Vanguard 500 Index Fund

as of:
Stock Holdings

503 Holdings
1-50 of 503 |   Next>

Holding Shares Market Value
Bank of America Corp.127,132,211$2,139,635,111
General Electric Co.115,233,118$3,589,511,626
Microsoft Corp.97,529,827$5,410,954,802
Pfizer Inc.75,369,987$2,432,943,180
AT&T Inc.75,113,560$2,584,657,600
Apple Inc.68,072,998$7,165,363,769
Cisco Systems Inc.61,976,650$1,682,975,931
Intel Corp.57,616,995$1,984,905,478
Wells Fargo & Co.56,751,662$3,085,020,346
Exxon Mobil Corp.50,827,997$3,962,042,366
Verizon Communications Inc.49,679,357$2,296,179,881
Coca-Cola Co.47,789,337$2,053,029,918
Ford Motor Co.47,589,246$670,532,476
JPMorgan Chase & Co.44,945,183$2,967,730,433
Oracle Corp.39,089,499$1,427,939,398
Citigroup Inc.36,372,174$1,882,260,005
Merck & Co. Inc.34,107,913$1,801,579,965
Johnson & Johnson33,783,378$3,470,228,588
Procter & Gamble Co.33,217,094$2,637,769,435
Comcast Corp. Class A29,813,682$1,682,386,075
Facebook Inc. Class A27,721,421$2,901,323,922
Altria Group Inc.23,938,921$1,393,484,591
Visa Inc. Class A23,765,217$1,842,992,578
EMC Corp./MA23,671,726$607,889,924
Chevron Corp.22,978,906$2,067,182,384
Kinder Morgan Inc./DE22,340,269$333,316,813
HP Inc.22,053,915$261,118,354
Hewlett Packard Enterprise Co.21,954,371$333,706,439
Berkshire Hathaway Inc. Class B21,311,016$2,813,906,553
Bristol-Myers Squibb Co.20,368,906$1,401,177,044
US Bancorp20,074,999$856,600,207
AbbVie Inc.19,959,431$1,182,396,692
Twenty-First Century Fox Inc. Class A19,558,585$531,211,169
Mondelez International Inc. Class A19,402,729$870,018,368
Wal-Mart Stores Inc.19,155,772$1,174,248,824
Philip Morris International Inc.18,916,182$1,662,921,560
Walt Disney Co.18,569,818$1,951,316,475
Morgan Stanley18,439,020$586,545,226
QUALCOMM Inc.18,351,839$917,316,672
Abbott Laboratories18,212,965$817,944,258
Starbucks Corp.18,128,618$1,088,260,939
PepsiCo Inc.17,787,530$1,777,329,998
Gilead Sciences Inc.17,596,138$1,780,553,204
General Motors Co.17,289,809$588,026,404
Medtronic plc17,168,408$1,320,593,943
NIKE Inc. Class B16,476,255$1,029,765,938
Boston Scientific Corp.16,423,193$302,843,679
Alcoa Inc.15,994,101$157,861,777
Regions Financial Corp.15,937,126$152,996,410
Home Depot Inc.15,480,227$2,047,260,021
503 Holdings
1-50 of 503 |   Next>