Vanguard 500 Index Fund

as of:
Stock Holdings

508 Holdings
1-50 of 508 |   Next>

Holding Shares Market Value
Bank of America Corp.165,159,834$4,652,552,524
General Electric Co.145,738,356$2,665,554,531
Microsoft Corp.129,653,503$10,912,935,348
AT&T Inc.103,354,167$3,760,024,595
Pfizer Inc.100,454,282$3,642,472,265
Apple Inc.86,947,243$14,941,883,710
Cisco Systems Inc.84,166,864$3,139,424,027
Comcast Corp. Class A79,178,982$2,972,378,984
Intel Corp.79,099,495$3,546,821,356
Wells Fargo & Co.75,199,790$4,246,532,141
Exxon Mobil Corp.71,326,185$5,940,757,949
Verizon Communications Inc.68,668,307$3,494,530,143
Ford Motor Co.65,835,803$824,264,254
Coca-Cola Co.64,620,821$2,957,694,977
JPMorgan Chase & Co.59,232,604$6,190,991,770
Oracle Corp.50,833,274$2,493,880,422
Merck & Co. Inc.46,040,284$2,544,646,497
Citigroup Inc.45,860,768$3,462,487,984
Johnson & Johnson45,179,479$6,294,856,809
Procter & Gamble Co.42,925,096$3,862,829,389
Facebook Inc. Class A39,899,961$7,069,475,090
DowDuPont Inc.39,275,984$2,826,299,809
Kinder Morgan Inc./DE32,326,272$556,981,667
Altria Group Inc.32,295,140$2,190,579,346
Chevron Corp.31,898,856$3,795,644,875
Berkshire Hathaway Inc. Class B30,862,295$5,956,731,558
Visa Inc. Class A30,794,824$3,467,189,234
Abbott Laboratories29,246,983$1,648,652,432
HP Inc.28,121,020$603,195,879
Hewlett Packard Enterprise Co.27,636,693$385,531,867
Bristol-Myers Squibb Co.27,602,350$1,744,192,497
AbbVie Inc.26,833,187$2,600,672,484
US Bancorp26,743,947$1,474,928,677
Philip Morris International Inc.26,144,558$2,686,353,335
Walt Disney Co.25,980,172$2,723,241,629
Mondelez International Inc. Class A25,378,405$1,089,748,711
QUALCOMM Inc.24,870,057$1,649,879,581
Wal-Mart Stores Inc.24,639,388$2,395,687,695
Starbucks Corp.24,304,197$1,405,268,671
PepsiCo Inc.24,046,955$2,801,951,197
Morgan Stanley23,803,923$1,228,520,466
Schlumberger Ltd.23,390,900$1,470,118,065
Boston Scientific Corp.23,103,049$607,148,128
Medtronic plc22,801,639$1,872,698,611
Freeport-McMoRan Inc.22,643,642$315,199,497
NIKE Inc. Class B22,118,340$1,336,390,103
General Motors Co.22,076,456$951,274,489
Gilead Sciences Inc.21,982,120$1,643,822,934
ConocoPhillips20,485,163$1,042,285,093
Regions Financial Corp.20,088,990$333,276,344
508 Holdings
1-50 of 508 |   Next>