Vanguard 500 Index Fund

as of:
Stock Holdings

511 Holdings
51-100 of 511 | <Prev  Next>

Holding Shares Market Value
Abbott Laboratories27,623,883$1,358,542,566
Allergan plc5,346,944$1,349,194,380
Charter Communications Inc. Class A3,433,787$1,345,735,463
US Bancorp25,219,134$1,331,065,893
Union Pacific Corp.12,853,286$1,323,374,327
Goldman Sachs Group Inc.5,830,671$1,313,825,096
CVS Health Corp.16,219,435$1,296,419,440
Texas Instruments Inc.15,860,705$1,290,744,173
Eli Lilly & Co.15,457,743$1,277,737,036
Accenture plc Class A9,871,779$1,271,682,571
Time Warner Inc.12,346,384$1,264,516,649
QUALCOMM Inc.23,520,956$1,251,079,650
Netflix Inc.6,861,483$1,246,457,002
NIKE Inc. Class B21,099,762$1,245,940,946
Starbucks Corp.23,054,006$1,244,455,244
United Parcel Service Inc. Class B10,964,483$1,209,272,830
Lockheed Martin Corp.3,962,757$1,157,640,202
Adobe Systems Inc.7,875,376$1,153,663,830
Dow Chemical Co.17,893,525$1,149,480,046
EI du Pont de Nemours & Co.13,802,981$1,134,743,068
Costco Wholesale Corp.6,982,526$1,106,800,196
Walgreens Boots Alliance Inc.13,594,980$1,096,707,037
Thermo Fisher Scientific Inc.6,228,341$1,093,260,696
NextEra Energy Inc.7,452,583$1,088,747,850
Chubb Ltd.7,431,370$1,088,398,450
Caterpillar Inc.9,379,870$1,068,836,187
Morgan Stanley22,674,961$1,063,455,671
Mondelez International Inc. Class A24,155,220$1,063,312,784
Lowe's Cos. Inc.13,662,028$1,057,440,967
PayPal Holdings Inc.17,785,357$1,041,332,652
American Express Co.11,953,419$1,018,789,901
Colgate-Palmolive Co.14,062,325$1,015,299,865
PNC Financial Services Group Inc.7,703,255$992,179,244
Biogen Inc.3,400,815$984,842,016
salesforce.com Inc.10,645,277$966,591,152
Duke Energy Corp.11,141,294$948,346,945
MetLife Inc.17,201,332$946,073,260
American Tower Corp.6,766,265$922,444,907
American International Group Inc.14,002,168$916,441,896
ConocoPhillips19,696,116$893,612,783
General Dynamics Corp.4,515,001$886,430,146
Bank of New York Mellon Corp.16,555,105$877,917,218
EOG Resources Inc.9,190,995$874,431,264
Automatic Data Processing Inc.7,123,629$847,070,724
Charles Schwab Corp.19,372,080$831,062,232
Kraft Heinz Co.9,498,423$830,732,076
BlackRock Inc.1,930,227$823,299,722
Monsanto Co.6,986,068$816,112,464
Aetna Inc.5,281,050$814,918,826
FedEx Corp.3,916,137$814,673,980
511 Holdings
51-100 of 511 | <Prev  Next>