Vanguard 500 Index Fund

as of:
Stock Holdings

508 Holdings
1-50 of 508 |   Next>

Holding Shares Market Value
Bank of America Corp.149,857,535$3,392,774,592
General Electric Co.131,191,073$3,896,374,868
Microsoft Corp.115,310,356$7,454,814,515
AT&T Inc.91,072,665$3,839,623,556
Pfizer Inc.89,995,493$2,855,556,993
Apple Inc.79,079,503$9,596,297,689
Cisco Systems Inc.74,443,455$2,286,902,938
Intel Corp.70,279,611$2,587,695,277
Wells Fargo & Co.67,033,462$3,775,994,914
Exxon Mobil Corp.61,497,007$5,158,983,917
Verizon Communications Inc.60,457,531$2,963,023,594
Ford Motor Co.58,030,913$717,262,085
Coca-Cola Co.57,564,191$2,392,943,420
JPMorgan Chase & Co.53,066,303$4,491,001,223
Oracle Corp.44,446,690$1,782,756,736
Citigroup Inc.42,261,029$2,359,433,249
Merck & Co. Inc.40,889,105$2,534,715,619
Johnson & Johnson40,346,565$4,569,248,486
Procter & Gamble Co.39,686,784$3,476,562,278
Comcast Corp. Class A35,345,874$2,665,785,817
Facebook Inc. Class A34,714,786$4,524,030,912
Altria Group Inc.28,923,636$2,058,784,410
Kinder Morgan Inc./DE28,471,897$636,062,179
Chevron Corp.27,996,404$3,117,399,585
Visa Inc. Class A27,696,463$2,290,774,455
Berkshire Hathaway Inc. Class B26,635,978$4,372,029,429
Abbott Laboratories25,521,801$1,066,045,628
HP Inc.25,373,158$381,866,028
Bristol-Myers Squibb Co.24,784,591$1,218,410,494
Hewlett Packard Enterprise Co.24,706,294$560,338,748
AbbVie Inc.24,100,774$1,472,798,299
US Bancorp23,694,089$1,247,493,786
Philip Morris International Inc.23,006,311$2,211,596,676
Mondelez International Inc. Class A22,903,409$1,014,162,951
Wal-Mart Stores Inc.22,332,405$1,490,464,710
QUALCOMM Inc.21,902,214$1,170,235,294
Walt Disney Co.21,713,311$2,402,577,862
Starbucks Corp.21,583,951$1,191,865,774
Morgan Stanley21,385,171$908,655,916
PepsiCo Inc.21,268,486$2,207,243,477
Schlumberger Ltd.20,633,264$1,727,210,529
General Motors Co.20,560,833$752,732,096
Medtronic plc20,360,360$1,547,794,567
Boston Scientific Corp.20,189,538$485,760,284
NIKE Inc. Class B19,815,539$1,048,242,013
Gilead Sciences Inc.19,538,248$1,415,546,068
Freeport-McMoRan Inc.18,576,474$309,298,292
ConocoPhillips18,374,986$895,964,317
Regions Financial Corp.18,255,369$263,059,867
Home Depot Inc.18,065,643$2,485,471,164
508 Holdings
1-50 of 508 |   Next>