332,822,263
HP Inc.22,433,194$281,536,585
Bristol-Myers Squibb Co.21,893,273$1,610,250,229
Hewlett Packard Enterprise Co.21,803,681$398,353,252
US Bancorp21,286,339$858,478,052
AbbVie Inc.21,212,765$1,313,282,281
Mondelez International Inc. Class A20,358,096$926,496,949
Philip Morris International Inc.20,350,653$2,070,068,423
Wal-Mart Stores Inc.20,029,140$1,462,527,803
Morgan Stanley19,822,175$514,980,107
Walt Disney Co.19,581,802$1,915,491,872
Abbott Laboratories19,277,389$757,794,162
QUALCOMM Inc.19,266,709$1,032,117,601
Twenty-First Century Fox Inc. Class A19,237,183$520,365,800
Starbucks Corp.19,213,882$1,097,496,940
PepsiCo Inc.18,949,023$2,007,459,497
Medtronic plc18,442,041$1,600,215,898
General Motors Co.18,383,140$520,242,862
Schlumberger Ltd.18,224,145$1,441,165,387
Boston Scientific Corp.17,803,236$416,061,625
Gilead Sciences Inc.17,467,424$1,457,132,510
NIKE Inc. Class B17,464,363$964,032,838
Alcoa Inc.17,270,300$160,095,681
Regions Financial Corp.16,643,803$141,638,764
507 Holdings
1-50 of 507 |   Next>