Vanguard 500 Index Fund

as of:
Stock Holdings

511 Holdings
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Holding Shares Market Value
Bank of America Corp.158,429,922$3,821,329,719
General Electric Co.138,639,643$3,550,561,257
Microsoft Corp.122,908,400$8,935,440,680
AT&T Inc.97,876,011$3,817,164,429
Pfizer Inc.95,006,196$3,150,405,459
Apple Inc.83,003,120$12,345,054,038
Cisco Systems Inc.79,598,802$2,503,382,323
Comcast Corp. Class A75,344,897$3,047,701,084
Intel Corp.74,966,340$2,659,056,080
Wells Fargo & Co.71,600,930$3,862,154,164
Exxon Mobil Corp.67,456,849$5,399,246,194
Verizon Communications Inc.64,943,878$3,143,283,695
Ford Motor Co.62,259,561$698,552,274
Coca-Cola Co.61,217,083$2,806,191,085
JPMorgan Chase & Co.56,559,004$5,192,116,567
Oracle Corp.47,816,479$2,387,476,796
Citigroup Inc.43,830,902$3,000,225,242
Merck & Co. Inc.43,542,747$2,781,510,678
Johnson & Johnson42,884,676$5,691,654,199
Procter & Gamble Co.40,715,171$3,697,751,830
Facebook Inc. Class A37,629,706$6,368,827,741
Altria Group Inc.30,749,246$1,997,778,513
Kinder Morgan Inc./DE30,558,696$624,314,159
Chevron Corp.30,161,489$3,293,332,984
Visa Inc. Class A29,391,920$2,926,259,555
Berkshire Hathaway Inc. Class B28,712,389$5,023,806,703
Abbott Laboratories27,623,883$1,358,542,566
HP Inc.26,794,218$511,769,564
Hewlett Packard Enterprise Co.26,501,227$464,036,485
Bristol-Myers Squibb Co.26,227,221$1,492,328,875
AbbVie Inc.25,336,206$1,771,254,161
US Bancorp25,219,134$1,331,065,893
Philip Morris International Inc.24,725,194$2,885,677,392
Mondelez International Inc. Class A24,155,220$1,063,312,784
QUALCOMM Inc.23,520,956$1,251,079,650
Wal-Mart Stores Inc.23,515,139$1,880,975,969
Walt Disney Co.23,159,936$2,545,971,764
Starbucks Corp.23,054,006$1,244,455,244
PepsiCo Inc.22,740,902$2,651,816,582
Morgan Stanley22,674,961$1,063,455,671
Schlumberger Ltd.22,120,874$1,517,491,956
General Motors Co.21,864,893$786,698,850
Boston Scientific Corp.21,804,551$580,437,148
Medtronic plc21,792,271$1,829,896,996
Freeport-McMoRan Inc.21,180,212$309,654,699
NIKE Inc. Class B21,099,762$1,245,940,946
Gilead Sciences Inc.20,802,741$1,582,880,563
ConocoPhillips19,696,116$893,612,783
Charles Schwab Corp.19,372,080$831,062,232
Regions Financial Corp.19,134,494$279,363,612
511 Holdings
1-50 of 511 |   Next>