Vanguard 500 Index Fund

as of:
Stock Holdings

506 Holdings
51-100 of 506 | <Prev  Next>

Holding Shares Market Value
United Technologies Corp.9,806,702$981,650,870
QUALCOMM Inc.18,850,487$964,013,905
United Parcel Service Inc. Class B8,703,373$917,944,750
Walgreens Boots Alliance Inc.10,882,522$916,743,653
Accenture plc Class A7,918,264$913,767,666
Eli Lilly & Co.12,274,390$883,878,824
Lowe's Cos. Inc.11,539,828$874,141,971
Costco Wholesale Corp.5,545,812$873,909,055
Union Pacific Corp.10,673,462$849,073,902
US Bancorp20,593,690$835,897,877
Simon Property Group Inc.3,901,898$810,385,196
Priceline Group Inc.625,694$806,494,538
Colgate-Palmolive Co.11,258,038$795,380,385
Mondelez International Inc. Class A19,784,195$793,741,903
American International Group Inc.14,495,358$783,474,100
Goldman Sachs Group Inc.4,953,401$777,584,889
Abbott Laboratories18,578,754$777,149,280
Lockheed Martin Corp.3,313,418$733,922,087
Time Warner Cable Inc.3,572,592$731,023,775
Texas Instruments Inc.12,678,449$727,996,542
Time Warner Inc.9,964,644$722,934,922
Broadcom Ltd.4,676,389$722,502,101
Biogen Inc.2,757,918$717,941,214
Dow Chemical Co.14,084,422$716,333,703
Danaher Corp.7,539,848$715,229,981
Thermo Fisher Scientific Inc.4,997,361$707,576,344
Duke Energy Corp.8,682,126$700,473,926
EI du Pont de Nemours & Co.10,990,136$695,895,412
Chubb Ltd.5,812,361$692,542,813
NextEra Energy Inc.5,809,248$687,466,408
Ford Motor Co.49,171,420$663,814,170
TJX Cos. Inc.8,444,449$661,622,579
Occidental Petroleum Corp.9,633,931$659,249,898
EMC Corp./MA24,557,190$654,449,114
American Express Co.10,328,473$634,168,242
ConocoPhillips15,591,629$627,874,900
Target Corp.7,590,674$624,560,657
Kimberly-Clark Corp.4,548,890$611,871,194
MetLife Inc.13,822,710$607,369,877
Southern Co.11,505,861$595,198,190
Adobe Systems Inc.6,281,312$589,187,066
Kraft Heinz Co.7,494,513$588,768,941
salesforce.com inc7,948,943$586,870,462
Express Scripts Holding Co.8,420,408$578,397,826
Dominion Resources Inc./VA7,517,617$564,723,389
Caterpillar Inc.7,340,104$561,811,560
General Motors Co.17,715,770$556,806,651
Netflix Inc.5,395,884$551,621,221
American Tower Corporation5,343,227$546,986,148
BlackRock Inc.1,591,164$541,902,723
506 Holdings
51-100 of 506 | <Prev  Next>