Vanguard 500 Index Fund
as of:
Stock Holdings

508 Holdings
1-50 of 508 |   Next>

Holding Shares Market Value
Apple Inc.90,402,084$14,939,848,402
Microsoft Corp.137,183,627$12,829,412,797
Amazon.com Inc.7,158,818$11,211,639,634
Facebook Inc. Class A42,687,284$7,342,212,848
JPMorgan Chase & Co.61,146,483$6,651,514,421
Berkshire Hathaway Inc. Class B32,833,829$6,360,897,692
Johnson & Johnson47,800,189$6,046,245,907
Exxon Mobil Corp.75,494,377$5,869,687,812
Alphabet Inc. Class C5,424,195$5,518,196,299
Alphabet Inc. Class A5,316,666$5,415,449,654
Bank of America Corp.170,457,883$5,100,099,859
Intel Corp.83,382,207$4,304,189,525
Chevron Corp.34,034,616$4,258,070,808
UnitedHealth Group Inc.17,240,262$4,075,597,937
Visa Inc. Class A32,115,841$4,074,857,906
Wells Fargo & Co.78,215,602$4,064,082,680
Pfizer Inc.106,060,631$3,882,879,701
Home Depot Inc.20,806,197$3,844,985,206
Cisco Systems Inc.85,832,730$3,801,531,612
Verizon Communications Inc.73,547,529$3,629,570,556
AT&T Inc.109,395,600$3,577,236,120
Boeing Co.9,855,726$3,287,475,965
Procter & Gamble Co.44,916,711$3,249,274,874
Citigroup Inc.45,790,849$3,126,141,261
Coca-Cola Co.68,402,671$2,955,679,414
Mastercard Inc. Class A16,446,955$2,931,998,668
Merck & Co. Inc.48,037,420$2,827,962,915
AbbVie Inc.28,401,380$2,742,153,239
Walt Disney Co.26,790,458$2,687,886,651
DowDuPont Inc.41,690,457$2,636,504,501
Comcast Corp. Class A82,581,938$2,592,247,034
PepsiCo Inc.25,337,873$2,557,604,901
Oracle Corp.53,840,458$2,458,893,717
NVIDIA Corp.10,779,102$2,424,220,040
Netflix Inc.7,731,537$2,415,796,051
McDonald's Corp.14,202,905$2,378,134,413
Walmart Inc.25,862,641$2,287,809,223
Philip Morris International Inc.27,671,598$2,269,071,036
International Business Machines Corp.15,263,330$2,212,572,317
General Electric Co.154,695,422$2,176,564,588
Amgen Inc.11,909,981$2,078,053,485
3M Co.10,609,768$2,062,432,802
Adobe Systems Inc.8,758,282$1,940,835,291
Honeywell International Inc.13,397,693$1,938,378,223
Medtronic plc24,146,327$1,934,845,183
Altria Group Inc.33,860,011$1,899,885,217
Booking Holdings Inc.868,825$1,892,300,850
Union Pacific Corp.14,024,869$1,874,143,244
Abbott Laboratories31,010,529$1,802,642,051
Texas Instruments Inc.17,528,826$1,777,948,821
508 Holdings
1-50 of 508 |   Next>