Vanguard 500 Index Fund

as of:
Stock Holdings

504 Holdings
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Holding Shares Market Value
Bank of America Corp.118,808,521$1,892,619,740
General Electric Co.113,673,646$3,078,282,334
Microsoft Corp.92,654,041$4,506,692,554
Pfizer Inc.69,219,604$2,348,621,164
Apple Inc.65,785,025$8,232,995,879
AT&T Inc.58,618,066$2,030,529,806
Cisco Systems Inc.57,653,189$1,662,141,439
Intel Corp.53,488,671$1,741,056,241
Wells Fargo & Co.52,953,100$2,917,715,810
Exxon Mobil Corp.47,375,051$4,139,158,206
Verizon Communications Inc.46,931,479$2,367,223,801
Ford Motor Co.44,678,657$705,922,781
Coca-Cola Co.44,381,382$1,800,108,854
JPMorgan Chase & Co.42,107,847$2,663,742,401
Oracle Corp.36,205,313$1,579,275,753
Citigroup Inc.34,264,488$1,826,982,500
Merck & Co. Inc.32,054,745$1,909,180,612
Johnson & Johnson31,403,050$3,115,182,560
Procter & Gamble Co.30,499,785$2,425,037,905
Comcast Corp. Class A27,360,359$1,580,334,336
Facebook Inc. Class A23,709,122$1,867,567,540
EMC Corp./MA22,453,563$604,225,380
Altria Group Inc.22,241,643$1,113,194,232
Visa Inc. Class A21,909,683$1,447,134,562
Chevron Corp.21,234,930$2,358,351,326
Twenty-First Century Fox Inc. Class A20,650,960$703,784,717
Hewlett-Packard Co.20,527,625$676,795,796
US Bancorp/MN20,116,914$862,412,103
Kinder Morgan Inc./DE19,245,581$826,597,704
Berkshire Hathaway Inc. Class B19,033,846$2,687,769,394
Bristol-Myers Squibb Co.18,772,141$1,196,348,546
QUALCOMM Inc.18,630,246$1,266,856,728
Mondelez International Inc. Class A18,629,411$714,810,500
AbbVie Inc.18,001,533$1,163,979,124
Wal-Mart Stores Inc.17,837,511$1,392,217,734
Walt Disney Co.17,659,381$1,919,927,902
Philip Morris International Inc.17,471,142$1,458,316,223
Morgan Stanley17,412,780$649,670,822
Abbott Laboratories17,042,510$791,113,314
Starbucks Corp.16,936,584$839,715,835
Gilead Sciences Inc.16,821,422$1,690,721,125
PepsiCo Inc.16,741,973$1,592,496,472
Medtronic plc16,094,872$1,198,263,220
American International Group Inc.15,500,424$872,518,867
General Motors Co.15,277,641$535,634,093
Regions Financial Corp.15,166,769$149,089,339
Boston Scientific Corp.15,026,909$267,779,518
Home Depot Inc.14,883,652$1,592,253,091
Schlumberger Ltd.14,403,512$1,362,716,270
Corning Inc.14,358,641$300,526,356
504 Holdings
1-50 of 504 |   Next>