Vanguard 500 Index Fund

as of:
Stock Holdings

508 Holdings
51-100 of 508 | <Prev  Next>

Holding Shares Market Value
Bristol-Myers Squibb Co.24,784,591$1,218,410,494
Allergan plc5,562,501$1,217,575,844
Starbucks Corp.21,583,951$1,191,865,774
Broadcom Ltd.5,892,511$1,175,555,945
QUALCOMM Inc.21,902,214$1,170,235,294
Priceline Group Inc.731,816$1,152,705,336
Texas Instruments Inc.14,822,119$1,119,662,869
United Parcel Service Inc. Class B10,223,586$1,115,699,940
Eli Lilly & Co.14,407,155$1,109,783,150
Time Warner Inc.11,435,677$1,107,545,317
Abbott Laboratories25,521,801$1,066,045,628
Costco Wholesale Corp.6,482,781$1,062,851,945
NIKE Inc. Class B19,815,539$1,048,242,013
Accenture plc Class A9,199,438$1,047,540,005
Charter Communications Inc. Class A3,211,207$1,040,270,508
Walgreens Boots Alliance Inc.12,691,607$1,039,950,278
Mondelez International Inc. Class A22,903,409$1,014,162,951
Dow Chemical Co.16,620,120$991,057,756
EI du Pont de Nemours & Co.12,892,482$973,382,391
Lowe's Cos. Inc.12,899,901$942,724,765
Lockheed Martin Corp.3,736,402$939,069,915
American International Group Inc.14,480,903$930,542,827
Morgan Stanley21,385,171$908,655,916
Chubb Ltd.6,901,037$907,417,355
ConocoPhillips18,374,986$895,964,317
Netflix Inc.6,364,344$895,526,844
Biogen Inc.3,226,706$894,571,971
Thermo Fisher Scientific Inc.5,858,111$892,717,535
MetLife Inc.16,299,859$886,875,328
NVIDIA Corp.7,993,390$872,718,320
American Express Co.11,401,326$870,833,280
PNC Financial Services Group Inc.7,214,342$869,039,637
EOG Resources Inc.8,549,128$868,420,422
NextEra Energy Inc.6,929,405$857,305,987
Simon Property Group Inc.4,659,787$856,329,057
Colgate-Palmolive Co.13,182,357$851,316,615
Adobe Systems Inc.7,373,773$836,038,383
Caterpillar Inc.8,675,493$829,897,660
Duke Energy Corp.10,215,531$802,327,805
Kraft Heinz Co.8,845,623$789,825,678
General Dynamics Corp.4,244,525$768,598,587
Occidental Petroleum Corp.11,333,279$768,056,318
Danaher Corp.9,025,485$757,418,701
General Motors Co.20,560,833$752,732,096
salesforce.com Inc.9,466,569$748,805,608
Charles Schwab Corp.17,890,083$737,787,023
Reynolds American Inc.12,264,090$737,439,732
Halliburton Co.12,819,768$725,214,276
TJX Cos. Inc.9,668,010$724,327,309
Southern Co.14,531,705$718,302,178
508 Holdings
51-100 of 508 | <Prev  Next>