Vanguard 500 Index Fund

as of:
Stock Holdings

508 Holdings
1-50 of 508 |   Next>

Holding Shares Market Value
Bank of America Corp.143,485,504$2,367,510,816
General Electric Co.126,041,797$3,667,816,293
Microsoft Corp.109,588,783$6,566,559,877
AT&T Inc.86,506,115$3,182,559,971
Pfizer Inc.85,320,768$2,705,521,553
Apple Inc.75,785,707$8,604,709,173
Cisco Systems Inc.70,727,269$2,169,912,613
Intel Corp.66,536,100$2,320,113,807
Wells Fargo & Co.63,869,615$2,938,640,986
Exxon Mobil Corp.58,324,993$4,859,638,417
Verizon Communications Inc.57,317,231$2,756,958,811
Ford Motor Co.54,895,742$644,476,011
Coca-Cola Co.54,655,972$2,317,413,213
JPMorgan Chase & Co.50,807,176$3,518,905,010
Oracle Corp.42,313,800$1,625,696,196
Citigroup Inc.40,848,620$2,007,709,673
Merck & Co. Inc.38,888,992$2,283,561,610
Johnson & Johnson38,483,121$4,463,657,205
Procter & Gamble Co.37,546,246$3,259,014,153
Comcast Corp. Class A33,780,680$2,088,321,638
Facebook Inc. Class A32,670,116$4,279,458,495
Altria Group Inc.27,534,520$1,820,582,462
Kinder Morgan Inc./DE26,980,390$551,209,368
Chevron Corp.26,527,120$2,778,715,820
Visa Inc. Class A26,525,098$2,188,585,836
Berkshire Hathaway Inc. Class B25,147,881$3,628,839,228
HP Inc.24,184,719$350,436,578
Bristol-Myers Squibb Co.23,492,796$1,196,018,244
Hewlett Packard Enterprise Co.23,353,930$524,762,807
AbbVie Inc.22,906,122$1,277,703,485
US Bancorp22,638,274$1,013,289,144
Mondelez International Inc. Class A21,864,236$982,578,766
Philip Morris International Inc.21,809,018$2,103,261,696
Wal-Mart Stores Inc.21,314,969$1,492,474,129
Walt Disney Co.20,793,408$1,927,340,988
QUALCOMM Inc.20,722,605$1,424,057,416
Morgan Stanley20,681,371$694,273,624
Abbott Laboratories20,652,946$810,421,601
Starbucks Corp.20,620,612$1,094,335,879
PepsiCo Inc.20,237,400$2,169,449,280
General Motors Co.19,959,525$630,720,990
Schlumberger Ltd.19,554,624$1,529,758,236
Medtronic plc19,456,364$1,595,810,975
Boston Scientific Corp.19,087,230$419,919,060
NIKE Inc. Class B18,955,419$951,182,925
Twenty-First Century Fox Inc. Class A18,786,479$493,520,803
Gilead Sciences Inc.18,560,062$1,366,577,365
Regions Financial Corp.17,871,085$191,399,320
ConocoPhillips17,405,702$756,277,752
Home Depot Inc.17,373,160$2,119,699,252
508 Holdings
1-50 of 508 |   Next>