Vanguard 500 Index Fund

as of:
Stock Holdings

505 Holdings
51-100 of 505 | <Prev  Next>

Holding Shares Market Value
Eli Lilly & Co.12,960,632$1,074,306,786
Boeing Co.7,989,335$1,067,854,516
Union Pacific Corp.11,221,494$1,044,160,017
United Parcel Service Inc. Class B9,212,218$995,840,766
NIKE Inc. Class B17,764,907$985,952,339
Costco Wholesale Corp.5,844,718$977,353,744
Lowe's Cos. Inc.11,822,590$972,762,705
Accenture plc Class A8,322,657$938,878,936
Simon Property Group Inc.4,128,167$937,259,036
Texas Instruments Inc.13,398,564$934,549,839
Walgreens Boots Alliance Inc.11,530,123$913,762,248
US Bancorp21,651,739$913,053,834
Mondelez International Inc. Class A20,707,651$910,722,491
Priceline Group Inc.662,274$894,606,342
Colgate-Palmolive Co.11,914,538$886,799,063
Lockheed Martin Corp.3,493,327$882,868,533
Abbott Laboratories19,601,242$877,155,580
Biogen Inc.2,922,520$847,326,224
Thermo Fisher Scientific Inc.5,250,076$833,922,072
Goldman Sachs Group Inc.5,154,041$818,513,251
American International Group Inc.14,929,654$812,770,364
EI du Pont de Nemours & Co.11,654,000$806,107,180
Time Warner Inc.10,491,751$804,192,714
Dow Chemical Co.14,980,232$803,989,051
Broadcom Ltd.4,952,048$802,132,735
NextEra Energy Inc.6,156,329$789,795,447
Duke Energy Corp.9,190,917$786,650,586
Chubb Ltd.6,196,782$776,208,913
Occidental Petroleum Corp.10,189,253$761,442,877
EMC Corp.26,057,971$736,919,420
TJX Cos. Inc.8,819,455$720,725,863
American Express Co.10,784,477$695,167,387
salesforce.com Inc.8,496,099$694,980,898
Kraft Heinz Co.7,948,647$686,683,614
ConocoPhillips16,520,881$674,382,362
Southern Co.12,520,926$669,869,541
Ford Motor Co.52,055,028$659,016,654
American Tower Corporation5,663,837$655,702,409
Adobe Systems Inc.6,673,079$653,027,511
Danaher Corp.7,993,134$650,960,833
Caterpillar Inc.7,791,873$644,855,409
Express Scripts Holding Co.8,441,918$642,176,702
Dominion Resources Inc./VA8,220,605$641,371,602
MetLife Inc.14,662,278$626,665,762
Kimberly-Clark Corp.4,804,150$622,377,633
Monsanto Co.5,827,622$622,215,201
BlackRock Inc.1,678,710$614,827,538
EOG Resources Inc.7,340,631$599,729,553
Target Corp.7,864,292$592,417,116
General Motors Co.18,700,770$589,822,286
505 Holdings
51-100 of 505 | <Prev  Next>