Vanguard 500 Index Fund

as of:
Stock Holdings

509 Holdings
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Holding Shares Market Value
Apple Inc.70,835,314$7,073,614,456
Microsoft Corp.101,049,059$5,355,600,127
Exxon Mobil Corp.53,065,918$4,723,928,020
Johnson & Johnson35,260,707$3,973,529,072
General Electric Co.119,232,789$3,604,407,211
Amazon.com Inc.4,933,735$3,566,054,321
Facebook Inc. Class A29,326,338$3,484,262,218
Berkshire Hathaway Inc. Class B22,378,616$3,145,090,693
AT&T Inc.78,588,490$3,076,739,384
JPMorgan Chase & Co.46,901,707$3,061,274,416
Wells Fargo & Co.59,033,475$2,994,177,852
Alphabet Inc. Class A3,738,860$2,799,845,311
Alphabet Inc. Class C3,797,430$2,793,845,200
Procter & Gamble Co.33,897,025$2,747,014,906
Pfizer Inc.77,272,580$2,681,358,526
Verizon Communications Inc.52,058,132$2,649,758,919
Chevron Corp.24,064,964$2,430,561,364
Coca-Cola Co.49,791,304$2,220,692,158
Home Depot Inc.16,202,540$2,140,679,585
Merck & Co. Inc.35,458,500$1,994,895,210
Comcast Corp. Class A31,085,073$1,967,685,121
Philip Morris International Inc.19,795,465$1,953,416,486
Bank of America Corp.131,927,091$1,951,201,676
Visa Inc. Class A24,520,124$1,935,618,589
Intel Corp.60,357,088$1,906,680,410
Walt Disney Co.19,178,376$1,902,878,467
PepsiCo Inc.18,467,607$1,868,367,800
Cisco Systems Inc.64,294,057$1,867,742,356
Citigroup Inc.37,667,726$1,754,186,000
International Business Machines Corp.11,294,941$1,736,484,229
UnitedHealth Group Inc.12,146,798$1,623,662,489
Oracle Corp.40,259,161$1,618,418,272
Altria Group Inc.25,016,541$1,592,052,669
Bristol-Myers Squibb Co.21,330,887$1,529,424,598
Gilead Sciences Inc.17,464,369$1,520,447,965
Amgen Inc.9,609,556$1,517,829,370
Medtronic plc17,966,753$1,445,964,281
Wal-Mart Stores Inc.20,050,906$1,419,203,127
McDonald's Corp.11,522,515$1,406,438,181
Schlumberger Ltd.17,763,464$1,355,352,303
CVS Health Corp.14,038,828$1,354,044,961
3M Co.7,729,250$1,300,987,360
AbbVie Inc.20,583,288$1,295,306,314
MasterCard Inc. Class A12,531,586$1,201,779,097
Allergan plc5,042,103$1,188,675,782
Honeywell International Inc.9,828,216$1,118,745,827
Celgene Corp.9,986,033$1,053,726,202
QUALCOMM Inc.19,097,540$1,048,836,897
Starbucks Corp.18,883,145$1,036,495,829
Boeing Co.7,955,824$1,003,627,198
509 Holdings
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