Vanguard 500 Index Fund

as of:
Stock Holdings

505 Holdings
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Holding Shares Market Value
Bank of America Corp.119,644,139$1,974,128,294
General Electric Co.114,473,146$3,121,682,691
Microsoft Corp.93,305,692$4,372,304,727
Pfizer Inc.69,706,497$2,422,300,771
Apple Inc.66,247,683$8,630,748,141
AT&T Inc.59,030,281$2,038,905,906
Cisco Systems Inc.58,058,736$1,701,701,552
Intel Corp.53,864,896$1,856,184,316
Wells Fargo & Co.53,325,466$2,984,093,077
Exxon Mobil Corp.47,708,269$4,064,744,519
Verizon Communications Inc.47,261,527$2,336,609,895
Ford Motor Co.44,992,913$682,542,490
Coca-Cola Co.44,693,511$1,830,646,211
JPMorgan Chase & Co.42,403,917$2,789,329,660
Oracle Corp.36,460,025$1,585,646,487
Citigroup Inc.34,505,465$1,866,055,547
Merck & Co. Inc.32,280,224$1,965,542,839
Johnson & Johnson31,623,954$3,166,822,754
Procter & Gamble Co.30,714,259$2,407,690,763
Comcast Corp. Class A27,562,256$1,611,289,486
Facebook Inc. Class A23,875,821$1,890,726,265
EMC Corp./MA22,611,455$595,585,725
Altria Group Inc.22,398,014$1,146,778,317
Visa Inc. Class A22,063,755$1,515,338,693
Chevron Corp.21,384,174$2,202,569,922
Twenty-First Century Fox Inc. Class A20,796,239$698,753,630
Hewlett-Packard Co.20,671,976$690,443,998
US Bancorp/MN20,258,370$873,338,331
Kinder Morgan Inc./DE19,381,017$804,118,395
Berkshire Hathaway Inc. Class B19,178,728$2,742,558,104
AbbVie Inc.19,022,541$1,266,711,005
Bristol-Myers Squibb Co.18,904,182$1,221,210,157
QUALCOMM Inc.18,761,295$1,307,287,036
Mondelez International Inc. Class A18,760,339$780,242,499
Wal-Mart Stores Inc.17,962,905$1,334,104,954
Walt Disney Co.17,783,611$1,962,777,146
Philip Morris International Inc.17,594,003$1,461,533,829
Morgan Stanley17,535,244$669,846,321
Abbott Laboratories17,162,418$834,093,515
Starbucks Corp.17,055,722$886,215,315
Gilead Sciences Inc.16,939,700$1,901,820,119
PepsiCo Inc.16,859,717$1,625,782,510
Medtronic plc16,208,026$1,236,996,544
American International Group Inc.15,609,494$914,872,443
General Motors Co.15,385,071$553,401,004
Regions Financial Corp.15,273,439$154,109,000
Boston Scientific Corp.15,132,574$276,472,127
Home Depot Inc.14,988,325$1,669,999,172
Schlumberger Ltd.14,504,859$1,316,606,051
Corning Inc.14,459,601$302,494,853
505 Holdings
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