Vanguard 500 Index Fund

as of:
Stock Holdings

505 Holdings
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Holding Shares Market Value
Bank of America Corp.137,069,091$1,986,131,129
General Electric Co.122,714,711$3,821,336,101
Microsoft Corp.104,899,135$5,945,682,972
AT&T Inc.82,150,398$3,556,290,729
Pfizer Inc.80,933,014$2,985,618,886
Apple Inc.73,097,766$7,617,518,195
Cisco Systems Inc.67,116,953$2,049,080,575
Intel Corp.63,011,324$2,196,574,755
Wells Fargo & Co.61,653,503$2,957,518,539
Exxon Mobil Corp.55,336,736$4,922,202,667
Verizon Communications Inc.54,396,464$3,014,108,070
Ford Motor Co.52,055,028$659,016,654
Coca-Cola Co.51,956,845$2,266,877,147
JPMorgan Chase & Co.48,796,800$3,121,531,296
Oracle Corp.41,531,065$1,704,434,908
Citigroup Inc.39,163,079$1,715,734,491
Merck & Co. Inc.36,936,940$2,166,720,900
Johnson & Johnson36,707,253$4,596,849,293
Procter & Gamble Co.35,521,314$3,040,269,265
Comcast Corp. Class A32,262,926$2,169,681,774
Facebook Inc. Class A30,851,502$3,823,735,158
Altria Group Inc.26,106,140$1,767,385,678
EMC Corp.26,057,971$736,919,420
Visa Inc. Class A25,417,659$1,983,848,285
Chevron Corp.25,150,259$2,577,398,542
Kinder Morgan Inc./DE24,423,341$496,526,523
Berkshire Hathaway Inc. Class B23,443,092$3,382,134,883
HP Inc.22,838,442$319,966,572
Bristol-Myers Squibb Co.22,274,701$1,666,370,382
Hewlett Packard Enterprise Co.22,180,072$466,225,113
US Bancorp21,651,739$913,053,834
AbbVie Inc.21,580,945$1,429,305,987
Mondelez International Inc. Class A20,707,651$910,722,491
Philip Morris International Inc.20,700,186$2,075,400,648
Wal-Mart Stores Inc.20,377,599$1,486,953,399
Morgan Stanley20,164,336$579,321,373
Walt Disney Co.19,917,757$1,911,108,784
Abbott Laboratories19,601,242$877,155,580
QUALCOMM Inc.19,599,715$1,226,550,165
Starbucks Corp.19,545,772$1,134,632,065
Twenty-First Century Fox Inc. Class A19,453,791$518,248,992
PepsiCo Inc.19,274,393$2,099,366,886
Medtronic plc18,763,253$1,644,223,860
General Motors Co.18,700,770$589,822,286
Schlumberger Ltd.18,540,895$1,492,912,865
Boston Scientific Corp.18,110,697$439,727,723
Gilead Sciences Inc.17,771,032$1,412,263,913
NIKE Inc. Class B17,764,907$985,952,339
Alcoa Inc.17,541,439$186,290,082
Regions Financial Corp.16,904,847$155,017,447
505 Holdings
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