Vanguard 500 Index Fund

as of:
Stock Holdings

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

Holding Shares Market Value
United Technologies Corp.11,193,925$1,227,078,059
US Bancorp23,354,646$1,199,728,165
Starbucks Corp.21,274,817$1,181,177,840
United Parcel Service Inc. Class B10,076,997$1,155,226,936
Allergan plc5,482,889$1,151,461,519
Time Warner Inc.11,272,300$1,088,115,119
Texas Instruments Inc.14,610,344$1,066,116,802
Accenture plc Class A9,067,602$1,062,088,222
Priceline Group Inc.721,340$1,057,527,720
Eli Lilly & Co.14,200,872$1,044,474,136
Walgreens Boots Alliance Inc.12,509,894$1,035,318,827
Broadcom Ltd.5,808,364$1,026,744,504
Costco Wholesale Corp.6,389,858$1,023,080,164
Mondelez International Inc. Class A22,576,082$1,000,797,715
NIKE Inc. Class B19,532,079$992,815,576
Dow Chemical Co.16,392,150$937,958,823
EI du Pont de Nemours & Co.12,707,932$932,762,209
American International Group Inc.14,263,674$931,560,549
Lockheed Martin Corp.3,683,076$920,548,015
Charter Communications Inc. Class A3,165,265$911,343,099
ConocoPhillips18,111,980$908,134,677
Lowe's Cos. Inc.12,715,384$904,318,110
Biogen Inc.3,180,498$901,925,623
Chubb Ltd.6,802,207$898,707,589
Morgan Stanley21,080,064$890,632,704
MetLife Inc.16,066,967$865,848,852
EOG Resources Inc.8,426,617$851,930,979
Colgate-Palmolive Co.12,992,922$850,256,816
NVIDIA Corp.7,879,050$841,009,797
American Express Co.11,238,424$832,542,450
PNC Financial Services Group Inc.7,111,544$831,766,186
Abbott Laboratories21,522,037$826,661,441
Simon Property Group Inc.4,593,416$816,112,221
NextEra Energy Inc.6,830,494$815,970,813
Thermo Fisher Scientific Inc.5,774,348$814,760,503
Occidental Petroleum Corp.11,170,875$795,701,426
Caterpillar Inc.8,552,550$793,163,487
Duke Energy Corp.10,070,787$781,694,487
Netflix Inc.6,273,236$776,626,617
Kraft Heinz Co.8,719,035$761,346,136
Adobe Systems Inc.7,268,378$748,279,515
Bank of New York Mellon Corp.15,455,870$732,299,121
General Dynamics Corp.4,184,346$722,469,180
TJX Cos. Inc.9,529,440$715,946,827
General Motors Co.20,277,393$706,464,372
Southern Co.14,325,610$704,676,756
Dominion Resources Inc./VA9,161,824$701,704,100
Charles Schwab Corp.17,634,462$696,032,215
Danaher Corp.8,897,809$692,605,453
Ford Motor Co.57,052,235$692,043,611
508 Holdings
51-100 of 508 | <Prev  Next>