Vanguard 500 Index Fund

as of:
Stock Holdings

506 Holdings
1-50 of 506 |   Next>

Holding Shares Market Value
Bank of America Corp.165,758,289$4,893,184,691
General Electric Co.148,180,271$2,585,745,729
Microsoft Corp.131,822,935$11,276,133,860
AT&T Inc.104,917,384$4,079,187,890
Pfizer Inc.101,851,362$3,689,056,332
Apple Inc.87,732,310$14,846,938,821
Cisco Systems Inc.84,473,576$3,235,337,961
Intel Corp.79,969,584$3,691,395,997
Comcast Corp. Class A79,701,872$3,192,059,974
Wells Fargo & Co.75,729,454$4,594,505,974
Exxon Mobil Corp.72,405,266$6,055,976,448
Verizon Communications Inc.69,690,557$3,688,721,182
Ford Motor Co.66,657,073$832,546,842
Coca-Cola Co.65,512,345$3,005,706,389
JPMorgan Chase & Co.59,277,552$6,339,141,411
Oracle Corp.52,059,100$2,461,354,248
Merck & Co. Inc.46,729,139$2,629,448,652
Johnson & Johnson45,896,961$6,412,723,391
Citigroup Inc.45,172,432$3,361,280,665
Procter & Gamble Co.43,534,177$3,999,920,183
Facebook Inc. Class A40,750,338$7,190,804,643
DowDuPont Inc.39,982,839$2,847,577,794
Kinder Morgan Inc./DE32,819,060$593,040,414
Altria Group Inc.32,606,346$2,328,419,168
Chevron Corp.32,456,002$4,063,166,890
Berkshire Hathaway Inc. Class B31,357,399$6,215,663,630
Visa Inc. Class A30,987,529$3,533,198,057
Abbott Laboratories29,741,780$1,697,363,385
HP Inc.28,535,491$599,530,666
Bristol-Myers Squibb Co.27,964,205$1,713,646,482
Hewlett Packard Enterprise Co.27,263,769$391,507,723
AbbVie Inc.27,238,724$2,634,256,998
US Bancorp26,934,236$1,443,136,365
Philip Morris International Inc.26,531,183$2,803,019,484
Walt Disney Co.25,806,456$2,774,452,085
Mondelez International Inc. Class A25,532,798$1,092,803,754
QUALCOMM Inc.25,189,688$1,612,643,826
Wal-Mart Stores Inc.25,011,488$2,469,884,440
Starbucks Corp.24,312,113$1,396,244,650
PepsiCo Inc.24,294,669$2,913,416,706
Morgan Stanley23,782,460$1,247,865,676
Schlumberger Ltd.23,670,182$1,595,133,565
Boston Scientific Corp.23,462,993$581,647,596
Medtronic plc23,124,672$1,867,317,264
Freeport-McMoRan Inc.23,009,084$436,252,233
NIKE Inc. Class B22,450,703$1,404,291,473
Gilead Sciences Inc.22,320,849$1,599,065,622
General Motors Co.21,840,682$895,249,555
ConocoPhillips20,429,077$1,121,352,037
Charles Schwab Corp.20,387,188$1,047,289,848
506 Holdings
1-50 of 506 |   Next>